{"id":"nsw:act-1992-039","name":"Independent Pricing and Regulatory Tribunal Act 1992","slug":"independent-pricing-and-regulatory-tribunal-act-1992","collection":"act","jurisdiction":"nsw","status":"in_force","isInForce":true,"actNumber":"39 of 1992","makingDate":null,"administeringDepartment":null,"currentVersion":{"id":106146,"registerId":"nsw-act-1992-039-current","compilationNumber":null,"startDate":"2026-04-03","status":"InForce","reasons":null,"registeredAt":null},"sections":[{"sectionNumber":"Part 1","sectionType":"part","heading":"Preliminary","content":"# Part 1 Preliminary\n\nPart 1 Preliminary","sortOrder":0},{"sectionNumber":"1","sectionType":"section","heading":"Name of Act","content":"#### 1 Name of Act\n\n1 Name of Act\n\n> This Act is the [Independent Pricing and Regulatory Tribunal Act 1992](/view/html/inforce/current/act-1992-039).\n> \n> **s 1:** Subst 1995 No 97, Sch 1 (2).","sortOrder":1},{"sectionNumber":"2","sectionType":"section","heading":"Commencement","content":"#### 2 Commencement\n\n2 Commencement\n\n> This Act commences on a day or days to be appointed by proclamation.","sortOrder":2},{"sectionNumber":"3","sectionType":"section","heading":"Definitions","content":"#### 3 Definitions\n\n3 Definitions\n\n> > (1) In this Act—\n> > \n> > access regime means a scheme (whether of a legislative, administrative or other kind) set up for the purpose of implementing the Competition Principles Agreement in respect of third-party access to services provided by means of infrastructure facilities owned, controlled or operated by a public or private sector body, where service—\n> > \n> > > (a) includes the use of an infrastructure facility (such as a road or railway), the handling or transporting of things (such as goods or people) or a communications service or similar service, but\n> > \n> > > (b) does not include the supply of goods, the use of intellectual property or the use of a production process, except to the extent that that supply or use is an integral but subsidiary part of the service.\n> > \n> > Chairperson means the Chairperson of the Tribunal.\n> > \n> > Competition Principles Agreement means the Competition Principles Agreement made on 11 April 1995 by the Commonwealth, the Territories and the States, as in force for the time being.\n> > \n> > government agency means any public or local authority which supplies services to the public or any part of the public, and includes a government department, state owned corporation, water supply authority or public utility undertaking which supplies such services.\n> > \n> > government monopoly service is defined in section 4.\n> > \n> > portfolio Minister—\n> > \n> > > (a) in relation to a statutory State owned corporation—has the same meaning as in the [State Owned Corporations Act 1989](/view/html/inforce/current/act-1989-134), or\n> > \n> > > (b) in relation to any other government agency or public authority—means the Minister who is responsible for the agency or authority,\n> > \n> > or such other Minister as is nominated by the Premier by order published in the Gazette.\n> > \n> > price includes any rate, fee, levy and charge and any other valuable consideration (however described), but does not include a State tax.\n> > \n> > pricing policies includes policies relating to the level or structure of prices for services.\n> > \n> > public infrastructure access regime means an access regime that relates to services provided by means of infrastructure facilities owned, controlled or operated by a government agency.\n> > \n> > service includes—\n> > \n> > > (a) the supply of water, electricity, gas or other thing (whether or not of the same kind), and\n> > \n> > > (b) the provision of public transport, and\n> > \n> > > (c) the making available for use of facilities of any kind, and\n> > \n> > > (d) the conferring of rights, benefits or privileges for which the price is payable in the form of royalty, tribute, levy or similar exaction, and\n> > \n> > > (e) the exercise of the general functions of a public or local authority for which a rate or levy is payable by a section of the public,\n> > \n> > but does not include anything for which a State tax is payable.\n> > \n> > State tax means a tax such as land tax or stamp duty which is imposed for the public revenue purposes of the State.\n> > \n> > Tribunal means the Independent Pricing and Regulatory Tribunal of New South Wales established by this Act.\n> > \n> > water supply authority has the same meaning as it has in the [Water Management Act 2000](/view/html/inforce/current/act-2000-092).\n> > \n> > Note.\n> > \n> > The [Interpretation Act 1987](/view/html/inforce/current/act-1987-015) contains definitions and other provisions that affect the interpretation and application of this Act.\n> \n> > (2) In this Act—\n> > \n> > > (a) a reference to a function includes a reference to a power, authority and duty, and\n> > \n> > > (b) a reference to the exercise of a function includes, where the function is a duty, a reference to the performance of the duty.\n> \n> > (3) Notes included in this Act do not form part of this Act.\n> \n> **s 3:** Am 1995 No 97, Sch 1 (3) (4); 2000 No 60, Sch 3.1 \\[1\\] \\[2\\]; 2006 No 105, Sch 7.1 \\[1\\] \\[2\\]; 2007 No 27, Sch 2.27.","sortOrder":3},{"sectionNumber":"4","sectionType":"section","heading":"Government monopoly services","content":"#### 4 Government monopoly services\n\n4 Government monopoly services\n\n> > (1) For the purposes of this Act, a government monopoly service is a service supplied by a government agency and declared by the regulations or the Minister to be a government monopoly service.\n> > \n> > Editorial note.\n> > \n> > For declarations under this subsection, see the Historical notes at the end of this Act.\n> \n> > (2) A service may be declared to be a government monopoly service if the Minister certifies that it is a service—\n> > \n> > > (a) for which there are no other suppliers to provide competition in the part of the market concerned, and\n> > \n> > > (b) for which there is no contestable market by potential suppliers in the short term in that part of the market.\n> \n> > (3) A service may be declared to be a government monopoly service by reference to—\n> > \n> > > (a) a service specified or described in the declaration, or\n> > \n> > > (b) the service for which a price specified or described in the declaration is payable.\n> \n> > (4) A declaration of a service by the Minister is to be made by order published on the NSW legislation website.\n> \n> > (5) To avoid doubt the service for which a navigation service charge under Part 5 of the [Ports and Maritime Administration Act 1995](/view/html/inforce/current/act-1995-013) is payable is capable of being declared to be a government monopoly service. The relevant port authority (within the meaning of that Part) is taken to be the supplier of that service.\n> \n> > (6) To avoid doubt, the services for which fees and charges are payable under Chapter 3 of the [Water Management Act 2000](/view/html/inforce/current/act-2000-092) are capable of being declared to be government monopoly services. The Water Administration Ministerial Corporation is taken to be the supplier of any such service.\n> \n> > (7) To avoid doubt, the services for which fees and charges are payable under the [Water NSW Act 2014](/view/html/inforce/current/act-2014-074) are capable of being declared to be government monopoly services. Water NSW is taken to be the supplier of any such service.\n> \n> **s 4:** Am 1995 No 13, Sch 4; 2000 No 92, Sch 8.13 \\[1\\]; 2001 No 112, Sch 1.16; 2004 No 40, Sch 3.7 \\[1\\]; 2006 No 84, Sch 2.5 \\[1\\]; 2010 No 59, Sch 2.44; 2014 No 74, Sch 3.13 \\[1\\].","sortOrder":4},{"sectionNumber":"Part 2","sectionType":"part","heading":"Tribunal","content":"# Part 2 Tribunal\n\nPart 2 Tribunal\n\n**pt 2, hdg:** Subst 1995 No 97, Sch 1 (5).","sortOrder":5},{"sectionNumber":"5","sectionType":"section","heading":"Establishment of Tribunal","content":"#### 5 Establishment of Tribunal\n\n5 Establishment of Tribunal\n\n> > (1) There is established by this Act an Independent Pricing and Regulatory Tribunal of New South Wales. The Tribunal is a body corporate.\n> \n> > (2) The Tribunal has such functions as are conferred or imposed on it by or under this or any other Act or law.\n> \n> > (3) (Repealed)\n> \n> **s 5:** Am 1995 No 97, Sch 1 (6); 1996 No 30, Sch 2; 1997 No 20, Sch 1.6 \\[1\\]; 2006 No 2, Sch 4.28 \\[1\\]; 2015 No 58, Sch 3.47 \\[1\\].","sortOrder":6},{"sectionNumber":"6","sectionType":"section","heading":"Members and procedure of the Tribunal","content":"#### 6 Members and procedure of the Tribunal\n\n6 Members and procedure of the Tribunal\n\n> > (1) The Tribunal consists of 3 members appointed by the Minister as the permanent members of the Tribunal, and any number of additional members appointed by the Minister as temporary members.\n> \n> > (2) Of the permanent members of the Tribunal, one is to be appointed as Chairperson.\n> \n> > (3) A member of the Tribunal may be appointed as a full-time or part-time member.\n> \n> > (4) The Minister is to ensure that the persons appointed as permanent members of the Tribunal have together a knowledge and understanding of economics, the interests of consumers and the interests of suppliers of services (including the interests of the Government as a supplier of services), whether the services supplied are monopoly services or not.\n> \n> > (5) Schedule 2 has effect with respect to the members of the Tribunal.\n> \n> > (6) Schedule 3 has effect with respect to the procedure of the Tribunal.\n> \n> **s 6:** Subst 1995 No 97, Sch 1 (7).","sortOrder":7},{"sectionNumber":"7","sectionType":"section","heading":"Tribunal not subject to Ministerial control in making determinations or recommendations","content":"#### 7 Tribunal not subject to Ministerial control in making determinations or recommendations\n\n7 Tribunal not subject to Ministerial control in making determinations or recommendations\n\n> > (1) The Tribunal is not subject to the control or direction of the Minister in respect of the contents of any determination or recommendation of the Tribunal, but in other respects is subject to the control and direction of the Minister.\n> \n> > (2) The Tribunal is not subject to the control or direction of any other Minister in respect of any function conferred or imposed on the Tribunal by or under this or any other Act, except as provided in any Act.\n> \n> **s 7:** Am 2000 No 60, Sch 3.1 \\[3\\].","sortOrder":8},{"sectionNumber":"8","sectionType":"section","heading":"Staff","content":"#### 8 Staff\n\n8 Staff\n\n> Persons may be employed in the Public Service under the [Government Sector Employment Act 2013](/view/html/inforce/current/act-2013-040) to enable the Tribunal to exercise its functions.\n> \n> Note.\n> \n> Section 59 of the [Government Sector Employment Act 2013](/view/html/inforce/current/act-2013-040) provides that the persons so employed (or whose services the Tribunal makes use of) may be referred to as officers or employees, or members of staff, of the Tribunal. Section 47A of the [Constitution Act 1902](/view/html/inforce/current/act-1902-032) precludes the Tribunal from employing staff.\n> \n> **s 8:** Rep 2006 No 2, Sch 4.28 \\[2\\]. Ins 2015 No 58, Sch 3.47 \\[2\\].","sortOrder":9},{"sectionNumber":"9","sectionType":"section","heading":"Arrangements with other entities","content":"#### 9 Arrangements with other entities\n\n9 Arrangements with other entities\n\n> > (1) The Tribunal may enter into arrangements with any government agency, or other body or person (whether in the public or private sector)—\n> > \n> > > (a) for the provision of assistance to the Tribunal in connection with investigations under this Act or the exercise of other functions of the Tribunal (whether under this or any other Act), or\n> > \n> > > (b) for the provision of assistance by the Tribunal to the agency or other body or person by means of the provision of services that are within the Tribunal’s field of expertise and relevant to its functions.\n> \n> > (2) The Tribunal is not to enter into an arrangement for the provision of services by the Tribunal unless the Minister has approved of the arrangement.\n> \n> > (3) In entering into an arrangement for the provision of services by the Tribunal, the Tribunal has a duty to ensure that giving effect to the arrangement will not interfere with the ability of the Tribunal to exercise its functions.\n> \n> > (4) The Tribunal may engage consultants to assist it in the exercise of its functions.\n> \n> > (5) The Tribunal is entitled to charge for the services that it provides under this section, whether or not regulations have been made under section 29 for or with respect to fees for those services.\n> \n> **s 9:** Subst 1995 No 97, Sch 1 (8). Am 2000 No 60, Sch 3.1 \\[4\\]; 2002 No 122, Sch 2.2 \\[1\\].","sortOrder":10},{"sectionNumber":"10","sectionType":"section","heading":"Delegation of Tribunal’s functions","content":"#### 10 Delegation of Tribunal’s functions\n\n10 Delegation of Tribunal’s functions\n\n> > (1) The Tribunal may delegate its functions, other than this power of delegation, to any member of the Tribunal or to any committee of persons (whether of members only or members and other persons).\n> \n> > (2) The Tribunal may not delegate its function of making determinations or recommendations under this or any other Act to a committee that includes persons who are not members of the Tribunal.\n> \n> > (3) The Tribunal may delegate any of its functions to an officer of the Tribunal, other than this power of delegation and the Tribunal’s functions of making or giving determinations, recommendations, advice or reports under this or any other Act.\n> \n> > (4) This section does not limit any power of delegation conferred on the Tribunal by or under any other Act.\n> \n> **s 10:** Am 2000 No 60, Sch 3.1 \\[5\\] \\[6\\]; 2015 No 5, Sch 8.15.","sortOrder":11},{"sectionNumber":"Part 3","sectionType":"part","heading":"Price determinations and other functions","content":"# Part 3 Price determinations and other functions\n\nPart 3 Price determinations and other functions\n\n**pt 3, hdg:** Subst 1995 No 97, Sch 1 (9); 2000 No 60, Sch 3.1 \\[7\\].","sortOrder":12},{"sectionNumber":"Division 1","sectionType":"division","heading":"Pricing: investigations and reports","content":"## Division 1 Pricing: investigations and reports\n\nDivision 1 Pricing: investigations and reports\n\n**pt 3, div 1, hdg:** Ins 2000 No 60, Sch 3.1 \\[8\\]. Am 2000 No 109, Sch 2.3 \\[1\\]; 2017 No 63, Sch 4.25 \\[1\\].","sortOrder":13},{"sectionNumber":"11","sectionType":"section","heading":"Investigations and reports by Tribunal—standing reference","content":"#### 11 Investigations and reports by Tribunal—standing reference\n\n11 Investigations and reports by Tribunal—standing reference\n\n> > (1) The Tribunal is to conduct investigations and make reports to the Minister on the following matters—\n> > \n> > > (a) the determination of the pricing for a government monopoly service supplied by a government agency specified in Schedule 1,\n> > \n> > > (b) a periodic review of pricing policies in respect of government monopoly services supplied by such an agency.\n> \n> > (1A) Subsection (1) does not extend to such services of a government agency specified in Schedule 1 as may be excluded in that Schedule for the agency.\n> \n> > (2) The regulations may amend Schedule 1. An agency may not be added to Schedule 1 by the regulations unless it is a government agency.\n> \n> > (3) (Repealed)\n> \n> **s 11:** Am 1994 No 88, Sch 6 (1); 2000 No 109, Sch 2.3 \\[2\\]; 2001 No 56, Sch 2.23 \\[1\\] \\[2\\]; 2004 No 54, Sch 2.1 \\[1\\]; 2017 No 22, Sch 5, cl 1.","sortOrder":14},{"sectionNumber":"12","sectionType":"section","heading":"Investigations and reports by Tribunal—reference by Minister","content":"#### 12 Investigations and reports by Tribunal—reference by Minister\n\n12 Investigations and reports by Tribunal—reference by Minister\n\n> > (1) The Tribunal is also to conduct investigations and make reports to the Minister on any of the following matters referred to the Tribunal by the Minister—\n> > \n> > > (a) the determination of the pricing for a specified government monopoly service,\n> > \n> > > (b) a periodic review of pricing policies in respect of a specified government monopoly service.\n> \n> > (2) This section applies to a government monopoly service whether or not it is supplied by a government agency specified in Schedule 1.\n> \n> > (3) A reference with respect to the determination of the pricing of a government monopoly service may extend to an annual or other periodic determination of that pricing.\n> \n> > (4) The Tribunal may request the Minister to refer a matter to the Tribunal under this section.\n> \n> > (5) If the Minister has referred a matter to the Tribunal for investigation and report, the Minister may withdraw or amend the reference at any time before the Minister has received the report from the Tribunal.\n> \n> **s 12:** Am 1994 No 88, Sch 6 (2).","sortOrder":15},{"sectionNumber":"Division 2","sectionType":"division","heading":"Industry and other matters: investigations and reports","content":"## Division 2 Industry and other matters: investigations and reports\n\nDivision 2 Industry and other matters: investigations and reports\n\n**pt 3, div 2, hdg:** Ins 2000 No 60, Sch 3.1 \\[9\\].","sortOrder":16},{"sectionNumber":"12A","sectionType":"section","heading":"Investigations and reports on industry and other matters","content":"#### 12A Investigations and reports on industry and other matters\n\n12A Investigations and reports on industry and other matters\n\n> > (1) The Tribunal is to conduct investigations and make reports on any matter with respect to pricing, industry or competition that is referred to the Tribunal by the Minister.\n> \n> > (2) If the Minister so directs, a report by the Tribunal on an investigation under this section that relates to one or more access regimes is to include general guidelines for those access regimes.\n> \n> > (2A) Without limiting subsection (1), a matter relating to any adverse or unforeseen consequences of applying competitive neutrality principles (within the meaning of Part 4C) to a public authority (within the meaning of that Part) or class of public authorities may be referred by the Minister to the Tribunal for investigation and report under this section.\n> \n> > (3) The Tribunal may request the Minister to refer a matter to the Tribunal under this section and is to cause a copy of any such request to be published in the Gazette within 28 days after the request is made.\n> \n> > (4) If the Minister has referred a matter to the Tribunal for investigation and report, the Minister may withdraw or amend the reference at any time before the Minister has received the report from the Tribunal. The Minister must give written reasons for the withdrawal or amendment to the Tribunal, and the Tribunal is to cause a copy of those reasons to be published in the Gazette within 28 days after they are given to the Tribunal.\n> \n> > (5) In this section—\n> > \n> > industry means industry of any kind (including any business or activity relating to goods or services), and a reference to industry is a reference to industry in general, a particular industry, a part of an industry, or a group or groups of particular industries.\n> \n> **s 12A:** Ins 1995 No 97, Sch 1 (10). Am 2000 No 60, Sch 2.1 \\[1\\].","sortOrder":17},{"sectionNumber":"Division 2A","sectionType":"division","heading":"WHS matters: investigations and reports","content":"## Division 2A WHS matters: investigations and reports\n\nDivision 2A WHS matters: investigations and reports\n\n**pt 3, div 2A (s 12AA):** Ins 2015 No 19, Sch 15.8.","sortOrder":18},{"sectionNumber":"12AA","sectionType":"section","heading":"Investigation and report by IPART in relation to SafeWork NSW","content":"#### 12AA Investigation and report by IPART in relation to SafeWork NSW\n\n12AA Investigation and report by IPART in relation to SafeWork NSW\n\n> > (1) The Tribunal is to conduct an investigation and make a report on such matters relating to the operational costs and expenses of SafeWork NSW as are referred to the Tribunal by the WHS Minister.\n> \n> > (2) Any such report is to be provided to the WHS Minister within the period specified by the Minister in the terms of reference to the Tribunal.\n> \n> > (3) In this section—\n> > \n> > SafeWork NSW means SafeWork NSW as referred to in clause 1 of Schedule 2 to the [Work Health and Safety Act 2011](/view/html/inforce/current/act-2011-010).\n> > \n> > WHS Minister means the Minister administering the [Work Health and Safety Act 2011](/view/html/inforce/current/act-2011-010).\n> \n> **pt 3, div 2A (s 12AA):** Ins 2015 No 19, Sch 15.8.","sortOrder":19},{"sectionNumber":"Division 3","sectionType":"division","heading":"Access regimes","content":"## Division 3 Access regimes\n\nDivision 3 Access regimes\n\n**pt 3, div 3, hdg:** Ins 2000 No 60, Sch 3.1 \\[10\\].","sortOrder":20},{"sectionNumber":"12B","sectionType":"section","heading":"Notice of proposed access agreements","content":"#### 12B Notice of proposed access agreements\n\n12B Notice of proposed access agreements\n\n> > (1) A government agency that, under a public infrastructure access regime, proposes to enter into an agreement for the granting of access to services provided by means of infrastructure facilities owned, controlled or operated by it must notify the Tribunal of the proposal at least 30 days before entering into the agreement.\n> \n> > (2) The agency must also provide the Tribunal with a copy of the proposed agreement if the Tribunal requests it, and with such details of the proposal as the Tribunal may request.\n> \n> > (3) The Tribunal may give advice on the proposal to the agency and to the Minister.\n> \n> > (4) A failure to comply with this section in relation to a proposed agreement, or a failure by the Tribunal to give advice on the proposal, does not affect the validity of the agreement.\n> \n> **ss 12B–12E:** Ins 1995 No 97, Sch 1 (10).","sortOrder":21},{"sectionNumber":"12C","sectionType":"section","heading":"Registration of access agreements","content":"#### 12C Registration of access agreements\n\n12C Registration of access agreements\n\n> > (1) A government agency that, under a public infrastructure access regime, enters into an agreement for the granting of access to services provided by means of infrastructure facilities owned, controlled or operated by it must notify the Tribunal of that fact.\n> \n> > (2) The agency must also provide the Tribunal with a copy of the agreement if the Tribunal requests it, and with such details of the agreement as the Tribunal may request.\n> \n> > (3) The Tribunal must register the agreement and record the registration in the register maintained under section 12E, including in that record the names of the parties to the agreement, the service to which it relates, the date when it was made and such other details as the regulations prescribe.\n> \n> > (4) To remove any doubt, it is declared that an agreement registered under this section is a document within the meaning of section 22A and therefore may be made available to the public, subject to that section.\n> \n> > (5) A failure to comply with this section in relation to an agreement, or a failure by the Tribunal to register it, does not affect the validity of the agreement.\n> \n> > (6) Nothing in this section or section 12B prevents the Minister, at the request of a party to a proposed agreement under an access regime, from submitting to the Tribunal a draft of the agreement before the party enters into it, or prevents the Tribunal from giving advice to the Minister in relation to it.\n> \n> **ss 12B–12E:** Ins 1995 No 97, Sch 1 (10).","sortOrder":22},{"sectionNumber":"12D","sectionType":"section","heading":"Failure to notify proposal or provide copy of agreement","content":"#### 12D Failure to notify proposal or provide copy of agreement\n\n12D Failure to notify proposal or provide copy of agreement\n\n> > (1) If an agency fails to notify the Tribunal under section 12B of a proposal for an agreement or fails to notify the Tribunal under section 12C of entering into the agreement, the Tribunal may request the agency to provide the Tribunal with written reasons for that failure.\n> \n> > (2) The Tribunal must report to the Minister on the failure, and include in the report any reasons provided by the agency.\n> \n> **ss 12B–12E:** Ins 1995 No 97, Sch 1 (10).","sortOrder":23},{"sectionNumber":"12E","sectionType":"section","heading":"Register of agreements","content":"#### 12E Register of agreements\n\n12E Register of agreements\n\n> The Tribunal must maintain a register of agreements and must make the register available for inspection by any person during the office hours of the Tribunal or such other hours as the regulations may prescribe.\n> \n> **ss 12B–12E:** Ins 1995 No 97, Sch 1 (10).","sortOrder":24},{"sectionNumber":"Division 4","sectionType":"division","heading":"Investigations and reports: general","content":"## Division 4 Investigations and reports: general\n\nDivision 4 Investigations and reports: general\n\n**pt 3, div 4, hdg:** Ins 2000 No 60, Sch 3.1 \\[11\\].","sortOrder":25},{"sectionNumber":"13","sectionType":"section","heading":"Investigations and reports by Tribunal—general","content":"#### 13 Investigations and reports by Tribunal—general\n\n13 Investigations and reports by Tribunal—general\n\n> > (1) The Minister may, in respect of an investigation and report under this Part by the Tribunal, do any or all of the following—\n> > \n> > > (a) specify a period within which the report is required to be submitted to the Minister,\n> > \n> > > (b) require the Tribunal to make a draft report available to the public, or to any specified persons or bodies, during the investigation,\n> > \n> > > (c) require the Tribunal to consider specified matters when making its investigations,\n> > \n> > and the Tribunal must act accordingly.\n> \n> > (2) The Tribunal is required to give notice of any investigation under this Part in a manner that the Tribunal is satisfied is likely to bring the notice to the attention of members of the public generally and to the government agency concerned (if any) and, at the discretion of the Tribunal, to any person or body that may supply or use the relevant service. The notice (and any report of the investigation) is to include the terms of any reference by the Minister and of any requirement made by the Minister under subsection (1).\n> \n> > (3) The Tribunal is required, after considering any public comments on any such terms of reference, to settle the final terms of reference in the matter in consultation with the Minister.\n> \n> > (4) The Tribunal may also report to the Minister on any matter it considers relevant that arises from an investigation into a matter under this Part. Any such report may be part of the principal report to the Minister or may be a separate report.\n> \n> > (5) The fact that a determination of the pricing of a government monopoly service is in force does not preclude a further investigation and report on the matter.\n> \n> > (6) An investigation and report with respect to a government monopoly service or other service may be limited to a particular part or category of that service or to a particular period during which that service is supplied or in any other manner.\n> \n> > (7) An investigation and report may relate to a number of goods or services supplied by the same or different suppliers.\n> \n> > (8) A report is to include any minority report by a member of the Tribunal who wishes to make such a report.\n> \n> **s 13:** Am 1994 No 88, Sch 6 (3); 1995 No 97, Sch 1 (11) (12); 2019 No 14, Sch 1.12\\[1\\].","sortOrder":26},{"sectionNumber":"Division 5","sectionType":"division","heading":"Price determinations","content":"## Division 5 Price determinations\n\nDivision 5 Price determinations\n\n**pt 3, div 5, hdg:** Ins 2000 No 60, Sch 3.1 \\[12\\]. Am 2000 No 109, Sch 2.3 \\[3\\]; 2017 No 63, Sch 4.25 \\[2\\].","sortOrder":27},{"sectionNumber":"13A","sectionType":"section","heading":"Determinations of pricing","content":"#### 13A Determinations of pricing\n\n13A Determinations of pricing\n\n> > (1) In making a determination of the pricing for a government monopoly service, the Tribunal is limited to either of the following approaches—\n> > \n> > > (a) the first approach, which involves either—\n> > > \n> > > > (i) fixing the maximum price for the government monopoly service, or\n> > > \n> > > > (ii) setting the methodology for fixing the maximum price for the government monopoly service, or\n> > \n> > > (b) the second approach, which involves both—\n> > > \n> > > > (i) fixing the maximum price for a part or parts of the government monopoly service, and\n> > > \n> > > > (ii) setting the methodology for fixing the maximum price for any other part or parts of the government monopoly service.\n> \n> > (2) The Tribunal may not choose to make a determination that involves setting the methodology for fixing a maximum price, unless the Tribunal is of the opinion that it is impractical to make a determination directly fixing the maximum price.\n> \n> > (3) The Tribunal is to include in its determination a statement of the reasons why it has chosen to make a determination that involves setting the methodology for fixing a maximum price.\n> \n> > (4) In relation to determinations that involve the second approach (“mixed determinations”), a reference (however expressed) in this or any other Act to—\n> > \n> > > (a) a determination of, or fixing, the maximum price for a government monopoly service includes a reference to so much of a mixed determination as involves fixing the maximum price for any part or parts of a government monopoly service, and\n> > \n> > > (b) a determination of, or setting, the methodology for fixing the maximum price for a government monopoly service includes a reference to so much of a mixed determination as involves setting the methodology for fixing the maximum price for any part or parts of a government monopoly service.\n> \n> **s 13A:** Ins 1994 No 88, Sch 6 (4). Subst 2000 No 60, Sch 3.1 \\[13\\].","sortOrder":28},{"sectionNumber":"14","sectionType":"section","heading":"Method of fixing maximum prices","content":"#### 14 Method of fixing maximum prices\n\n14 Method of fixing maximum prices\n\n> > (1) A determination of the Tribunal of the maximum price for a government monopoly service may fix that price in any manner the Tribunal considers appropriate, including the following—\n> > \n> > > (a) by fixing an average price for a number of categories of the service,\n> > \n> > > (b) by fixing a percentage increase or decrease in existing prices,\n> > \n> > > (c) by fixing an average percentage increase or decrease in existing prices for a number of categories of the service,\n> > \n> > > (d) by fixing a specified price for each category of the service (if any other manner is not considered appropriate).\n> \n> > (2) The Tribunal may fix such a price by reference to—\n> > \n> > > (a) a general price index (such as the Consumer Price Index), or\n> > \n> > > (b) the government agency’s economic cost of production, or\n> > \n> > > (c) a rate of return on the assets of the government agency.","sortOrder":29},{"sectionNumber":"14A","sectionType":"section","heading":"Setting of methodology for fixing prices","content":"#### 14A Setting of methodology for fixing prices\n\n14A Setting of methodology for fixing prices\n\n> > (1) A determination of the Tribunal of the methodology for fixing the price for a government monopoly service may be made in any manner the Tribunal considers appropriate, including, for example, by reference to maximum revenue, or a maximum rate of increase or minimum rate of decrease in maximum revenue, for a number of categories of the service concerned.\n> \n> > (2) In making such a determination, the Tribunal may have regard to such matters as it considers appropriate, including, for example, the following—\n> > \n> > > (a) the government agency’s economic cost of production,\n> > \n> > > (b) past, current or future expenditures in relation to the government monopoly service,\n> > \n> > > (c) charges for other monopoly services provided by the government agency,\n> > \n> > > (d) economic parameters, such as—\n> > > \n> > > > (i) discount rates, or\n> > > \n> > > > (ii) movements in a general price index (such as the Consumer Price Index), whether past or forecast,\n> > \n> > > (e) a rate of return on the assets of the government agency,\n> > \n> > > (f) a valuation of the assets of the government agency,\n> > \n> > > (g) the need to maintain ecologically sustainable development (within the meaning of section 6 of the [Protection of the Environment Administration Act 1991](/view/html/inforce/current/act-1991-060)) by appropriate pricing policies that take account of all the feasible options available to protect the environment,\n> > \n> > > (h) the need to promote competition in the supply of the service concerned,\n> > \n> > > (i) considerations of demand management (including levels of demand) and least cost planning.\n> \n> > (3) In any report of such a determination, the Tribunal must indicate what regard it has had to the matters set out in subsection (2) in reaching that determination.\n> \n> **s 14A:** Ins 1994 No 88, Sch 6 (5). Am 1995 No 97, Sch 1 (13)–(15); 2000 No 60, Sch 3.1 \\[14\\].","sortOrder":30},{"sectionNumber":"14B","sectionType":"section","heading":null,"content":"#### 14B\n\n14B (Repealed)","sortOrder":31},{"sectionNumber":"15","sectionType":"section","heading":"Matters to be considered by Tribunal under this Act","content":"#### 15 Matters to be considered by Tribunal under this Act\n\n15 Matters to be considered by Tribunal under this Act\n\n> > (1) In making determinations and recommendations under this Act, the Tribunal is to have regard to the following matters (in addition to any other matters the Tribunal considers relevant)—\n> > \n> > > (a) the cost of providing the services concerned,\n> > \n> > > (b) the protection of consumers from abuses of monopoly power in terms of prices, pricing policies and standard of services,\n> > \n> > > (c) the appropriate rate of return on public sector assets, including appropriate payment of dividends to the Government for the benefit of the people of New South Wales,\n> > \n> > > (d) the effect on general price inflation over the medium term,\n> > \n> > > (e) the need for greater efficiency in the supply of services so as to reduce costs for the benefit of consumers and taxpayers,\n> > \n> > > (f) the need to maintain ecologically sustainable development (within the meaning of section 6 of the [Protection of the Environment Administration Act 1991](/view/html/inforce/current/act-1991-060)) by appropriate pricing policies that take account of all the feasible options available to protect the environment,\n> > \n> > > (g) the impact on pricing policies of borrowing, capital and dividend requirements of the government agency concerned and, in particular, the impact of any need to renew or increase relevant assets,\n> > \n> > > (h) the impact on pricing policies of any arrangements that the government agency concerned has entered into for the exercise of its functions by some other person or body,\n> > \n> > > (i) the need to promote competition in the supply of the services concerned,\n> > \n> > > (j) considerations of demand management (including levels of demand) and least cost planning,\n> > \n> > > (k) the social impact of the determinations and recommendations,\n> > \n> > > (l) standards of quality, reliability and safety of the services concerned (whether those standards are specified by legislation, agreement or otherwise).\n> \n> > (2) In any report of a determination or recommendation made by the Tribunal under this Act, the Tribunal must indicate what regard it has had to the matters set out in subsection (1) in reaching that determination or recommendation.\n> \n> > (3) To remove any doubt, it is declared that this section does not apply to the Tribunal in the exercise of any of its functions under section 12A or under the applied provisions within the meaning of Part 3B.\n> \n> > (4) (Repealed)\n> \n> **s 15:** Am 1995 No 97, Sch 1 (16)–(18); 2000 No 109, Sch 2.3 \\[5\\]; 2015 No 58, Sch 1.8; 2017 No 22, Sch 5, cl 1.","sortOrder":33},{"sectionNumber":"16","sectionType":"section","heading":"Report on financial impact if maximum price not charged","content":"#### 16 Report on financial impact if maximum price not charged\n\n16 Report on financial impact if maximum price not charged\n\n> If the Tribunal determines to increase the maximum price for a government monopoly service or determines a methodology that would or might increase the maximum price for a government monopoly service, the Tribunal is required to assess and report on the likely annual cost to the Consolidated Fund if the price were not increased to the maximum permitted and the government agency concerned were to be compensated for the revenue foregone by an appropriation from the Consolidated Fund.\n> \n> **s 16:** Am 1994 No 88, Sch 6 (6).","sortOrder":34},{"sectionNumber":"16A","sectionType":"section","heading":"Passing through efficient costs in price determinations","content":"#### 16A Passing through efficient costs in price determinations\n\n16A Passing through efficient costs in price determinations\n\n> > (1) The portfolio Minister for a government agency may direct the Tribunal, when it makes a determination of the maximum price for a government monopoly service provided by the agency, to include in the maximum price an amount representing the efficient cost of complying with a specified requirement imposed on the agency.\n> \n> > (2) The portfolio Minister for a government agency may direct the Tribunal, when it makes a determination of the methodology for fixing the maximum price for a government monopoly service provided by the agency, to include in the methodology a factor representing the efficient cost of complying with a specified requirement imposed on the agency.\n> \n> > (3) Such a requirement may only be a requirement imposed by or under a licence or authorisation, a requirement imposed by a ministerial direction under an Act, or some other requirement imposed by or under an Act or statutory instrument.\n> \n> > (3A) A portfolio Minister may give a direction to the Tribunal under this section only if—\n> > \n> > > (a) the portfolio Minister has consulted with the Tribunal on the proposed direction before giving the direction, and\n> > \n> > > (b) the Minister administering this Act has approved the direction.\n> \n> > (4) The Tribunal is required to comply with a direction under this section.\n> \n> > (5) In its report, the Tribunal is required to set out the terms of the direction and to include an explanation of the manner in which it has complied with the direction.\n> \n> **s 16A:** Ins 2000 No 60, Sch 3.1 \\[15\\]. Am 2010 No 119, Sch 1.18.","sortOrder":35},{"sectionNumber":"17","sectionType":"section","heading":"Gazettal of determinations","content":"#### 17 Gazettal of determinations\n\n17 Gazettal of determinations\n\n> > (1) A determination in a report of the Tribunal of the pricing for a government monopoly service—\n> > \n> > > (a) is to be published in the Gazette by the Minister as soon as practicable after the report is received by the Minister, and\n> > \n> > > (b) takes effect on the day it is so published or on a later day specified in the determination for that purpose.\n> \n> > (2) A determination may specify different days for the commencement of different parts of the determination.\n> \n> **s 17:** Am 1994 No 88, Sch 6 (7); 2000 No 109, Sch 2.3 \\[6\\]; 2017 No 63, Sch 4.25 \\[4\\].","sortOrder":36},{"sectionNumber":"18","sectionType":"section","heading":"Implementation of price determinations and other reports","content":"#### 18 Implementation of price determinations and other reports\n\n18 Implementation of price determinations and other reports\n\n> > (1) A determination of the Tribunal of the maximum price for a government monopoly service is to be implemented as follows—\n> > \n> > > (a) if the price for the service is fixed by a Minister, a public official (other than the Governor) or the relevant government agency—the Minister, official or agency is to ensure that the price does not exceed the maximum price determined by the Tribunal,\n> > \n> > > (b) in any other case—the Minister responsible for the supply of the service (or for the government agency that supplies the service) is required to take the appropriate action available to the Minister to ensure that the price does not exceed the maximum price determined by the Tribunal.\n> \n> > (1A) A determination made by the Tribunal of the methodology for fixing the maximum price for a government monopoly service is to be implemented as follows—\n> > \n> > > (a) if the price for the service is fixed by a Minister, a public official (other than the Governor) or the relevant government agency—the Minister, official or agency is to ensure that the price does not exceed the maximum price fixed in accordance with a proper application of the methodology,\n> > \n> > > (b) in any other case—the Minister responsible for the supply of the service (or for the government agency that supplies the service) is required to take the appropriate action available to the Minister to ensure that the price does not exceed the maximum price fixed in accordance with a proper application of the methodology.\n> \n> > (2) The approval of the Treasurer must be obtained if another Minister, an official or an agency fixes (or takes action to fix) the price below the maximum price determined by the Tribunal or calculated in accordance with the determination of the Tribunal.\n> \n> > (3) If a report of the Tribunal makes recommendations with respect to the pricing policies for a government monopoly service, the recommendations are to be taken into account in the fixing of prices for those services.\n> \n> > (4) A government agency which is the subject of a determination or recommendation of the Tribunal is required to include in its annual report—\n> > \n> > > (a) particulars of how any such determination has been implemented, and\n> > \n> > > (b) a statement of whether any such recommendation has been implemented and, if not, the reasons why it has not been implemented.\n> \n> > (5) A government agency that is the subject of a determination or recommendation of the Tribunal is also required to include the particulars and statement required under subsection (4) in the submissions made by the agency to the Tribunal during any subsequent investigation of the same matter as that to which the determination or recommendation related.\n> \n> **s 18:** Am 1994 No 88, Sch 6 (8); 1995 No 97, Sch 1 (19).","sortOrder":37},{"sectionNumber":"Division 6","sectionType":"division","heading":"Publication of reports","content":"## Division 6 Publication of reports\n\nDivision 6 Publication of reports\n\n**pt 3, div 6, hdg:** Ins 2000 No 60, Sch 3.1 \\[16\\].","sortOrder":38},{"sectionNumber":"19","sectionType":"section","heading":"Reports to be made public","content":"#### 19 Reports to be made public\n\n19 Reports to be made public\n\n> > (1) As soon as practicable after the Minister receives a report from the Tribunal under this Part, the Minister is to arrange for copies of the report to be made available for public inspection.\n> \n> > (2) However, if the Tribunal in the special circumstances of the case recommends in its report that the public release of the report, or part of the report, be delayed for a specified period, subsection (1) applies to the report, or that part of the report, as if the report were received by the Minister at the end of that period.\n> \n> > (3) The arrangements under subsection (1) for making of copies of a report available for public inspection are to include—\n> > \n> > > (a) the tabling of a copy of the report in each House of Parliament within 5 sitting days of the House, and\n> > \n> > > (b) the forwarding of a copy of the report, within 5 days of its receipt by the Minister, to the Parliamentary Librarian to form part of the Parliamentary Library’s collection, and\n> > \n> > > (c) the making of a copy of the report available for public inspection at the office of the Tribunal during its ordinary hours of business.\n> \n> > (4) (Repealed)\n> \n> **s 19:** Am 2000 No 60, Sch 3.1 \\[17\\]; 2019 No 14, Sch 1.12\\[2\\].","sortOrder":39},{"sectionNumber":"Division 7","sectionType":"division","heading":"Investigations","content":"## Division 7 Investigations\n\nDivision 7 Investigations\n\n**pt 3, div 7, hdg:** Ins 2000 No 60, Sch 3.1 \\[18\\].","sortOrder":40},{"sectionNumber":"19A","sectionType":"section","heading":"Definition","content":"#### 19A Definition\n\n19A Definition\n\n> In this Division—\n> \n> investigation means an investigation by the Tribunal for the purposes of this Part.\n> \n> **s 19A:** Ins 2000 No 60, Sch 3.1 \\[19\\].","sortOrder":41},{"sectionNumber":"20","sectionType":"section","heading":"General conduct of investigations","content":"#### 20 General conduct of investigations\n\n20 General conduct of investigations\n\n> > (1) In an investigation, the Tribunal—\n> > \n> > > (a) is to act with as little formality as possible, and\n> > \n> > > (b) may inform itself on any matter in any way it thinks fit and is not bound by the rules of evidence, and\n> > \n> > > (c) may receive information or submissions in the form of oral or written statements, and\n> > \n> > > (d) may consult with such persons as it thinks fit.\n> \n> > (2) The Tribunal is not required to hear evidence from a government agency or any other person affected by any investigation of the Tribunal.","sortOrder":42},{"sectionNumber":"21","sectionType":"section","heading":"Hearings in investigations","content":"#### 21 Hearings in investigations\n\n21 Hearings in investigations\n\n> > (1) The Tribunal is required to hold at least one hearing for the purposes of each investigation and may hold further hearings if it considers that it is necessary to do so.\n> \n> > (2) The Tribunal may also hold public seminars, conduct workshops and establish working groups and task forces for the purposes of an investigation.\n> \n> > (3) Before the Tribunal begins to hold hearings for the purposes of an investigation, it must give reasonable notice, in a manner that the Tribunal is satisfied is likely to bring the notice to the attention of members of the public generally, of its intention to hold the hearings, the subject of the hearings and the time and place at which the first of the hearings is to begin.\n> \n> > (3A) The Tribunal may call for written submissions to be made before the hearings commence, and may specify a time and date by which those submissions must be made. The Tribunal may extend the time for the making of submissions.\n> \n> > (4) A hearing is to be held in public.\n> \n> > (5) However, if the Tribunal is satisfied that it is desirable to do so because of the confidential nature of any evidence or matter or for any other reason, it may—\n> > \n> > > (a) direct that a hearing or a part of a hearing is to take place in private and give directions as to the persons who may be present, or\n> > \n> > > (b) give directions prohibiting or restricting the publication of evidence given before the hearing or of matters contained in documents given to the Tribunal.\n> \n> > (6) A person must not contravene a direction given under subsection (5) (b).\n> > \n> > Maximum penalty—100 penalty units or imprisonment for 6 months, or both.\n> \n> > (7) Schedule 3 applies to a hearing, so far as that Schedule is capable of so applying, as if the hearing were a meeting of the Tribunal.\n> \n> **s 21:** Am 1995 No 97, Sch 1 (20); 2019 No 14, Sch 1.12\\[3\\].","sortOrder":43},{"sectionNumber":"22","sectionType":"section","heading":"Tendering information, documents and evidence","content":"#### 22 Tendering information, documents and evidence\n\n22 Tendering information, documents and evidence\n\n> > (1) For the purposes of an investigation, the Chairperson may, by notice in writing served on an officer of a government agency or on any other person, require the officer or other person to do any one or more of the following—\n> > \n> > > (a) to send to the Tribunal, on or before a day specified in the notice, a statement setting out such information as is so specified,\n> > \n> > > (b) to send to the Tribunal, on or before a day specified in the notice, such documents as are so specified,\n> > \n> > > (c) to attend at a hearing before the Tribunal to give evidence.\n> \n> > (2) If documents are given to the Tribunal under this section, the Tribunal—\n> > \n> > > (a) may take possession of, and make copies of or take extracts from, the documents, and\n> > \n> > > (b) may keep possession of the documents for such period as is necessary for the purposes of the investigation to which they relate, and\n> > \n> > > (c) during that period must permit them to be inspected at all reasonable times by persons who would be entitled to inspect them if they were not in the possession of the Tribunal.\n> \n> > (3) A person (not being an officer of a government agency) who attends at a hearing because of a notice under this section is entitled to be paid by the State such allowances and expenses as are prescribed by the regulations or (subject to the regulations) as are approved by the Treasurer.\n> \n> > (4) (Repealed)\n> \n> **s 22:** Am 1995 No 97, Sch 1 (21).","sortOrder":44},{"sectionNumber":"22A","sectionType":"section","heading":"Making submissions and documents available to public","content":"#### 22A Making submissions and documents available to public\n\n22A Making submissions and documents available to public\n\n> > (1) The Tribunal must make a document obtained by the Tribunal in connection with an investigation (including any submission given to the Tribunal under section 21 and any statement or document given to the Tribunal under section 22) available for inspection on request by any person, unless the document contains information that the Tribunal would not be required to disclose under the [Government Information (Public Access) Act 2009](/view/html/inforce/current/act-2009-052).\n> \n> > (2) The Tribunal may make such a document available for inspection on request by any person who the Tribunal considers has an interest in the investigation to which the document relates, despite the fact that the document contains information that the Tribunal would not be required to disclose under the [Government Information (Public Access) Act 2009](/view/html/inforce/current/act-2009-052). However, the Tribunal may only do that if the Tribunal—\n> > \n> > > (a) has given the person that gave the document to the Tribunal (and, in the case of a document that is an agreement registered under section 12C, the parties to the agreement) an opportunity to make a submission to the Tribunal on whether the document should be made available, and\n> > \n> > > (b) has considered the submission (if any), and\n> > \n> > > (c) is satisfied that making the document available could not reasonably be expected to damage the commercial or other interests of the State or of the person that gave it to the Tribunal (or, in the case of a document that is an agreement registered under section 12C, of the parties to the agreement) or of any other person.\n> \n> > (3) The Tribunal may, in making a document available (or instead of refusing to make a document available) under this section, do all or any of the following—\n> > \n> > > (a) make parts of the document available to the public, being parts that would, if they stood alone, constitute documents that the Tribunal must or may, in accordance with this section, make available to the public,\n> > \n> > > (b) make the document available after deleting parts of the document that would otherwise prevent its availability under this section,\n> > \n> > > (c) impose conditions on the availability of part or all of a document (for example, conditions limiting the availability to certain classes of persons or requiring persons not to reveal the contents of the part or document).\n> \n> > (4) In its deliberations under subsection (2), the Tribunal may take into account the likely effect of conditions that the Tribunal might impose under subsection (3).\n> \n> > (5) A person to whom a document is made available under subsection (2) must not infringe any condition to which that availability is subject under this section.\n> > \n> > Maximum penalty—100 penalty units.\n> \n> > (6) Nothing in this section limits the operation of section 21 (5) (b).\n> \n> **s 22A:** Ins 1995 No 97, Sch 1 (22). Am 2000 No 60, Sch 3.1 \\[20\\] \\[21\\]; 2009 No 54, Sch 2.26 \\[1\\].","sortOrder":45},{"sectionNumber":"23","sectionType":"section","heading":"Offences","content":"#### 23 Offences\n\n23 Offences\n\n> > (1) A person must not, without reasonable excuse—\n> > \n> > > (a) refuse or fail to comply with a notice served under this Division, or\n> > \n> > > (b) refuse or fail to answer a question that the person is required to answer by the Chairperson at any hearing held under this Division.\n> \n> > (2) It is a reasonable excuse for the purposes of subsection (1) that to comply with the notice or to answer the question might tend to incriminate the person or make the person liable to any forfeiture or penalty.\n> \n> > (3) A person must not—\n> > \n> > > (a) give to the Tribunal, whether orally or in writing, information that the person knows to be false or misleading in a material particular (unless the person informs the Tribunal of that fact), or\n> > \n> > > (b) at a hearing before the Tribunal, give evidence that the person knows to be false or misleading in a material particular.\n> \n> > (4) A person must not hinder, obstruct or interfere with the Chairperson or any other member of the Tribunal in the exercise of functions as Chairperson or other member.\n> \n> > (5) A person must not take any action that detrimentally affects the employment of another person, or threaten to do so, because that other person has assisted the Tribunal in any investigation.\n> \n> Maximum penalty—100 penalty units or imprisonment for 6 months, or both.\n> \n> **s 23:** Am 2000 No 60, Sch 3.1 \\[22\\].","sortOrder":46},{"sectionNumber":"24","sectionType":"section","heading":null,"content":"#### 24\n\n24\n\n(Renumbered as sec 25A)\n\n**s 24:** Renumbered as sec 25A, 2000 No 60, Sch 3.1 \\[23\\].","sortOrder":47},{"sectionNumber":"Part 3A","sectionType":"part","heading":"Price determinations: monitoring","content":"# Part 3A Price determinations: monitoring\n\nPart 3A Price determinations: monitoring\n\n**pt 3A (ss 24AA–24AD):** Ins 2000 No 60, Sch 3.1 \\[24\\].","sortOrder":48},{"sectionNumber":"24AA","sectionType":"section","heading":"Monitoring role","content":"#### 24AA Monitoring role\n\n24AA Monitoring role\n\n> The Tribunal may monitor the performance of a government agency specified in Schedule 1 for the purposes of—\n> \n> > (a) establishing, and reporting to the Minister on, the level of compliance by the government agency with a determination of the Tribunal of the pricing for a government monopoly service supplied by the government agency, and\n> \n> > (b) preparing for a periodic review of pricing policies in respect of government monopoly services supplied by the government agency.\n> \n> **pt 3A (ss 24AA–24AD):** Ins 2000 No 60, Sch 3.1 \\[24\\].","sortOrder":49},{"sectionNumber":"24AB","sectionType":"section","heading":"Government agencies to provide information, documents and evidence","content":"#### 24AB Government agencies to provide information, documents and evidence\n\n24AB Government agencies to provide information, documents and evidence\n\n> > (1) For the purposes referred to in section 24AA, the Chairperson may, by notice in writing served on an officer of the government agency to which a determination relates, require the officer to do any one or more of the following—\n> > \n> > > (a) to send to the Tribunal, on or before a day specified in the notice, a statement setting out such information as is so specified,\n> > \n> > > (b) to send to the Tribunal, on or before a day specified in the notice, such documents as are so specified,\n> > \n> > > (c) to attend a meeting of the Tribunal to give evidence.\n> \n> > (2) If documents are given to the Tribunal under this section, the Tribunal—\n> > \n> > > (a) may take possession of, and make copies of or take extracts from, the documents, and\n> > \n> > > (b) may keep possession of the documents for such period as is necessary for those purposes, and\n> > \n> > > (c) during that period must permit them to be inspected at all reasonable times by persons who would be entitled to inspect them if they were not in the possession of the Tribunal.\n> \n> **pt 3A (ss 24AA–24AD):** Ins 2000 No 60, Sch 3.1 \\[24\\].","sortOrder":50},{"sectionNumber":"24AC","sectionType":"section","heading":"Offences","content":"#### 24AC Offences\n\n24AC Offences\n\n> > (1) A person must not, without reasonable excuse—\n> > \n> > > (a) refuse or fail to comply with a notice served under this Part, or\n> > \n> > > (b) refuse or fail to answer a question that the person is required to answer by the Chairperson at any meeting of the Tribunal under this Part.\n> \n> > (2) It is a reasonable excuse for the purposes of subsection (1) that to comply with the notice or to answer the question might tend to incriminate the person or make the person liable to any forfeiture or penalty.\n> \n> > (3) A person must not—\n> > \n> > > (a) give to the Tribunal, whether orally or in writing, information that the person knows to be false or misleading in a material particular (unless the person informs the Tribunal of that fact), or\n> > \n> > > (b) at a meeting of the Tribunal, give evidence that the person knows to be false or misleading in a material particular.\n> \n> > (4) A person must not hinder, obstruct or interfere with the Chairperson or any other member of the Tribunal in the exercise of functions for the purposes of this Part as Chairperson or other member.\n> \n> > (5) A person must not take any action that detrimentally affects the employment of another person, or threaten to do so, because that other person has assisted the Tribunal in any investigation.\n> \n> Maximum penalty—100 penalty units or imprisonment for 6 months, or both.\n> \n> **pt 3A (ss 24AA–24AD):** Ins 2000 No 60, Sch 3.1 \\[24\\].","sortOrder":51},{"sectionNumber":"24AD","sectionType":"section","heading":"Confidential information","content":"#### 24AD Confidential information\n\n24AD Confidential information\n\n> > (1) If a person provides information to the Tribunal in connection with functions under this Part on the understanding that the information is confidential and will not be divulged, the Tribunal is required to ensure that the information is not divulged by it to any person, except—\n> > \n> > > (a) with the consent of the person who provided the information, or\n> > \n> > > (b) to the extent that the Tribunal is satisfied that the information is not confidential in nature, or\n> > \n> > > (c) to a member or officer of the Tribunal.\n> \n> > (2) If the Tribunal is satisfied that it is desirable to do so because of the confidential nature of any information provided to the Tribunal in connection with functions under this Part, it may give directions prohibiting or restricting the divulging of the information.\n> \n> > (3) A person must not contravene a direction given under subsection (2).\n> > \n> > Maximum penalty—100 penalty units or imprisonment for 6 months, or both.\n> \n> > (4) A reference in this section to information includes information contained in any evidence given at a meeting of the Tribunal and information contained in any documents given to the Tribunal.\n> \n> **pt 3A (ss 24AA–24AD):** Ins 2000 No 60, Sch 3.1 \\[24\\].","sortOrder":52},{"sectionNumber":"Part 3B","sectionType":"part","heading":"Approval or determination of Murray-Darling Basin water charges","content":"# Part 3B Approval or determination of Murray-Darling Basin water charges\n\nPart 3B Approval or determination of Murray-Darling Basin water charges\n\n**pt 3B (ss 24AE–24AL):** Ins 2015 No 8, Sch 1 \\[1\\].","sortOrder":53},{"sectionNumber":"24AE","sectionType":"section","heading":"Definitions","content":"#### 24AE Definitions\n\n24AE Definitions\n\n> In this Part—\n> \n> ACCC means the Australian Competition and Consumer Commission established by section 6A of the [Competition and Consumer Act 2010](http://www.legislation.gov.au/) of the Commonwealth.\n> \n> accredited arrangements has the same meaning as in the Commonwealth Water Charge Rules.\n> \n> applied provisions means the Commonwealth provisions as applied by section 24AG.\n> \n> Basin water resources has the same meaning as State water resources has in the Commonwealth Water Charge Rules in relation to New South Wales.\n> \n> Commonwealth provisions has the same meaning as applied provisions has in rule 59 (2) of the Commonwealth Water Charge Rules.\n> \n> Commonwealth Water Charge Rules means the [Water Charge (Infrastructure) Rules 2010](http://www.legislation.gov.au/) of the Commonwealth.\n> \n> Part 6 operator has the same meaning as in the Commonwealth Water Charge Rules.\n> \n> Part 7 operator has the same meaning as in the Commonwealth Water Charge Rules.\n> \n> regulated charge has the same meaning as in the Commonwealth Water Charge Rules.\n> \n> Regulator has the same meaning as in the Commonwealth Water Charge Rules.\n> \n> **pt 3B (ss 24AE–24AL):** Ins 2015 No 8, Sch 1 \\[1\\].\n> \n> **pt 4, hdg:** Rep 2000 No 60, Sch 3.1 \\[18\\].","sortOrder":54},{"sectionNumber":"24AF","sectionType":"section","heading":"Interpretation of applied provisions","content":"#### 24AF Interpretation of applied provisions\n\n24AF Interpretation of applied provisions\n\n> > (1) Subject to subsection (2), the [Acts Interpretation Act 1901](http://www.legislation.gov.au/) of the Commonwealth applies as a law of this State in relation to the applied provisions as if the applied provisions were a Commonwealth Act and each rule of the applied provisions were a section of a Commonwealth Act.\n> \n> > (2) The [Acts Interpretation Act 1901](http://www.legislation.gov.au/) of the Commonwealth applies to the applied provisions only to the extent to which that Act applies to the Commonwealth Water Charge Rules.\n> \n> > (3) The following provisions apply to the applied provisions—\n> > \n> > > (a) expressions used in the applied provisions have the same meaning as in the [Water Act 2007](http://www.legislation.gov.au/) of the Commonwealth,\n> > \n> > > (b) the applied provisions are to be read and construed subject to the [Water Act 2007](http://www.legislation.gov.au/) of the Commonwealth and so as not to exceed the rule-making power in section 92 of that Act or any other ancillary rule-making powers in that Act,\n> > \n> > > (c) if a provision of the applied provisions would, but for paragraph (b), be construed as being in excess of any rule-making power referred to in that paragraph, it is taken to have effect to the extent to which it does not exceed that rule-making power.\n> \n> > (4) The [Interpretation Act 1987](/view/html/inforce/current/act-1987-015) of New South Wales does not apply in relation to the applied provisions.\n> \n> **pt 3B (ss 24AE–24AL):** Ins 2015 No 8, Sch 1 \\[1\\].","sortOrder":55},{"sectionNumber":"24AG","sectionType":"section","heading":"Application of Commonwealth provisions","content":"#### 24AG Application of Commonwealth provisions\n\n24AG Application of Commonwealth provisions\n\n> In respect of Basin water resources, the Commonwealth provisions, as in force from time to time, apply as a law of this State.\n> \n> **pt 3B (ss 24AE–24AL):** Ins 2015 No 8, Sch 1 \\[1\\].","sortOrder":56},{"sectionNumber":"24AH","sectionType":"section","heading":"Functions of Tribunal","content":"#### 24AH Functions of Tribunal\n\n24AH Functions of Tribunal\n\n> The Tribunal has all the functions conferred on a Regulator under the applied provisions.\n> \n> **pt 3B (ss 24AE–24AL):** Ins 2015 No 8, Sch 1 \\[1\\].","sortOrder":57},{"sectionNumber":"24AI","sectionType":"section","heading":"Operation of applied provisions","content":"#### 24AI Operation of applied provisions\n\n24AI Operation of applied provisions\n\n> Without limiting section 24AG, the applied provisions have effect only while the arrangements referred to in section 24AJ (a) are accredited arrangements.\n> \n> **pt 3B (ss 24AE–24AL):** Ins 2015 No 8, Sch 1 \\[1\\].","sortOrder":58},{"sectionNumber":"24AJ","sectionType":"section","heading":"Application for accreditation","content":"#### 24AJ Application for accreditation\n\n24AJ Application for accreditation\n\n> The Tribunal may—\n> \n> > (a) apply to the ACCC for section 24AH (to the extent to which it provides for the approval or determination by the Tribunal of regulated charges of Part 6 operators and Part 7 operators relating to Basin water resources in accordance with the applied provisions) to be accredited as accredited arrangements, and\n> \n> > (b) do anything else necessary to enable those arrangements to be so accredited.\n> \n> **pt 3B (ss 24AE–24AL):** Ins 2015 No 8, Sch 1 \\[1\\].","sortOrder":59},{"sectionNumber":"24AK","sectionType":"section","heading":"Tribunal not subject to Ministerial control in exercise of functions","content":"#### 24AK Tribunal not subject to Ministerial control in exercise of functions\n\n24AK Tribunal not subject to Ministerial control in exercise of functions\n\n> Despite any provision of this Act or any other law to the contrary, the Tribunal is not subject to the control or direction of any Minister in the exercise of its functions under the applied provisions.\n> \n> **pt 3B (ss 24AE–24AL):** Ins 2015 No 8, Sch 1 \\[1\\].","sortOrder":60},{"sectionNumber":"24AL","sectionType":"section","heading":"Notification of approval, revocation or cessation of accreditation","content":"#### 24AL Notification of approval, revocation or cessation of accreditation\n\n24AL Notification of approval, revocation or cessation of accreditation\n\n> > (1) If the ACCC approves an application for accreditation of the arrangements referred to in section 24AJ (a) as accredited arrangements, the Tribunal must publish notice of that approval within 7 days after that approval.\n> \n> > (2) A notice under subsection (1) must—\n> > \n> > > (a) be published in the Gazette and on the Tribunal’s website, and\n> > \n> > > (b) include a copy of the ACCC’s decision to approve the application and the date on which the accreditation takes effect.\n> \n> > (3) If the ACCC revokes the accreditation of the arrangements referred to in section 24AJ (a) as accredited arrangements, the Tribunal must publish notice of that revocation within 7 days after that revocation.\n> \n> > (4) A notice under subsection (3) must—\n> > \n> > > (a) be published in the Gazette and on the Tribunal’s website, and\n> > \n> > > (b) include a copy of the ACCC’s decision to revoke the accreditation and the date on which the revocation takes effect.\n> \n> > (5) If accreditation of the arrangements referred to in section 24AJ (a) as accredited arrangements ceases to have effect, the Tribunal must publish notice of that fact within 7 days after the date on which that accreditation ceases to have effect.\n> \n> > (6) A notice under subsection (5) must—\n> > \n> > > (a) be published in the Gazette and on the Tribunal’s website, and\n> > \n> > > (b) include the date on which the accreditation ceases to have effect.\n> \n> Note.\n> \n> Part 9 of the Commonwealth Water Charge Rules provides for the approval of an application for accreditation of arrangements and the revocation of the accreditation. In accordance with that Part, the ACCC is required to publish notice of the approval or revocation on its website.\n> \n> **pt 3B (ss 24AE–24AL):** Ins 2015 No 8, Sch 1 \\[1\\].","sortOrder":61},{"sectionNumber":"Part 4A","sectionType":"part","heading":"Access regimes: arbitration of disputes","content":"# Part 4A Access regimes: arbitration of disputes\n\nPart 4A Access regimes: arbitration of disputes\n\n**pt 4A, hdg:** Ins 1995 No 97, Sch 1 (23). Am 2000 No 60, Sch 3.1 \\[25\\].\n\n**pt 4A:** Ins 1995 No 97, Sch 1 (23).","sortOrder":62},{"sectionNumber":"24A","sectionType":"section","heading":"Arbitration of access disputes","content":"#### 24A Arbitration of access disputes\n\n24A Arbitration of access disputes\n\n> > (1) If a dispute exists with respect to a public infrastructure access regime that provides for the application of this Part, any party to the dispute may refer the dispute to arbitration.\n> \n> > (2) The [Commercial Arbitration Act 2010](/view/html/inforce/current/act-2010-061) applies to such an arbitration, but subject to this Part and the regulations.\n> \n> > (3) A dispute is taken to exist with respect to such an access regime if a person (the third party) who wants access to a service, or wants a change to some aspect of the person’s existing access to a service, under the access regime is unable to agree with the provider of the service on one or more aspects of access to the service.\n> \n> > (4) The parties to the dispute are the third party and the provider of the service. The provider of the service is the government agency that owns, controls or operates the infrastructure by means of which the service is provided.\n> \n> **s 24A:** Ins 1995 No 97, Sch 1 (23). Am 2010 No 61, Sch 2.9 \\[1\\].","sortOrder":63},{"sectionNumber":"24B","sectionType":"section","heading":"Appointment and functions of arbitrator","content":"#### 24B Appointment and functions of arbitrator\n\n24B Appointment and functions of arbitrator\n\n> > (1) The Tribunal may act as arbitrator to hear and determine disputes referred to arbitration under this Part. Alternatively, the Tribunal may appoint one or more persons from a panel approved by the Minister (whether or not the persons are members of the Tribunal) who may act as arbitrators to hear and determine a dispute referred to arbitration under this Part.\n> \n> > (2) In the case of a dispute between a third party wanting, but not having, access to a service and the provider of the service, the arbitrator must give public notice of the dispute. The notice must invite submissions to the arbitrator from the public regarding the dispute and specify when and how those submissions may be made.\n> \n> > (3) In the arbitration of a dispute referred under this Part, the arbitrator must take into account the following—\n> > \n> > > (a) the matters set out in clause 6 (4) (i), (j) and (l) of the Competition Principles Agreement,\n> > \n> > > (b) any guidelines referred to in section 12A (2) for the access regime to which the dispute relates,\n> > \n> > > (c) any submissions made on the dispute by the public, in a case to which subsection (2) applies,\n> > \n> > > (d) any other matters that the arbitrator considers relevant.\n> \n> > (4) An arbitrator in an arbitration under this Part has the powers of the Tribunal under section 22 (Tendering information, documents and evidence). In the application of that section under this Part, a reference to the Tribunal is taken to be a reference to the arbitrator.\n> \n> **ss 24B–24E:** Ins 1995 No 97, Sch 1 (23).","sortOrder":64},{"sectionNumber":"24C","sectionType":"section","heading":"Determination of dispute by arbitrator","content":"#### 24C Determination of dispute by arbitrator\n\n24C Determination of dispute by arbitrator\n\n> > (1) The arbitrator is to determine the dispute by making a written determination on access to the service by the third party.\n> \n> > (2) The determination may deal with any matter relating to access by the third party to the service, including matters that were not the basis for notification of the dispute. For example, the determination may do one or more of the following—\n> > \n> > > (a) require the provider to provide access to the service by the third party,\n> > \n> > > (b) require the third party to accept, and pay for, access to the service,\n> > \n> > > (c) specify the terms and conditions of the third party’s access to the service,\n> > \n> > > (d) require the provider to extend the infrastructure facility,\n> > \n> > > (e) specify the extent to which the determination overrides an earlier determination relating to access to the service by the third party.\n> \n> > (3) The determination does not have to require the provider to provide access to the service by the third party.\n> \n> **ss 24B–24E:** Ins 1995 No 97, Sch 1 (23).","sortOrder":65},{"sectionNumber":"24D","sectionType":"section","heading":"Parties required to give effect to determination","content":"#### 24D Parties required to give effect to determination\n\n24D Parties required to give effect to determination\n\n> The parties to an arbitration are required to give effect to the arbitration determination and, if the determination is in favour of the third party’s access to the service, must not engage in conduct for the purpose of preventing or hindering the third party’s access to the service under the determination.\n> \n> **ss 24B–24E:** Ins 1995 No 97, Sch 1 (23).","sortOrder":66},{"sectionNumber":"24E","sectionType":"section","heading":"Termination of arbitration","content":"#### 24E Termination of arbitration\n\n24E Termination of arbitration\n\n> > (1) An arbitrator may, without making a determination, terminate the arbitration at any time if the arbitrator thinks that any of the following grounds exist—\n> > \n> > > (a) the notification of the dispute was vexatious,\n> > \n> > > (b) the subject-matter of the dispute is trivial, misconceived or lacking in substance,\n> > \n> > > (c) the party who notified the dispute has not engaged in negotiations in good faith,\n> > \n> > > (d) access to the service should continue to be governed by an existing contract between the provider and the third party.\n> \n> > (2) In addition, if the dispute is about varying an existing determination, the arbitrator may terminate the arbitration if the arbitrator thinks there is no sufficient reason why the previous determination should not continue to have effect in its present form.\n> \n> **ss 24B–24E:** Ins 1995 No 97, Sch 1 (23).","sortOrder":67},{"sectionNumber":"Part 4B","sectionType":"part","heading":"Regulation of utilities","content":"# Part 4B Regulation of utilities\n\nPart 4B Regulation of utilities","sortOrder":68},{"sectionNumber":"24F","sectionType":"section","heading":"Regulatory functions of Tribunal","content":"#### 24F Regulatory functions of Tribunal\n\n24F Regulatory functions of Tribunal\n\n> The regulatory functions of the Tribunal include its functions referred to in—\n> \n> > (a) section 77 of the [Electricity Supply Act 1995](/view/html/inforce/current/act-1995-094), and\n> \n> > (b) section 75A of the [Gas Supply Act 1996](/view/html/inforce/current/act-1996-038), and\n> \n> > (c) section 18A of the [Hunter Water Act 1991](/view/html/inforce/current/act-1991-053), and\n> \n> > (d) section 28 of the [Sydney Water Act 1994](/view/html/inforce/current/act-1994-088), and\n> \n> > (d1) (Repealed)\n> \n> > (e) section 56 of the [Water NSW Act 2014](/view/html/inforce/current/act-2014-074), and\n> \n> > (f) (Repealed)\n> \n> > (g) section 90 of the [Water Industry Competition Act 2006](/view/html/inforce/current/act-2006-104).\n> \n> **s 24F:** Ins 2000 No 60, Sch 1.1 \\[1\\]. Am 2004 No 40, Sch 3.7 \\[2\\]; 2006 No 104, Sch 3.5 \\[1\\]; 2006 No 105, Sch 7.1 \\[3\\]; 2014 No 74, Sch 3.13 \\[2\\]; 2024 No 49, Sch 3\\[1\\].","sortOrder":70},{"sectionNumber":"24FA","sectionType":"section","heading":"Recommendations and advice","content":"#### 24FA Recommendations and advice\n\n24FA Recommendations and advice\n\n> > (1) Any recommendations or advice authorised or required to be made or given by the Tribunal under its regulatory functions may be of a general or specific nature.\n> \n> > (2) A Minister may, by order in writing, following consultation with, and with the agreement of, the Tribunal, establish protocols as to the procedures to be adopted for or with respect to the seeking, making or giving of any such recommendations or advice to that Minister, including protocols as to—\n> > \n> > > (a) the provision of advice and information to the Tribunal to enable the Tribunal to exercise its functions with respect to such recommendations or advice effectively and efficiently, and\n> > \n> > > (b) the circumstances in which the Tribunal’s recommendations or advice need not be sought, made or given (except where a recommendation or advice is required by an Act to be made or given).\n> \n> > (3) If the Tribunal makes or gives any recommendation or advice referred to in this section to a Minister, that Minister is to consider but is not bound by the recommendation or advice.\n> \n> > (4) A copy of each order made under this section is to be published in the Gazette as soon as practicable after it has been made.\n> \n> > (5) The provisions of an Act conferring on the Tribunal the regulatory function of making or giving recommendations or advice to a Minister for or with respect to a contravention of an operating licence or of the conditions of a licence or authorisation, or of an endorsement attached to a licence, do not apply to or affect any power that the Tribunal has to impose a monetary penalty in respect of such a contravention.\n> \n> **s 24FA:** Ins 2000 No 60, Sch 1.1 \\[1\\]. Am 2005 No 17, Sch 2.","sortOrder":71},{"sectionNumber":"24FB","sectionType":"section","heading":"Directions as to government policy","content":"#### 24FB Directions as to government policy\n\n24FB Directions as to government policy\n\n> > (1) In exercising its regulatory functions (other than its licence auditing functions), the Tribunal must give effect to any current government policy that has been communicated to the Tribunal, and certified to be government policy, by the relevant Minister or by the Premier.\n> \n> > (2) For the purposes of this section, the relevant Minister is the Minister who administers the provisions of the legislation relating to the grant of the relevant operating licence, licence or authorisation.\n> \n> > (3) The Tribunal is to make each such policy communicated to it and certificate received by it publicly available.\n> \n> **s 24FB:** Ins 2000 No 60, Sch 1.1 \\[1\\].","sortOrder":72},{"sectionNumber":"24FC","sectionType":"section","heading":"Licence auditing functions of Tribunal","content":"#### 24FC Licence auditing functions of Tribunal\n\n24FC Licence auditing functions of Tribunal\n\n> > (1) The licence auditing functions of the Tribunal are—\n> > \n> > > (a) its functions under section 87 of the [Electricity Supply Act 1995](/view/html/inforce/current/act-1995-094), and\n> > \n> > > (b) its functions in connection with operational audits under the [Hunter Water Act 1991](/view/html/inforce/current/act-1991-053), and\n> > \n> > > (c) its functions in connection with operational audits under the [Sydney Water Act 1994](/view/html/inforce/current/act-1994-088), and\n> > \n> > > (c1) (Repealed)\n> > \n> > > (d) its functions in connection with operational audits under the [Water NSW Act 2014](/view/html/inforce/current/act-2014-074), and\n> > \n> > > (e) (Repealed)\n> > \n> > > (f) its functions under section 85 of the [Water Industry Competition Act 2006](/view/html/inforce/current/act-2006-104).\n> \n> > (2) The Tribunal is not subject to the control or direction of any Minister in respect of the contents of any report or advice given to a Minister in relation to those functions.\n> \n> **s 24FC:** Ins 2000 No 60, Sch 1.1 \\[1\\]. Am 2004 No 40, Sch 3.7 \\[3\\]; 2006 No 104, Sch 3.5 \\[2\\]; 2006 No 105, Sch 7.1 \\[4\\]; 2014 No 74, Sch 3.13 \\[3\\]; 2024 No 49, Sch 3\\[1\\].","sortOrder":74},{"sectionNumber":"24FD","sectionType":"section","heading":"Establishment and function of Utilities Licence Auditing Advisory Committee","content":"#### 24FD Establishment and function of Utilities Licence Auditing Advisory Committee\n\n24FD Establishment and function of Utilities Licence Auditing Advisory Committee\n\n> > (1) There is established by this Act a Utilities Licence Auditing Advisory Committee.\n> \n> > (2) The function of the Advisory Committee is to furnish advice to the Tribunal on the scope and methodology of audits being or to be conducted under the licence auditing functions of the Tribunal.\n> \n> > (3) The advice is to be furnished at the request of, and in the manner and form determined by, the Tribunal.\n> \n> > (4) The Tribunal is to consider but is not bound by any of the advice of the Advisory Committee furnished to the Tribunal.\n> \n> > (5) The Advisory Committee is not subject to the control or direction of the Tribunal in respect of the contents of any advice of the Advisory Committee furnished to the Tribunal.\n> \n> **ss 24FD–24FF:** Ins 2000 No 60, Sch 1.1 \\[1\\].","sortOrder":75},{"sectionNumber":"24FE","sectionType":"section","heading":"Membership and procedure of Advisory Committee","content":"#### 24FE Membership and procedure of Advisory Committee\n\n24FE Membership and procedure of Advisory Committee\n\n> > (1) The Utilities Licence Auditing Advisory Committee is to consist of six part-time members appointed by the Minister.\n> \n> > (2) Of the members of the Advisory Committee—\n> > \n> > > (a) one is to have expertise in, and extensive knowledge of, water conservation and associated environmental matters and is to be appointed by the Minister from a panel of three persons nominated jointly by the Nature Conservation Council of New South Wales, the Public Interest Advocacy Centre, the Council of Social Services of New South Wales and the Australian Consumers Association, and\n> > \n> > > (b) one is to have expertise in, and extensive knowledge of, electricity distribution and retail supply and associated environmental matters and is to be appointed by the Minister from a panel of three persons nominated jointly by the Nature Conservation Council of New South Wales, the Public Interest Advocacy Centre, the Council of Social Services of New South Wales and the Australian Consumers Association, and\n> > \n> > > (c) one is to have expertise in, and knowledge of, consumer issues and is to be appointed by the Minister from a panel of three persons nominated jointly by the Nature Conservation Council of New South Wales, the Public Interest Advocacy Centre, the Council of Social Services of New South Wales and the Australian Consumers Association, and\n> > \n> > > (d) two are to be nominated by the Minister for Energy, and\n> > \n> > > (e) one is to be nominated by the Minister for the Environment.\n> \n> > (3) Schedule 3A has effect with respect to the membership and procedure of the Advisory Committee.\n> \n> **ss 24FD–24FF:** Ins 2000 No 60, Sch 1.1 \\[1\\].","sortOrder":76},{"sectionNumber":"24FF","sectionType":"section","heading":"Confidential information","content":"#### 24FF Confidential information\n\n24FF Confidential information\n\n> > (1) If a person provides information to the Tribunal in connection with its licence auditing functions on the understanding that the information is confidential and will not be divulged, the Tribunal is required to ensure that the information is not divulged by it to any person, except—\n> > \n> > > (a) with the consent of the person who provided the information, or\n> > \n> > > (b) to the extent that the Tribunal is satisfied that the information is not confidential in nature, or\n> > \n> > > (c) to a member or officer of the Tribunal.\n> \n> > (2) If the Tribunal is satisfied that it is desirable to do so because of the confidential nature of any information provided to the Tribunal in connection with its licence auditing functions, it may give directions prohibiting or restricting the divulging of the information.\n> \n> > (3) A person must not contravene a direction given under subsection (2).\n> > \n> > Maximum penalty—100 penalty units or imprisonment for 6 months, or both.\n> \n> > (4) A reference in this section to information includes information given at a meeting of the Tribunal and information contained in any documents given to the Tribunal.\n> \n> **ss 24FD–24FF:** Ins 2000 No 60, Sch 1.1 \\[1\\].","sortOrder":77},{"sectionNumber":"Part 4C","sectionType":"part","heading":"Competitive neutrality","content":"# Part 4C Competitive neutrality\n\nPart 4C Competitive neutrality\n\n**pt 4C:** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":78},{"sectionNumber":"24G","sectionType":"section","heading":"Purpose and application of Part","content":"#### 24G Purpose and application of Part\n\n24G Purpose and application of Part\n\n> > (1) The purpose of this Part is to provide the Tribunal with a role under the State’s complaints mechanism, in connection with competitive neutrality principles, as contemplated by the Competition Principles Agreement, so far as they are applicable to public authorities. Other bodies (including the NSW Procurement Board and the Office of Local Government) may also have roles under the complaints mechanism.\n> \n> > (2) Subject to subsection (3), this Part does not apply to a complaint that a public authority has failed to comply with competitive neutrality principles in relation to a tender bid made by the authority in response to an invitation for tenders.\n> \n> > (3) If the Minister is satisfied that—\n> > \n> > > (a) a complaint relates to an alleged failure by a public authority to comply with competitive neutrality principles in relation to a tender bid made by the authority in response to an invitation for tenders as well as in other respects, and\n> > \n> > > (b) it is appropriate that the complaint should be dealt with in its entirety under this Part,\n> > \n> > the Minister may direct that this Part applies to the complaint in relation to the tender bid as well as in the other respects.\n> \n> > (4) Subject to subsection (5), this Part does not apply to a complaint that a local authority has failed to comply with competitive neutrality principles.\n> \n> > (5) If the Minister (after consultation with the Minister for Local Government) is satisfied that—\n> > \n> > > (a) a complaint relates to an alleged failure by one or more local authorities to comply with competitive neutrality principles and also to an alleged failure by one or more other public authorities (not being local authorities), and\n> > \n> > > (b) it is appropriate that the complaint should be dealt with in its entirety under this Part,\n> > \n> > the Minister may direct that this Part applies to the complaint in relation to the one or more local authorities as well as in relation to the one or more other public authorities.\n> \n> > (6) A complaint that is the subject of a direction under this section is to be dealt with under this Part in accordance with the direction.\n> \n> **s 24G:** Ins 2000 No 60, Sch 2.1 \\[2\\]. Am 2012 No 43, Sch 3.3; 2015 No 58, Sch 3.47 \\[3\\].","sortOrder":80},{"sectionNumber":"24GA","sectionType":"section","heading":"Definitions","content":"#### 24GA Definitions\n\n24GA Definitions\n\n> In this Part—\n> \n> competitive neutrality principles means—\n> \n> > (a) the competitive neutrality principles referred to in the Competition Principles Agreement, and\n> \n> > (b) any policies adopted by the State for the purpose of complying with or giving effect to those principles.\n> \n> complaint includes any part or aspect of a complaint.\n> \n> local authority means a council, county council or joint organisation within the meaning of the [Local Government Act 1993](/view/html/inforce/current/act-1993-030) or any person exercising all or any of the functions of such a council, county council or joint organisation.\n> \n> public authority means a public or local authority of the State, and includes any government agency.\n> \n> public trading activities of a public authority means significant business activities relating to goods or services in which the authority is engaged.\n> \n> public trading agency means a public authority that is engaged in public trading activities (whether or not it is also engaged in other activities), and includes a public authority prescribed by the regulations as a public trading agency, but does not include a public authority prescribed by the regulations as not being a public trading agency.\n> \n> State includes the Government or a Minister.\n> \n> **s 24GA:** Ins 2000 No 60, Sch 2.1 \\[2\\]. Am 2017 No 65, Sch 2.14.","sortOrder":81},{"sectionNumber":"24GB","sectionType":"section","heading":"Complaints about competitive neutrality","content":"#### 24GB Complaints about competitive neutrality\n\n24GB Complaints about competitive neutrality\n\n> > (1) The Minister may refer to the Tribunal, for investigation and report, a complaint about a public trading agency with respect to—\n> > \n> > > (a) a failure of the agency to comply with competitive neutrality principles in relation to any or all of its public trading activities, or\n> > \n> > > (b) the inappropriate manner in which competitive neutrality principles are applied by or to the agency in relation to any or all of its public trading activities.\n> \n> > (2) The Minister is not to refer a complaint to the Tribunal unless satisfied—\n> > \n> > > (a) that the complaint relates to any or all of the public trading activities of the agency, and\n> > \n> > > (b) that the complainant is able to demonstrate that a person (the competitor) competes, or seeks to compete, in a particular market with the public authority and is hindered or is likely to be hindered from or in doing so by the matters complained of, and\n> > \n> > > (c) that the competitor is materially affected by the matters complained of or is likely to be so affected, and\n> > \n> > > (d) that the complaint has been made by the competitor or by a person or body authorised by the competitor to make the complaint on behalf of the competitor, and\n> > \n> > > (e) that the subject-matter of the complaint has been raised with the agency and the complainant has reasonable grounds for not being satisfied with the response to the complaint.\n> \n> > (3) The Tribunal is required to notify the complainant, the agency, the agency’s portfolio Minister and the Treasurer of the reference and that an investigation will be conducted into the complaint.\n> \n> > (4) If the Minister has referred a complaint to the Tribunal for investigation and report, the Minister may withdraw or amend the reference at any time before the Minister has received the report from the Tribunal.\n> \n> > (5) The regulations may make provision for or with respect to the manner of making complaints for the purposes of this Part.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":83},{"sectionNumber":"24GC","sectionType":"section","heading":"Investigation and report","content":"#### 24GC Investigation and report\n\n24GC Investigation and report\n\n> > (1) The Tribunal is to conduct an investigation into and make a report on any complaint referred to it and not withdrawn by the Minister.\n> \n> > (2) The Tribunal is, as far as possible, to use its best endeavours to complete the investigation and report within 10 weeks after receiving the complaint or such other period as the Minister may approve from time to time.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":84},{"sectionNumber":"24GD","sectionType":"section","heading":"Reports","content":"#### 24GD Reports\n\n24GD Reports\n\n> > (1) The report of the Tribunal with respect to a complaint is to contain a statement of its findings and recommendations about the complaint.\n> \n> > (2) If the Tribunal finds that the complaint has been wholly or partly substantiated, the report is to contain a statement about—\n> > \n> > > (a) any need for changes to the conduct of the public trading agency to ensure future compliance with competitive neutrality principles, and\n> > \n> > > (b) any policy changes that should be considered by the State.\n> \n> > (3) Copies of the report are to be furnished to the complainant, the agency, the agency’s portfolio Minister, the Treasurer, and the Minister.\n> \n> > (4) The Tribunal is to make the report publicly available.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":85},{"sectionNumber":"24GE","sectionType":"section","heading":"Portfolio Minister’s response to report","content":"#### 24GE Portfolio Minister’s response to report\n\n24GE Portfolio Minister’s response to report\n\n> > (1) Within 8 weeks after a report about a public trading agency has been furnished to the agency’s portfolio Minister, the portfolio Minister is to prepare a written response to the report. This requirement does not apply where the report states that the investigation concerned was terminated because the complainant did not comply or did not fully comply with a request under section 24GI.\n> \n> > (2) The response must include a statement as to whether or not the recommendations have been adopted or are proposed to be adopted and must include a statement of the reasons why any recommendation will not be adopted (whether wholly or partly).\n> \n> > (3) Copies of the response are to be furnished to the complainant, the agency, the Treasurer, the Minister, and the Tribunal.\n> \n> > (4) The Tribunal is to make the response publicly available.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":86},{"sectionNumber":"24GF","sectionType":"section","heading":"Definition","content":"#### 24GF Definition\n\n24GF Definition\n\n> In this Division—\n> \n> investigation means an investigation by the Tribunal for the purposes of this Part.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":88},{"sectionNumber":"24GG","sectionType":"section","heading":"Conduct of investigations","content":"#### 24GG Conduct of investigations\n\n24GG Conduct of investigations\n\n> > (1) Subject to this Part, in an investigation, the Tribunal—\n> > \n> > > (a) is to act with as little formality as possible, and\n> > \n> > > (b) may inform itself on any matter in any way it thinks fit and is not bound by the rules of evidence, and\n> > \n> > > (c) may receive information or submissions in the form of oral or written statements, and\n> > \n> > > (d) may consult with such persons as it thinks fit.\n> \n> > (2) The investigation is to be conducted in private as far as possible, and accordingly the Tribunal is not to conduct public hearings, public seminars and public workshops except with the approval of the Minister.\n> \n> > (3) Nothing in this section prevents the Tribunal from holding one or more meetings for the purposes of the investigation, but all such meetings are to be held privately.\n> \n> > (4) The Tribunal is required to seek and consider submissions from the public trading agency that is the subject of the complaint to which the investigation relates and the Treasurer, but is not required to seek or consider submissions from any other person.\n> \n> > (5) The regulations may make provision for or with respect to the conduct of investigations.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":89},{"sectionNumber":"24GH","sectionType":"section","heading":"Public trading agency to provide information, documents and evidence","content":"#### 24GH Public trading agency to provide information, documents and evidence\n\n24GH Public trading agency to provide information, documents and evidence\n\n> > (1) For the purposes of an investigation, the Chairperson may, by notice in writing served on an officer of the public trading agency that is the subject of the complaint to which the investigation relates, require the officer to do any one or more of the following—\n> > \n> > > (a) to send to the Tribunal, on or before a day specified in the notice, a statement setting out such information as is so specified,\n> > \n> > > (b) to send to the Tribunal, on or before a day specified in the notice, such documents as are so specified,\n> > \n> > > (c) to attend a meeting of the Tribunal to give evidence.\n> \n> > (2) If documents are given to the Tribunal under this section, the Tribunal—\n> > \n> > > (a) may take possession of, and make copies of or take extracts from, the documents, and\n> > \n> > > (b) may keep possession of the documents for such period as is necessary for the purposes of the investigation to which they relate, and\n> > \n> > > (c) during that period must permit them to be inspected at all reasonable times by persons who would be entitled to inspect them if they were not in the possession of the Tribunal.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":90},{"sectionNumber":"24GI","sectionType":"section","heading":"Complainant may be requested to provide information, documents and evidence","content":"#### 24GI Complainant may be requested to provide information, documents and evidence\n\n24GI Complainant may be requested to provide information, documents and evidence\n\n> > (1) For the purposes of an investigation, the Chairperson may, by notice in writing served on the complainant, request the complainant to do any one or more of the following—\n> > \n> > > (a) to send to the Tribunal, on or before a day specified in the notice, a statement setting out such information as is so specified,\n> > \n> > > (b) to send to the Tribunal, on or before a day specified in the notice, such documents as are so specified,\n> > \n> > > (c) to attend a meeting of the Tribunal to give evidence.\n> \n> > (2) If documents are given to the Tribunal under this section, the Tribunal—\n> > \n> > > (a) may take possession of, and make copies of or take extracts from, the documents, and\n> > \n> > > (b) may keep possession of the documents for such period as is necessary for the purposes of the investigation to which they relate, and\n> > \n> > > (c) during that period must permit them to be inspected at all reasonable times by persons who would be entitled to inspect them if they were not in the possession of the Tribunal.\n> \n> > (3) If the complainant does not comply or fully comply with a request under this section, the Tribunal may terminate the investigation, and the Tribunal’s report may be limited to a statement that the investigation was terminated for that reason.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":91},{"sectionNumber":"24GJ","sectionType":"section","heading":"Confidential information","content":"#### 24GJ Confidential information\n\n24GJ Confidential information\n\n> > (1) If a person provides information (protected information) to the Tribunal for the purposes of an investigation on the understanding that the information is confidential and will not be divulged, the Tribunal is required to ensure that the information is not divulged by it to any person, except—\n> > \n> > > (a) with the consent of the person who provided the information, or\n> > \n> > > (b) to the extent that the Tribunal is satisfied that the information is not confidential in nature, or\n> > \n> > > (c) to a member or officer of the Tribunal.\n> \n> > (2) If—\n> > \n> > > (a) the Tribunal is satisfied that protected information provided to the Tribunal by a complainant needs to be divulged to a person in order that the complaint can be properly dealt with, and\n> > \n> > > (b) the exceptions in subsection (1) (a)–(c) are not applicable,\n> > \n> > the Tribunal may notify the complainant that the Tribunal proposes to divulge the information to a specified person, or in its report, after a specified period.\n> \n> > (3) After the specified period, and despite subsection (1), the Tribunal may divulge the information to the specified person or in its report, unless the complainant withdraws the complaint.\n> \n> > (4) If the Tribunal is satisfied that it is desirable to do so because of the confidential nature of any information provided to the Tribunal for the purposes of an investigation, it may give directions prohibiting or restricting the divulging of the information.\n> \n> > (5) A person must not contravene a direction given under subsection (4).\n> > \n> > Maximum penalty—100 penalty units or imprisonment for 6 months, or both.\n> \n> > (6) A reference in this section to information includes information contained in any evidence given at a meeting of or hearing before the Tribunal and information contained in any documents given to the Tribunal.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":92},{"sectionNumber":"24GK","sectionType":"section","heading":"Offences","content":"#### 24GK Offences\n\n24GK Offences\n\n> > (1) A person must not, without reasonable excuse—\n> > \n> > > (a) refuse or fail to comply with a notice served under this Division, or\n> > \n> > > (b) refuse or fail to answer a question that the person is required to answer by the Chairperson at any meeting of or hearing before the Tribunal under this Division.\n> \n> > (2) It is a reasonable excuse for the purposes of subsection (1) that to comply with the notice or to answer the question might tend to incriminate the person or make the person liable to any forfeiture or penalty.\n> \n> > (3) A person must not—\n> > \n> > > (a) give to the Tribunal, whether orally or in writing, information that the person knows to be false or misleading in a material particular (unless the person informs the Tribunal of that fact), or\n> > \n> > > (b) at a meeting of or hearing before the Tribunal, give evidence that the person knows to be false or misleading in a material particular.\n> \n> > (4) A person must not hinder, obstruct or interfere with the Chairperson or any other member of the Tribunal in the exercise of functions for the purposes of this Division as Chairperson or other member.\n> \n> > (5) A person must not take any action that detrimentally affects the employment of another person, or threaten to do so, because that other person has assisted the Tribunal in any investigation.\n> \n> > (6) Subsection (1) does not apply to a complainant in relation to a notice served on the complainant under section 24GI.\n> \n> Maximum penalty—100 penalty units or imprisonment for 6 months, or both.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":93},{"sectionNumber":"24GL","sectionType":"section","heading":"Report of complaints","content":"#### 24GL Report of complaints\n\n24GL Report of complaints\n\n> The Tribunal is required to include in its annual report a statistical summary of complaints received by it, investigations conducted by it, and complaints disposed of by it, during the period covered by the annual report.\n> \n> **pt 4C, div 3 (ss 24GB–24GL):** Ins 2000 No 60, Sch 2.1 \\[2\\].","sortOrder":94},{"sectionNumber":"Part 5","sectionType":"part","heading":"Miscellaneous","content":"# Part 5 Miscellaneous\n\nPart 5 Miscellaneous","sortOrder":95},{"sectionNumber":"25","sectionType":"section","heading":"Act binds Crown","content":"#### 25 Act binds Crown\n\n25 Act binds Crown\n\n> This Act binds the Crown in right of New South Wales and, in so far as the legislative power of Parliament permits, the Crown in all its other capacities.","sortOrder":96},{"sectionNumber":"25A","sectionType":"section","heading":"Cabinet information and proceedings","content":"#### 25A Cabinet information and proceedings\n\n25A Cabinet information and proceedings\n\n> > (1) This Act does not enable the Tribunal—\n> > \n> > > (a) to require any person to give any statement of information or answer any question which relates to confidential proceedings of Cabinet, or\n> > \n> > > (b) to require any person to disclose Cabinet information, or\n> > \n> > > (c) to inspect Cabinet information.\n> \n> > (2) For the purposes of this section, a certificate of the Secretary or General Counsel of the Cabinet Office that—\n> > \n> > > (a) any information or question relates to confidential proceedings of Cabinet, or\n> > \n> > > (b) information is Cabinet information,\n> > \n> > is conclusive of that fact.\n> \n> > (3) In this section—\n> > \n> > Cabinet includes a committee of Cabinet or a subcommittee of such a committee.\n> > \n> > Cabinet information means information that is Cabinet information under the [Government Information (Public Access) Act 2009](/view/html/inforce/current/act-2009-052).\n> \n> **s 25A (previously s 24):** Renumbered 2000 No 60, Sch 3.1 \\[23\\]. Am 2009 No 54, Sch 2.26 \\[2\\]–\\[6\\]; 2015 No 58, Sch 3.47 \\[4\\]; 2023 No 35, Sch 4.19.","sortOrder":97},{"sectionNumber":"26","sectionType":"section","heading":"Personal liability","content":"#### 26 Personal liability\n\n26 Personal liability\n\n> A matter or thing done or omitted to be done by the Tribunal, a member of the Tribunal or any person acting under the direction of the Tribunal does not, if the matter or thing was done or omitted to be done in good faith for the purpose of executing this or any other Act, subject a member or a person so acting personally to any action, liability, claim or demand.\n> \n> **s 26:** Subst 2000 No 60, Sch 3.1 \\[26\\].","sortOrder":98},{"sectionNumber":"27","sectionType":"section","heading":"Service of documents on Tribunal","content":"#### 27 Service of documents on Tribunal\n\n27 Service of documents on Tribunal\n\n> > (1) A document may be served on the Tribunal by leaving it at, or by sending it by post to—\n> > \n> > > (a) the office of the Tribunal, or\n> > \n> > > (b) if it has more than one office—any one of its offices.\n> \n> > (2) Nothing in this section affects the operation of any provision of a law or of the rules of a court authorising a document to be served on the Tribunal in any other manner.","sortOrder":99},{"sectionNumber":"28","sectionType":"section","heading":"Proceedings for offences","content":"#### 28 Proceedings for offences\n\n28 Proceedings for offences\n\n> Proceedings for an offence against this Act or the regulations are to be dealt with summarily before the Local Court.\n> \n> **s 28:** Am 2007 No 94, Sch 4.","sortOrder":100},{"sectionNumber":"29","sectionType":"section","heading":"Regulations","content":"#### 29 Regulations\n\n29 Regulations\n\n> > (1) The Governor may make regulations, not inconsistent with this Act, for or with respect to any matter that by this Act is required or permitted to be prescribed or that is necessary or convenient to be prescribed for carrying out or giving effect to this Act.\n> \n> > (2) The regulations may make provision for or with respect to the following matters—\n> > \n> > > (a) fees,\n> > \n> > > (b) the procedure of the Tribunal,\n> > \n> > > (c) the arbitration of disputes under Part 4A.\n> \n> > (3) The regulations may require the payment of fees—\n> > \n> > > (a) by recipients of services provided by the Tribunal, or\n> > \n> > > (b) to meet the costs of the arbitration of access disputes under Part 4A, or\n> > \n> > > (c) by a government agency, or members of an industry, to which an investigation, report or determination by the Tribunal relates, to meet the reasonable costs of the Tribunal with respect to the investigation, report or determination.\n> \n> > (4) A regulation may create an offence punishable by a penalty not exceeding 5 penalty units.\n> \n> **s 29:** Am 1995 No 97, Sch 1 (24).","sortOrder":101},{"sectionNumber":"30","sectionType":"section","heading":"Savings and transitional provisions","content":"#### 30 Savings and transitional provisions\n\n30 Savings and transitional provisions\n\n> Schedule 4 has effect.\n> \n> **s 30:** Subst 1995 No 97, Sch 1 (25).","sortOrder":102},{"sectionNumber":"30A","sectionType":"section","heading":"Review of Act","content":"#### 30A Review of Act\n\n30A Review of Act\n\n> > (1) The Minister is to review this Act to determine whether the policy objectives of the Act remain valid and whether the terms of the Act remain appropriate for securing those objectives. In particular, the review is to address the question of overlap between the Act and any corresponding Commonwealth legislation dealing with access regimes.\n> \n> > (2) The review is to be undertaken as soon as possible after the period of 5 years from the date of assent to the [Government Pricing Tribunal Amendment Act 1995](/view/pdf/asmade/act-1995-97).\n> \n> > (3) A report of the outcome of the review is to be tabled in each House of Parliament within 12 months after the end of the period of 5 years.\n> \n> **s 30A:** Ins 1995 No 97, Sch 1 (25).","sortOrder":103},{"sectionNumber":"31","sectionType":"section","heading":"Disputes regarding application of determination of methodology","content":"#### 31 Disputes regarding application of determination of methodology\n\n31 Disputes regarding application of determination of methodology\n\n> > (1) A customer who is dissatisfied with the way in which a government agency applies the methodology in a determination referred to in section 14A may complain to the agency.\n> \n> > (2) The chief executive of the agency is to review the complaint or cause it to be reviewed.\n> \n> > (3) The customer, if still dissatisfied, may request the agency that the matter be reviewed by way of arbitration by an arbitrator, who is to be appointed by agreement between the customer and the agency. The agency is, subject to this section, to comply with any such request.\n> \n> > (4) Costs of the arbitration are to be borne equally by the agency and the customer.\n> \n> > (5) The regulations may exclude classes of determinations from the operation of this section and may make provision for or with respect to reviews and arbitration under this section, including—\n> > \n> > > (a) the times within which complaints and requests are to be made,\n> > \n> > > (b) the circumstances in which complaints and requests may be dismissed without consideration,\n> > \n> > > (c) the determination of costs of arbitration.\n> \n> > (6) Subject to this section and the regulations, the [Commercial Arbitration Act 2010](/view/html/inforce/current/act-2010-061) applies to any such arbitration.\n> \n> **s 31:** Ins 1994 No 88, Sch 6 (9). Am 2010 No 61, Sch 2.9 \\[2\\].","sortOrder":104},{"sectionNumber":"32","sectionType":"section","heading":"Power to correct errors in certain determinations","content":"#### 32 Power to correct errors in certain determinations\n\n32 Power to correct errors in certain determinations\n\n> > (1) The Tribunal may amend a relevant determination to correct a minor, obvious, clerical or administrative error—\n> > \n> > > (a) if the relevant determination has not been published—by submitting a further report to the relevant Minister, or\n> > \n> > > (b) if the relevant determination has been published—by publishing a notice (an amendment notice) in the Gazette.\n> \n> > (2) If the Tribunal amends a relevant determination under subsection (1)(b), the amendment takes effect—\n> > \n> > > (a) on the day the amendment notice is published in the Gazette, or\n> > \n> > > (b) on a later day specified in the amendment notice.\n> \n> > (3) The Tribunal must notify the relevant Minister of an amendment to a relevant determination under subsection (1)(b) as soon as practicable after publishing the amendment notice in the Gazette.\n> \n> > (4) In this section—\n> > \n> > correct includes account for.\n> > \n> > published, in relation to a relevant determination, means—\n> > \n> > > (a) for a determination under the [Passenger Transport Act 2014](/view/html/inforce/current/act-2014-046), section 124—published on the Tribunal’s website, or\n> > \n> > > (b) otherwise—published in the Gazette.\n> > \n> > relevant determination means a determination reported under the following provisions—\n> > \n> > > (a) this Act, section 11 or 12,\n> > \n> > > (b) the [Water Industry Competition Act 2006](/view/html/inforce/current/act-2006-104), section 52,\n> > \n> > > (c) the [Passenger Transport Act 2014](/view/html/inforce/current/act-2014-046), section 124.\n> > \n> > relevant Minister means the Minister who received the report on the relevant determination.\n> \n> **s 32:** Ins 2021 No 32, Sch 1.6.","sortOrder":105},{"sectionNumber":"Schedule 1","sectionType":"schedule","heading":"Government agencies for which Tribunal has standing reference","content":"# Schedule 1 Government agencies for which Tribunal has standing reference\n\nSchedule 1 Government agencies for which Tribunal has standing reference\n\n(Section 11)\n\nSydney Water Corporation\n\nHunter Water Corporation (but excluding any water or sewerage services provided by the Corporation in respect of the Dungog local government area prior to the commencement of the Tribunal’s first determination made under section 11 for the Corporation after the commencement of the [Independent Pricing and Regulatory Tribunal Amendment (Hunter Water) Regulation 2008](/view/pdf/asmade/sl-2008-236))\n\nWater supply authorities\n\nCentral Coast Council, but excluding stormwater drainage services\n\nCounty councils established for the supply of water\n\nTransport for NSW\n\nDepartment of Family and Community Services\n\nPort Corporations or other relevant port authorities within the meaning of Part 5 of the [Ports and Maritime Administration Act 1995](/view/html/inforce/current/act-1995-013)\n\nWater Administration Ministerial Corporation\n\nEssential Energy\n\nWater NSW (but excluding any services provided by Water NSW in respect of which fees and charges may be approved or determined in accordance with Part 6 or 7 of the [Water Charge (Infrastructure) Rules 2010](http://www.legislation.gov.au/) of the Commonwealth or the applied provisions, within the meaning of Part 3B)\n\n**sch 1:** Am 1993 No 24, Sch 3; 1994 No 64, Sch 3; 1994 No 88, Sch 6 (10); 1995 No 13, Sch 4; 1995 No 18, Sch 5; 1995 No 95, Sch 4; GG No 67 of 7.6.1996, p 2917; 1997 No 20, Sch 1.6 \\[2\\]; 1998 No 145, Sch 5.9 \\[1\\] \\[2\\]; 2000 No 92, Sch 8.13 \\[2\\] \\[3\\]; GG No 138 of 14.9.2001, p 7718; 2003 No 96, Sch 3.7; 2003 No 99, Sch 2.3; 2004 No 40, Sch 3.7 \\[4\\]; 2004 No 54, Sch 2.1 \\[2\\]; 2006 No 84, Sch 2.5 \\[2\\]; 2006 No 105, Sch 7.1 \\[5\\]; 2008 (236), Sch 1; 2008 (507), Sch 1; 2008 No 98, Sch 4.2; 2011 No 41, Sch 5.11; 2012 No 95, Sch 2.17; 2014 No 46, Sch 4.5; 2014 No 74, Sch 3.13 \\[4\\]; 2015 No 8, Sch 1 \\[2\\]; 2015 No 58, Sch 3.47 \\[5\\]; 2020 No 30, Sch 4.30; 2024 No 49, Sch 3\\[2\\].","sortOrder":106},{"sectionNumber":"Schedule 2","sectionType":"schedule","heading":"Provisions relating to members of Tribunal","content":"# Schedule 2 Provisions relating to members of Tribunal\n\nSchedule 2 Provisions relating to members of Tribunal\n\n(Section 6 (4))\n\n**sch 2:** Am 1995 No 97, Sch 1 (26)–(32); 1996 No 30, Sch 2; 1999 No 94, sec 7 (2) and Sch 5, Part 2; 2015 No 58, Sch 3.47 \\[6\\] \\[7\\].","sortOrder":107},{"sectionNumber":"Schedule 3","sectionType":"schedule","heading":"Provisions relating to procedure of Tribunal at meetings","content":"# Schedule 3 Provisions relating to procedure of Tribunal at meetings\n\nSchedule 3 Provisions relating to procedure of Tribunal at meetings\n\n(Section 6 (5))","sortOrder":116},{"sectionNumber":"Schedule 3A","sectionType":"schedule","heading":"Utilities Licence Auditing Advisory Committee","content":"# Schedule 3A Utilities Licence Auditing Advisory Committee\n\nSchedule 3A Utilities Licence Auditing Advisory Committee\n\n(Section 24FE)\n\n**sch 3A:** Ins 2000 No 60, Sch 1.1 \\[2\\]. Am 2015 No 58, Sch 3.47 \\[8\\] \\[9\\].","sortOrder":124},{"sectionNumber":"Schedule 4","sectionType":"schedule","heading":"Savings and transitional provisions","content":"# Schedule 4 Savings and transitional provisions\n\nSchedule 4 Savings and transitional provisions\n\n(Section 30)\n\n**sch 4:** Subst 1995 No 97, Sch 1 (33). Am 1996 No 30, Sch 2; 1997 No 20, Sch 1.6 \\[3\\] \\[4\\]; 1998 No 68, Sch 2.6 \\[2\\]; 2000 No 60, Sch 3.1 \\[27\\] \\[28\\]; 2001 No 56, Sch 2.23 \\[3\\]; 2002 No 122, Sch 2.2 \\[2\\]; 2004 No 54, Sch 2.1 \\[3\\]; 2024 No 49, Sch 3\\[3\\] \\[4\\].","sortOrder":144},{"sectionNumber":"Part 4","sectionType":"part","heading":"Independent Pricing and Regulatory Tribunal and Other Legislation Amendment Act 2000","content":"# Part 4 Independent Pricing and Regulatory Tribunal and Other Legislation Amendment Act 2000\n\nPart 4 [Independent Pricing and Regulatory Tribunal and Other Legislation Amendment Act 2000](/view/html/repealed/current/act-2000-060)","sortOrder":158}],"analysis":{"issue_detection":{"absurdities":[],"contradictions":[]},"kimi_summary":{"_metrics":{"source":"grok-batch-everything"},"content_quality":"ok","complexity_score":8,"scope_assessment":{"changed":true,"description":"The Act has grown significantly beyond its original 1992 purpose of price regulation for government monopoly services (ss 11–18). It now encompasses utility licence auditing and regulation (Part 4B), arbitration of access disputes (Part 4A), competitive neutrality complaints against public authorities (Part 4C), monitoring of compliance (Part 3A), application of Commonwealth Murray-Darling Basin water charge rules (Part 3B), and standing references expanded by regulation and Schedule 1 amendments to cover additional entities such as Water NSW and transport bodies."},"complexity_factors":["27 defined terms in s 3 plus extensive cross-references to Acts such as the State Owned Corporations Act 1989, Water Management Act 2000, Water NSW Act 2014 and Competition Principles Agreement","Nested divisions within Part 3 (pricing investigations, industry reports, access regimes, general rules, price determinations, publication, investigations) and additional Parts 3A–4C covering monitoring, Murray-Darling Basin charges, arbitration, utility regulation and competitive neutrality","Conditional logic and alternative approaches in price determinations (s 13A first and second approaches, with mandatory reasons statement if methodology is used instead of fixed price)","Detailed procedural schedules (Sch 2 on members, Sch 3 on meetings, Sch 3A on the Utilities Licence Auditing Advisory Committee) plus savings provisions in Sch 4 that interact with multiple amending Acts","Applied Commonwealth provisions in Part 3B with specific interpretation rules overriding the Interpretation Act 1987","Frequent amendments (over 30 noted across sections) creating layered exceptions, 'to avoid doubt' clauses (e.g. s 4(5)–(7)) and interactions with licences under the Electricity Supply Act 1995, Gas Supply Act 1996 and Water Industry Competition Act 2006"],"plain_english_summary":"**What the Independent Pricing and Regulatory Tribunal Act 1992 does**\n\nThis law creates and governs an independent body called the Independent Pricing and Regulatory Tribunal (IPART) in New South Wales. IPART's core role is to investigate and set maximum prices (or the method for setting them) for 'government monopoly services' – essential services like water, sewerage, electricity, gas, public transport and port charges where there is no real competition from other suppliers. It does this through standing references for certain agencies listed in Schedule 1, or on specific requests from the Minister.\n\nThe Act also gives IPART broader powers to investigate and report on pricing, industry, competition and access to infrastructure (such as roads, railways or water pipes). It requires government agencies to notify IPART about proposed access agreements and keeps a public register of them. IPART can arbitrate disputes over access, monitor compliance with its own price decisions, apply Commonwealth rules to set water charges in the Murray-Darling Basin, regulate utilities under other laws (for example, auditing licences for water and energy companies), and handle complaints that government businesses are not playing fairly against private competitors (competitive neutrality).\n\nIt matters because it aims to protect consumers from monopoly pricing while ensuring agencies can cover costs, pay reasonable returns to the Government, promote efficiency, consider environmental sustainability, and maintain service quality. Government agencies must follow IPART's price caps or methods when setting charges, report on implementation in their annual reports, and face penalties for obstructing investigations. The law sets out detailed rules on how IPART operates independently, runs investigations (including public hearings), handles confidential information, and reports to the Minister and Parliament."},"flash_summary":{"complexity_score":7,"scope_assessment":{"changed":true,"description":"The Act has expanded from establishing a Tribunal with a primary role in pricing government monopoly services (s 5, s 11) to a broader regulatory instrument that now includes arbitration of access disputes (Part 4A, ss 24A–24E), monitoring and compliance functions (Part 3A, ss 24AA–24AD), utility regulatory and licence‑auditing functions (Part 4B, ss 24F, 24FC), complaints handling under competitive neutrality (Part 4C, ss 24G–24GL) and application of Commonwealth water‑charge rules for Basin resources with the Tribunal acting as Regulator while arrangements remain accredited (Part 3B, ss 24AE–24AL). These additions, reflected in the cited sections, broaden the Tribunal’s remit beyond standalone price-setting into arbitration, auditing, monitoring and intergovernmental rule application."},"complexity_factors":["Multiple substantive functions across pricing, arbitration, licence auditing, monitoring and competitive neutrality (Parts 3, 3A, 3B, 4A, 4B, 4C).","Choice between direct price fixing and methodology-setting with rules for mixed determinations and required reasons (s 13A, s 14A).","Cross‑jurisdictional application of Commonwealth instruments (Part 3B applying Water Charge Rules and Acts Interpretation Act 1901 as a law of the State — ss 24AE–24AG).","Ministerial roles that can initiate, shape, delay or withdraw references and certify government policy to be given effect (ss 12, 13, 24FB, 12A).","Information and disclosure regime balancing transparency with statutory confidentiality (ss 22, 22A, 24AD, 24FF, 24GJ).","Enforcement and offence provisions with summary proceedings, penalties and powers to take documents into possession (ss 21(6), 22(2), 23, 28).","Fee and cost recovery options that can be exercised by regulation or Tribunal charging (s 9(5), s 29(3)), creating administrative cost allocation issues.","Detailed procedural schedules governing membership, conflicts of interest, meetings and quorums (Schedule 2, Schedule 3, Schedule 3A).","Registering and publicising access agreements with statutory publication consequences (ss 12C–12E).","Multiple amendment and transitional layers embedded in schedules and savings provisions (Schedule 4 and numerous amendment notes)."],"plain_english_summary":"What this law does, in simple terms\n\n- Establishes a body called the Independent Pricing and Regulatory Tribunal (the Tribunal) (s 5). The Tribunal is a small panel of appointed members (s 6) with powers to investigate, report on and determine prices and related regulatory matters for certain government-supplied services (s 11, s 12).\n\nHow the Tribunal operates, mechanically\n\n- The Tribunal may be asked by a Minister to investigate pricing, industry or competition matters (s 12, s 12A). It also has a standing reference to look at pricing for government monopoly services supplied by agencies listed in Schedule 1 (s 11).\n- When making price determinations the Tribunal must choose between fixing maximum prices directly or setting a methodology for how maximum prices are fixed (s 13A). It may use methods such as CPI-based adjustments, cost of production or a rate of return on assets (s 14, s 14A).\n- The Tribunal publishes its reports and price determinations (s 17, s 19). Published maximum prices take effect on the date specified in the determination (s 17).\n- Agencies must implement Tribunal determinations so that prices do not exceed the maximums set or determined under the Tribunal’s methodology (s 18). If a Minister or other official fixes prices below a Tribunal maximum, the Treasurer’s approval is required (s 18(2)).\n- The Tribunal can run public or private hearings, require documents and testimony, keep and publish a register of access agreements, and requires agencies to supply information on request (ss 20–22, 12B–12E, 12E).\n- The Tribunal may charge for services it provides and the regulations may require fees of recipients, agencies or industries to meet Tribunal costs (s 9(5), s 29(3)).\n\nOther functions added into the Tribunal’s remit\n\n- Arbitration of access disputes under public infrastructure access regimes (third parties vs providers) (Part 4A, ss 24A–24E).\n- Monitoring compliance with Tribunal price determinations and preparing for periodic reviews (Part 3A, ss 24AA–24AD).\n- Regulatory and licence-auditing functions for utilities specified in other Acts (for example, electricity, gas and water) (s 24F; licence auditing—s 24FC). The Tribunal can give recommendations and advice to Ministers on these regulatory functions (s 24FA).\n- A role in handling complaints on competitive neutrality principles (Part 4C, ss 24G–24GL), including investigating complaints about public trading agencies and reporting findings and recommendations (ss 24GB–24GD).\n- Application of Commonwealth water charge rules to Basin water resources and giving the Tribunal the role of Regulator under those applied Commonwealth provisions, while those arrangements remain accredited (Part 3B, ss 24AE–24AL).\n\nOfficial purposes stated in the Act and how they map to mechanics\n\n- The Act establishes the Tribunal to set or review prices and pricing policies for government monopoly services and to implement roles flowing from agreements and other laws (s 5, s 11, s 12A).\n- The Tribunal is required to have regard to specified matters when making decisions, such as cost of provision, consumer protection from monopoly pricing, appropriate rates of return (including dividends to government), price inflation, efficiency, ecologically sustainable development and competition (s 15). Those considerations structure how the Tribunal reaches determinations (s 14A(2), s 15(1)).\n\nWho pays, who decides, what behaviour changes\n\n- Who pays: consumers and service users pay the prices set under Tribunal determinations; the Consolidated Fund may be called on to compensate agencies if the Tribunal requires higher maximum prices but those prices are not charged (s 16). The Tribunal may charge for services it provides and regulations can require fees from recipients, agencies or industry to cover Tribunal costs (s 9(5), s 29(3)).\n- Who decides: the Tribunal makes investigations, reports and determinations. Ministers can refer matters to the Tribunal, set terms and timeframes for references and require draft reports to be released (s 12, s 13). Ministers can also give the Tribunal written directions in specific narrow cases (for example, to require the inclusion of efficient compliance costs in prices — s 16A), and government policy communicated and certified by Ministers must be given effect in specified regulatory functions (s 24FB).\n- Behaviour changes imposed: government agencies must comply with maximum prices and report on implementation (s 18(1), s 18(4)); agencies must notify and register access agreements under public infrastructure access regimes (ss 12B–12E); third parties and agencies must follow arbitration determinations (ss 24A–24E); public trading agencies may be investigated under competitive neutrality complaints and required to address substantive recommendations (Part 4C, s 24GD, s 24GE).\n\nCompliance burden, discretion and costs\n\n- Compliance burden on agencies: agencies listed in Schedule 1 and those that are the subject of references must supply information and documents, attend hearings, register agreements and include particular statements in annual reports (ss 11, 12B–12E, 22, 24AB, 18(4)). The Tribunal may take possession of documents for investigations (s 22(2)).\n- Administrative and fiscal costs: investigations, hearings, audits and arbitration require staff time and expenses; the Tribunal may recover costs by charging fees (s 9(5), s 29(3)). If the Tribunal raises a maximum price but the Government chooses not to charge that maximum, the Tribunal must report the likely annual cost to the Consolidated Fund if agencies are to be compensated (s 16).\n- Ministerial and bureaucratic discretion: Ministers initiate and shape many references, set timeframes and can withdraw references before the Tribunal reports (ss 12, 12A, 13). The portfolio Minister can direct the Tribunal to include efficient compliance costs in price determinations or methodologies (s 16A) but must consult the Tribunal and obtain the approval of the Minister administering this Act before giving such a direction (s 16A(3A)). Government policy that is certified and communicated must be given effect for specified regulatory functions (s 24FB).\n\nTrade-offs, incentives and effects on private actors\n\n- Effects on competition and private enterprise: the arbitration mechanism for access disputes (Part 4A) creates a route for third parties to seek access to infrastructure operated by government agencies, which can change private competitors’ access to networks (ss 24A–24E). Competitive neutrality complaint handling (Part 4C) gives private competitors a structured complaint route if they believe a public trading agency’s actions breach competitive neutrality principles (ss 24GB–24GD).\n- Contract freedom and information transparency: agencies must notify proposed access agreements and register entered access agreements (ss 12B–12C). Registered agreements are documents that may be made available to the public (s 12C(4)) but the Tribunal must balance disclosure against statutory information-access rules (s 22A).\n- Concentrated benefits and diffuse costs as described in the Act: the Act explicitly recognises payments to the Government as a consideration — appropriate dividends on public sector assets are a stated matter the Tribunal must have regard to (s 15(1)(c)). The Act also requires the Tribunal to report potential costs to the Consolidated Fund if prices are not increased to permitted maximums (s 16), which makes explicit the fiscal trade-off between agency revenue and taxpayer compensation.\n\nImplementation risks and safeguards\n\n- Risk of procedural complexity: the Act allows mixed determinations (part price-fixed, part methodology) and requires reasons in those cases (s 13A(4), s 13A(3)), which increases complexity in application and disputes over methodology application (see also review and arbitration mechanism for methodology application — s 31).\n- Confidentiality vs transparency: the Tribunal must make investigation documents available except where GIPA rules apply (s 22A(1)); several parts impose confidentiality protections for information given on a confidential basis (ss 24AD, 24FF, 24GJ), and the Tribunal may impose conditions on availability (s 22A(3)).\n- Enforcement and penalties: the Act creates offences and penalties for failing to comply with notices, for giving false information and for breaching publication directions (ss 21(6), 23, 24AC, 24AD etc), and requires proceedings for offences to be dealt with summarily (s 28).\n\nNet effect, mechanically stated\n\n- The Act sets up an institutional process: the Tribunal investigates and sets or guides maximum prices for services described as government monopoly services; it publishes reports and determinations; agencies must implement them or account for non-implementation; Ministers initiate references and can shape the terms and timing of investigations; specific regimes authorise arbitration for access disputes, licence auditing, monitoring of compliance, competitive neutrality complaint handling and, in accredited cases, the application of Commonwealth water-charge rules for Basin resources (s 5; ss 11–19; Parts 3A, 3B, 4A, 4B, 4C). The Act therefore moves pricing and some regulatory oversight for specified public services from purely ministerial or agency control into a structured tribunal process with specified transparency, consultation, and enforcement mechanics."},"summary":{"complexity_score":7,"scope_assessment":{"changed":true,"description":"The original Act was named the 'Government Pricing Tribunal Act 1992', suggesting a narrower focus on pricing decisions for government businesses. Over time, the scope expanded significantly to include broader regulatory and investigative functions, advisory roles on policy matters referred by government, and jurisdiction over additional sectors including local government rates. The name change to 'Independent Pricing and Regulatory Tribunal Act' reflects this broadened mandate beyond simple price-setting."},"complexity_factors":["Over 30 years of legislative history with 40+ point-in-time versions, creating a complex amendment layering problem","The Act establishes a multi-function regulatory body with both price-setting and advisory/investigative roles, each with their own procedural rules","Interacts with numerous other Acts across multiple sectors (energy, water, transport, local government), requiring cross-referencing to understand the full picture","Upcoming but uncommenced amendments (Energy Legislation Amendment Act 2025) create uncertainty about the current legal position in the energy space","The scope of IPART's jurisdiction — which services and entities it can regulate — has evolved significantly over time and requires examining multiple versions to fully understand","Distinction between binding price determinations and non-binding recommendations adds procedural complexity","Governance provisions around tribunal membership, conflicts of interest, and decision-making processes add structural complexity","Only metadata/status information was provided — the full operative text of the Act would be significantly more complex"],"plain_english_summary":"## What is this law?\n\nThis is the **Independent Pricing and Regulatory Tribunal Act 1992** (NSW) — commonly known as the **IPART Act**. It sets up a special independent body called IPART (the Independent Pricing and Regulatory Tribunal) in New South Wales.\n\n## What does IPART actually do?\n\nIPART is essentially a **price watchdog for government-run services**. Its job is to investigate and set the maximum prices that NSW government-owned businesses can charge you for essential services. This includes things like:\n- **Water and sewerage** (e.g., Sydney Water bills)\n- **Public transport fares**\n- **Electricity network charges** (the cost of the poles and wires that deliver power)\n- **Local council rates** (how much your council can increase rates)\n\nWithout a body like IPART, government monopolies (businesses with no real competition) could potentially charge whatever they like. IPART steps in to make sure prices are fair — not too high for consumers, but sufficient for the service provider to run properly.\n\n## Who does this affect?\n\n**Pretty much every NSW resident.** If you pay a water bill, catch a train, or pay council rates in NSW, IPART's decisions directly affect how much you pay.\n\n## Key points to know\n- The law was originally called the **Government Pricing Tribunal Act 1992** — the name change reflects its expanded role over time.\n- It has been amended **many times** since 1992 (over 40 versions), showing how its role has grown and changed.\n- IPART can also conduct **reviews and investigations** into other matters referred to it by the NSW Government — acting like a specialist policy adviser.\n- The Premier is the responsible Minister, signalling how significant this body is to government.\n- Further changes are coming: amendments from the **Energy Legislation Amendment Act 2025** are scheduled to take effect on **1 July 2026**, which will affect how IPART handles energy-related matters.\n\n## Why does it matter?\n\nThis law is the reason there is an independent check on what NSW government monopolies charge you. Without it, there would be no structured, arms-length oversight of prices for services you can't simply choose to go without."}},"importantCases":[],"_links":{"self":"/api/acts/independent-pricing-and-regulatory-tribunal-act-1992","history":"/api/acts/independent-pricing-and-regulatory-tribunal-act-1992/history","analysis":"/api/acts/independent-pricing-and-regulatory-tribunal-act-1992/analysis","conflicts":"/api/acts/independent-pricing-and-regulatory-tribunal-act-1992/conflicts","importantCases":"/api/acts/independent-pricing-and-regulatory-tribunal-act-1992/important-cases","documents":"/api/acts/independent-pricing-and-regulatory-tribunal-act-1992/documents"}}