{"id":"F2002B00094","name":"Federal Court (Corporations) Rules 2000","slug":"federal-court-corporations-rules-2000","collection":"legislative_instrument","jurisdiction":"commonwealth","status":"in_force","isInForce":true,"actNumber":"359 of 1999","makingDate":null,"administeringDepartment":null,"currentVersion":{"id":31050,"registerId":"commonwealth-F2002B00094-current","compilationNumber":null,"startDate":"2026-04-01","status":"InForce","reasons":null,"registeredAt":null},"sections":[{"sectionNumber":"Part 38","sectionType":"part","heading":"applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.","content":"  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 1.1 Citation\n\n## 1.3 Application of these Rules and other rules of the Court\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n## 1.4 Expressions used in the Corporations Act\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n## 1.5 Definitions for these Rules\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n## 1.6 References to rules and forms\n\n## 1.7 Substantial compliance with forms\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n## 1.8 Court’s power to give directions\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n## 1.9 Calculation of time\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n## 1.10 Extension and abridgment of time\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n## Division 2 Proceedings generally\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 2.1 Title of documents in a proceeding—Form 1\n\n## 2.2 Originating process and interlocutory process—Forms 2 and 3\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n## 2.3 Fixing of hearing\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n## 2.4 Supporting affidavits\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n## 2.4A Application for order setting aside 2.4A Application for order setting aside statutory demand (Corporations Act s 459G)\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n## 2.5 Affidavits made by creditors\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n## 2.6 Form of affidavits\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n## 2.7 Service of originating process or interlocutory process and supporting affidavit\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n## 2.8 Notice of certain applications to be given to ASIC\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n## 2.9 Notice of appearance (Corporations Act s 465C)—Form 4\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n## 2.10 Intervention in proceeding by ASIC (Corporations Act s 1330)—Form 5\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n## 2.12 Proof of publication\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n## 2.13 Leave to creditor, contributory or officer to be heard\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n## 2.14 Inquiry in relation to corporation’s debts etc\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n## 2.15 Meetings ordered by the Court\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n## Division 3 Compromises and arrangements in relation to Part 5.1 bodies\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 3.1 Application of Division 3\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n## 3.2 Nomination of chairperson for meeting\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n## 3.3 Order for meetings to identify proposed scheme\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n## 3.4 Notice of hearing (Corporations Act s 411(4), s 413(1))—Form 6\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n## 3.5 Copy of order approving compromise or arrangement to be lodged with ASIC\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n## Division 4 Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n## 4.1 Inquiry into the conduct of controller (Corporations Act s 423)\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n## 4.2 Order or inquiry in relation to registered liquidator or external administration of a company\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n## Division 5 Winding up proceedings (including oppression proceedings where winding up is sought)\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 5.1 Application of Division 5\n\n## 5.2 Affidavit accompanying statutory demand (Corporations Act s 459E(3))—Form 7\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n## 5.3 Application for leave to apply for winding up in insolvency (Corporations Act s 459P(2))\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n## 5.4 Affidavit in support of application for winding up (Corporations Act s 459P, s 462, s 464)\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n## 5.5 Consent of liquidator (Corporations Act s 532(9))—Form 8\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n## 5.6 Notice of application for winding up\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n## 5.7 Applicant to make copies of documents available\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n## 5.8 Discontinuance of application for winding up\n\n## 5.9 Appearance before Registrar\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n## 5.10 Order substituting plaintiff in application for winding up (Corporations Act s 465B)—Form 10\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n## 5.11 Notice of winding up order and appointment of liquidator\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\n## Division 6 Provisional liquidators (Corporations Act Part 5.4B)\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n## 6.1 Appointment of provisional liquidator (Corporations Act s 472)—Form 8\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n## 6.2 Notice of appointment of provisional liquidator\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n## Division 7 Liquidators\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n## 7.3 Report to liquidator as to company’s affairs (Corporations Act s 475)\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n## 7.4 Liquidator to file certificate and copy of settled list of contributories (Corporations Act s 478)\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n## 7.5 Release of liquidator and deregistration of company (Corporations Act s 480(c) and (d))\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n## 7.6 Objection to release of liquidator—Form 13\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n## 7.7 Report on accounts of liquidator (Corporations Act s 481)\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n## 7.8 Application for payment of call (Corporations Act s 483(3)(b))—Form 14\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n## 7.9 Distribution of surplus by liquidator with special leave of the Court (Corporations Act s 488(2))—Form 15\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n## 7.10 Powers delegated to liquidator by the Court (Corporations Act s 488)\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n## 7.11 Appointment of reviewing liquidator (Insolvency Practice Schedule (Corporations) s 90‑23(8))\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n## Division 8 Special managers (Corporations Act Part 5.4B)\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 8.1 Application for appointment of special manager (Corporations Act s 484)\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n## 8.2 Security given by special manager (Corporations Act s 484)\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n## 8.3 Special manager’s receipts and payments (Corporations Act s 484)\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n## Division 9 Remuneration of office‑holders\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 9.1 Remuneration of receiver (Corporations Act s 425(1))—Form 16\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n## 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n## 9.2A Review of remuneration determinatio 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n## 9.3 Remuneration of provisional liquidator (Insolvency Practice Schedule (Corporations) s 60‑16)—Form 16\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n## 9.5 Remuneration of special manager (Corporations Act s 484(2))—Form 16\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n## Division 10 Winding up generally\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 10.1 Determination of value of debts or claims (Corporations Act s 554A(2))\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n## 10.2 Disclaimer of contract (Corporations Act s 568(1A))\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n## 10.3 Winding up Part 5.7 bodies (Corporations Act s 583, s 585) and registered schemes (Corporations Act s 601ND)\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n## Division 11 Inquiries, examinations, investigations, and orders against person concerned with corporation\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 11.1 Definition for Division 11\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n## 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n## 11.3 Application for examination summons (Corporations Act s 596A, s 596B)—Form 17\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n## 11.4 Service of examination summons\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n## 11.5 Discharge of examination summons\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n## 11.6 Filing of record of examination (Corporations Act s 597(13))\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n## 11.7 Authentication of transcript of examination (Corporations Act s 597(14))\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n## 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n## 11.9 Entitlement to record or transcript of examination held in public\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n## 11.10 Default in relation to examination\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n## 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n## Division 11A Warrants (Corporations Act s 486B and Part 5.4B, Division 3, Subdivision B)\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 11A.01 Arrest of person (Corporations Act s 486B)—Form 17A\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n## Division 12 Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 12.1 Service on ASIC in relation to proceedings under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n## 12.1A Reference to Court of question of  12.1A Reference to Court of question of law arising in proceeding before Takeovers Panel (Corporations Act s 659A)\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n## 12.1B Notification to Court where procee 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n## 12.2 Application for summons for appearance of person (Corporations Act s 1071D(4))—Form 18\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n## 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n## Division 14 Appeals authorised by the Corporations Act\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 14.1 Appeals against acts, omissions or decisions\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n## Division 15 Proceedings under the ASIC Act\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 15.1 Reference to Court of question of law arising at hearing of ASIC (ASIC Act s 61)\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n## 15.3 Application for inquiry (ASIC Act s 70, s 201, s 219)\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n## Division 15A Proceedings under the Cross‑Border Insolvency Act\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 15A.1 Application of this Division and other rules of the Court\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n## 15A.2 Expressions used in the Cross‑Border Insolvency Act\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n## 15A.3 Application for recognition\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n## 15A.4 Application for provisional relief under article 19 of the Model Law\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n## 15A.5 Registered liquidator’s consent to act\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n## 15A.6 Notice of filing of application for recognition\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n## 15A.7 Notice of order for recognition, withdrawal etc\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n## 15A.8 Relief after recognition\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n## 15A.9 Application to modify or terminate an order for recognition or other relief\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n## Division 16 Powers of Registrars\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 16.1 Powers of Registrars\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n## 16.2 Reference by Registrar\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n## Division 17 Transitional provisions\n\n    (a) these Rules apply to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (a) to a proceeding in the Court under the Corporations Act, or the ASIC Act, that is commenced on or after the commencement of these Rules; and\n    (b) to a proceeding in the Court under the Cross‑Border Insolvency Act that is commenced on or after the commencement of Division 15A.\n  (3) Unless the Court otherwise orders, the rules applying to a proceeding in the Court under the Corporations Act, or the ASIC Act, as in force immediately before the commencement of these Rules, continue to apply to a proceeding under the Corporations Act, or the ASIC Act, that was commenced before the commencement of these Rules.\n\n> Note: By virtue of the definition of this Act in section 9 of the Corporations Act, a reference to the Corporations Act includes a reference to the Corporations Regulations.\n\n  (1) Unless the contrary intention appears, an expression used in these Rules and in the Corporations Act has the same meaning in these Rules as it has in the Corporations Act.\n\n> Note: Expressions used in these Rules (including the notes to these Rules) that are defined in the Corporations Act include:\n\n  (2) Unless the contrary intention appears, an expression used in the Rules and in the Insolvency Practice Schedule (Corporations) has the same meaning in these Rules as it has in that Schedule.\n\n> Note: Definitions of expressions used in the Insolvency Practice Schedule (Corporations) are set out in Division 5 of that Schedule.\n\n> Cross‑Border Insolvency Act means the Cross‑Border Insolvency Act 2008 including, unless the contrary intention appears, the Model Law.\n\n> defendant means a person against whom relief (except interlocutory relief) is claimed under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n> Model Law means the Model Law on Cross‑Border Insolvency of the United Nations Commission on International Trade Law, the English text of which is set out in Schedule 1 to the Cross‑Border Insolvency Act, with the modifications set out in Part 2 of that Act.\n\n> plaintiff means a person claiming relief (except interlocutory relief) under the Corporations Act, the ASIC Act or the Cross‑Border Insolvency Act, whether in the originating process or not.\n\n  (1) It is sufficient compliance with these Rules in relation to a document that is required to be in accordance with a form in Schedule 1 if the document is substantially in accordance with the form required or has only such variations as the nature of the case requires.\n  (2) Without limiting subrule (1), the Registrar must not reject a document for filing only because a term used to describe a party in the document differs from the term used in these Rules.\n\n  The Court may give directions in relation to the practice and procedure to be followed in a proceeding if it is satisfied, in the circumstances of the proceeding, that:\n    (a) the provisions of the Corporations Act, the ASIC Act, or the rules of this Court do not adequately provide for the practice and procedure to be followed in the proceeding; or\n\n  a period of time before or after a particular day, act or event, the period is to be calculated without counting that day, or the day of the act or event, as the case may be.\n  (2) Without limiting subrule (1), in calculating how many days a particular day, act or event is before or after another day, act or event, only the first day, or the day of the first act or event, is to be counted.\n  (3) If the last day of any period prescribed or allowed by these Rules for an act or thing to be done falls on a day that is not a business day in the place where the act or thing is to be or may be done, the act or thing may be done on the first business day in the place after that day.\n  (4) In calculating a period of time for the purposes of these Rules, the period beginning on 25 December in a year and ending at the end of 1 January in the next year is not to be counted.\n\n  Unless the Corporations Act, the ASIC Act, or these Rules otherwise provide, the rules of this Court that provide for the extension or abridgment of a period of time fixed for the doing of any act or thing in relation to a proceeding apply to a proceeding to which these Rules apply.\n\n  (1) Unless these Rules otherwise provide, a person must make an application required or permitted by the Corporations Act to be made to the Court:\n  (2) Unless the Court otherwise directs, a person may make an application to the Court in relation to a proceeding in respect of which final relief has been granted by filing an interlocutory process in that proceeding.\n    (i) each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, under which the proceeding is brought; and\n    (i) if appropriate, each section of the Corporations Act or the ASIC Act, or each regulation of the Corporations Regulations, or each rule of Court under which the application is made; and\n\n> Note: In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n    (a) must fix a time, date and place for hearing and endorse those details on the originating process or interlocutory process; and\n\n  (1) Unless the Court otherwise directs, an originating process, or interlocutory process, must be supported by an affidavit stating the facts in support of the process.\n  (2) Subject to rule 2.4A, an affidavit in support of an originating process must annex a record of a search of the records maintained by ASIC, in relation to the company that is the subject of the application to which the originating process relates, carried out no earlier than 7 days before the originating process is filed.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (1) This rule applies, and subrule 2.4(2) does not apply, to an application by a company under section 459G of the Corporations Act for an order setting aside a statutory demand served on the company.\n  (2) The plaintiff may file with the originating process seeking the order a copy of the statutory demand and a copy of any affidavit that accompanied the statutory demand.\n    (a) no earlier than 7 days before the originating process is filed, and no later than the day before the hearing of the application, carry out a search of the records maintained by ASIC in relation to the plaintiff; and\n\n    (a) if the creditor is a corporation—by a director, secretary, or other principal officer of the corporation, or by a person employed by the corporation who is authorised to make the affidavit on its behalf; or\n    (b) if the creditor is a company to which a liquidator, provisional liquidator, receiver, administrator or controller has been appointed—by that person; or\n    (c) in any other case—by the creditor or a person authorised by the creditor to make the affidavit on behalf of the creditor.\n\n    (b) the rules of the Supreme Court of the State (if any) or Territory (if any) where the affidavit was sworn or affirmed.\n\n  (1) As soon as practicable after filing an originating process and, in any case, at least 5 days before the date fixed for hearing, the plaintiff must serve a copy of the originating process and any supporting affidavit on:\n  (2) As soon as practicable after filing an interlocutory process and, in any case, at least 3 days before the date fixed for hearing, the applicant must serve a copy of the interlocutory process and any supporting affidavit on:\n    (b) if the corporation to which the application in the interlocutory process relates is not a party to the application in the interlocutory process—the corporation.\n\n  (1) This rule has effect in addition to the requirements of the Corporations Act that, in relation to a proceeding, particular documents are to be served on ASIC or notice of particular matters is to be given to ASIC.\n  (3) Unless the Court otherwise orders, if a person makes an application under a provision of the Corporations Act mentioned in column 2 of an item of the following table, the person must serve on ASIC, a reasonable time before the hearing of the application, a copy of the originating process, or interlocutory process, and supporting affidavit in respect of the application.\n\n| Item | Provision                                                              | Description of application                                                                                                                  |\n| ---- | ---------------------------------------------------------------------- | ------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1A   | Section 423                                                            | To inquire into the conduct of a controller                                                                                                 |\n| 1    | Section 480                                                            | For the release of a liquidator of a company and the deregistration of the company                                                          |\n| 2    | Subsection 482(1)                                                      | For the stay or termination of a winding up                                                                                                 |\n| 3    | subsection 509(2)                                                      | For the deregistration of a company                                                                                                         |\n| 5    | Subsection 601AH(2)                                                    | To reinstate the registration of a company                                                                                                  |\n| 6    | Subsection 601CC(8)                                                    | To restore the name of an Australian body to the register                                                                                   |\n| 7    | Subsection 601CL(9)                                                    | To restore the name of a foreign company to the register                                                                                    |\n| 8    | Chapter 6, 6A, 6B, 6C, 6D or 7                                         | Any application under these Chapters                                                                                                        |\n| 9    | Subsections 1317S(2), (4) and (5)                                      | For relief from liability for contravention of a civil penalty provision                                                                    |\n| 10   | subsection 45‑1(3) of the Insolvency Practice Schedule (Corporations)  | For an order under subsection 45‑1(1) of the Insolvency Practice Schedule (Corporations) in relation to a registered liquidator             |\n| 11   | subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations) | For an inquiry into the external administration of a company                                                                                |\n| 12   | section 90‑20 of the Insolvency Practice Schedule (Corporations)       | For an order under section 90‑15 of the Insolvency Practice Schedule (Corporations) in relation to the external administration of a company |\n\n  (2) If the person intends to appear before the Court to oppose an application for winding up, the person may include in the notice of appearance the notice of the grounds on which the person opposes the application required by section 465C of the Corporations Act.\n  (3) The period prescribed for filing and serving the notice and affidavit required by section 465C of the Corporations Act is the period mentioned in subparagraph (1)(b)(i).\n\n> Note: Under section 465C of the Corporations Act, a person may not, without the leave of the Court, oppose an application for winding up unless, within the period prescribed by the rules (see subrule (3) of this rule), the person has filed, and served on the plaintiff, notice of the grounds on which the person opposes the application and an affidavit verifying the matters stated in the notice.\n\n  (2) Not later than 3 days before the date fixed for the hearing at which ASIC intends to appear in the proceeding, ASIC must serve a copy of the notice, and any affidavit on which it intends to rely, on the plaintiff and on any other party to the proceeding.\n\n  (2) Unless these Rules otherwise provide, or the Court otherwise orders, the person responsible for the publication of the matter, or the person’s legal practitioner, must file:\n    (a) an affidavit made by the person, or the person’s legal practitioner, that states the date of publication and to which is annexed or exhibited a copy of the published matter; or\n    (b) a memorandum signed by the person, or the person’s legal practitioner, that states the date of publication and refers to and annexes a copy of the published matter.\n  (3) The affidavit or memorandum is prima facie evidence that the publication took place on the date and otherwise as stated in the affidavit or memorandum.\n\n  (2) If the Court considers that the attendance of a person to whom leave has been granted under subrule (1) has resulted in additional costs for any party, or the corporation, which should be borne by the person to whom leave was granted, the Court may:\n    (b) order that the person not be heard further in the proceeding until the costs are paid or secured to the Court’s satisfaction.\n  (3) The Court may order that a person who is, or who claims to be, a creditor, contributory or officer of a corporation be added as a defendant to the proceeding.\n  (4) The Court may grant leave to a person under subrule (1), or order that a person be added as a defendant to a proceeding under subrule (3):\n    (a) appoint a creditor or contributory to represent all or any class of the creditors or contributories on any question, or in relation to any proceeding, before the Court, at the expense of the corporation; and\n\n  The Court may direct an inquiry in relation to the debts, claims or liabilities, or a class of debts, claims or liabilities, of or affecting a corporation to which a proceeding relates.\n\n  Subject to the Corporations Act, these Rules and any direction of the Court to the contrary, to the extent applicable, Division 75 of the Insolvency Practice Schedule (Corporations) and Division 75 of the Insolvency Practice Rules (Corporations) 2016 apply to meetings ordered by the Court.\n\n  This Division applies if an application is made to the Court for approval of a compromise or arrangement between a Part 5.1 body and its creditors or members, or any class of its creditors or members.\n\n  Before the hearing of an application under subsection 411(1), (1A) or (1B) of the Corporations Act, the plaintiff must file an affidavit stating:\n    (ii) has had no previous relationship or dealing with the body, or any other person interested in the proposed compromise or arrangement, except as disclosed in the affidavit; and\n    (iii) has no interest or obligation that may give rise to a conflict of interest or duty if the person were to act as chairperson of the meeting, except as disclosed in the affidavit; and\n    (d) that the person does not fall within paragraphs 411(7)(a) to (f) of the Corporations Act, except as disclosed in the affidavit.\n\n  (1) An order under subsection 411(1) or (1A) of the Corporations Act ordering a meeting or meetings in relation to a proposed compromise or arrangement must set out in a schedule, or otherwise identify, a copy of the proposed compromise or arrangement.\n  (2) Unless the Court otherwise orders, a meeting of members ordered under section 411 of the Corporations Act must be convened, held and conducted in accordance with:\n    (b) the provisions of the plaintiff’s constitution that apply in relation to meetings of members and are not inconsistent with Part 2G.2 of the Corporations Act.\n  (3) Unless the Court otherwise orders, a meeting of a class of holders of convertible securities ordered under section 411 of the Corporations Act must be convened, held and conducted as if:\n  but in accordance with, and subject to, the applicable provisions of the instrument under which the securities were issued.\n\n    (a) an application, under subsection 411(4) of the Corporations Act, for an order approving a proposed compromise or arrangement in relation to a Part 5.1 body; and\n    (b) an application, under subsection 413(1) of the Corporations Act, for an order in relation to the reconstruction of a Part 5.1 body, or Part 5.1 bodies, or the amalgamation of 2 or more Part 5.1 bodies.\n    (a) for an application in relation to one Part 5.1 body—in a daily newspaper circulating generally in the State or Territory where the Part 5.1 body has its principal, or last known, place of business; or\n    (b) for an application in relation to 2 or more Part 5.1 bodies—in a daily newspaper circulating generally in each State or Territory where any of the Part 5.1 bodies has its principal, or last known, place of business.\n\n  If the Court makes an order under subsection 411(1), (1A) or (4), or 413(1) of the Corporations Act, the plaintiff must, as soon as practicable after the order is made:\n\n### Division 4—Process for seeking an inquiry or order in relation to controller, registered liquidator or external administration\n\nNote: Division 11 deals with inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n  A complaint to the Court under paragraph 423(1)(b) of the Corporations Act about an act or omission of a receiver, or a controller appointed by the Court, must be made by an originating process seeking an inquiry in relation to the complaint. The complaint may be made by a person mentioned in any of paragraphs 11.2(1)(a) to (d).\n\n> Note: Rule 11.2 is about inquiries, examinations, investigations, and orders against a person concerned with a corporation.\n\n    (a) under section 45‑1 of the Insolvency Practice Schedule (Corporations) for an order in relation to a registered liquidator; or\n\n> Note: An application for an order or inquiry in relation to the external administration of a company ordered to be wound up by a Court is normally made to the Court that made the winding up order.\n\n  For the purposes of subsection 459E(3) of the Corporations Act, the affidavit accompanying a statutory demand relating to a debt, or debts, owed by a company must:\n\n  An application for leave to apply to the Court for an order that a company be wound up in insolvency may be made at the same time as the application for an order that the company be wound up in insolvency is made.\n\n  (1) The affidavit in support of an originating process seeking an order that a company be wound up must be made by the plaintiff or by a person with the authority of the plaintiff or plaintiffs.\n  (2) If the application is made in reliance on a failure by the company to comply with a statutory demand, the affidavit must:\n    (ba) state whether or not the company has made an application in any court to set aside the demand and, if so, the outcome of that application; and\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable by the company at the date when the affidavit is made.\n\n> Note: An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n  (3) If the application is made in reliance on the ground mentioned in paragraph 461(1)(a) of the Corporations Act, the affidavit must:\n    (b) refer to the company’s most recent balance sheet and profit and loss statement as an annexure or exhibit to the affidavit, or explain their absence.\n\n  (2) For the purposes of subsection 532(9) of the Corporations Act, the consent of a registered liquidator to act as liquidator of a company must be in accordance with Form 8.\n    (a) before the hearing of the application, file the consent mentioned in subrule (2) of a registered liquidator who would be entitled to be appointed as liquidator of the company; and\n\n  (1) If a person applies for a company to be wound up and the application is not made under section 459P, 462 or 464 of the Corporations Act, the person must, unless the Court otherwise orders, cause a notice of the application to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 9.\n\n> Note: If a person applies under section 459P, 462 or 464 of the Corporations Act for a company to be wound up, the person must cause a notice, setting out the information prescribed by regulation 5.4.01A of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(1) of the Corporations Act.\n\n  (2) A notice under subrule (1), or under paragraph 465A(1)(c) of the Corporations Act, of an application for a company to be wound up must be published:\n\n  A copy of any document filed in a proceeding to which this Division applies must be available at the plaintiff’s address for service for inspection by a creditor, contributory or officer of the company, or an officer of a creditor or contributory of the company.\n\n    (b) satisfy the Registrar that the plaintiff has complied with the Corporations Act and these Rules in relation to applications for a winding up order.\n\n  (1) If the Court makes an order under section 465B of the Corporations Act, the Court may also order that the substituted plaintiff or plaintiffs publish a notice stating that the substituted plaintiff or plaintiffs intend to apply for an order that the company be wound up.\n    (b) in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  (1) This rule applies if the Court orders that a company be wound up and a registered liquidator be appointed as liquidator of the company.\n  (3) If the winding up order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice of the winding up order and the liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 11.\n\n> Note: If the winding up order results from an application under section 459P, 462 or 464 of the Corporations Act, the liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a winding up order must be published as soon as practicable after the liquidator is informed of the appointment.\n\nNote: See also rule 7.3 (report to provisional liquidator as to company’s affairs under section 475 of the Corporations Act).\n\n  (1) An application for a registered liquidator to be appointed, under subsection 472(2) of the Corporations Act, as a provisional liquidator of a company must be accompanied by the written consent of the registered liquidator.\n    (b) the order provides that the provisional liquidator may take into the provisional liquidator’s custody part only of the property of the company;\n  the order must include a short description of the part of the property of the company that the provisional liquidator may take into custody.\n\n  (1) This rule applies if the Court orders that a registered liquidator be appointed as a provisional liquidator of a company.\n    (b) serve an office copy of the order on the company (except if the plaintiff is the company) and on any other person as directed by the Court; and\n    (c) give to the provisional liquidator an office copy of the order and a written statement that the order has been served as required by paragraph (b).\n  (3) If the order results from an application other than an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice of the provisional liquidator’s appointment to be published in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business. The notice must be in accordance with Form 12.\n\n> Note: If the order results from an application under section 459P, 462 or 464 of the Corporations Act, the provisional liquidator must cause a notice, setting out the information prescribed by regulation 5.4.01B of the Corporations Regulations, to be published in the manner provided by section 1367A of the Corporations Act and regulation 5.6.75 of the Corporations Regulations: see subsection 465A(2) of the Corporations Act.\n\n  (4) A notice under subrule (3), or under subsection 465A(2) of the Corporations Act, of a provisional liquidator’s appointment must be published as soon as practicable after the relevant order is made.\n\n#### 7.2 Vacancy in office of liquidator (Corporations Act s 473A and s 499(3) and Insolvency Practice Schedule (Corporations) s 90‑15)\n\n  If, for any reason, there is no liquidator of a company under external administration, the Court may appoint a registered liquidator whose written consent in accordance with Form 8 has been filed.\n\n  (1) If a person is required under section 475 of the Corporations Act to submit and verify a report as to the affairs of a company, the liquidator must give to the person the appropriate forms and instructions for the preparation of the report.\n  (2) Except by order of the Court, no person is to be allowed out of the property of a company any costs or expenses incurred in relation to the preparation of the report that have not been:\n  (3) The liquidator must report to the Court any default in complying with the requirements of section 475 of the Corporations Act.\n  (4) Unless the Court otherwise orders, a report filed by a liquidator under subsection 475(7) of the Corporations Act is not available for inspection by any person.\n\n> Note: A report filed by a liquidator under subsection 475(7) of the Corporations Act may include commercial‑in‑confidence information that may not be inspected: see subsection 1274(4G) of the Corporations Act.\n\n  If, in a winding up by the Court, a liquidator has settled and certified a list, or supplementary list, of contributories, the liquidator must, within 14 days after doing so, file the certificate and a copy of the list.\n\n    (a) a notice stating that any objection to the release of the liquidator must be made by filing and serving a notice of objection, in the prescribed form, within 21 days after the date of service of the interlocutory process; and\n\n> Note: Subsection 481(3) of the Corporations Act provides that an order of the Court releasing a liquidator discharges the liquidator from all liability in respect of any act done or default made by the liquidator in the administration of the affairs of the company, or otherwise in relation to the liquidator’s conduct as liquidator, but any such order may be revoked on proof that it was obtained by fraud or by suppression or by concealment of any material fact.\n\n    (a) whether the whole of the company’s property has been realised or whether so much of the company’s property has been realised as, in the liquidator’s opinion, can be realised without needlessly protracting the winding up;\n    (e) whether ASIC has caused books in relation to the company to be audited under section 70‑15 of the Insolvency Practice Schedule (Corporations);\n    (m) if the application is made under paragraph 480(c) of the Corporations Act—the facts and circumstances by reason of which it is submitted that the company should not be deregistered.\n  (4) The liquidator must include in the supporting affidavit the statements set out in paragraphs (a) and (b) of this subrule, including, if appropriate, the words in brackets:\n    (a) ‘To the best of my belief, there has been no act done or default made by me in the administration of the affairs of the subject corporation or otherwise in relation to my conduct as liquidator which is likely to give rise to any liability to the subject corporation or any creditor or contributory \\[except as disclosed in this affidavit\\]’;\n    (b) ‘I am not aware of any claim made by any person that there has been any such act or default \\[except as disclosed in this affidavit\\]’.\n    (a) a statement of the financial position of the company at the date when the interlocutory process seeking release was filed; and\n  (6) Unless the Court otherwise orders, the liquidator must serve by prepaid post, on each creditor who has proved a debt in the course of the winding up, and on each contributory, a copy of the interlocutory process accompanied by:\n    (b) a copy of the statement of the financial position of the company at the date when the interlocutory process seeking release was filed.\n\n  (1) A creditor or contributory of a company who wishes to object to the release of the liquidator of the company must, within 21 days after the date of service of the interlocutory process seeking release:\n  (2) If the liquidator is served with a notice of objection by a creditor or contributory, the liquidator must, within 3 days after being served, serve on the creditor or contributory a copy of the affidavit supporting the interlocutory process.\n\n  (1) If the Court orders that a report on the accounts of a liquidator be prepared under subsection 481(1) of the Corporations Act, the liquidator must give to the auditor appointed to prepare the report all information, books and vouchers required to prepare the report.\n    (a) file a copy of the report in a sealed envelope that is marked with the title and number of the proceeding and the words ‘Auditor’s report under subsection 481(1) of the Corporations Act 2001’; and\n  (3) Except with the leave of the Court, a report is not available for inspection by any person except the liquidator or ASIC.\n\n  The affidavit in support of an application by the liquidator of a company, under paragraph 483(3)(b) of the Corporations Act for an order for the payment of a call must be in accordance with Form 14.\n\n  (1) The affidavit in support of an application for special leave to distribute a surplus in relation to a company must state how the liquidator intends to distribute the surplus including the name and address of each person to whom the liquidator intends to distribute any part of the surplus.\n  (2) At least 14 days before the date fixed for hearing of the application, the liquidator must publish a notice of the application in a daily newspaper circulating generally in the State or Territory where the company has its principal, or last known, place of business.\n\n  Subject to the Corporations Act, the Corporations Regulations, these Rules, and any order of the Court, the powers and duties conferred or imposed on the Court by Part 5.4B of the Corporations Act in respect of the matters mentioned in subsection 488(1) of the Act may be exercised or performed by a liquidator appointed by the Court as an officer of the Court and subject to the control of the Court.\n\n  (1) An application to the Court under subsection 90‑23(8) of the Insolvency Practice Schedule (Corporations) to appoint a registered liquidator to carry out a review into a matter relating to the external administration of a company must be made:\n  (2) The application must be accompanied by the written declaration made by the proposed reviewing liquidator under section 90‑18 of the Insolvency Practice Rules (Corporations) 2016.\n\n  (1) An application by a liquidator for the appointment of a special manager in relation to a company must state the powers which, in the liquidator’s opinion, should be entrusted by the Court to the special manager.\n    (c) whether any committee of inspection in the winding up, or a meeting of creditors, has approved the appointment of a special manager.\n\n  (2) Unless the Court otherwise directs, the costs of furnishing the security given by a special manager in respect of a particular winding up:\n\n  (2) If the liquidator approves the account, the liquidator must include the total amounts of the special manager’s receipts and payments in the liquidator’s accounts.\n\n  (1) This rule applies to an application by a receiver of property of a corporation for an order under subsection 425(1) of the Corporations Act fixing the receiver’s remuneration.\n\n> Note 1: Under paragraph 425(2)(b) of the Corporations Act, the Court may exercise its power to make an order fixing the remuneration of a receiver appointed under an instrument even if the receiver has died, or has ceased to act, before the making of the order or the application for the order.\n\n> Note 2: The amendment to section 425 of the Corporations Act made by the Corporations Amendment (Insolvency) Act 2007 applies in relation to a receiver appointed on or after 31 December 2007—see Corporations Act s 1480(5).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the order, the receiver must serve a notice in accordance with Form 16 of the receiver’s intention to apply for the order, and a copy of any affidavit on which the receiver intends to rely, on the following persons:\n    (b) any creditor holding security over all or any of the same property of the corporation (except if the creditor is the person who appointed the receiver);\n    (ii) each member of the corporation whose shareholding represents at least 10 per cent of the issued capital of the corporation.\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory, or any person mentioned in paragraph (2)(c), (d) or (e), may give to the receiver a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the receiver may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the order stating:\n    (ii) that the receiver has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the receiver may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the receiver; and\n  (5) If the receiver receives a notice of objection within the period mentioned in subrule (3), the receiver must serve a copy of the originating process, or interlocutory process, seeking the order on each creditor or contributory, or other person, who has given a notice of objection.\n\n#### 9.2 Determination of remuneration of external administrator (Insolvency Practice Schedule (Corporations) s 60‑10(1)(c) and (2)(b))—Form 16\n\n  (1) This rule applies in relation to an application for a determination under paragraph 60‑10(1)(c) or (2)(b) of the Insolvency Practice Schedule (Corporations) specifying remuneration that an external administrator of a company is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration.\n\n> Note: Section 60‑10 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n  (2) At least 21 days before filing an originating process, or interlocutory process, seeking the determination, the external administrator must serve a notice in accordance with Form 16 of the external administrator’s intention to apply for the determination, and a copy of any affidavit on which the external administrator intends to rely, on the following persons:\n    (c) if there is no committee of inspection, and no meeting of creditors has been convened and held—each of the 5 largest (measured by amount of debt) creditors of the company;\n  (3) Within 21 days after the last service of the documents mentioned in subrule (2), any creditor or contributory may give to the external administrator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the external administrator may file an affidavit, made after the end of that period, in support of the originating process, or interlocutory process, seeking the determination stating:\n    (ii) that the external administrator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (3); and\n    (b) the external administrator may endorse the originating process, or interlocutory process, with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the external administrator; and\n  (5) If the external administrator receives a notice of objection within the period mentioned in subrule (3), the external administrator must serve a copy of the originating process, or interlocutory process, seeking the determination on each creditor or contributory who has given a notice of objection.\n    (f) if the external administration is continuing—give details of any matters delaying the completion of the external administration.\n\n#### 9.2A Review of remuneration determination for external administrator (Insolvency Practice Schedule (Corporations) s 60‑11(1))\n\n  (1) This rule applies in relation to an application under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination for an external administrator of a company.\n\n> Note 1: Section 60‑11 of the Insolvency Practice Schedule (Corporations) does not apply in relation to the remuneration of a provisional liquidator or a liquidator appointed by ASIC under section 489EC of the Corporations Act: see section 60‑2 of the Insolvency Practice Schedule (Corporations).\n\n> Note 2: An application may not be made under subsection 60‑11(1) of the Insolvency Practice Schedule (Corporations) for a review of a remuneration determination made by the Court under paragraph 60‑10(1)(c) or (2)(b) of that Schedule: see subsection 60‑11(5) of that Schedule.\n\n  (3) At least 21 days before filing the originating process, or the interlocutory process, applying for a review, the plaintiff or applicant must serve a notice, in accordance with Form 16A, of intention to apply for the review and a copy of any affidavit on which the plaintiff or applicant intends to rely (other than an affidavit required by subrule (9)), on the following persons:\n    (b) if the remuneration of the external administrator was determined by the creditors—each creditor who was present, in person or by proxy, at the meeting of creditors at which the remuneration was determined;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), any person on whom the notice has been served may serve on the plaintiff or applicant a notice:\n  (5) A person mentioned in subrule (3) is entitled to be heard on the application for review, but only (unless the Court otherwise orders) if the person has served on the plaintiff or applicant a notice in accordance with subrule (4).\n  (6) If the plaintiff or applicant is served with a notice in accordance with subrule (4), the plaintiff or applicant must serve a copy of the originating process or interlocutory process applying for the review on each person who has served such a notice.\n    (c) the amount of remuneration claimed by the external administrator if that amount is different from the amount of remuneration that has been determined;\n    (e) particulars of any objection to the remuneration as determined, of which the external administrator has received notice;\n    (f) if the external administration is continuing—details of any matters delaying the completion of the external administration.\n\n  (1) This rule applies in relation to an application by a provisional liquidator of a company for a determination under subsection 60‑16(1) of the Insolvency Practice Schedule (Corporations) of the remuneration the provisional liquidator is entitled to receive.\n  (3) At least 21 days before filing the interlocutory process seeking the determination, the provisional liquidator must serve a notice in accordance with Form 16 of the provisional liquidator’s intention to apply for the determination, and a copy of any affidavit on which the provisional liquidator intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the provisional liquidator a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the provisional liquidator may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the determination stating:\n    (ii) that the provisional liquidator has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the provisional liquidator may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the provisional liquidator; and\n  (6) If the provisional liquidator receives a notice of objection within the period mentioned in subrule (4), the provisional liquidator must serve a copy of the interlocutory process seeking the determination:\n    (ii) any reasons why the provisional liquidator’s remuneration should be determined before the determination of the winding up proceeding.\n  (8) The affidavit must also provide evidence of the matters mentioned in section 60‑12 of the Insolvency Practice Schedule (Corporations):\n\n  (1) This rule applies to an application by a special manager of the property or business of a company for an order under subsection 484(2) of the Corporations Act fixing the special manager’s remuneration.\n  (3) At least 21 days before filing the interlocutory process seeking the order, the special manager must serve a notice in accordance with Form 16 of the special manager’s intention to apply for the order, and a copy of any affidavit on which the special manager intends to rely, on the following persons:\n    (b) each member of any committee of inspection or, if there is no committee of inspection, each of the 5 largest (measured by amount of debt) creditors of the company;\n  (4) Within 21 days after the last service of the documents mentioned in subrule (3), the liquidator, or any creditor or contributory, may give to the special manager a notice of objection to the remuneration claimed, stating the grounds of objection.\n    (a) the special manager may file an affidavit, made after the end of that period, in support of the interlocutory process seeking the order stating:\n    (ii) that the special manager has not received any notice of objection to the remuneration claimed within the period mentioned in subrule (4); and\n    (b) the special manager may endorse the interlocutory process with a request that the application be dealt with in the absence of the public and without any attendance by, or on behalf of, the special manager; and\n  (6) If the special manager receives a notice of objection within the period mentioned in subrule (4), the special manager must serve a copy of the interlocutory process seeking the order:\n    (e) if the special management is continuing—give details of any matters delaying the completion of the special management.\n\n    (a) in the case of a winding up by the Court—by filing an interlocutory process seeking an order estimating, or determining a method for working out, the value of the debt or claim; and\n    (b) in the case of a voluntary winding up—by filing an originating process seeking an order estimating, or determining a method for working out, the value of the debt or claim.\n\n  (1) The affidavit in support of an application by a liquidator, under subsection 568(1A) of the Corporations Act, for leave to disclaim a contract in relation to a company must:\n  (2) The liquidator must serve the affidavit on each party to the contract (except the company) and on any person interested in the contract.\n\n  These Rules apply, with any necessary adaptations, and in the same way as they apply to a company, in relation to the winding up of a Part 5.7 body or a registered scheme.\n\n> examination summons means a summons under section 596A or 596B of the Corporations Act for the examination of a person about a corporation’s examinable affairs.\n\n#### 11.2 Inquiries, examinations and investigations under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) An application for an order for an examination or investigation under subsection 423(3) of the Corporations Act in relation to a controller of property of a corporation may be made by any of the following:\n\n    (a) under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry; or\n    (b) under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry;\n\n> Note: may be made by a person mentioned in subsection 90‑10(2) of the Insolvency Practice Schedule (Corporations): see paragraph 411(9)(b) of the Corporations Act and subsection 90‑10(1) of the Insolvency Practice Schedule (Corporations).\n\n    (a) an application under paragraph 411(9)(b) of the Corporations Act for an inquiry into the administration of a compromise or arrangement or an examination or investigation in connection with such an inquiry;\n    (c) an application under Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) for an inquiry into the external administration of a company or an examination or investigation in connection with such an inquiry.\n  (3) The provisions of this Division that apply to an examination under Division 1 of Part 5.9 of the Corporations Act apply, with any necessary adaptations, to an inquiry, examination or investigation under paragraph 411(9)(b) or subsection 423(3) of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations).\n\n  (1) An application for the issue of an examination summons must be made by filing an interlocutory process or an originating process, as the case requires.\n  (4) If the originating process or interlocutory process, and supporting affidavit, are lodged with a Registry for filing (other than by being sent to the Registry by electronic communication), the originating process or interlocutory process, and the supporting affidavit, must be filed in a sealed envelope marked, as appropriate:\n    (a) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (b) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (4A) If the originating process or interlocutory process, and supporting affidavit, are sent by electronic communication to a Registry for filing, the originating process or interlocutory process, and supporting affidavit:\n    (b) must be accompanied by a statement that the originating process or interlocutory process, and supporting affidavit, are, as appropriate:\n    (i) “Application and supporting affidavit for issue of summons for examination under section 596A of the Corporations Act 2001”; or\n    (ii) “Application and supporting affidavit for issue of summons for examination under section 596B of the Corporations Act 2001”.\n  (5) If the application is not made by the liquidator, the liquidator must be given notice of the application and, if required by the liquidator, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (6) If the application is not made by ASIC, ASIC must be given notice of the application and, if required by ASIC, served with a copy of the originating process, or interlocutory process, and the supporting affidavit.\n  (7) Unless the Court otherwise orders, an affidavit in support of an application for an examination summons is not available for inspection by any person.\n\n  An examination summons issued by the Court must be personally served, or served in any other manner as the Court may direct, on the person who is to be examined at least 8 days before the date fixed for the examination.\n\n  (2) Within 3 days after the person is served with the examination summons, the person may apply to the Court for an order discharging the summons by filing:\n  (3) As soon as practicable after filing the interlocutory process seeking the order and the supporting affidavit, the person must serve a copy of the interlocutory process and the supporting affidavit on:\n\n  If the Court makes an order in relation to an examination under subsection 597(13) of the Corporations Act, the Court may give directions for the filing of the written record of the examination.\n\n    (a) by the person, or persons, who prepared the record of examination, or under whose supervision the record was prepared, certifying in writing signed by the person or persons, that the record is a true transcript of the record of examination; or\n    (b) by any person present at the examination, or any part of the examination, signing the person’s name at the bottom of each page of the written record that records a part of the examination at which the person was present.\n\n#### 11.8 Inspection of record or transcript of examination or investigation under s 411 or s 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations)\n\n  (1) A written record or transcript of an examination or investigation under section 411 or 423 of the Corporations Act or Subdivision B of Division 90 of the Insolvency Practice Schedule (Corporations) is not available for inspection by any person except:\n\n  (2) The person examined may apply to the Registrar, within 3 years after the date of completion of the examination, for a copy of the record or transcript of the part of the examination of the person held in public.\n  (3) On receiving an application from a person under subrule (2), and any applicable fee, the Registrar must give a copy of the record or transcript to the person.\n\n    (b) before the day fixed for the examination, the person who applied for the summons or order satisfies the Court that there is reason to believe that the person summoned or ordered to attend for examination has absconded or is about to abscond.\n\n#### 11.11 Service of application for order in relation to breaches etc by person concerned with corporation (Corporations Act s 598)\n\n  (2) In addition to complying with rules 2.7 and 2.8, the person must serve a copy of the originating process, or interlocutory process, as the case requires, and the supporting affidavit on any liquidator or provisional liquidator (except if the person is the liquidator or provisional liquidator) of the corporation or body.\n\n> Note: Under rule 2.7, a plaintiff must serve a copy of the originating process, and any supporting affidavit, on a defendant to the proceeding and, if necessary, on the corporation to which the proceeding relates; and an applicant must serve a copy of an interlocutory process, and any supporting affidavit, on a respondent to the proceeding and, if necessary, on the corporation to which the proceeding relates. In certain cases, these documents may also be required to be served on ASIC—see rule 2.8.\n\n  (1) An application for the issue of a warrant under subsection 486B(1) of the Corporations Act for the arrest of a person must state the grounds for the issue of the warrant.\n  (4) If a person is arrested under the warrant, the person who carried out the arrest must immediately give notice of the arrest to a Registrar in the Registry from which the warrant was issued.\n\n> Note: Sections 489A to 489E of the Corporations Act, inserted by the Corporations Amendment (Insolvency) Act 2007, apply in relation to a warrant issued on or after 31 December 2007—see Corporations Act s 1481(3).\n\n### Division 12—Takeovers, acquisitions of shares etc (Corporations Act Chapters 6 to 6D) and Securities (Corporations Act Chapter 7)\n\n  If ASIC is not a party to an application made under Chapter 6, 6A, 6B, 6C, 6D or 7 of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on ASIC as soon as practicable after filing the originating process.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising in a proceeding before the Takeovers Panel to the Court under section 659A of the Corporations Act.\n\n#### 12.1B Notification to Court where proceeding is commenced before end of takeover bid period (Corporations Act s 659B)\n\n    (a) the proceeding was commenced in relation to a takeover bid, or proposed takeover bid, before the end of the bid period; and\n    (b) the proceeding falls within the definition of court proceedings in relation to a takeover bid or proposed takeover bid in subsection 659B(4) of the Corporations Act.\n  (2) The party identified in subrule (1) must, immediately on suspecting or becoming aware of the matters mentioned in subrule (1), notify any other party to the proceeding and the Court of that suspicion or knowledge.\n  (3) The party must comply with subrule (2), unless any other party to the proceeding has given a notice under this rule to the party.\n\n  (1) An application for the issue of a summons under subsection 1071D(4) of the Corporations Act must be made by filing an originating process or an interlocutory process.\n\n#### 12.3 Application for orders relating to refusal to register transfer or transmission of securities (Corporations Act s 1071F)\n\n  As soon as practicable after filing an originating process under section 1071F of the Corporations Act, the plaintiff must serve a copy of the originating process and the supporting affidavit on:\n\n  (1) All appeals to the Court authorised by the Corporations Act must be commenced by an originating process, or interlocutory process, stating:\n    (b) in the case of an appeal against a decision—whether the whole or part only and, if part only, which part of the decision is complained of; and\n  (2) Unless the Corporations Act or the Corporations Regulations otherwise provide, the originating process, or interlocutory process, must be filed within:\n  (3) The Court may extend the time for filing the originating process, or interlocutory process, either before or after the time for filing expires and whether or not the application for extension is made before the time expires.\n  (4) As soon as practicable after filing the originating process, or interlocutory process, and, in any case, at least 5 days before the date fixed for hearing, the person instituting the appeal must serve a copy of the originating process, or interlocutory process, and any supporting affidavit, on each person directly affected by the appeal.\n  (5) As soon as practicable after being served with a copy of the originating process, or interlocutory process, and any supporting affidavit, a person whose act, omission or decision is being appealed against must file an affidavit:\n    (b) annexing or exhibiting a copy of all relevant documents that have not been put in evidence by the person instituting the appeal.\n\n  Part 38 applies, with any necessary adaptations, to a reference of a question of law arising at a hearing by ASIC to the Court under section 61 of the ASIC Act.\n\n  An application for an inquiry under subsection 70(3), 201(3) or 219(7) of the ASIC Act must be made by filing an originating process seeking an inquiry and orders under the relevant subsection.\n\n    (a) this Division applies to a proceeding in the Court, under the Cross‑Border Insolvency Act, involving a debtor other than an individual; and\n    (b) the rules in the other Divisions of these Rules, and the other rules of the Court, apply to a proceeding in the Court under the Cross‑Border Insolvency Act if they are relevant and not inconsistent with this Division.\n\n  (1) Unless the contrary intention appears, an expression that is used in this Division and in the Cross‑Border Insolvency Act, whether or not a particular meaning is given to the expression by the Cross‑Border Insolvency Act, has the same meaning in this Division as it has in the Cross‑Border Insolvency Act.\n\n> Note: The following expressions used in this Division (including in the notes to this Division) are defined in the Model Law as having the following meanings:\n\n> Note: establishment means any place of operations where the debtor carries out a non‑transitory economic activity with human means and goods or services.\n\n> Note: foreign main proceeding means a foreign proceeding taking place in the State where the debtor has the centre of its main interests.\n\n> Note: foreign non‑main proceeding means a foreign proceeding, other than a foreign main proceeding, taking place in a State where the debtor has an establishment within the meaning of subparagraph (f) of the present article.\n\n> Note: foreign proceeding means a collective judicial or administrative proceeding in a foreign State, including an interim proceeding, pursuant to a law relating to insolvency in which proceeding the assets and affairs of the debtor are subject to control or supervision by a foreign court, for the purpose of reorganization or liquidation.\n\n> Note: foreign representative means a person or body, including one appointed on an interim basis, authorized in a foreign proceeding to administer the reorganization or the liquidation of the debtor’s assets or affairs or to act as a representative of the foreign proceeding.\n\n  (1) An application by a foreign representative for recognition of a foreign proceeding under article 15 of the Model Law must be made by filing an originating process in accordance with Form 2.\n    (a) be accompanied by the statements referred to in article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act; and\n    (c) be accompanied by an affidavit verifying the matters mentioned in paragraphs 2 and 3 of article 15 of the Model Law and in section 13 of the Cross‑Border Insolvency Act.\n  (3) When filing the originating process, the foreign representative must file, but need not serve, an interlocutory process seeking directions as to service, and the Court may give any directions about service, and make any incidental orders, that it thinks just.\n  (5) A person who intends to appear before the Court at the hearing of an application for recognition must file and serve the documents mentioned in rule 2.9.\n\n  (1) Any application by the plaintiff for provisional relief under article 19 of the Model Law must be made by filing an interlocutory process in accordance with Form 3.\n  (2) Unless the Court otherwise orders, the interlocutory process and any supporting affidavit must be served in accordance with subrule 2.7(2).\n\n    (a) under article 19 or 21 of the Model Law to entrust the administration or realisation of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative); or\n    (b) under article 21 to entrust the distribution of all or part of the debtor’s assets to a person designated by the Court (other than the foreign representative);\n    (d) have filed a Consent to Act, in accordance with Form 19, that specifies an address for service for the person within Australia.\n\n    (a) send a notice of the filing of the application in accordance with Form 20 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application for recognition of a foreign proceeding in accordance with Form 20, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish a notice in accordance with Form 20 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(b).\n\n  (1) If the Court makes an order for recognition of a foreign proceeding under article 17 of the Model Law, or makes any order under article 19 or 21 of the Model Law, the plaintiff must, as soon as practicable after the order is made, do all of the following:\n    (c) send a notice of the making of the order in accordance with Form 21 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the making of the order in accordance with Form 21, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (2) The Court may direct the plaintiff to publish the notice in accordance with Form 21 in a daily newspaper circulating generally in any State or Territory not described in paragraph (1)(d).\n  (3) If the application for recognition is withdrawn or dismissed, the plaintiff must, as soon as practicable, do all of the following:\n    (c) send a notice of the dismissal or withdrawal in accordance with Form 22 to each person whose claim to be a creditor of the defendant is known to the plaintiff;\n    (d) publish a notice of the dismissal or withdrawal in accordance with Form 22, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (4) The Court may direct the plaintiff to publish the notice in accordance with Form 22 in a daily newspaper circulating generally in any State or Territory not described in paragraph (3)(d).\n\n  (1) If the Court has made an order for recognition of a foreign proceeding, any application by the plaintiff for relief under paragraph 1 of article 21 of the Model Law must be made by filing an interlocutory process, and any supporting affidavit, in accordance with Form 3.\n  (2) Unless the Court otherwise orders, an interlocutory process under subrule (1) and any supporting affidavit must be served, in accordance with subrule 2.7(2), but on the following persons:\n    (b) any person that the Court directed be served with the originating process by which the application for recognition was made;\n  (3) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n    (a) an application under paragraph 4 of article 17 of the Model Law for an order modifying or terminating an order for recognition of a foreign proceeding; and\n    (b) an application under paragraph 3 of article 22 of the Model Law for an order modifying or terminating relief granted under article 19 or 21 of the Model Law.\n    (a) for an application under paragraph (1)(a)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for recognition; and\n    (b) for an application under paragraph (1)(b)—the defendant and other persons who were served with, or filed a notice of appearance in relation to, the application for relief under article 19 or 21.\n    (a) send a notice of the filing of the application in accordance with Form 23 to each person whose claim to be a creditor of the defendant is known to the plaintiff; and\n    (b) publish a notice of the filing of the application in accordance with Form 23, in a daily newspaper circulating generally in the State or Territory where the defendant has its principal, or last known, place of business.\n  (5) The Court may direct the applicant to publish the notice in accordance with Form 23 in a daily newspaper circulating generally in any State or Territory not described in paragraph (4)(b).\n  (6) A person who intends to appear before the Court at the hearing of an application under subrule (1) must file and serve the documents mentioned in rule 2.9.\n\n  (1) For the purposes of paragraph 35A(1)(h) of the Federal Court of Australia Act 1976, if the Court or a Judge so directs, a Registrar may exercise a power of the Court:\n    (a) under a provision of the Corporations Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1 of Schedule 2; or\n    (aa) under a provision of the Insolvency Practice Schedule (Corporations) mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1A of Schedule 2; or\n    (ab) under a provision of the Corporations Regulations mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 1B of Schedule 2; or\n    (b) under a provision of the ASIC Act mentioned in column 2, or a provision of these Rules mentioned in column 3, of an item in Part 2 of Schedule 2.\n  (2) A decision, direction or act of a Registrar made, given or done under these Rules, may be reviewed by the Court or a Judge.\n  (3) An application for the review of a decision, direction or act of a Registrar made, given or done under these Rules, must be made within:\n\n  (1) If a proceeding before a Registrar appears to the Registrar to be proper for the decision of the Court or a Judge, the Registrar may or, if required by a party to the proceeding, must, refer the matter to the Court or a Judge.\n  (2) If the Registrar refers a matter to the Court or a Judge, the Court or a Judge may dispose of the matter or refer it back to the Registrar with any direction that the Court or the Judge considers appropriate.\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n#### 17.1 Transitional provisions relating to the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017\n\n  (1) Despite the repeal and substitution of rule 9.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of an external administrator of a company who was appointed before 1 September 2017.\n  (2) Despite the amendments of rule 9.2A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of an external administrator who was appointed before 1 September 2017.\n  (3) Despite the amendments of rule 9.3 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a provisional liquidator who was appointed before 1 September 2017.\n  (4) Despite the repeal of rule 9.4 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (5) Despite the repeal of rule 9.4A made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to a review of the remuneration of a liquidator of a company who was appointed before 1 September 2017.\n  (6) Despite the repeal and substitution of rule 11.2 made by the Federal Court (Corporations) Amendment (Insolvency Law Reform) Rules 2017, that rule, as in force immediately before 1 September 2017, continues to apply in relation to an inquiry commenced by ASIC before that date under section 536 of the old Corporations Act (including an inquiry commenced because of the extension of section 536 of the old Corporations Act by subsection 411(9) of the Corporations Act to persons appointed under the terms of a compromise or arrangement).\n\n> Note: The Court may give directions if a difficulty arises, or doubt exists, in relation to the practice and procedure to be followed in a proceeding: see rule 1.8 and subsection 467(3) of the Corporations Act.\n\n## Form 1—Document title Form 1—Document title\n\n## Form 1—Document title\n\n(rule 2.1)\n\n  Federal Court of Australia No. of 20\n  District Registry: \\[State\\]\n  Division: \\[Division\\]\n  IN THE MATTER OF \\[full name of corporation to which the proceeding relates and, if applicable, the words ‘(in liquidation)’, ‘(receiver appointed)’, ‘(receiver and manager appointed)’, ‘(controller acting)’, or ‘(administrator appointed)’\\]\n  ABN or ACN or ARBN: \\[insert ABN or ACN or ARBN\\]\n\n\\[Name of First Plaintiff\\] \\[if 2 or more add ‘and \\[another/others\\] named in the schedule’\\]\n\nPlaintiff\\[s\\]\n\n\\[Name of First Defendant\\] \\[if 2 or more add ‘and \\[another/others\\] named in the schedule’\\]\n\nDefendant\\[s\\]\n\n\\[At the foot of the front page of each document filed in a proceeding, insert details of the filing party, including contact details and address for service\\]\n\n\\[\\*If more than one plaintiff or defendant, insert names of the second, third, fourth etc as required in this schedule. Delete schedule if not required.\\]\n\n  Federal Court of Australia No. of 20\n  District Registry: \\[State\\]\n  Division: \\[Division\\]\n  IN THE MATTER OF \\[full name of corporation to which the proceeding relates and, if applicable, the words ‘(in liquidation)’, ‘(receiver appointed)’, ‘(receiver and manager appointed)’, ‘(controller acting)’, or ‘(administrator appointed)’\\]\n  ABN or ACN or ARBN: \\[insert ABN or ACN or ARBN\\]\n\n\\[\\*\\] Plaintiffs\n\nSecond Plaintiff: \\[Name\\]\n\n\\[\\*etc\\]\n\n\\[\\*\\] Defendants\n\nSecond Defendant: \\[Name\\]\n\n\\[\\*etc\\]\n\n  \\[\\* delete if inapplicable\\]\n\n## Form 2—Originating process Form 2—Originating process\n\n## Form 2—Originating process\n\n(rules 2.2 and 15A.3)\n\n    A. DETAILS OF APPLICATION\n    This application is made under \\*section/\\*regulation \\[number\\] of the \\*Corporations Act/\\*ASIC Act/\\*Cross‑Border Insolvency Act/\\*Corporations Regulations.\n    \\[State briefly the nature of the proceeding, eg application for winding‑up on ground of insolvency; or complaint about a receiver.\\]\n    On the facts stated in the supporting affidavit(s), the plaintiff claims:\n    etc\n    AND\n\nSignature of plaintiff or  \nplaintiff’s legal practitioner\n\n    This application will be heard by . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . at \\[address of Court\\] at . . . . . . . . \\*am/\\*pm on . . . . . . . ..\n    B. NOTICE TO DEFENDANT(S) (IF ANY)\n\nTO: \\[name and address of each defendant (if any).\n\n    If you or your legal practitioner do not appear before the Court at the time shown above, the application may be dealt with, and an order made, in your absence. As soon after that time as the business of the Court will allow, any of the following may happen:\n    (a) the application may be heard and final relief given;\n    (b) directions may be given for the future conduct of the proceeding;\n    (c) any interlocutory application may be heard.\n    Before appearing before the Court, you must file a notice of appearance, in the prescribed form, in the Registry and serve a copy of it on the plaintiff.\n\n> Note Unless the Court otherwise orders, a defendant that is a corporation must be represented at a hearing by a legal practitioner. It may be represented at a hearing by a director of the corporation only if the Court grants leave.\n\n    C. APPLICATION FOR WINDING UP ON GROUND OF INSOLVENCY\n    \\[Complete this section if this originating process is seeking an order that a company be wound up in insolvency on the ground that the company has failed to comply with a statutory demand (see section 459Q of the Corporations Act\\]\n    \\[Set out particulars of service of the statutory demand on the company and of the failure to comply with the demand\\]\n    \\[Attach to this originating process a copy of the statutory demand and, if the demand has been varied by an order made under subsection 459H(4) of the Corporations Act because of a dispute or offsetting claim, a copy of the order made under that subsection.\\]\n    \\[The affidavit in support of this originating process must:\n    (c) state whether and, if so, to what extent the debt, or each of the debts, to which the demand relates is still due and payable at the date when the affidavit is made.\\]\n\n> Note 1 In an application for winding up in insolvency on the ground that the company has failed to comply with a statutory demand, the applicant should consider completing Part C of Form 2 as shown in Schedule 3 (Notes to these Rules).\n\n> Note 2 An example of the affidavit in support of an application for winding up in insolvency for failure to comply with a statutory demand is shown in Schedule 3 (Notes to these Rules).\n\n    D. FILING\n    Date of filing: \\[date of filing to be entered by Registrar\\]\n\n    This originating process is filed by \\[name\\] for the plaintiff.\n    E. SERVICE\n    The plaintiff’s address for service is \\[address of plaintiff’s legal practitioner or of plaintiff\\].\n    \\*It is not intended to serve a copy of this originating process on any person.\n    OR\n    \\*It is intended to serve a copy of this originating process on each defendant and on any person listed below:\n    \\[name of defendant and any other person on whom a copy of the originating process is to be served\\]\n    \\[Complete the following section if the time for service has been abridged\\]\n    The time by which a copy of this originating process is to be served has been abridged by order made by \\[name of Judge or other Court officer\\] on \\[date\\] to \\[time and date\\].\n\n## Form 3—Interlocutory process Form 3—Interlocutory process\n\n## Form 3—Interlocutory process\n\n(rules 2.2, 15A.4, 15A.8 and 15A.9)\n\n  A. DETAILS OF APPLICATION\n  This application is made under \\*section/\\*regulation \\[number\\] of the \\*Corporations Act/\\*ASIC Act/\\*Cross‑Border Insolvency Act/\\*Corporations Regulations.\n  On the facts stated in the supporting affidavit(s), the applicant, \\[name\\], applies for the following relief:\n  etc\n  AND\n\n  Signature of applicant making this application or  \n  applicant’s legal practitioner\n\nThis application will be heard by . . . . . . . . . . . . . . . . . . . . . . . . . at \\[address of Court\\] at . . . . . . . . \\*am/\\*pm on . . . . . . . ..\n\n  B. NOTICE TO RESPONDENT(S) (IF ANY)\n  TO: \\[name and address of each respondent to this interlocutory process (if any). If applicable, also state the respondent’s address for service.\\]\n    If you or your legal practitioner do not appear before the Court at the time shown above, the application may be dealt with, and an order made, in your absence.\n    Before appearing before the Court, you must, except if you have already done so or you are the plaintiff in this proceeding, file a notice of appearance, in the prescribed form, in the Registry and serve a copy of it on the plaintiff in the originating process.\n\n> Note Unless the Court otherwise orders, a respondent that is a corporation must be represented at a hearing by a legal practitioner. It may be represented at a hearing by a director of the corporation only if the Court grants leave.\n\n  C. FILING\n  This interlocutory process is filed by \\[name\\] for the applicant.\n  D. SERVICE\n    The applicant’s address for service is \\[address of applicant’s legal practitioner or of applicant\\].\n  \\*It is not intended to serve a copy of this interlocutory process on any person.\n  OR\n    \\*It is intended to serve a copy of this interlocutory process on each respondent and on any person listed below:\n  \\[name of respondent and any other person on whom a copy of the interlocutory process is to be served\\]\n  \\[Complete the following section if the time for service has been abridged\\]\n    The time by which a copy of this interlocutory process is to be served has been abridged by order made by \\[name of Judge or other Court officer\\] on \\[date\\] to \\[time and date\\].\n\n## Form 4—Notice of appearance Form 4—Notice of appearance\n\n## Form 4—Notice of appearance\n\n(rule 2.9)\n\n    A. DETAILS OF PERSON INTENDING TO APPEAR\n    Notice is given that \\[state full name and address\\], \\[briefly state your interest in the proceeding, eg a creditor for $ (amount), or a contributory, of the corporation\\] intends to appear before the Court at the hearing of the application to be heard at \\[name of Court and address\\] on \\[date\\] and, if applicable, to \\*oppose/\\*support the application.\n\n> Note Unless the Court otherwise orders, a defendant or respondent that is a corporation must be represented at a hearing by a legal practitioner. It may be represented at a hearing by a director of the corporation only if the Court grants leave.\n\n    B. GROUNDS OF OPPOSITION TO WINDING UP\n    \\[Complete this section only if you are opposing an application to wind up a company\\]\n    The grounds on which I oppose the application for winding up are:\n    etc\n    C. SERVICE\n    \\[This section must be completed\\]\n    The address for service of the person giving this notice is \\[address of person’s legal practitioner or of person\\].\n\n.........................\n\n    Signature of person giving notice  \n    or of person’s legal practitioner\n\n## Form 5—Notice of intervention by ASIC Form 5—Notice of intervention by ASIC\n\n## Form 5—Notice of intervention by ASIC\n\n(rule 2.10)\n\n  The Australian Securities and Investments Commission, whose address for service is \\[address\\], intervenes in this proceeding.\n\n...........................\n\n  Signed on behalf of ASIC\n  Name of signatory: \\[name\\].\n  Capacity of signatory: \\[capacity\\].\n\n## Form 6—Notice of hearing to approve comp Form 6—Notice of hearing to approve compromise or arrangement\n\n## Form 6—Notice of hearing to approve compromise or arrangement\n\n(rule 3.4)\n\nTO all the creditors and members of \\[name of company\\].\n\n    TAKE NOTICE that at.....\\*am/\\*pm on........., the.......... at \\[address of Court\\] will hear an application by \\[name of plaintiff\\] seeking the approval of a compromise or arrangement between the above‑named company and its \\*members/\\*creditors as proposed by a resolution passed by the meeting of the \\*members/\\*creditors of the company held on \\[date\\].\n    \\[Complete this section if applicable\\]\n    The proposed compromise or arrangement as passed by the meeting was amended from the form of compromise or arrangement previously sent to you in the following respects:\n    \\[Set out the details of any amendment made at the meeting\\]\n    If you wish to oppose the approval of the compromise or arrangement, you must file and serve on the plaintiff a notice of appearance, in the prescribed form, together with any affidavit on which you wish to rely at the hearing. The notice of appearance and affidavit must be served on the plaintiff at its address for service at least 1 day before the date fixed for the hearing of the application.\n    \\[This section must be completed\\]\n    The address for service of the plaintiff is \\[address of plaintiff’s legal practitioner or of plaintiff\\].\n    Name of person giving notice or of person’s legal practitioner \\[name\\]\n\n## Form 7—Affidavit accompanying statutory  Form 7—Affidavit accompanying statutory demand\n\n## Form 7—Affidavit accompanying statutory demand\n\n(rule 5.2)\n\n\\[Name of creditor(s)\\]\n\nCreditor(s)\n\n\\[Name of debtor company\\]\n\nDebtor company\n\nI, \\[name\\] of \\[address and occupation\\], \\*say on oath/\\*affirm \\[or \\*make oath and say/\\*solemnly and sincerely declare and affirm\\]:\n\n    1 I am \\[state deponent’s relationship to the creditor(s), eg, ‘the creditor’, ‘(name), one of the creditors’, ‘a director of the creditor’, ‘a director of (name), one of the creditors’\\] in respect of \\*a debt of $\\[amount\\]/\\*debts totalling $\\[amount\\] owed by \\[name of debtor company\\] to \\*it/\\*them relating to \\[state nature of debt, or debts, ensuring that what is stated corresponds with the description of the debt, or debts, to be given in the proposed statutory demand, with which this affidavit is to be served on the debtor company\\].\n    2 \\[If the deponent is not the creditor, state the facts entitling the deponent to make the affidavit, eg ‘I am authorised by the creditor(s) to make this affidavit on its/their behalf’\\].\n    3 \\[State the source of the deponent’s knowledge of the matters stated in the affidavit in relation to the debt or each of the debts, eg ‘I am the person who, on behalf of the creditor(s), had the dealings with the debtor company that gave rise to the debt’, ‘I have inspected the business records of the creditor in relation to the debtor company’s account with the creditor’\\].\n    4 \\*The debt/\\*The total of the amounts of the debts, mentioned in paragraph 1 of this affidavit, is due and payable by the debtor company.\n","sortOrder":0},{"sectionNumber":"5","sectionType":"section","heading":"I believe that there is no genuine dispute about the existence or amount of the \\*debt/\\*any of the debts.","content":"    5 I believe that there is no genuine dispute about the existence or amount of the \\*debt/\\*any of the debts.\n    \\*Sworn/\\*affirmed at: \\[place of swearing or affirmation\\] on \\[date\\]\n    OR\n    \\*Sworn/\\*affirmed by the above‑named deponent at: \\[place of swearing or affirmation\\] this day of \\[month\\] \\[year\\]\n\n................\n\n    Signature of deponent\n    Before me:\n\n.....................\n\nSignature and designation of\n\nperson before whom deponent\n\nswears or affirms affidavit\n\n> Note The form of the opening words and the jurat of this affidavit may be changed to conform to the form of affidavit used in a particular State or Territory — see rule 2.6.\n\n## Form 8—Consent of liquidator/provisional Form 8—Consent of liquidator/provisional liquidator\n\n## Form 8—Consent of liquidator/provisional liquidator\n\n(rules 5.5, 6.1, 7.2)\n\nI, \\[name\\], of \\[address\\], a registered liquidator, consent to be appointed by the Court and to act as the \\*liquidator/\\*provisional liquidator of \\[name of company\\].\n\nI am not aware of any conflict of interest or duty that would make it improper for me to act as \\*liquidator/\\*provisional liquidator of the company.\n\nEITHER\n\nI am not aware of any relevant relationship mentioned in subsection 60(2) of the Corporations Act 2001.\n\nOR\n\nI have, or have had within the preceding 24 months, the following relevant relationships mentioned in subsection 60(2) of the Corporations Act 2001:\n\n\\[Set out all relevant relationships\\]\n\nThe time‑cost rates currently charged in respect of work done as \\*liquidator/\\*provisional liquidator by me, and by my partners and employees who may perform work in this external administration, are set out below or in the Schedule attached to this Consent. I acknowledge that my appointment by the Court does not constitute an express or implied approval by the Court of these rates.\n\nNote The remuneration that an external administrator is entitled to receive for necessary work properly performed by the external administrator in relation to the external administration of a company is regulated by Division 60 of the Insolvency Practice Schedule (Corporations).\n\n………………………………….\n\nSignature of registered liquidator\n\n\\[description of time‑cost rate(s)\\]\n\n## Form 9—Notice of application for winding Form 9—Notice of application for winding up order\n\n## Form 9—Notice of application for winding up order\n\n(rule 5.6)\n\n    1 A proceeding for the winding up of \\[name of company and, if applicable, the words ‘trading as’ and any trading name or names of the company\\] was commenced by the plaintiff, \\[name of plaintiff\\], on \\[date of filing of originating process\\] and will be heard by . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . at \\[address of Court\\] at . . . . . . . . \\*am/\\*pm on . . . . . . . . Copies of documents filed may be obtained from the plaintiff’s address for service.\n","sortOrder":1},{"sectionNumber":"2","sectionType":"section","heading":"The plaintiff’s address for service is \\[address of plaintiff’s legal practitioner or of plaintiff\\].","content":"    2 The plaintiff’s address for service is \\[address of plaintiff’s legal practitioner or of plaintiff\\].\n    3 Any person intending to appear at the hearing must file a notice of appearance, in accordance with the prescribed form, together with any affidavit on which the person intends to rely, and serve a copy of the notice and any affidavit on the plaintiff at the plaintiff’s address for service at least 3 days before the date fixed for the hearing.\n\n## Form 10—Notice of application for windin Form 10—Notice of application for winding up order by substituted plaintiff\n\n## Form 10—Notice of application for winding up order by substituted plaintiff\n\n(rule 5.10)\n\n    1 \\[Name of substituted plaintiff\\], who was, by order of the \\[name of Court\\], substituted as a plaintiff, will apply to the Court at . . . . .\\*am/\\*pm on . . . . . . . . at \\[address of Court\\] for an order that the above company be wound up.\n    2 The address for service of the substituted plaintiff is \\[address of substituted plaintiff’s legal practitioner or of substituted plaintiff\\].\n    3 Any person intending to appear at the hearing must file a notice of appearance, in accordance with the prescribed form, together with any affidavit on which the person intends to rely, and serve a copy of the notice and any affidavit on the substituted plaintiff at its address for service at least 3 days before the date fixed for the hearing.\n\n    Name of substituted plaintiff or substituted plaintiff’s legal practitioner: \\[name\\]\n\n## Form 11—Notice of winding up order and o Form 11—Notice of winding up order and of appointment of liquidator\n\n## Form 11—Notice of winding up order and of appointment of liquidator\n\n(rule 5.11)\n\nIN THE \\[name of Court\\]\n\nAT \\[location of Court\\]\n\nIN THE MATTER OF \\[name of company to which the proceeding relates\\]\n\n  On \\[date\\], the \\[name of Court\\] in Proceeding No. of \\[year\\], ordered the winding up of \\[name of company\\] and I was appointed as liquidator of the company.\n\n  Name and address of liquidator: \\[name and address\\]\n\n## Form 12—Notice of appointment of provisi Form 12—Notice of appointment of provisional liquidator\n\n## Form 12—Notice of appointment of provisional liquidator\n\n(rule 6.2)\n\nIN THE \\[name of Court\\]\n\nAT \\[location of Court\\]\n\nIN THE MATTER OF \\[name of company to which the proceeding relates\\]\n\n  On \\[date\\], in Proceeding No. of \\[year\\], heard by the \\[name of Court\\], I was appointed as the provisional liquidator of the above company.\n\n  Name and address of provisional liquidator: \\[name and address\\]\n\n## Form 13—Notice by creditor or contributo Form 13—Notice by creditor or contributory of objection to release of liquidator\n\n## Form 13—Notice by creditor or contributory of objection to release of liquidator\n\n(rule 7.6)\n\n  \\[Name of creditor/contributory\\] of \\[address of creditor/contributory\\], a creditor of \\[name of company\\] for $\\[amount\\], or a contributory of \\[name of company\\] holding \\[number\\] shares in the company, objects to the grant of a release to \\[name of liquidator\\] of \\[address of liquidator\\], who is the liquidator of \\[name of company\\], on the following grounds:\n  \\[set out the grounds upon which the objection is made\\]\n\n    Signature of objector  \n    or objector’s legal practitioner\n  Name of objector or objector’s legal practitioner: \\[name\\].\n  The objector’s address for service is \\[address of objector or objector’s legal practitioner\\].\n\n## Form 14—Affidavit in support of applicat Form 14—Affidavit in support of application for order for payment of call\n\n## Form 14—Affidavit in support of application for order for payment of call\n\n(rule 7.8)\n\n    I, \\[name\\] of \\[address\\], liquidator, \\*say on oath/\\*affirm \\[or \\*make oath and say/\\*solemnly and sincerely declare and affirm\\]:\n","sortOrder":2},{"sectionNumber":"1","sectionType":"section","heading":"I am the liquidator of \\[name of company\\] (the company).","content":"    1 I am the liquidator of \\[name of company\\] (the company).\n    2 On \\[date\\] I made a call of $\\[amount\\] per share on all the contributories of the company \\[or specify the class of contributories on whom the call was made\\]. \\*Annexed/\\*Exhibited and marked A is a copy of the notice of the call. Each contributory whose name is shown in the Schedule marked B was duly served with notice of the call in the form annexed or exhibited and marked A.\n    3 Each contributory of the company whose name is set out in column 2 of the Schedule marked B has not paid, or caused to be paid, to me the sum specified opposite the contributory’s name in column 5 of the Schedule, which is due from that contributory under the call.\n    4 The amount set out opposite the name of each contributory in column 6 of the Schedule is an estimate of the amount due by that contributory in respect of the costs of applying for and giving effect to the order for payment of the call. The estimate of the amounts so due by the several contributories has been reached by apportioning the costs among the contributories who have not paid the call according to the liability of the respective contributories to contribute.\n    5 The amount set out opposite the name of each contributory in column 7 of the Schedule is the total of the amount due by that contributory in respect of the call as set out in column 5 and the amount due in respect of costs as set out in column 6.\n    \\*Sworn/\\*affirmed at: \\[place of swearing or affirmation\\] on \\[date\\]\n    OR\n    \\*Sworn/\\*affirmed by the above‑named deponent at: \\[place of swearing or affirmation\\] this day of \\[month\\] \\[year\\]\n\n    Signature of deponent\n    Before me:\n\nSignature and designation of\n\nperson before whom deponent\n\nswears or affirms affidavit\n\n> Note The form of the opening words and the jurat of this affidavit may be changed to conform to the form of affidavit used in a particular State or Territory — see rule 2.6.\n\nSchedule B\n\n| Number on list of contributories | Name | Address | Character in which included in the list | Unpaid amount of call | Proportion of costs of application | Total amount payable |\n| -------------------------------- | ---- | ------- | --------------------------------------- | --------------------- | ---------------------------------- | -------------------- |\n\n## Form 15—Notice of application for leave  Form 15—Notice of application for leave to distribute a surplus\n\n## Form 15—Notice of application for leave to distribute a surplus\n\n(rule 7.9)\n\nIN THE \\[name of Court and address\\]\n\nAPPLICATION NO:\n\n  On . . . . . . . . at . . . . . . . ., the . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .  \n  will hear an application by the liquidator of \\[name of company\\] in Proceeding No. of \\[year\\] for leave to distribute a surplus in respect of the liquidation of the company.\n  Any person intending to appear at the hearing must file a notice of appearance, in accordance with the prescribed form, together with any affidavit on which the person intends to rely, and serve a copy of the notice and affidavit on the liquidator at the address shown below at least 3 days before the date fixed for the hearing.\n  Name of liquidator: \\[name\\].\n  The liquidator’s address for service is \\[address\\].\n\n    Signature of liquidator\n\n## Form 16—Notice of intention to apply for Form 16—Notice of intention to apply for remuneration\n\n## Form 16—Notice of intention to apply for remuneration\n\n(rules 9.1, 9.2, 9.3, 9.5)\n\nTO: \\[name and address of person to whom notice is given\\]\n\n    TAKE NOTICE that, not less than 21 days after this notice is served on you, I, \\[name and address\\], the \\*receiver/\\*external administrator/\\*liquidator/\\*provisional liquidator/\\*special manager of the above company, intend to apply to the Court to determine my remuneration.\n    If you object to my application, you must, within 21 days after being served with this notice, serve on me a notice of objection stating the grounds of objection to the remuneration claimed.\n\n    Signature of \\*receiver/\\*external administrator/\\*liquidator/  \n    \\*provisional liquidator/\\*special manager\n\n## Form 16A—Notice of intention to apply fo Form 16A—Notice of intention to apply for review of remuneration\n\n## Form 16A—Notice of intention to apply for review of remuneration\n\n(rule 9.2A)\n\n    ACN or ABN: \\[ACN or ABN of company to which proceeding relates\\]\n    TO: \\[name and address of person to whom notice is given\\]\n    TAKE NOTICE that, not less than 21 days after this notice is served on you, I, \\[name and address of plaintiff or applicant\\], \\*\\[the \\*external administrator/\\*liquidator of the above company,\\] intend to apply to the Court to review \\*the remuneration of/\\*my remuneration as the \\*external administrator/\\*liquidator of the above company.\n    The amount of the remuneration that has been determined or fixed is \\[state the amount\\]. The remuneration was determined or fixed by \\[state who determined or fixed the remuneration\\] on \\[state the date when the remuneration was determined or fixed\\].\n    I intend to apply for an order to \\*confirm/\\*increase/\\*reduce the remuneration.\n    \\[Set out the grounds upon which an order or orders will be sought. If an order to increase or reduce the remuneration is sought, set out the amount by which the remuneration is sought to be increased or reduced.\\]\n    If you wish to appear at the hearing of the application, in order to raise any issues before the Court, you must, within 21 days after being served with this notice, serve on me a notice under subrule 9.2A(4) of the Federal Court (Corporations) Rules 2000, stating your intention to appear at the hearing and setting out the issues that you seek to raise before the Court.\n\n………………………………………………...\n\nSignature of plaintiff or applicant\n\n## Form 17—Summons for examination Form 17—Summons for examination\n\n## Form 17—Summons for examination\n\n(rule 11.3)\n\n    A. DETAILS OF SUMMONS\n\nTO: \\[name and address of person to be examined\\]\n\n    You are summoned under \\*section 596A/\\*section 596B of the Corporations Act to:\n\n(a) attend before . . . . . . . . . . . . . . . . . . . . . . . . . . at \\[address of Court\\] at . . . . . . . . \\*am/\\*pm on . . . . . . . ., and from day to day until excused by the Court, to be examined on oath or affirmation about the examinable affairs of \\[name of corporation\\]; and\n\n(b) \\*to produce at the examination the following books \\[specify books — include in a schedule if necessary\\].\n\n    B. NOTICE TO PERSON TO BE EXAMINED\n    The Court may order that the questions put to you and the answers given by you at the examination are to be recorded in writing and signed by you.\n    If you do not attend the examination in accordance with this summons, without reasonable cause, you may be arrested and imprisoned without further notice.\n    This summons is issued at the request of \\[name\\] whose address for service is \\[address of person’s legal practitioner or of person\\].\n\n## Form 17A—Arrest warrant Form 17A—Arrest warrant\n\n## Form 17A—Arrest warrant\n\n(Corporations Act 2001 s 486B and Federal Court (Corporations) Rules 2000 rule 11A.01)\n\n    TO: All members and special members of the Australian Federal Police and to all officers of the police force of the State or Territory in which \\[name of person\\] is found, and to the Sheriff of that State or Territory and all of that Sheriff’s officers.\n    WHEREAS:\n\n    \\*\\[name of company\\] (the Company) is being wound up in insolvency or\n    \\*\\[name of company\\] (the Company) is being wound up by the Court or\n    \\*an application has been made for \\[name of company\\] (the Company) to be wound up\n\n    AND THE COURT IS SATISFIED THAT \\[name of person\\]:\n\n(a) \\*is about to leave Australia in order to avoid:\n\n(i) \\*paying money payable to the company; or\n\n(ii) \\*being examined about the company’s affairs; or\n\n(iii) \\*complying with an order of the Court, or some other obligation, under Chapter 5 of the Corporations Act 2001 (Cth) in connection with the winding up; or\n\n(b) \\*has concealed or removed property of the Company in order to prevent or delay the taking of the property into the liquidator’s custody or control; or\n\n(c) \\*has destroyed, concealed or removed books of the Company or is about to do so;\n\n    THIS WARRANT THEREFORE requires and authorises you to take \\[name of person\\] and to bring \\*him/\\*her before the Court at \\[address of court\\] and to keep \\*him/\\*her there pending the making of a further order by the Court.\n    THIS WARRANT ALSO requires and authorises you to seize any property or books of the company in the possession of \\[name of person\\] and to deliver them into the custody of the Registrar of the Court to be kept by that Registrar until the Court makes an order for their disposal.\n\n> Note Section 489A of the Corporations Act 2001 provides that if the Court issues a warrant under section 486B for a person to be arrested and brought before the Court, and the person is not in prison, then the person named in the warrant may be arrested by an officer of the police force of the State or Territory in which the person is found, or the Sheriff of that State or Territory or any of the Sheriff’s officers, or a member or special member of the Australian Federal Police.\n\n………………………………………………...\n\nJudge/Registrar\n\n## Form 18—Summons for appearance in relati Form 18—Summons for appearance in relation to registration of transfer of interests\n\n## Form 18—Summons for appearance in relation to registration of transfer of interests\n\n(rule 12.2)\n\n    TO: \\[name and address\\]\n    You are required to appear before the . . . . . . . . . . . . . . . at \\[address of Court\\] at . . . . . . . . \\*am/\\*pm on . . . . . . . . and show cause why the document(s) specified in the Schedule should not be \\*delivered up/\\*produced at the office of \\[name of company\\] at \\[address of company\\] within \\[period as ordered\\], as required by the attached notice.\n    The address for service of the person applying for this summons is \\[address of person’s legal practitioner or of person\\].\n\n    \\[description of document(s)\\]\n\n## Form 19—Consent to act as designated per Form 19—Consent to act as designated person\n\n## Form 19—Consent to act as designated person\n\n(rule 15A.5)\n\nI, \\[name\\], of \\[address\\], a registered liquidator, consent to be appointed by the Court and to act as the person designated by the Court under \\*article 19/\\*article 21 of the Model Law to \\*administer/\\*realise/\\*distribute the assets of \\[name of company\\].\n\nI am not aware of any conflict of interest or duty that would make it improper for me to act as the person designated by the Court.\n\nThe time‑cost rates currently charged in respect of work done as the person designated by the Court by me, and by my partners and employees who may perform work in this administration, are set out below or in the Schedule attached to this Consent.\n\nI acknowledge that my appointment by the Court does not constitute an express or implied approval by the Court of these rates.\n\n………………………………….\n\nSignature of registered liquidator\n\n\\[description of time‑cost rate(s)\\]\n\n## Form 20—Notice of filing of application  Form 20—Notice of filing of application for recognition of foreign proceeding\n\n## Form 20—Notice of filing of application for recognition of foreign proceeding\n\n(rule 15A.6)\n\n    1. An application under the Cross‑Border Insolvency Act 2008 for recognition of a foreign proceeding in relation to \\[name of company\\] was commenced by the plaintiff, \\[name of plaintiff\\], on \\[date of filing of originating process\\] and will be heard by . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . at \\[address of Court\\] at . . . . . . . . \\*am/\\*pm on . . . . . . . . Copies of documents filed may be obtained from the plaintiff’s address for service.\n    2. The plaintiff’s address for service is \\[name and address of plaintiff’s legal practitioner or, if there is no legal practitioner, address of the plaintiff\\].\n    3. Any person intending to appear at the hearing must file a notice of appearance, in accordance with the prescribed form, together with any affidavit on which the person intends to rely, and serve a copy of the notice and any affidavit on the plaintiff at the plaintiff’s address for service at least 3 days before the date fixed for the hearing.\n    4. If you are a foreign creditor you must file in the registry of the Court at the address mentioned in paragraph 1 an affidavit setting out the details of any claim, secured or unsecured, that you may have against the company above at least 3 days before the date fixed for the hearing.\n\n## Form 21—Notice of making of order under  Form 21—Notice of making of order under the Cross‑Border Insolvency Act 2008\n\n## Form 21—Notice of making of order under the Cross‑Border Insolvency Act 2008\n\n(rule 15A.7)\n\n    1. On \\[date\\], the \\[name of Court\\] in Proceeding No. of \\[year\\], commenced by the plaintiff \\[name of plaintiff\\], made the following orders under the Cross‑Border Insolvency Act 2008 in relation to \\[name of company\\]: \\[insert details of order\\].\n    2. The plaintiff’s address for service is \\[name and address of plaintiff’s legal practitioner or, if there is no legal practitioner, address of the plaintiff\\].\n    3. The name and address of the foreign representative is \\[insert name and address\\].\n    4. The name and address of the person entrusted with distribution of the company’s assets is \\[insert name and address\\].\\*\n\n## Form 22—Notice of dismissal or withdrawa Form 22—Notice of dismissal or withdrawal of application for recognition of foreign proceeding\n\n## Form 22—Notice of dismissal or withdrawal of application for recognition of foreign proceeding\n\n(rule 15A.7)\n\n    TAKE NOTICE that the application under the Cross‑Border Insolvency Act 2008 for recognition of a foreign proceeding in relation to \\[name of company\\] commenced by the plaintiff, \\[name of plaintiff\\], on \\[date of filing of originating process\\] was dismissed\\*/withdrawn\\* on \\[date of dismissal/withdrawal\\]\n    Name of person giving notice or of person’s legal practitioner \\[name\\]\n\n## Form 23—Notice of filing of application  Form 23—Notice of filing of application to modify or terminate an order for recognition or other relief\n\n## Form 23—Notice of filing of application to modify or terminate an order for recognition or other relief\n\n(rule 15A.9)\n\n    \\*1. An application under the Cross‑Border Insolvency Act 2008 for an order \\*modifying/\\*terminating an order for recognition of a foreign proceeding in relation to \\[name of company\\] was filed by the applicant, \\[name of applicant\\], on \\[date of filing of interlocutory process\\] and will be heard by . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . at \\[address of Court\\] at . . . . . . . . \\*am/\\*pm on . . . . . . . . Copies of documents filed may be obtained from the applicant’s address for service.\n    \\*1. An application under the Cross‑Border Insolvency Act 2008 for an order \\*modifying/\\*terminating relief granted under \\*article 19/\\*article 21 of the Model Law in relation to \\[name of company\\] was filed by the applicant, \\[name of applicant\\], on \\[date of filing of interlocutory process\\] and will be heard by . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . at \\[address of Court\\] at . . . . . . . . \\*am/\\*pm on . . . . . . . . Copies of documents filed may be obtained from the applicant’s address for service.\n    2. The applicant’s address for service is \\[name and address of applicant’s legal practitioner or of applicant\\].\n    3. Any person intending to appear at the hearing must file a notice of appearance (if the person has not already done so), in accordance with the prescribed form, together with any affidavit on which the person intends to rely, and serve a copy of the notice (if applicable) and any affidavit on the applicant at the applicant’s address for service at least 3 days before the date fixed for the hearing.\n    Name of applicant or applicant’s legal practitioner: \\[name\\]\n\n","sortOrder":3},{"sectionNumber":"Sch 2","sectionType":"schedule","heading":"Powers of the Court that may be exercised by a Registrar","content":"Schedule 2—Powers of the Court that may be exercised by a Registrar\n\n(rule 16.1)\n\n## Part 1 Corporations Act\n\n## Part 1—Corporations Act\n\n| Item | Provision of the Corporations Act                                                                                                                                                                                   | Rule                 | Description (for information only)                                                                                                                                                       |\n| ---- | ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- | -------------------- | ---------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1    |                                                                                                                                                                                                                     | 1.3                  | Power to order that these Rules do not apply                                                                                                                                             |\n| 2    |                                                                                                                                                                                                                     | 1.8                  | Power to give directions                                                                                                                                                                 |\n| 3    |                                                                                                                                                                                                                     | 2.8(3)               | Power to dispense with the requirement to serve ASIC                                                                                                                                     |\n| 4    |                                                                                                                                                                                                                     | 2.12                 | Power to dispense with requirement to file affidavit or memorandum with respect to publication                                                                                           |\n| 5    |                                                                                                                                                                                                                     | 2.13                 | Power to grant leave to creditor, contributory or officer to be heard                                                                                                                    |\n| 6    |                                                                                                                                                                                                                     | 2.14                 | Power to direct an inquiry in relation to a corporation’s debts, etc                                                                                                                     |\n| 7    |                                                                                                                                                                                                                     | 2.15                 | Power to make directions with respect to meetings ordered by the Court                                                                                                                   |\n| 8    | section 227                                                                                                                                                                                                         |                      | Power to declare that conditions prescribed by Division 3 of Part 2E.1 of the Corporations Act have been satisfied                                                                       |\n| 9    | sections 247A and 247B                                                                                                                                                                                              |                      | Power to order inspection of books                                                                                                                                                       |\n| 10   | section 252E                                                                                                                                                                                                        |                      | Power to order meeting of members of registered scheme                                                                                                                                   |\n| 11   | paragraph 283AE(2)(a)                                                                                                                                                                                               |                      | Power to appoint body corporate as trustee for debenture holders                                                                                                                         |\n| 12   | section 283EC                                                                                                                                                                                                       |                      | Power to make an order for meeting of debenture holders to direct trustee                                                                                                                |\n| 13   | section 283HA                                                                                                                                                                                                       |                      | Power to give directions or determine any questions of application of trustee for debenture holders                                                                                      |\n| 14   | subsection 283HB(1)                                                                                                                                                                                                 |                      | Power to make an order in relation to borrowing corporations                                                                                                                             |\n| 15   | paragraph 283HB(1)(c)                                                                                                                                                                                               |                      | Power to order security for debentures to be enforceable                                                                                                                                 |\n| 16   | section 290                                                                                                                                                                                                         |                      | Power to authorise a person to inspect financial records on director’s behalf and make other appropriate orders                                                                          |\n| 17   | section 411                                                                                                                                                                                                         | 3.33.43.5            | Power to make an order in relation to administration of compromise or arrangement etc                                                                                                    |\n| 18   | sections 415A and 415B                                                                                                                                                                                              |                      | Power to make orders in relation to proposals considered at a meeting of creditors                                                                                                       |\n| 19   | section 418A                                                                                                                                                                                                        |                      | Power to make declaration as to validity of controller’s appointment and in relation to control of property                                                                              |\n| 20   | section 419                                                                                                                                                                                                         |                      | Power to make an order relieving person who incurs liability in belief that properly appointed as a receiver                                                                             |\n| 21   | section 419A                                                                                                                                                                                                        |                      | Power to relieve controller from liability                                                                                                                                               |\n| 22   | section 420B                                                                                                                                                                                                        |                      | Power to authorise managing controller to dispose of property despite prior charge                                                                                                       |\n| 23   | section 420C                                                                                                                                                                                                        |                      | Power to authorise receiver to carry on corporation’s business during the winding up                                                                                                     |\n| 24   | section 423                                                                                                                                                                                                         | 4.1                  | Power to inquire into conduct of controller                                                                                                                                              |\n| 25   | section 424                                                                                                                                                                                                         |                      | Power to give directions in relation to controller’s functions and powers                                                                                                                |\n| 26   | section 425                                                                                                                                                                                                         | 9.1                  | Power to fix amount of remuneration of a receiver                                                                                                                                        |\n| 27   | subsection 429(3)                                                                                                                                                                                                   |                      | Power to extend time for report                                                                                                                                                          |\n| 28   | section 434B                                                                                                                                                                                                        |                      | Power to remove redundant controller                                                                                                                                                     |\n| 29   | section 438D                                                                                                                                                                                                        |                      | Power to direct administrator to lodge a report                                                                                                                                          |\n| 30   | subsection 439A(6)                                                                                                                                                                                                  |                      | Power to extend the convening period fixed by subsection 439A(5)                                                                                                                         |\n| 31   | section 440B                                                                                                                                                                                                        |                      | Power to grant leave to enforce a charge if an administrator has been appointed                                                                                                          |\n| 32   | section 440D                                                                                                                                                                                                        |                      | Power to grant leave to begin or proceed with a proceeding in a court against a company which is in administration, or in relation to any of its property                                |\n| 33   | section 440F                                                                                                                                                                                                        |                      | Power to grant leave to begin or proceed with enforcement process in relation to the property of a company                                                                               |\n| 34   | subsection 440G(7)                                                                                                                                                                                                  |                      | Power to authorise a court officer to take action or to make a payment which would be prohibited                                                                                         |\n| 35   | section 440J                                                                                                                                                                                                        |                      | Power to grant leave to take enforcement action under a guarantee                                                                                                                        |\n| 36   | section 441D                                                                                                                                                                                                        |                      | Power to limit powers of chargee in relation to charged property                                                                                                                         |\n| 37   | section 441H                                                                                                                                                                                                        |                      | Power to limit powers of receiver etc. in relation to property used by company                                                                                                           |\n| 38   | section 442C                                                                                                                                                                                                        |                      | Power to grant leave to administrator to dispose of encumbered property, or to prevent administrator from disposing of property in ordinary course of business                           |\n| 39   | subsection 443B(8)                                                                                                                                                                                                  |                      | Power to grant relief of administrator from personal liability for rent                                                                                                                  |\n| 40   | subsection 444B(2)                                                                                                                                                                                                  |                      | Power to extend time for execution of deed of company arrangement                                                                                                                        |\n| 41   | subsection 444C(2)                                                                                                                                                                                                  |                      | Power to grant leave to act inconsistently with deed of company arrangement                                                                                                              |\n| 42   | subsection 444E(3)                                                                                                                                                                                                  |                      | Power to grant leave to person bound by deed of company arrangement to begin or proceed with enforcement process in relation to property of company                                      |\n| 43   | section 444F                                                                                                                                                                                                        |                      | Power to order secured creditor or owner or lessor of property not to take certain actions                                                                                               |\n| 44   | section 445B                                                                                                                                                                                                        |                      | Power to make an order cancelling a variation of a deed of company arrangement                                                                                                           |\n| 45   | section 445D                                                                                                                                                                                                        |                      | Power to make an order terminating a deed of company arrangement                                                                                                                         |\n| 46   | section 445G                                                                                                                                                                                                        |                      | Power to avoid or validate a deed of company arrangement                                                                                                                                 |\n| 47   | section 447A                                                                                                                                                                                                        |                      | General power to make orders in relation to Part 5.3A of the Corporations Act                                                                                                            |\n| 48   | section 447B                                                                                                                                                                                                        |                      | Power to make an order to protect interests of company’s creditors during an administration                                                                                              |\n| 49   | section 447C                                                                                                                                                                                                        |                      | Power to declare whether administrator is validly appointed                                                                                                                              |\n| 50   | section 449C                                                                                                                                                                                                        |                      | Power to make an order in respect of vacancy in office of administrator of company or in office of administrator of deed of company arrangement                                          |\n| 51   | section 450F                                                                                                                                                                                                        |                      | Power to make orders in respect to validity of anything done or omitted under Part 5.3A of the Corporations Act                                                                          |\n| 52   | section 453T                                                                                                                                                                                                        |                      | Power to give leave to begin or proceed with enforcement process                                                                                                                         |\n| 53   | subsection 453U(7)                                                                                                                                                                                                  |                      | Power to permit court officers to take action or make payment as part of enforcement                                                                                                     |\n| 54   | subsection 453W(1)                                                                                                                                                                                                  |                      | Power to grant leave, on conditions, for a guarantee to be enforced against a director or spouse or relative for a company liability                                                     |\n| 55   | subsection 454F(2)                                                                                                                                                                                                  |                      | Power to order a secured party, receiver or other person not to perform specified functions, or exercise specified powers, except as permitted by the order                              |\n| 56   | subsection 454M(2)                                                                                                                                                                                                  |                      | Power to make orders preventing enforcement of rights over property used, occupied or in possession of company                                                                           |\n| 57   | subsection 456E(4)                                                                                                                                                                                                  |                      | Power to appoint a person as restructuring practitioner where no restructuring practitioner is acting                                                                                    |\n| 58   | section 457C                                                                                                                                                                                                        |                      | Power to make orders in respect to validity of anything done or omitted under Part 5.3B of the Corporations Act                                                                          |\n| 59   | section 458A                                                                                                                                                                                                        |                      | Power to make orders about how Part 5.3B of the Corporations Act is to operate                                                                                                           |\n| 60   | section 458G                                                                                                                                                                                                        |                      | Power to order that company is not eligible for temporary restructuring relief                                                                                                           |\n| 61   | sections 459F, 459H, 459J, 459L, 459M and 459N                                                                                                                                                                      |                      | Power to make an order in relation to statutory demands                                                                                                                                  |\n| 62   | sections 459A, 459B (except in respect of applications under Part 2F.1), 459C, 459D, 459P, 459R, 459S, 459T, 461, 462, 464, 465B, 465C, 466, 467, 467A and 467B (except in respect of applications under Part 2F.1) | Div 5                | Power to make orders in relation to winding up applications                                                                                                                              |\n| 63   | section 468                                                                                                                                                                                                         |                      | Power in relation to validation of disposition of property                                                                                                                               |\n| 64   | section 468A                                                                                                                                                                                                        |                      | Power in relation to authorisation of the transfer of shares                                                                                                                             |\n| 65   | paragraph 470(2)(b)                                                                                                                                                                                                 |                      | Power to direct service of copy of order on another person                                                                                                                               |\n| 66   | section 472                                                                                                                                                                                                         | 5.56.1               | Power to appoint registered liquidator or provisional liquidator                                                                                                                         |\n| 67   | subsection 473A(1)                                                                                                                                                                                                  | 7.2                  | Power to fill vacancy in office of Court‑appointed liquidator                                                                                                                            |\n| 68   | subsection 473A(4)                                                                                                                                                                                                  |                      | Power to declare what may be done by liquidator, where more than one liquidator is appointed by the Court                                                                                |\n| 69   | subsection 474(2)                                                                                                                                                                                                   |                      | Power to order that property vest in liquidator                                                                                                                                          |\n| 70   | subsection 475(8)                                                                                                                                                                                                   | 7.3                  | Power to grant leave for payment of costs and expenses incurred in preparing a report under section 475                                                                                  |\n| 71   | section 480                                                                                                                                                                                                         | 7.5                  | Power to release liquidator and deregister company                                                                                                                                       |\n| 72   | section 481                                                                                                                                                                                                         | 7.7                  | Power to order preparation of report on accounts of liquidator                                                                                                                           |\n| 73   | section 482                                                                                                                                                                                                         |                      | Power to make an order:(a) to stay the winding up of a company either indefinitely or for a limited time; or(b) to terminate the winding up of a company on a day specified in the order |\n| 74   | subsection 483(1)                                                                                                                                                                                                   |                      | Power to require payment of money or transfer of property                                                                                                                                |\n| 75   | subsection 483(2)                                                                                                                                                                                                   |                      | Power to order payment of money                                                                                                                                                          |\n| 76   | subsection 483(3)                                                                                                                                                                                                   | 7.8                  | Power to order payment of a call                                                                                                                                                         |\n| 77   | subsection 483(4)                                                                                                                                                                                                   |                      | Power to order payment of amount due into a bank named in the order                                                                                                                      |\n| 78   | section 484                                                                                                                                                                                                         | 8.18.28.39.5         | Power to appoint special manager and approve remuneration                                                                                                                                |\n| 79   | section 486                                                                                                                                                                                                         |                      | Power to make an order for inspection of books by creditors or contributories                                                                                                            |\n| 80   | subsection 488(2)                                                                                                                                                                                                   | 7.9                  | Power to grant leave to distribute a surplus                                                                                                                                             |\n| 81   | section 490                                                                                                                                                                                                         |                      | Power to grant leave to company to wind up voluntarily                                                                                                                                   |\n| 82   | subsection 495(4)                                                                                                                                                                                                   |                      | Power to make an order in relation to conduct of meeting in course of members’ voluntary winding up                                                                                      |\n| 83   | subsection 497(3)                                                                                                                                                                                                   |                      | Power to order that list of creditors be sent to creditors in creditors’ voluntary winding up                                                                                            |\n| 84   | subsection 499(3)                                                                                                                                                                                                   | 7.2                  | Power to fill a vacancy when liquidator not appointed by Court                                                                                                                           |\n| 85   | section 500                                                                                                                                                                                                         |                      | Power to make an order as to execution and civil proceedings                                                                                                                             |\n| 86   | subsection 507(6)                                                                                                                                                                                                   |                      | Power to sanction resolution to accept shares as consideration for sale of property of company                                                                                           |\n| 87   | subsection 507(9)                                                                                                                                                                                                   |                      | Power to give directions necessary for arbitration                                                                                                                                       |\n| 88   | subsection 507(10)                                                                                                                                                                                                  |                      | Power to approve liquidator’s exercise of powers in creditors’ voluntary winding up                                                                                                      |\n| 89   | subsection 509(2)                                                                                                                                                                                                   |                      | Power to order ASIC to deregister company on specified day                                                                                                                               |\n| 90   | subsection 510(3)                                                                                                                                                                                                   |                      | Power to settle dispute as to value of security or lien or amount of debt or set‑off                                                                                                     |\n| 91   | subsection 532(2)                                                                                                                                                                                                   |                      | Power to grant leave for person to be appointed as liquidator                                                                                                                            |\n| 92   | subsection 543(1)                                                                                                                                                                                                   |                      | Power to make an order as to the investment of surplus funds                                                                                                                             |\n| 93   | subsection 544(2)                                                                                                                                                                                                   |                      | Power to order account of funds in hands of liquidator, audit or payment of money by liquidator                                                                                          |\n| 94   | section 545                                                                                                                                                                                                         |                      | Power to direct to liquidator to incur particular expense                                                                                                                                |\n| 95   | section 554A                                                                                                                                                                                                        |                      | Power to estimate or determine value of debts and claims                                                                                                                                 |\n| 96   |                                                                                                                                                                                                                     | 14.1(3)              | Power to extend time for filing of appeal authorised by the Corporations Act                                                                                                             |\n| 97   | section 554G                                                                                                                                                                                                        |                      | Power to grant leave to secured creditor to amend valuation of security in proof of debt                                                                                                 |\n| 98   | section 564                                                                                                                                                                                                         |                      | Power to make an order in favour of creditors who give company indemnity for costs of litigation                                                                                         |\n| 99   | sections 568, 568B, 568E and 568F                                                                                                                                                                                   | 10.2                 | Power to make an order in relation to disclaimer of onerous property                                                                                                                     |\n| 100  | sections 583 and 585                                                                                                                                                                                                | 10.3                 | Power in relation to winding up Part 5.7 bodies                                                                                                                                          |\n| 101  | sections 596A, 596B, 596F, 597, 597A and 597B                                                                                                                                                                       | 11.311.411.611.711.9 | Power to make an order in relation to examinations                                                                                                                                       |\n| 102  | subsection 601AH(2)                                                                                                                                                                                                 |                      | Power to order reinstatement of registration of a company                                                                                                                                |\n| 103  | subsection 601AH(3)                                                                                                                                                                                                 |                      | Power to:(a) validate anything done between deregistration of a company and its reinstatement; and(b) make any other order the Court considers appropriate                               |\n| 104  | subsection 601BJ(2)                                                                                                                                                                                                 |                      | Power to approve modification in constituent documents of registered company                                                                                                             |\n| 105  | subsection 601CC(9)                                                                                                                                                                                                 |                      | Power to order restoration of name of registered Australian body to the Register                                                                                                         |\n| 106  | subsection 601CL(10)                                                                                                                                                                                                |                      | Power to order restoration of name of registered foreign company to the Register                                                                                                         |\n| 107  | section 1071D                                                                                                                                                                                                       | 12.2                 | Power to make an order in relation to a person summoned                                                                                                                                  |\n| 108  | section 1071F                                                                                                                                                                                                       |                      | Power to make an order in relation to a company’s refusal to register a share transfer                                                                                                   |\n| 109  | subsection 1071H(6)                                                                                                                                                                                                 |                      | Power to make an order to remedy default in issuing certificate etc                                                                                                                      |\n| 110  | section 1274                                                                                                                                                                                                        |                      | Power to make an order where failure to lodge, amend etc a document                                                                                                                      |\n| 111  | section 1303                                                                                                                                                                                                        |                      | Power to order that books be available for inspection                                                                                                                                    |\n| 112  | section 1319                                                                                                                                                                                                        |                      | Power to give directions with respect to meetings                                                                                                                                        |\n| 113  | section 1322                                                                                                                                                                                                        |                      | Power to make an order in relation to irregularities                                                                                                                                     |\n| 114  | section 1325D                                                                                                                                                                                                       |                      | Power to make an order where contravention of a provision of Chapter 6 due to inadvertence                                                                                               |\n| 115  | section 1335                                                                                                                                                                                                        |                      | Power to make an order as to costs                                                                                                                                                       |\n\n## Part 1A Insolvency Practice Schedule (Corporations)\n\n## Part 1A—Insolvency Practice Schedule (Corporations)\n\n| Item | Provision of the Insolvency Practice Schedule (Corporations) | Rule         | Description (for information only)                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                      |\n| ---- | ------------------------------------------------------------ | ------------ | --------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1    | subsection 20‑70(3)                                          |              | Power to extend time to apply to ASIC for renewal of a liquidator’s registration                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                        |\n| 2    | paragraph 40‑5(4)(b)                                         |              | Power to give a direction to a liquidator to lodge a document or give any information or document                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                       |\n| 3    | paragraph 40‑10(4)(b)                                        |              | Power to direct a liquidator:(a) to confirm to ASIC that information is complete and correct; or(b) to complete or correct information; or(c) to notify any persons specified by ASIC of any additional or corrected information                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                        |\n| 4    | subsection 45‑1(1)                                           |              | Power to make orders in relation to a registered liquidator                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                             |\n| 5    | paragraphs 60‑10(1)(c) and (2)(b)                            | 9.2          | Power to determine an external administrator’s remuneration                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                             |\n| 6    | subsection 60‑11(3)                                          | 9.2A         | Power to review a remuneration determination for an external administrator of a company                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                 |\n| 7    | subsection 60‑16(1)                                          | 9.3          | Power to determine a provisional liquidator’s remuneration                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                              |\n| 8    | section 65‑45                                                |              | Power to give directions regarding the handling of money and securities by an external administrator                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                    |\n| 9    | paragraph 70‑35(3)(c)                                        |              | Power to give directions in relation to destruction of the books of a company                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                           |\n| 10   | section 70‑90                                                |              | Power to order an external administrator to give relevant material to a person                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                          |\n| 11   | subsection 75‑41(3)                                          |              | Power to make orders in relation to proposals considered at a meeting of creditors                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                      |\n| 12   | subsection 75‑42(4)                                          |              | Power to order that a resolution passed at a meeting of creditors because of a casting vote be set aside or varied and make further orders or give further directions                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                   |\n| 13   | subsection 75‑43(4)                                          |              | Power to order that a resolution considered at a meeting of creditors is taken to have been passed and make further orders or give further directions                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                   |\n| 14   | subsection 80‑50(2)                                          |              | Power to approve a committee of inspection incurring expenses in obtaining advice or assistance                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                         |\n| 15   | paragraph 80‑55(5)(b)                                        |              | Power to give leave for a member of committee of inspection to derive a profit or advantage                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                             |\n| 16   | subsection 90‑5(1)                                           |              | Power to inquire into the external administration of a company                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                          |\n| 17   | subsections 90‑5(2) and 90‑10(4)                             |              | Power to require an external administrator or former external administrator to give information, provide a report or produce a document                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                 |\n| 18   | subsection 90‑10(1)                                          |              | Power to inquire into the external administration of a company on application of creditors                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                              |\n| 19   | section 90‑15                                                | 7.2 and 11.8 | Power to make orders in relation to the external administration of a company, including the following:(a) determining a question or questions arising in the external administration;(b) that a person cease to be the external administrator;(c) that another registered liquidator be appointed;(d) in relation to the costs of an action (including court action) taken by the external administrator or another person in relation to the external administration;(e) in relation to any loss that the company has sustained because of a breach of duty by the external administrator;(f) in relation to remuneration, including requiring a person to repay to a company, or the creditors of a company, remuneration paid to the person as external administrator of the company |\n| 20   | subsections 90‑23(6) and (9)                                 |              | Power to appoint a registered liquidator to carry out a review into a matter that relates to the external administration of a company and to specify the matters which the liquidator is appointed to review and the way in which the cost of carrying out the review is to be determined                                                                                                                                                                                                                                                                                                                                                                                                                                                                                               |\n| 21   | section 90‑28                                                |              | Power to make orders in relation to a review by a reviewing liquidator on the application of the reviewing liquidator, a person with a financial interest in the external administration of the company or an officer of the company                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                    |\n| 22   | subsections 90‑35(6) and (7)                                 |              | Power to order the reappointment of a former external administrator                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                                     |\n\n## Part 1B Corporations Regulations\n\n## Part 1B—Corporations Regulations\n\n| Item | Provision of the Corporations Regulations 2001 | Rule | Description (for information only)                                                                                                                                                    |\n| ---- | ---------------------------------------------- | ---- | ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- |\n| 1    | paragraph 5.3B.02(1)(e)                        |      | Power to order that a restructuring of a company is to end                                                                                                                            |\n| 2    | subregulation 5.3B.17(4)                       |      | Power to order an extension of the proposal period                                                                                                                                    |\n| 3    | subregulation 5.3B.30(3)                       |      | Power to grant leave for person bound by a restructuring plan to make or proceed with an application to wind up the company or begin or proceed with any proceedings                  |\n| 4    | subregulation 5.3B.34(1)                       |      | Power to appoint a new restructuring practitioner if original appointee dies, is prohibited from acting, or resigns                                                                   |\n| 5    | subregulation 5.3B.34(4)                       |      | Power to appoint a person as restructuring practitioner where for some reason no restructuring practitioner for the plan is acting                                                    |\n| 6    | paragraph 5.3B.39(2)(c)                        |      | Power to grant leave for restructuring practitioner of plan to dispose of secured property or property used or occupied by company but owned by others                                |\n| 7    | subregulation 5.3B.39(4)                       |      | The power to direct that a restructuring practitioner not dispose of property in the ordinary course of business                                                                      |\n| 8    | subregulation 5.3B.60(2)                       |      | Power to make orders with respect to creditor disputes before restructuring plan is made                                                                                              |\n| 9    | subregulation 5.3B.61(2)                       |      | Power to vary restructuring plan                                                                                                                                                      |\n| 10   | subregulation 5.3B.62(1)                       |      | Power to void a restructuring plan.                                                                                                                                                   |\n| 11   | subregulation 5.3B.62(3)                       |      | Power to validate a restructuring plan                                                                                                                                                |\n| 12   | subregulation 5.3B.63(1)                       |      | Power to terminate restructuring plan                                                                                                                                                 |\n| 13   | subregulation 5.3B.64(2)                       |      | Power to order a secured creditor of the company not to realise or otherwise deal with the security interest, except as permitted by the order                                        |\n| 14   | subregulation 5.3B.64(4)                       |      | Power to order that the owner or lessor of property that is used or occupied by, or is in the possession of, a company not to take possession of the property or otherwise recover it |\n| 15   | subregulation 5.6.43A(2)                       |      | Power to extend time for appeal under subsection 554A(3) of the Corporations Act                                                                                                      |\n| 16   | subregulation 5.6.53(2)                        |      | Power to make decision on proof of debt where liquidator has not dealt with request to admit a proof of debt                                                                          |\n| 17   | subregulation 5.6.54(2)                        |      | Power to extend time to appeal rejection of proof of debt                                                                                                                             |\n| 18   | subregulation 5.6.62(2)                        |      | Power to extend time to appeal inclusion on list of contributories                                                                                                                    |\n| 19   | subregulation 5.6.66(2)                        |      | Power to make decision on proof of debt where liquidator has not dealt with a formal proof of debt or claim                                                                           |\n\n## Part 2 ASIC Act\n\n## Part 2—ASIC Act\n\n| Item | Provision of the ASIC Act | Rule | Description (for information only)                                                                 |\n| ---- | ------------------------- | ---- | -------------------------------------------------------------------------------------------------- |\n| 1    | subsection 79(4)          |      | Power to extend period to give notice of intention to have statements made at examination admitted |\n\n","sortOrder":4},{"sectionNumber":"Sch 3","sectionType":"schedule","heading":"Notes to these Rules","content":"Schedule 3—Notes to these Rules\n\n(rules 2.2, 2.4 and 5.4)\n\n## Note 1 — see rule 2.2 (Form 2 Part C) Note 1 — see rule 2.2 (Form 2 Part C)\n\n## Note 1 — see rule 2.2 (Form 2 Part C)\n\nC. APPLICATION FOR WINDING UP ON GROUND OF INSOLVENCY\n\n1. The plaintiff relies on failure by the defendant to comply with a statutory demand. A copy of the demand, marked A, is attached to this originating process.\n\n2\\. The demand was \\[or The demand and an accompanying affidavit were\\] served by X.Y. who delivered it \\[or them\\] to the registered office of the defendant at \\[insert address\\] on \\[insert date\\] \\[or, if service was by post, who posted \\*it/\\*them by ordinary prepaid post to the registered office of the defendant at \\[insert address\\] on \\[insert date\\]\\]. \\[If applicable, A copy of the accompanying affidavit, marked B, is attached to this originating process.\\]\n\n3\\. The defendant failed to pay the amount of the debt demanded \\[or the total of the debts demanded\\] or to secure or compound for that \\*amount/\\*total to the plaintiff’s reasonable satisfaction within 21 days after the demand was served on the defendant \\[or within 7 days after \\[insert date\\] when an application by the defendant under section 459G of the Corporations Act was finally determined or otherwise disposed of\\] \\[or if the period for compliance with the demand was extended by order within the period specified in the order of the \\[insert name of Court\\] on \\[insert date of order or, if more than one order, the date of the last such order\\] as the period for compliance with the demand. A copy of the order, marked C, is attached to this originating process.\\]\n\n\\[If the demand was varied by order under subsection 459H(4) of the Corporations Act\\]\n\n4. The demand was varied by order of the \\[insert name of Court\\] on \\[insert date of order\\]. A copy of the order, marked D \\[or as the case may be\\], is attached to this originating process.\n\n## Note 2 — see rule 2.4 and subrule 5.4(2) Note 2 — see rule 2.4 and subrule 5.4(2) (Affidavit in support)\n\n## Note 2 — see rule 2.4 and subrule 5.4(2) (Affidavit in support)\n\n    \\*AFFIDAVIT IN SUPPORT/\\*AFFIDAVIT IN SUPPORT OF APPLICATION FOR WINDING UP IN INSOLVENCY\n\nI, \\[name\\] of \\[address and occupation\\], \\*say on oath/\\*affirm \\[or \\*make oath and say/\\*solemnly and sincerely declare and affirm\\]:\n\n1\\. I am the above‑named plaintiff \\[or if the applicant is a corporation, I am \\*a/\\*the director of the above‑named plaintiff which is registered or taken to be registered in \\[specify State or Territory\\]. I am duly authorised to make this affidavit on its behalf\\]. Now produced and shown to me and marked A is a copy of the originating process to be filed in the proceeding.\n\n2\\. Annexed to this affidavit is a current and historical extract of the records maintained by the Australian Securities and Investments Commission with respect to the defendant.\n\n3. \\[Where the defendant is registered or taken to be registered in a State or Territory other than that of this Registry, state any facts — apart from the defendant’s principal place of business — which bear upon jurisdiction being exercised in the State or Territory of this Registry, rather than in another State or Territory.\\]\n\n4\\. The following facts are within my own personal knowledge save as otherwise stated.\n\n5\\. The defendant was on \\[state date of statutory demand or other relevant date\\] indebted to the plaintiff in the sum of $ \\[amount\\] for \\[state concisely the consideration, for example, goods sold and delivered etc.\\] which sum was then due and payable.\n\n6\\. The demand, a copy of which is attached to the originating process, was signed by or on behalf of the plaintiff. I served the demand \\[or the demand and the accompanying affidavit\\] as referred to in the originating process \\[or X.Y. has been instructed to make an affidavit of service of the demand \\[or the demand and the accompanying affidavit\\]\\].\n\n6A. The defendant has not made any application under section 459G of the Corporations Act to set aside the demand \\[or On \\[insert date\\], the defendant made an application under section 459G of the Corporations Act to \\[insert name of Court\\] to set aside the demand. On \\[insert date\\], that Court dismissed the application \\[or varied the demand by \\[state effect of variation\\]\\]. Annexed to this affidavit is a true copy of the court order disposing of the application\\].\n\n7\\. The matters stated in the originating process concerning the demand and failure of the defendant to comply with it are true and correct.\n\n8\\. The sum demanded remains due and payable by the defendant to me \\[or the plaintiff\\].\n\nSworn, etc.\n","sortOrder":5}],"analysis":{"summary":{"content_quality":"ok","complexity_score":4,"scope_assessment":{"changed":false,"description":"The provided text is the full set of rules without indication of recent amendments."},"complexity_factors":["extensive procedural detail across multiple divisions","specific form requirements and service rules","interaction with primary corporations legislation"],"plain_english_summary":"These rules set out the procedures for starting and running cases in the Federal Court of Australia under the Corporations Act 2001, the ASIC Act 2001 and the Cross-Border Insolvency Act 2008.\n\nThey explain how to file an originating process or interlocutory process, what forms to use, when supporting affidavits are required, how to serve documents on parties and ASIC, and the steps for specific applications such as winding up a company, setting aside a statutory demand, appointing a liquidator or provisional liquidator, seeking remuneration for office holders, conducting examinations, approving schemes of arrangement and recognising foreign insolvency proceedings.\n\nThe rules also cover notices of appearance, publication requirements, objections to liquidator release, inquiries into company affairs, powers of registrars and transitional provisions for earlier appointments.\n\nThey apply to proceedings commenced on or after the rules came into force, with earlier proceedings generally continuing under the previous rules unless the court orders otherwise. The rules affect companies, creditors, contributories, liquidators, receivers, administrators, ASIC and their legal representatives.\n\nIn practice, anyone bringing or responding to a corporations or insolvency matter in the Federal Court must follow these rules to ensure documents are filed correctly, service and publication deadlines are met, and the application proceeds without procedural objections."},"kimi_summary":{"_metrics":{"completionTokens":720},"content_quality":"ok","complexity_score":8,"scope_assessment":{"changed":true,"description":"The legislation has expanded significantly from its original 2000 scope. Major additions include: Division 15A for cross-border insolvency (2008), extensive amendments for the Insolvency Law Reform Act 2016 (commencing September 2017), new remuneration review processes, and updated special manager provisions. The 2017 amendments replaced or repealed several rules (9.2, 9.4, 9.4A, 11.2) but preserved transitional application for pre-2017 appointments, creating parallel systems."},"complexity_factors":["17 divisions with multiple subdivisions and rules","Extensive cross-referencing to the Corporations Act 2001, ASIC Act, and Insolvency Practice Schedule","23 prescribed forms with specific requirements","Multiple overlapping time calculation rules (rules 1.9, 1.10)","Conditional logic throughout (e.g., 'unless the Court otherwise orders', 'if...then')","Transitional provisions preserving old rules for pre-2017 appointments","Definitions section importing meanings from multiple other statutes","Detailed procedural requirements for cross-border insolvency under UNCITRAL Model Law","Nested exceptions in service requirements (rules 2.7, 2.8)","Specific affidavit content requirements with multiple sub-paragraphs"],"plain_english_summary":"These are the **Federal Court (Corporations) Rules 2000**, which set out the procedural rules for how companies and corporate matters are handled in the Federal Court of Australia.\n\n**What this legislation does:**\n\nIt provides the step-by-step rules for court proceedings involving:\n- **Winding up companies** (liquidation) — including how to apply, what documents to file, and how to notify creditors\n- **Compromises and arrangements** between companies and their creditors or shareholders\n- **Appointing and removing liquidators, provisional liquidators, and special managers**\n- **Examining company officers and others** about a company's affairs\n- **Cross-border insolvency** — dealing with companies that have assets or debts in multiple countries\n- **Takeovers and securities law** matters\n- **Remuneration** for insolvency practitioners (liquidators, receivers, administrators)\n\n**Who it affects:**\n- Companies being wound up or in financial trouble\n- Creditors trying to recover money owed to them\n- Company directors and officers\n- Liquidators, receivers, and other insolvency practitioners\n- ASIC (the corporate regulator)\n- Shareholders and investors\n\n**Why it matters:**\nThese rules ensure that when a company fails or needs restructuring, there's a fair, transparent, and orderly process. They protect creditors' rights, ensure proper oversight of insolvency practitioners, and provide mechanisms for investigating corporate misconduct. The rules also align Australia with international standards for cross-border insolvency, making it easier to deal with companies that operate across multiple countries.\n\n**Key features:**\n- **Forms and documents**: Specific forms must be used (Forms 1–23), with rules about how to file and serve them\n- **Time limits**: Strict deadlines for filing documents and serving notices (e.g., 21 days for objections to liquidator remuneration)\n- **ASIC involvement**: ASIC must be notified of many proceedings and can intervene\n- **Public notices**: Many applications require publication in daily newspapers\n- **Confidentiality protections**: Examination summons applications are filed confidentially"},"flash_summary":{"complexity_score":8,"scope_assessment":{"changed":true,"description":"The Rules as described apply explicitly to proceedings under the Corporations Act, the ASIC Act and relevant insolvency schedules for matters commenced on or after commencement, while preserving earlier rules for pre‑existing proceedings and appointments (r 1.3; Part 11 r 17.1). They introduce detailed procedural prescriptions (forms, affidavit content, service and publication regimes, confidentiality and registrar functions) and extend to cross‑border insolvency applications (Division 15A, r 15A.9). Transitional provisions (Part 11 r 17.1) mean some matters remain governed by older rule versions for appointments/commencements before specified dates, so the applicable scope depends on timing of the appointment or proceeding."},"complexity_factors":["Large number of tightly prescriptive procedural obligations across many insolvency and Corporations Act contexts (winding up, provisional liquidators, remuneration, examinations) (see Divisions 3, 5–9, 11)","Multiple, differing notice and publication timeframes (eg. 3, 5, 8, 14, 21 day regimes) requiring cross‑checking (rr 2.7; 3.4; 5.6; 7.9; 9.1–9.5)","Interlocking duties to serve ASIC, liquidators or other parties in many circumstances and a Court power to dispense (r 2.8(1)–(3); r 12.1)","Detailed affidavit content requirements for many categories of applications (eg. liquidator release, winding up, remuneration) that vary by context (rr 5.4; 7.5; 9.1–9.5)","Registrar powers that may be exercised only when the Court directs and are subject to review (rr 16.1–16.2), adding an administrative layer","Special confidentiality and filing procedures for examination summonses and transcripts (rr 11.3–11.8)","Transitional provisions preserving prior rule versions for pre‑existing appointments and proceedings, creating parallel regimes to apply by reference to dates (Part 11, r 17.1)","Widespread cross‑references to statutory provisions (Corporations Act, IPS, Cross‑Border Insolvency Act) requiring statutory‑rules alignment (see r 1.4 and many specific rule references)"],"plain_english_summary":"### What these Rules do, in plain terms\n\nThese Rules set the detailed court procedure for company and insolvency matters brought to the Federal Court under the Corporations Act, the ASIC Act and certain insolvency laws. They prescribe how to start applications, what forms and supporting affidavits are required, who must be served and when, publication requirements, how hearings are fixed, and specific procedures for insolvency-related steps (winding up, provisional liquidators, liquidators’ release, remuneration applications, examinations and cross‑border insolvency matters). (See rules 1.3, 2.1–2.4, 2.7–2.10, 3.1, 5.1, 6.1, 7.5, 9.1–9.5, 11.1–11.5, 15A.9.)\n\nMechanically, the Rules do the following:\n- Require particular forms and titles for processes and prescribe that documents substantially in form are acceptable. (rr 2.1; 1.6; 1.7)\n- Require most applications to be supported by affidavits setting out facts relied on and, in many insolvency filings, require the attaching or filing of ASIC search results. (rr 2.4, 2.4A)\n- Fix minimum service and notice periods for originating and interlocutory processes (commonly 5 days for originating and 3 days for interlocutory applications, with longer periods for particular matters). (r 2.7)\n- Require service of many specified applications on ASIC (unless ASIC is the applicant) and allow the Court to dispense with that requirement. (r 2.8(1)–(3))\n- Prescribe publication steps for meetings, winding up and other orders and prescribe how proof of publication is given. (rr 3.4; 5.6; 5.11; 2.12)\n- Create a structured notice-and-objection regime for remuneration and fee applications by receivers, external administrators, provisional liquidators and special managers (21‑day notice, right to object, then filing of affidavits and possible hearing in absence). (rr 9.1–9.5; 9.2A)\n- Set the processes for examination summonses (Form 17), how they are filed (confidential filing options), service time (at least 8 days), and how summoned persons may apply to discharge. (rr 11.3–11.5)\n- Provide for Registrar functions where directed by the Court, and a right to have Registrar decisions reviewed by a Judge or the Court. (rr 16.1–16.2)\n- Preserve earlier rule versions and provide transitional treatment for proceedings or appointments that pre‑date specified amendments. (Part 11, r 17.1)\n\nOfficial rationale (as expressed in the Rules): to govern practice and procedure for Corporations/ASIC Act proceedings and insolvency matters and to provide certainty about notice, evidence and administrative steps (see r 1.3 and the many specific provisions above). The Rules implement that aim by allocating filing responsibilities, specifying required content and timing for notices and affidavits, and setting out inspection, publication and service regimes.\n\nHow these mechanics create costs, incentives and trade‑offs (source‑linked)\n- Who pays: Applicants/plaintiffs bear costs of filing, serving documents and required publications (see publication requirements at rr 3.4, 5.6, 5.11; service duties at r 2.7). Liquidators/special managers/receivers also must give notice and file detailed affidavits when seeking release or remuneration (rr 7.5; 8.1; 9.1). Where the Court orders appointment or publication, the Court may direct who pays, but the Rules require initial steps by applicants/liquidators.\n- Compliance burden and timing: The Rules impose strict documentary and timing obligations—affidavits must be filed within set windows (e.g. r 5.4(4): within 7 days before filing); service windows are prescribed (r 2.7); remuneration notices must be served at least 21 days before an application (rr 9.1–9.5). These requirements create administrative and cost burdens for parties who bring applications or administer estates.\n- Checks and participation rights: The Rules build in creditor/party participation—notice and 21‑day objection windows for remuneration and release applications (rr 7.5; 9.1–9.5) give creditors and significant members concrete opportunities to object and be heard. Notices of appearance and requirements for intervening or being heard are set out (rr 2.9–2.10; 2.13).\n- Court and Registrar discretion: The Court retains broad powers to give directions, dispense with compliance (for example, to dispense with serving ASIC (r 2.8(3))), permit alternative service/publication (r 2.12), and direct a Registrar to exercise Court powers (r 16.1). These provisions concentrate decision‑making with the judiciary while allowing flexibility.\n- Effects on private choice and market actors: Procedural requirements (notice, publication, ASIC searches r 2.4/2.4A) slow or add cost to enforcement or restructuring steps and require administrators to engage in formal steps before acting. Remuneration processes (rr 9.1–9.5) create a transparent, creditor‑notified route to fix fees, which shapes administrators’ incentives to justify claimed fees in affidavits.\n\nImplementation and transition risks\n- Transitional rules preserve older versions for earlier appointments (Part 11, r 17.1), so administrators and courts must track which rule version applies to a particular appointment or filing. (r 17.1)\n- The Court’s ability to vary or dispense with requirements (r 1.8; r 2.8(3); Part 16) means outcomes may turn on judicial directions, producing case‑by‑case variation in procedure.\n\nOverall, the Rules translate statutory powers under the Corporations Act, ASIC Act and Insolvency Practice Schedule into detailed court practice: allocating who must file what, who must be served and when, what evidence must accompany applications, how interested persons may participate, and how registrarial powers operate—while preserving judicial flexibility and transitional protections. (See especially rules 1.3, 1.8, 2.4–2.8, 7.5, 9.1–9.5, 11.3–11.5, 16.1, Part 11 r 17.1.)"}},"importantCases":[],"_links":{"self":"/api/acts/federal-court-corporations-rules-2000","history":"/api/acts/federal-court-corporations-rules-2000/history","analysis":"/api/acts/federal-court-corporations-rules-2000/analysis","conflicts":"/api/acts/federal-court-corporations-rules-2000/conflicts","importantCases":"/api/acts/federal-court-corporations-rules-2000/important-cases","documents":"/api/acts/federal-court-corporations-rules-2000/documents"}}