{"id":"nsw:act-1992-029","name":"Mining Act 1992","slug":"mining-act-1992","collection":"act","jurisdiction":"nsw","status":"in_force","isInForce":true,"actNumber":"29 of 1992","makingDate":null,"administeringDepartment":null,"currentVersion":{"id":175665,"registerId":"nsw-nsw:act-1992-029-current","compilationNumber":null,"startDate":"2026-04-05","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 may be cited as the [Mining Act 1992](/view/html/inforce/current/act-1992-029).","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":"Act binds Crown","content":"#### 3 Act binds Crown\n\n3 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":3},{"sectionNumber":"3A","sectionType":"section","heading":"Objects","content":"#### 3A Objects\n\n3A Objects\n\n> The objects of this Act are to encourage and facilitate the discovery and development of mineral resources in New South Wales, having regard to the need to encourage ecologically sustainable development, and in particular—\n> \n> > (a) to recognise and foster the significant social and economic benefits to New South Wales that result from the efficient development of mineral resources, and\n> \n> > (b) to provide an integrated framework for the effective regulation of authorisations for prospecting and mining operations, and\n> \n> > (c) to provide a framework for compensation to landholders for loss or damage resulting from such operations, and\n> \n> > (d) to ensure an appropriate return to the State from mineral resources, and\n> \n> > (e) to require the payment of security to provide for the rehabilitation of mine sites, and\n> \n> > (f) to ensure effective rehabilitation of disturbed land and water, and\n> \n> > (g) to ensure mineral resources are identified and developed in ways that minimise impacts on the environment.\n> \n> **s 3A:** Ins 2008 No 19, Sch 1 \\[1\\].","sortOrder":4},{"sectionNumber":"4","sectionType":"section","heading":"Definitions","content":"#### 4 Definitions\n\n4 Definitions\n\n> Expressions used in this Act that are defined in the Dictionary at the end of this Act have the meanings set out in the Dictionary.\n> \n> **s 4:** Am 1994 No 41, Sch 3; 1994 No 45, Sch 1. Subst 1996 No 137, Sch 1 \\[106\\].","sortOrder":5},{"sectionNumber":"4A","sectionType":"section","heading":"Application of Act","content":"#### 4A Application of Act\n\n4A Application of Act\n\n> This Act does not apply to any area to which the [Offshore Minerals Act 1999](/view/html/inforce/current/act-1999-042) applies.\n> \n> **s 4A:** Ins 1999 No 42, Sch 3.11 \\[1\\].","sortOrder":6},{"sectionNumber":"4B","sectionType":"section","heading":"Notes","content":"#### 4B Notes\n\n4B Notes\n\n> Notes included in this Act are explanatory notes and do not form part of this Act.\n> \n> **s 4B:** Ins 1999 No 43, Sch 3 \\[1\\].","sortOrder":7},{"sectionNumber":"Part 2","sectionType":"part","heading":"Prospecting and mining generally","content":"# Part 2 Prospecting and mining generally\n\nPart 2 Prospecting and mining generally","sortOrder":8},{"sectionNumber":"Division 1","sectionType":"division","heading":"General","content":"## Division 1 General\n\nDivision 1 General\n\n**pt 2, div 1, hdg:** Ins 1996 No 137, Sch 1 \\[1\\].","sortOrder":9},{"sectionNumber":"5","sectionType":"section","heading":"Mining or prospecting without authorisation","content":"#### 5 Mining or prospecting without authorisation\n\n5 Mining or prospecting without authorisation\n\n> A person must not prospect for or mine any mineral except in accordance with an authorisation that is in force in respect of that mineral and the land where the prospecting or mining is carried on.\n> \n> Maximum penalty for prospecting in contravention of this section—\n> \n> > (a) in the case of a corporation—5,000 penalty units, and, in the case of a continuing offence, a further penalty of 500 penalty units for each day that the offence continues, or\n> \n> > (b) in the case of a natural person—1,000 penalty units or imprisonment for 5 years, or both, and, in the case of a continuing offence, a further penalty of 100 penalty units for each day that the offence continues.\n> \n> Maximum penalty for mining in contravention of this section—\n> \n> > (a) in the case of a corporation—10,000 penalty units, and, in the case of a continuing offence, a further penalty of 1,000 penalty units for each day that the offence continues, or\n> \n> > (b) in the case of a natural person—2,000 penalty units or imprisonment for 5 years, or both, and, in the case of a continuing offence, a further penalty of 200 penalty units for each day that the offence continues.\n> \n> **s 5:** Am 2000 No 90, Sch 1.1 \\[1\\]. Subst 2008 No 19, Sch 1 \\[2\\]. Am 2012 No 84, Sch 2.2 \\[1\\] \\[2\\].","sortOrder":10},{"sectionNumber":"6","sectionType":"section","heading":"Unauthorised carrying out of designated ancillary mining activities","content":"#### 6 Unauthorised carrying out of designated ancillary mining activities\n\n6 Unauthorised carrying out of designated ancillary mining activities\n\n> > (1) Carrying out of designated ancillary mining activities within authorisation area A person must not carry out a designated ancillary mining activity on land within an authorisation area except in accordance with the authorisation.\n> \n> > (2) Carrying out of designated ancillary mining activities outside mining area A person must not, on land that is not within the mining area of a mining lease, carry out a designated ancillary mining activity that is in the vicinity of and that directly facilitates the mining lease concerned, except in accordance with—\n> > \n> > > (a) a condition of the mining lease that regulates the carrying out of the activity, or\n> > \n> > > (b) another mining lease in respect of an ancillary mining activity or activities only that authorises the carrying out of the activity.\n> \n> > (3) Carrying out of designated ancillary mining activities outside claim area, but within mineral claims district A person must not, on land that is not within the claim area of a mineral claim, but is within a mineral claims district, carry out a designated ancillary mining activity, except in accordance with—\n> > \n> > > (a) a mining lease in respect of an ancillary mining activity or activities only that authorises the carrying out of the activity, or\n> > \n> > > (b) a mineral claim in respect of an ancillary mining activity or activities only that authorises the carrying out of the activity.\n> \n> > (4) Carrying out of designated ancillary mining activities outside mineral claims district A person must not, on land that is not within a mineral claims district, carry out a designated ancillary mining activity that is in the vicinity of and that directly facilitates a mineral claim, except in accordance with a mining lease in respect of an ancillary mining activity or activities only that authorises the carrying out of the activity.\n> \n> > (5) Exemptions The regulations may provide for the exemption (including by order of the Minister) of a person or class of persons from the operation of this section with respect to the carrying out of a designated ancillary mining activity, or a class of designated ancillary mining activities.\n> \n> > (6) Meaning of “designated ancillary mining activity” In this section, designated ancillary mining activity means the following—\n> > \n> > > (a) the construction, maintenance or use, in or in connection with mining operations, of a reservoir, dam (including a tailings dam), drain or water race,\n> > \n> > > (b) opal puddling,\n> > \n> > > (c) the removal, stockpiling or depositing of overburden, ore or tailings to the extent that it is associated with mineral extraction or mineral beneficiation.\n> \n> > (7) However, the construction, maintenance or use of a reservoir, dam, drain or water race principally used for purposes not connected with mining or another activity regulated by or under an authorisation is not a designated ancillary mining activity.\n> \n> Maximum penalty—\n> \n> > (a) in the case of a corporation—10,000 penalty units, and, in the case of a continuing offence, a further penalty of 1,000 penalty units for each day that the offence continues, or\n> \n> > (b) in the case of a natural person—2,000 penalty units or imprisonment for 5 years, or both, and, in the case of a continuing offence, a further penalty of 200 penalty units for each day that the offence continues.\n> \n> **s 6:** Am 2000 No 90, Sch 1.1 \\[2\\]. Subst 2008 No 19, Sch 1 \\[2\\] (am 2010 No 59, Sch 2.62 \\[1\\]). Am 2012 No 84, Sch 2.2 \\[3\\]. Subst 2017 No 27, Sch 1 \\[2\\]. Am 2022 No 21, Sch 1\\[2\\]–\\[4\\].","sortOrder":11},{"sectionNumber":"7","sectionType":"section","heading":null,"content":"#### 7\n\n7–9 (Repealed)","sortOrder":12},{"sectionNumber":"10","sectionType":"section","heading":"Defences to prosecutions under Part 2","content":"#### 10 Defences to prosecutions under Part 2\n\n10 Defences to prosecutions under Part 2\n\n> > (1) It is a defence to a prosecution of a person for an offence under section 5 if the person establishes that the person was prospecting for or mining minerals in the course of—\n> > \n> > > (a) fossicking, or\n> > > \n> > > Note.\n> > > \n> > > Section 12 declares fossicking to be a lawful activity.\n> > \n> > > (b) carrying out an activity in accordance with section 81.\n> \n> > (2) It is a defence to a prosecution of a person for an offence under section 6 if the person establishes that the person was carrying out the ancillary mining activity in the course of carrying out an activity in accordance with section 81.\n> \n> > (3) It is a defence to the prosecution of a person for an offence under section 5 or 6 if the person establishes that the person was prospecting for or mining minerals, or carrying out the ancillary mining activity—\n> > \n> > > (a) in accordance with rights under an authority or a mineral claim that have devolved on the person by operation of law, and\n> > \n> > > (b) at a time when the person had applied under section 162 or 202 to have the person’s name recorded as the holder of the authority or mineral claim and the application had not been refused.\n> \n> > (4) It is a defence to the prosecution of a person for an offence under section 5 or 6 in relation to mining for mercury if the mercury was mined as a by-product of mining for another mineral as authorised under this Act.\n> \n> **s 10:** Subst 2008 No 19, Sch 1 \\[3\\]. Am 2022 No 21, Sch 1\\[5\\].","sortOrder":14},{"sectionNumber":"10A","sectionType":"section","heading":"Restriction on grant of authorisations with respect to uranium","content":"#### 10A Restriction on grant of authorisations with respect to uranium\n\n10A Restriction on grant of authorisations with respect to uranium\n\n> An authorisation (other than an exploration licence or an environmental assessment permit relating to an exploration licence) may not be granted in respect of uranium.\n> \n> **s 10A:** Ins 2012 No 16, Sch 1 \\[1\\].","sortOrder":15},{"sectionNumber":"10B","sectionType":"section","heading":"Restriction on grant of mining lease in respect of mercury","content":"#### 10B Restriction on grant of mining lease in respect of mercury\n\n10B Restriction on grant of mining lease in respect of mercury\n\n> A mining lease must not be granted in respect of mercury.\n> \n> **s 10B:** Ins 2022 No 21, Sch 1\\[6\\].","sortOrder":16},{"sectionNumber":"11","sectionType":"section","heading":"Property in minerals lawfully mined","content":"#### 11 Property in minerals lawfully mined\n\n11 Property in minerals lawfully mined\n\n> > (1) For the purposes of this or any other Act or law, it is declared that any mineral that is lawfully mined becomes the property of the person by or on behalf of whom it is mined at the time the material from which it is recovered is severed from the land from which it is mined.\n> \n> > (2) For the purposes of this or any other Act or law, it is declared that any mineral contained in—\n> > \n> > > (a) a stockpile of material that has been lawfully mined for the purpose of enabling the mineral to be recovered, or\n> > \n> > > (b) a pile of tailings arising from the recovery of a mineral from material that has been so mined,\n> > \n> > remains the property of the person by or on behalf of whom the material was mined and does not become part of the land on which it is situated.\n> \n> > (3) However, any mineral that has been mined pursuant to a mining lease or mineral claim but is still contained in such a stockpile or pile of tailings when the lease or claim ceases to have effect—\n> > \n> > > (a) ceases to be the property of the person by or on behalf of whom the material in the stockpile or pile of tailings was mined, and\n> > \n> > > (b) becomes part of the land on which the stockpile or pile of tailings is situated,\n> > \n> > at the time the mining lease or mineral claim ceases to have effect.\n> \n> > (4) This section is subject to the provisions of any private agreement.","sortOrder":17},{"sectionNumber":"11A","sectionType":"section","heading":"Certain activities taken not to be prospecting or mining","content":"#### 11A Certain activities taken not to be prospecting or mining\n\n11A Certain activities taken not to be prospecting or mining\n\n> > (1) The regulations may declare that, or provide for the declaration by the Minister that, a specified activity is, or a specified class or classes of activities are, not prospecting or mining for the purposes of this Act.\n> \n> > (2) A declaration referred to in subsection (1)—\n> > \n> > > (a) may require a person who proposes to carry out any such activity to give notice of intention to do so to the Secretary, and\n> > \n> > > (b) may require a person who carries out any such activity to pay royalty to the Crown in respect of any publicly owned minerals recovered as a consequence of the carrying out of that activity.\n> \n> > (3) Part 14 applies, subject to any modifications necessary to give effect to a declaration under subsection (1) and any modifications prescribed by the regulations—\n> > \n> > > (a) to royalty payable under subsection (2) in the same way as it applies to royalty payable on a mineral recovered under a mining lease, and\n> > \n> > > (b) to the person by whom royalty is payable as if the person were the holder of a mining lease.\n> \n> **s 11A:** Ins 1996 No 137, Sch 1 \\[10\\]. Am 2008 No 19, Sch 1 \\[4\\]–\\[6\\]; 2014 No 37, Sch 4.1 \\[1\\].","sortOrder":18},{"sectionNumber":"12","sectionType":"section","heading":"Fossicking","content":"#### 12 Fossicking\n\n12 Fossicking\n\n> > (1) For the purposes of this or any other Act or law, it is declared that fossicking is a lawful activity.\n> \n> > (2) Subsection (1)—\n> > \n> > > (a) does not affect any other Act or law that prohibits, regulates or restricts fossicking or that has the effect of prohibiting, regulating or restricting fossicking and, in particular, does not make fossicking a lawful authority or lawful excuse for the purposes of any such Act or law, and\n> > \n> > > (b) does not confer on any person a right of entry on to land (other than land prescribed by subsection (2A)) for fossicking purposes.\n> \n> > (2A) For the purposes of subsection (2) (b), the prescribed land is Crown land (within the meaning of the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058))—\n> > \n> > > (a) that is not held under a lease, licence or permissive occupancy under the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058), and\n> > \n> > > (b) that is not under the management or control of a trustee or a public or local authority.\n> \n> > (3) Any publicly owned mineral that is recovered in the course of lawful fossicking becomes the property of the person by whom it is found at the time it is severed from the land on which it is found.\n> \n> > (4) A person must not carry out fossicking on any land the subject of an authority, mineral claim or opal prospecting licence except with the consent of the holder of the authority, claim or licence.\n> > \n> > Maximum penalty—50 penalty units.\n> \n> > (5) Subsection (4) does not apply to the carrying out of fossicking on land the subject of an exploration licence if the land is within a fossicking district.\n> \n> > (6) A person must not carry out fossicking on any land that is, or in waters that are, the subject of an approved determination of native title under the Commonwealth Native Title Act to the effect that native title exists, except with the consent of the relevant registered native title body corporate with respect to that native title.\n> > \n> > Maximum penalty—50 penalty units.\n> \n> **s 12:** Am 1996 No 137, Sch 1 \\[6\\] \\[7\\]; 1999 No 43, Sch 3 \\[2\\] \\[3\\]; 2000 No 90, Schs 1.1 \\[3\\], 3.1 \\[1\\]; 2004 No 75, Sch 1 \\[1\\]; 2017 No 17, Sch 2.12 \\[1\\] \\[2\\].","sortOrder":19},{"sectionNumber":"Division 2","sectionType":"division","heading":"Offences concerning theft of minerals","content":"## Division 2 Offences concerning theft of minerals\n\nDivision 2 Offences concerning theft of minerals\n\n**pt 2, div 2:** Ins 1996 No 137, Sch 1 \\[2\\].","sortOrder":20},{"sectionNumber":"12A","sectionType":"section","heading":"Definitions","content":"#### 12A Definitions\n\n12A Definitions\n\n> In this Division—\n> \n> mining land means any land the subject of a mining lease or mineral claim.\n> \n> owner in relation to a mine or mining land, means a person—\n> \n> > (a) who is authorised (whether under a mining lease or mineral claim or otherwise) to mine for minerals in or on the mine or mining land, or\n> \n> > (b) who is entitled to receive any minerals recovered from the mine or mining land.\n> \n> **s 12A:** Ins 1996 No 137, Sch 1 \\[2\\].","sortOrder":21},{"sectionNumber":"12B","sectionType":"section","heading":"Stealing minerals","content":"#### 12B Stealing minerals\n\n12B Stealing minerals\n\n> A person who—\n> \n> > (a) steals, or attempts to steal, a mineral from any mine or mining land, or\n> \n> > (b) severs, or attempts to sever, a mineral from any mine or mining land with intent to steal,\n> \n> is guilty of an offence.\n> \n> Maximum penalty—\n> \n> > (a) in the case of a corporation—10,000 penalty units, or\n> \n> > (b) in the case of a natural person—2,000 penalty units or imprisonment for 5 years, or both.\n> \n> **s 12B:** Ins 1996 No 137, Sch 1 \\[2\\]. Am 2008 No 19, Sch 1 \\[7\\]; 2012 No 84, Sch 2.2 \\[4\\].","sortOrder":22},{"sectionNumber":"12C","sectionType":"section","heading":"Fraudulent removal and concealment of minerals by employees","content":"#### 12C Fraudulent removal and concealment of minerals by employees\n\n12C Fraudulent removal and concealment of minerals by employees\n\n> A person employed in or about any mine or mining land who removes or conceals, or attempts to remove or conceal, a mineral found in that mine or mining land with intent to defraud an owner of the mine or mining land is guilty of an offence.\n> \n> Maximum penalty—\n> \n> > (a) in the case of a corporation—10,000 penalty units, or\n> \n> > (b) in the case of a natural person—2,000 penalty units or imprisonment for 5 years, or both.\n> \n> **s 12C:** Ins 1996 No 137, Sch 1 \\[2\\]. Am 2008 No 19, Sch 1 \\[7\\]; 2012 No 84, Sch 2.2 \\[5\\].","sortOrder":23},{"sectionNumber":"12D","sectionType":"section","heading":"Fraudulent removal and concealment of minerals by partners","content":"#### 12D Fraudulent removal and concealment of minerals by partners\n\n12D Fraudulent removal and concealment of minerals by partners\n\n> An owner of any mine or mining land who removes or conceals, or attempts to remove or conceal, a mineral found in that mine or mining land with intent to defraud any other owner of the mine or mining land is guilty of an offence.\n> \n> Maximum penalty—\n> \n> > (a) in the case of a corporation—10,000 penalty units, or\n> \n> > (b) in the case of a natural person—2,000 penalty units or imprisonment for 5 years, or both.\n> \n> **s 12D:** Ins 1996 No 137, Sch 1 \\[2\\]. Am 2008 No 19, Sch 1 \\[7\\]; 2012 No 84, Sch 2.2 \\[6\\].","sortOrder":24},{"sectionNumber":"12E","sectionType":"section","heading":null,"content":"#### 12E\n\n12E (Repealed)","sortOrder":25},{"sectionNumber":"Part 3","sectionType":"part","heading":"Exploration licences","content":"# Part 3 Exploration licences\n\nPart 3 Exploration licences","sortOrder":27},{"sectionNumber":"13","sectionType":"section","heading":"Application for exploration licence","content":"#### 13 Application for exploration licence\n\n13 Application for exploration licence\n\n> > (1) Any person may apply for an exploration licence.\n> \n> > (2) To avoid doubt, the owner of privately owned minerals may apply for an exploration (mineral owner) licence or any other exploration licence with respect to those minerals.\n> > \n> > Note.\n> > \n> > The owner of privately owned minerals may choose to apply for an ordinary exploration licence with respect to those minerals, rather than an exploration (mineral owner) licence. In relation to exploration (mineral owner) licences see section 24 (4).\n> \n> > (3) An application that relates to land in a mineral allocation area may not be made, except with the Minister’s consent, in relation to any group of minerals that includes an allocated mineral.\n> \n> > (3A) An application that relates to land in a controlled release area may not be made in relation to any group of minerals that includes a controlled release mineral except—\n> > \n> > > (a) pursuant to an invitation under Schedule 1A (Competitive selection process for controlled release prospecting titles), or\n> > \n> > > (b) under section 13C (Application for operational allocation licence by existing authority holders), or\n> > \n> > > (c) by the Secretary on behalf of the Crown under section 13D (Crown pre-competitive exploration licences).\n> \n> > (4) An application for an exploration licence must—\n> > \n> > > (a) be lodged with the Secretary, and\n> > \n> > > (b) be accompanied by the application fee prescribed by the regulations, and\n> > \n> > > (c) be accompanied by the information, if any, specified by the regulations, and\n> > \n> > > (d) if the application is for an exploration (mineral owner) licence with respect to privately owned minerals that have more than one owner, be made by all the owners.\n> > \n> > Note.\n> > \n> > Section 129A requires an application for an exploration licence to be accompanied by a proposed work program.\n> \n> > (5), (6) (Repealed)\n> \n> **s 13:** Am 1996 No 137, Sch 1 \\[15\\]. Subst 2008 No 19, Sch 1 \\[8\\]. Am 2015 No 39, Sch 1 \\[1\\]; 2015 No 40, Sch 1 \\[1\\] \\[2\\]; 2017 No 27, Sch 1 \\[3\\]; 2022 No 21, Sch 1\\[7\\] \\[8\\].","sortOrder":29},{"sectionNumber":"13A","sectionType":"section","heading":"Notice of application for exploration licence","content":"#### 13A Notice of application for exploration licence\n\n13A Notice of application for exploration licence\n\n> > (1) Within 14 days (or such other period as may be prescribed by the regulations) after lodging an application for an exploration licence, the applicant must cause notice of the application to be published in the way specified by the regulations.\n> \n> > (2) The notice must—\n> > \n> > > (a) state that an application for an exploration licence has been lodged, and\n> > \n> > > (b) contain a plan of the proposed exploration area, and\n> > \n> > > (c) comply with any other requirements that are prescribed by the regulations for the purposes of this subsection.\n> \n> > (3) This section does not apply to an application made pursuant to an invitation under Schedule 1A (Competitive selection process for controlled release prospecting titles).\n> \n> **s 13A:** Ins 2008 No 19, Sch 1 \\[8\\]. Am 2015 No 39, Sch 1 \\[2\\]; 2022 No 21, Sch 1\\[9\\].","sortOrder":30},{"sectionNumber":"13B","sectionType":"section","heading":"Limit on subsequent applications for exploration licences","content":"#### 13B Limit on subsequent applications for exploration licences\n\n13B Limit on subsequent applications for exploration licences\n\n> If a person—\n> \n> > (a) applies for the grant or renewal of a mineral owner authority in relation to particular land and that application is refused, or\n> \n> > (b) was the holder of a mineral owner authority in relation to particular land when that authority was cancelled,\n> \n> the person may not, within 2 years after that refusal or cancellation, apply for an exploration (mineral owner) licence in relation to that land except with the Minister’s consent.\n> \n> **s 13B:** Ins 2008 No 19, Sch 1 \\[8\\].","sortOrder":31},{"sectionNumber":"13C","sectionType":"section","heading":"Application for operational allocation licence by existing authority holders","content":"#### 13C Application for operational allocation licence by existing authority holders\n\n13C Application for operational allocation licence by existing authority holders\n\n> > (1) The holder of an exploration licence, assessment lease or mining lease for coal may apply under this section for an exploration licence for coal.\n> \n> > (2) An application under this section is subject to the following requirements—\n> > \n> > > (a) the application must be for a purpose that is prescribed by the regulations as an operational allocation purpose,\n> > \n> > > (b) the land to which the application relates must comply with the regulations in relation to shape, size and such other features as may be prescribed,\n> > \n> > > (c) such other requirements as may be prescribed by the regulations.\n> \n> > (3) Without limiting any other provision of this Act, an application under this section may be refused on any one or more of the following grounds—\n> > \n> > > (a) the decision-maker is not satisfied that the application is for an operational allocation purpose,\n> > \n> > > (b) the decision-maker is satisfied that there is sufficient interest from other potential applicants to justify a competitive selection process for the grant of an exploration licence over the area concerned,\n> > \n> > > (c) the decision-maker is satisfied that the application does not comply with any requirement of this section or the regulations.\n> \n> > (3A) The decision-maker may, for the purpose of determining whether there is sufficient interest from other potential applicants to justify a competitive selection process for the grant of an exploration licence over the area concerned under subsection (3)(b), conduct a market interest test by seeking expressions of interest from—\n> > \n> > > (a) the applicant under this section, and\n> > \n> > > (b) other potential applicants.\n> \n> > (3B) The market interest test may be conducted over an area that differs in size and shape from the area concerned under subsection (3)(b).\n> \n> > (4) Without limiting any other provision of this Act, in deciding whether to grant or refuse an application under this section the decision-maker may take into account any guidelines issued (and made publicly available) by the Minister for the purposes of this section.\n> \n> **s 13C:** Ins 2015 No 39, Sch 1 \\[3\\]. Am 2022 No 21, Sch 1\\[10\\].","sortOrder":32},{"sectionNumber":"13D","sectionType":"section","heading":"Crown pre-competitive exploration licences","content":"#### 13D Crown pre-competitive exploration licences\n\n13D Crown pre-competitive exploration licences\n\n> > (1) The Secretary may apply on behalf of the Crown for an exploration licence (a Crown pre-competitive exploration licence) for a controlled release mineral within a controlled release area to authorise prospecting for the purpose of obtaining information about the potential mineral bearing qualities of land in the State.\n> \n> > (2) The regulations may make provision for or with respect to the following—\n> > \n> > > (a) requirements for prospecting conducted under a Crown pre-competitive exploration licence including the purposes for which prospecting is to be undertaken and the criteria that prospecting under the licence is to satisfy,\n> > \n> > > (b) procedures for the relinquishment of a Crown pre-competitive exploration licence when prospecting under the licence is completed.\n> \n> > (3) The rights conferred by section 29 (Rights under exploration licence) on the holder of a Crown pre-competitive exploration licence are subject to the requirements of the regulations under this section.\n> \n> **s 13D:** Ins 2015 No 39, Sch 1 \\[3\\].","sortOrder":33},{"sectionNumber":"14","sectionType":"section","heading":"Invitations for tenders","content":"#### 14 Invitations for tenders\n\n14 Invitations for tenders\n\n> > (1) This section applies only in relation to allocated minerals in land within a mineral allocation area.\n> \n> > (2) The Minister may, by notice published in the way specified by the regulations, invite tenders for an exploration licence for an allocated mineral, other than an exploration (mineral owner) licence for an allocated mineral.\n> \n> > (3) An invitation—\n> > \n> > > (a) must describe the land to which it relates, and\n> > \n> > > (b) must identify the allocated mineral to which it relates, and\n> > \n> > > (c) must specify the way in which, and the date on or before which, tenders for the exploration licence should be lodged.\n> \n> **s 14:** Am 2008 No 19, Sch 1 \\[9\\]; 2022 No 21, Sch 1\\[11\\] \\[12\\].","sortOrder":34},{"sectionNumber":"15","sectionType":"section","heading":"Tenders","content":"#### 15 Tenders\n\n15 Tenders\n\n> > (1) A tender for an exploration licence—\n> > \n> > > (a) must be lodged with the Secretary in accordance with the invitation for the tender, and\n> > \n> > > (b) must be accompanied by the required information, and\n> > \n> > > (c) must be accompanied by the lodgment fee prescribed by the regulations.\n> > \n> > Note.\n> > \n> > Section 129A requires a tender for an exploration licence to be accompanied by a proposed work program.\n> \n> > (2) The required information is as follows—\n> > \n> > > (a) information, if any, specified by the regulations,\n> > \n> > > (b), (c) (Repealed)\n> > \n> > > (d) any other information that is specified in the tender invitation.\n> \n> > (3) A tender may specify that, in the event that the tender is successful, the tenderer will pay a specified amount in addition to the cash reserve price (if any) specified in the invitation for the tender.\n> \n> > (4) A tender may be made in respect of the whole or any part of the land described in the invitation for the tender.\n> \n> **s 15:** Am 1996 No 137, Sch 1 \\[15\\]; 2008 No 19, Sch 1 \\[10\\]–\\[12\\]; 2015 No 40, Sch 1 \\[3\\] \\[4\\]; 2022 No 21, Sch 1\\[13\\].","sortOrder":35},{"sectionNumber":"16","sectionType":"section","heading":null,"content":"#### 16\n\n16 (Repealed)","sortOrder":36},{"sectionNumber":"17","sectionType":"section","heading":"Exclusion of land from application or tender","content":"#### 17 Exclusion of land from application or tender\n\n17 Exclusion of land from application or tender\n\n> > (1) The decision-maker may, by order in writing, direct that any part of the land to which an application or tender for an exploration licence relates be excluded from the application or tender.\n> \n> > (2) A direction takes effect on the date on which written notice of the direction is served on the applicant or tenderer.\n> \n> > (3) A tenderer affected by any such direction may amend the tender by written notice lodged with the Secretary on or before such date as may be specified in the direction.\n> \n> > (4) This section does not apply to an application for an exploration (mineral owner) licence.\n> \n> **s 17:** Am 2008 No 19, Sch 1 \\[14\\] \\[15\\].","sortOrder":38},{"sectionNumber":"18","sectionType":"section","heading":"Land in reserve or opal prospecting area","content":"#### 18 Land in reserve or opal prospecting area\n\n18 Land in reserve or opal prospecting area\n\n> An exploration licence may not be granted over any land within—\n> \n> > (a) an opal prospecting area, or\n> \n> > (b) a reserve in respect of which an order prohibiting the granting of exploration licences is in force under section 367.","sortOrder":40},{"sectionNumber":"19","sectionType":"section","heading":"Land subject to authority","content":"#### 19 Land subject to authority\n\n19 Land subject to authority\n\n> > (1) An exploration licence may not be granted over any land—\n> > \n> > > (a) the subject of some other exploration licence that includes a group of minerals in respect of which the firstmentioned exploration licence is sought, or\n> > \n> > > (b) the subject of a mining lease, assessment lease or mineral claim, or\n> > \n> > > (c) the subject of an application for any of the following that was lodged before the application for the firstmentioned exploration licence—\n> > > \n> > > > (i) an exploration licence that includes a group of minerals in respect of which the firstmentioned exploration licence is sought,\n> > > \n> > > > (ii) an assessment lease,\n> > > \n> > > > (iii) a mining lease,\n> > > \n> > > > (iv) a mineral claim.\n> > \n> > otherwise than to or with the written consent of the holder of, or the applicant for, that licence, lease or claim.\n> \n> > (1A) Despite subsection (1) (c) (i), an exploration licence may be granted over land the subject of a preceding application for an exploration licence if—\n> > \n> > > (a) the application for the firstmentioned exploration licence was made pursuant to an invitation under Schedule 1A (Competitive selection process for controlled release prospecting titles), and\n> > \n> > > (b) that invitation was issued before the preceding application was lodged.\n> \n> > (2) A written consent given under this section is irrevocable.\n> \n> > (3) If, as a result of such a consent, an exploration licence is granted over any such land, that land—\n> > \n> > > (a) ceases to be subject to the exploration licence, assessment lease, mining lease or mineral claim concerned, or\n> > \n> > > (b) is excluded from the application for the exploration licence, assessment lease, mining lease or mineral claim concerned,\n> > \n> > as the case requires, unless the decision-maker makes a determination under subsection (4).\n> \n> > (4) The decision-maker may determine that subsection (3) does not apply with respect to the land or to a part of the land if the decision-maker is satisfied that having the land or that part subject to both the licence and the other authorisation concerned is not likely to make the exercise of rights under the licence or the other authorisation impracticable.\n> \n> **s 19:** Am 2008 No 19, Sch 1 \\[16\\]–\\[18\\]; 2015 No 39, Sch 1 \\[4\\].","sortOrder":41},{"sectionNumber":"20","sectionType":"section","heading":null,"content":"#### 20\n\n20, 21 (Repealed)","sortOrder":42},{"sectionNumber":"Division 3","sectionType":"division","heading":"Granting of exploration licences","content":"## Division 3 Granting of exploration licences\n\nDivision 3 Granting of exploration licences","sortOrder":44},{"sectionNumber":"22","sectionType":"section","heading":"Power of decision-maker in relation to applications","content":"#### 22 Power of decision-maker in relation to applications\n\n22 Power of decision-maker in relation to applications\n\n> > (1) After considering an application for an exploration licence, the decision-maker—\n> > \n> > > (a) may grant to the applicant an exploration licence over all or part of the land over which a licence was sought, or\n> > \n> > > (b) may refuse the application.\n> > \n> > Note.\n> > \n> > Schedule 1B contains provisions about the grant or refusal of an application for an exploration licence and the conditions to which an exploration licence is subject.\n> \n> > (2) (Repealed)\n> \n> > (3) The decision-maker may grant—\n> > \n> > > (a) a single exploration licence for 2 or more applications made by the same applicant, or\n> > \n> > > (b) 2 or more exploration licences to an applicant for a single application.\n> \n> **s 22:** Am 2008 No 19, Sch 1 \\[13\\] \\[20\\] \\[21\\]; 2014 No 10, Sch 1 \\[1\\] \\[2\\]; 2015 No 40, Sch 1 \\[7\\] \\[8\\]; 2022 No 21, Sch 1\\[14\\].","sortOrder":45},{"sectionNumber":"23","sectionType":"section","heading":"Power of decision-maker in relation to tenders","content":"#### 23 Power of decision-maker in relation to tenders\n\n23 Power of decision-maker in relation to tenders\n\n> > (1) After considering a tender in respect of land in respect of which one tender only is lodged, the decision-maker—\n> > \n> > > (a) may grant an exploration licence to the tenderer, or\n> > \n> > > (b) may refuse the tender.\n> \n> > (2) After considering all tenders in respect of land in respect of which more than one tender is lodged, the decision-maker—\n> > \n> > > (a) may grant an exploration licence to any one of the tenderers and refuse the other tenders, or\n> > \n> > > (b) may refuse all of the tenders.\n> > \n> > Note.\n> > \n> > Schedule 1B contains provisions about the grant or refusal of an exploration licence to a tenderer.\n> \n> > (3) (Repealed)\n> \n> > (4) For the purposes of this section, only one tender is lodged in respect of land if no other tender is lodged in respect of the land or any part of the land.\n> \n> **s 23:** Am 2008 No 19, Sch 1 \\[13\\] \\[22\\]; 2014 No 10, Sch 1 \\[3\\] \\[4\\]; 2015 No 40, Sch 1 \\[9\\] \\[10\\].","sortOrder":46},{"sectionNumber":"23A","sectionType":"section","heading":"Activity approval required for assessable prospecting operations","content":"#### 23A Activity approval required for assessable prospecting operations\n\n23A Activity approval required for assessable prospecting operations\n\n> > (1) An exploration licence is subject to a statutory condition that the holder of the licence must not carry out an assessable prospecting operation on land over which the licence is granted unless an activity approval has been obtained for the carrying out of the assessable prospecting operation in relation to that land and is in force.\n> \n> > (2) The holder of an exploration licence may apply in writing to the decision-maker for approval to carry out an assessable prospecting operation in relation to any part of the land over which the licence is granted (an activity approval).\n> \n> > (3) An application for an activity approval must include the information, if any, prescribed by the regulations.\n> \n> > (3A) The decision-maker may require the holder of an exploration licence to provide further information as required by the decision-maker, within the time specified by the decision-maker, before considering the application or at any time during consideration of the application.\n> \n> > (4) After considering the application for the activity approval, the decision-maker—\n> > \n> > > (a) may grant the activity approval, or\n> > \n> > > (b) may refuse the application.\n> \n> > (5) Without limiting the grounds for refusal, the application may be refused if the applicant fails to provide the information required by the decision-maker within the time required.\n> \n> > (6) An activity approval may be granted subject to terms.\n> \n> > (7) For the purposes of this Act, it is a statutory condition of an exploration licence that the holder must comply with any activity approval granted to the holder and in force.\n> \n> > (8) Clauses 7 (2)–(4), 10 (2), 12 and 14 of Schedule 1B apply to and in respect of the imposition of terms on, and variation of the terms of, an activity approval in the same way as they apply to and in respect of the imposition of conditions on, and the variation of the conditions of, an authorisation.\n> \n> > (9) The decision-maker may cancel an activity approval—\n> > \n> > > (a) if the holder of the activity approval lodges with the Secretary a request that the decision-maker cancel the activity approval, or\n> > \n> > > (b) if the decision-maker is satisfied that a person has contravened the activity approval (whether or not the person is prosecuted or convicted of any offence arising from the contravention).\n> \n> > (10) Before cancelling an activity approval, otherwise than at the request of the holder of the activity approval, the decision-maker is to cause a written notice to be served on the holder of the activity approval that contains the following—\n> > \n> > > (a) notice that the activity approval is proposed to be cancelled,\n> > \n> > > (b) details of the grounds for the proposed cancellation,\n> > \n> > > (c) notice that the holder of the activity approval has a specified period (of at least 28 days) in which to make representations with respect to the proposed cancellation.\n> \n> > (11) The decision-maker must not cancel an activity approval, otherwise than at the request of the holder of the activity approval, unless—\n> > \n> > > (a) the decision-maker has taken any such representations received from the holder of the activity approval into consideration, or\n> > \n> > > (b) the period specified in the notice has elapsed and no such representations have been received.\n> \n> > (12) The decision-maker is to cause written notice of the cancellation of an activity approval to be given to the holder of the activity approval.\n> \n> > (13) The cancellation takes effect on the date on which the written notice of the cancellation is given to the holder of the activity approval, or on a later date specified in the notice.\n> \n> > (14) Any person who is aggrieved by the decision of the decision-maker to cancel an activity approval held by the person may appeal to the Land and Environment Court against the decision. Section 128 applies to such an appeal as if it were an appeal against a decision to cancel an authority.\n> \n> > (15) The cancellation of an activity approval does not affect any liability incurred by the holder of the activity approval before the cancellation took effect.\n> \n> > (16) Action may be taken under subsection (9) (b) whether or not any other action has been taken in respect of the activity approval under this Act.\n> \n> **s 23A:** Ins 2015 No 40, Sch 1 \\[11\\]. Am 2022 No 21, Sch 1\\[15\\].","sortOrder":47},{"sectionNumber":"24","sectionType":"section","heading":"Land and minerals for which exploration licence may be granted","content":"#### 24 Land and minerals for which exploration licence may be granted\n\n24 Land and minerals for which exploration licence may be granted\n\n> > (1) An exploration licence may be granted over land of any title or tenure.\n> \n> > (2) An exploration licence may be granted in respect of any group or groups of minerals, regardless of whether the minerals in any such group are publicly owned, privately owned or partly publicly and partly privately owned.\n> \n> > (3) An exploration licence may be granted over the surface of land, over the surface of land and the subsoil below the surface, over the surface of land and the subsoil down to a specified depth below the surface or over the subsoil below or between any specified depth or depths below the surface of land.\n> \n> > (4) However, an exploration (mineral owner) licence may be granted—\n> > \n> > > (a) only in respect of privately owned minerals, and\n> > \n> > > (b) only to the owner of those minerals.\n> \n> **s 24:** Am 1999 No 43, Sch 1 \\[1\\]; 2008 No 19, Sch 1 \\[23\\].","sortOrder":48},{"sectionNumber":"25","sectionType":"section","heading":"Shape and dimensions of land over which exploration licence may be granted","content":"#### 25 Shape and dimensions of land over which exploration licence may be granted\n\n25 Shape and dimensions of land over which exploration licence may be granted\n\n> > (1) The land over which an exploration licence is granted must comply with the regulations in relation to shape and size.\n> \n> > (2) The land over which an exploration licence is granted may differ in size or shape from, but may not include land other than, the land over which the licence was sought.\n> \n> > (2A) Subsection (2)—\n> > \n> > > (a) extends to the grant of a single exploration licence for 2 or more applications made by the same applicant, and\n> > \n> > > (b) as extended, applies as if the land over which the exploration licence was sought was the land over which the 2 or more exploration licences were sought.\n> \n> > (3) Subsections (1) and (2) do not apply with respect to an exploration (mineral owner) licence.\n> \n> > (4) (Repealed)\n> \n> **s 25:** Am 2008 No 19, Sch 1 \\[24\\] \\[25\\]; 2022 No 21, Sch 1\\[16\\].","sortOrder":49},{"sectionNumber":"26","sectionType":"section","heading":null,"content":"#### 26\n\n26 (Repealed)","sortOrder":50},{"sectionNumber":"27","sectionType":"section","heading":"Term of exploration licence","content":"#### 27 Term of exploration licence\n\n27 Term of exploration licence\n\n> An exploration licence—\n> \n> > (a) takes effect on the date on which it is granted or on such later date, or on the occurrence of such later event, as the decision-maker may determine, and\n> \n> > (b) ceases to have effect on the expiration of—\n> > \n> > > (i) 2 years after the date on which it took effect, in the case of an exploration (mineral owner) licence, or\n> > \n> > > (ii) such period (not exceeding 6 years) as the decision-maker determines, in the case of any other exploration licence.\n> \n> **s 27:** Subst 2008 No 19, Sch 1 \\[26\\]. Am 2015 No 40, Sch 1 \\[13\\].","sortOrder":52},{"sectionNumber":"28","sectionType":"section","heading":"Form of exploration licence","content":"#### 28 Form of exploration licence\n\n28 Form of exploration licence\n\n> An exploration licence is to be in the approved form and is to include the following particulars—\n> \n> > (a) a description of the land over which it is granted,\n> \n> > (b) a list of the group or groups of minerals in respect of which it is granted,\n> \n> > (c) the conditions to which it is subject,\n> \n> > (d) the period for which it is to have effect.\n> \n> Note.\n> \n> Schedule 1B provides for an exploration licence to be varied after it is granted.\n> \n> **s 28:** Am 2015 No 40, Sch 1 \\[14\\].","sortOrder":53},{"sectionNumber":"Division 4","sectionType":"division","heading":"Rights and duties under an exploration licence","content":"## Division 4 Rights and duties under an exploration licence\n\nDivision 4 Rights and duties under an exploration licence","sortOrder":54},{"sectionNumber":"29","sectionType":"section","heading":"Rights under exploration licence","content":"#### 29 Rights under exploration licence\n\n29 Rights under exploration licence\n\n> > (1) The holder of an exploration licence may, in accordance with the conditions of the licence, prospect on the land specified in the licence for the group or groups of minerals so specified.\n> \n> > (2) If an application for an assessment lease, mining lease or mineral claim made by the holder of an exploration licence is not finally dealt with before the date on which the licence would otherwise cease to have effect, the licence continues to have effect, in relation only to the land to which the application relates, until the application is finally dealt with.\n> \n> > (3) Subsection (2) does not operate to extend an exploration licence for more than 2 years, or such further period as the Minister may approve in a particular case, after the date on which it would otherwise expire.\n> \n> **s 29:** Am 1996 No 137, Sch 1 \\[107\\].","sortOrder":55},{"sectionNumber":"29A","sectionType":"section","heading":null,"content":"#### 29A\n\n29A (Repealed)","sortOrder":56},{"sectionNumber":"30","sectionType":"section","heading":"Exempted areas","content":"#### 30 Exempted areas\n\n30 Exempted areas\n\n> > (1) The holder of an exploration licence may not, except with the consent of the Minister, exercise a right conferred by the licence within the following land—\n> > \n> > > (a) land in a state conservation area within an exempted area,\n> > \n> > > (b) other land in an exempted area, unless an access arrangement under section 140 applies to the land.\n> \n> > (2) Such consent may be given either unconditionally or subject to conditions.\n> \n> > (3) Clauses 12 and 14 of Schedule 1B apply to the variation or suspension of a condition of consent granted under this section in the same way as they apply to the variation or suspension of a condition of an authorisation.\n> \n> **s 30:** Am 2015 No 40, Sch 1 \\[15\\]; 2022 No 21, Sch 1\\[17\\].","sortOrder":58},{"sectionNumber":"31","sectionType":"section","heading":"Dwelling-houses, gardens and significant improvements","content":"#### 31 Dwelling-houses, gardens and significant improvements\n\n31 Dwelling-houses, gardens and significant improvements\n\n> > (1) The holder of an exploration licence may not exercise any of the rights conferred by the licence over the surface of land—\n> > \n> > > (a) on which, or within the prescribed distance of which, is situated a dwelling-house that is the principal place of residence of the person occupying it, or\n> > \n> > > (b) on which, or within the prescribed distance of which, is situated any garden, or\n> > \n> > > (c) on which is situated any significant improvement other than an improvement constructed or used for ancillary mining activities only,\n> > \n> > except with the written consent of the owner of the dwelling-house, garden or improvement (and, in the case of the dwelling-house, the written consent of its occupant).\n> \n> > (2) The prescribed distance is—\n> > \n> > > (a) 200 metres (or, if a greater distance is prescribed by the regulations, the greater distance) for the purposes of subsection (1) (a), and\n> > \n> > > (b) 50 metres (or, if a greater distance is prescribed by the regulations, the greater distance) for the purposes of subsection (1) (b).\n> \n> > (3) A written consent given under this section is irrevocable.\n> \n> > (4) This section does not apply with respect to a dwelling-house, garden or significant improvement owned by the holder of the exploration licence or, if the holder is a corporation, by a related corporation.\n> \n> > (5) If a dispute arises as to whether or not subsection (1) applies in a particular case, any party to the dispute may apply to the Land and Environment Court for a determination of the matter.\n> \n> > (6) The holder of the exploration licence is to pay the costs of the owner of the dwelling-house, garden or improvement (or occupant of the dwelling-house) in those proceedings in the Land and Environment Court.\n> \n> > (7) This section does not apply to the holder of an exploration licence who carries out a seismic survey on a road within the meaning of the [Road Transport Act 2013](/view/html/inforce/current/act-2013-018), but only if the holder has given written notice of at least 21 days (or such other period as is prescribed by the regulations) of the carrying out of the seismic survey to the owner of the dwelling-house, garden or significant improvement concerned (and, in the case of a dwelling-house, the occupant).\n> \n> **s 31:** Am 1992 No 111, Sch 1; 1996 No 137, Sch 1 \\[39\\] \\[40\\]; 1999 No 43, Sch 1 \\[2\\] \\[3\\]; 2000 No 90, Sch 2.1 \\[1\\]; 2008 No 19, Sch 1 \\[28\\]; 2008 No 68, Sch 1 \\[1\\] \\[2\\]; 2008 No 107, Sch 19 \\[2\\]; 2015 No 41, Sch 1 \\[1\\].","sortOrder":59},{"sectionNumber":"32","sectionType":"section","heading":"Exploration areas over which authority is subsequently granted","content":"#### 32 Exploration areas over which authority is subsequently granted\n\n32 Exploration areas over which authority is subsequently granted\n\n> Land over which an exploration licence is granted and over which some other authority (other than an exploration licence for some other group or groups of minerals) is subsequently granted ceases to be part of the exploration area when the other authority takes effect.","sortOrder":60},{"sectionNumber":"Division 5","sectionType":"division","heading":"Low-impact exploration licences—special provisions","content":"## Division 5 Low-impact exploration licences—special provisions\n\nDivision 5 Low-impact exploration licences—special provisions\n\n**pt 3, div 5:** Ins 1998 No 88, Sch 5 \\[1\\].","sortOrder":61},{"sectionNumber":"32A","sectionType":"section","heading":"Object of Division","content":"#### 32A Object of Division\n\n32A Object of Division\n\n> The object of this Division is to provide for the grant of a class of low-impact exploration licence that may be approved under section 26A of the Commonwealth Native Title Act.\n> \n> Note.\n> \n> See clause 14 (3) of Part 5 of Schedule 5 to the [Native Title Amendment Act 1998](http://www.legislation.gov.au/) of the Commonwealth for preservation of approvals previously granted by the Commonwealth.\n> \n> **ss 32A–32E:** Ins 1998 No 88, Sch 5 \\[1\\].","sortOrder":62},{"sectionNumber":"32B","sectionType":"section","heading":"Special low-impact class of licence","content":"#### 32B Special low-impact class of licence\n\n32B Special low-impact class of licence\n\n> > (1) There is to be a special class of exploration licence called a low-impact exploration licence.\n> \n> > (2) An exploration licence may be granted as a low-impact exploration licence if this Division is complied with.\n> \n> > (3) The provisions of this Act relating to exploration licences apply to low-impact exploration licences, except as otherwise provided by this Division.\n> \n> **ss 32A–32E:** Ins 1998 No 88, Sch 5 \\[1\\].","sortOrder":63},{"sectionNumber":"32C","sectionType":"section","heading":"Authority conferred by low-impact licence","content":"#### 32C Authority conferred by low-impact licence\n\n32C Authority conferred by low-impact licence\n\n> > (1) The Minister may, by order published in the Gazette, determine the kind of prospecting operations that may be authorised by a low-impact exploration licence, being operations that the Minister is satisfied are unlikely to have a significant impact on the land over which the licence may be granted.\n> > \n> > Editorial note.\n> > \n> > For orders under this subsection see Gazette No 120 of 15.10.1999, p 10011. From April 2021, PCO is no longer updating notes in provisions of in force titles about related gazette notices. To search for related gazette notices, please use the Gazette Search functionality.\n> \n> > (2) The conditions to which a low-impact exploration licence is subject are to limit the prospecting operations authorised by the licence to all or some of the prospecting operations of the kind determined by the Minister under this section.\n> \n> > (3) A change in the prospecting operations determined by the Minister under this section does not affect a low-impact exploration licence that is in force at the time the change is made.\n> \n> **ss 32A–32E:** Ins 1998 No 88, Sch 5 \\[1\\].","sortOrder":64},{"sectionNumber":"32D","sectionType":"section","heading":"Provisions relating to applications for low-impact licence","content":"#### 32D Provisions relating to applications for low-impact licence\n\n32D Provisions relating to applications for low-impact licence\n\n> > (1) A person may not be granted a low-impact exploration licence unless notice of the application for the licence has been served on all—\n> > \n> > > (a) registered native title bodies corporate, and\n> > \n> > > (b) registered native title claimants, and\n> > \n> > > (c) representative Aboriginal/Torres Strait Islander bodies,\n> > \n> > in relation to any of the land that will be affected by the proposed prospecting operations to be authorised by the licence.\n> \n> > (2) The notice must contain a map or other description of the land over which the exploration licence is sought and a description of the kind of prospecting operations that may be authorised by the licence.\n> \n> > (3) An applicant may request the Minister to grant a low-impact exploration licence either at the time the application for a licence is made or at any later time before the grant of the licence.\n> \n> > (4) The regulations may make other provision for or with respect to the making and grant of applications for low-impact exploration licences.\n> \n> > (5) In this section, application includes tender.\n> \n> **ss 32A–32E:** Ins 1998 No 88, Sch 5 \\[1\\].","sortOrder":65},{"sectionNumber":"32E","sectionType":"section","heading":"Change of class of licence—additional prospecting operations","content":"#### 32E Change of class of licence—additional prospecting operations\n\n32E Change of class of licence—additional prospecting operations\n\n> > (1) The holder of a low-impact exploration licence may apply to the Minister for a variation of the prospecting operations authorised by the licence.\n> \n> > (2) After considering the application, the Minister may vary the licence or may refuse the application.\n> \n> > (3) If the prospecting operations authorised by a licence as so varied are not of a kind permitted by this Division, the licence ceases to be a low-impact exploration licence.\n> \n> > (4) The variation of an exploration licence takes effect on the date on which written notice of the variation is served on the holder of the licence or such later date as may be specified in the notice.\n> \n> Note.\n> \n> The right to negotiate or other procedures may apply to the variation of the licence under the Commonwealth Native Title Act if section 26A of that Act no longer applies because of the variation.\n> \n> **ss 32A–32E:** Ins 1998 No 88, Sch 5 \\[1\\].","sortOrder":66},{"sectionNumber":"32EA","sectionType":"section","heading":"Review of determination under section 32E","content":"#### 32EA Review of determination under section 32E\n\n32EA Review of determination under section 32E\n\n> > (1) The Minister must give an applicant under section 32E written notice of the outcome of the application.\n> \n> > (2) The holder of a low-impact exploration licence may, within 30 days (or such longer period as may be prescribed) after being served with written notice of the determination under section 32E apply to the decision-maker for a review of the determination.\n> \n> > (3) An application must—\n> > \n> > > (a) be made in the approved form and manner (if any), and\n> > \n> > > (b) contain any information that is prescribed by the regulations, and\n> > \n> > > (c) be accompanied by the fee (if any) prescribed by the regulations.\n> \n> > (4) The making of an application for review of a determination does not operate to stay the determination.\n> \n> > (5) On a review, the decision-maker may confirm or change the determination.\n> \n> > (6) The decision-maker is to give the applicant written notice of the outcome of the application.\n> \n> > (7) If the decision-maker changes a determination, the changed determination replaces the earlier determination as from the date of the written notice.\n> \n> > (8) A decision on a review may not be further reviewed under this section.\n> \n> **s 32EA:** Ins 2008 No 19, Sch 1 \\[29\\].","sortOrder":67},{"sectionNumber":"32F","sectionType":"section","heading":"Access arrangement required for prospecting operations under low-impact licences","content":"#### 32F Access arrangement required for prospecting operations under low-impact licences\n\n32F Access arrangement required for prospecting operations under low-impact licences\n\n> > (1) In this section, relevant land means land in relation to which there are registered native title bodies corporate or registered native title claimants.\n> \n> > (2) A low-impact exploration licence is subject to the condition that the holder of the licence is not authorised to carry out prospecting operations on any relevant land otherwise than in accordance with an access arrangement under Division 2 of Part 8 between the holder of the licence and each registered native title body corporate or each registered native title claimant, being an access arrangement—\n> > \n> > > (a) that is agreed between them in accordance with that Division, or that is determined for them by an arbitrator in accordance with that Division, and\n> > \n> > > (b) that has involved consultation by the holder of the licence that satisfies the requirements of section 26A of the Commonwealth Native Title Act.\n> \n> > (3) This section does not apply in any case in which Division 2 of Part 8 is excluded because of section 138 (2) (which relates to prospecting title granted after compliance with the full native title right to negotiate procedure or an indigenous land use agreement).\n> \n> > (4) This section does not limit the operation of Division 2 of Part 8 with respect to landholders who are not native title holders.\n> \n> **s 32F:** Ins 1998 No 88, Sch 5 \\[1\\]. Am 1999 No 31, Sch 2.23 \\[1\\]; 1999 No 43, Sch 1 \\[4\\].","sortOrder":68},{"sectionNumber":"32G","sectionType":"section","heading":"Renewal of low-impact licences","content":"#### 32G Renewal of low-impact licences\n\n32G Renewal of low-impact licences\n\n> The requirements of this Division with respect to the grant of a low-impact exploration licence apply to the renewal of such a licence, subject to any modifications prescribed by the regulations.\n> \n> **s 32G:** Ins 1998 No 88, Sch 5 \\[1\\].","sortOrder":69},{"sectionNumber":"Part 4","sectionType":"part","heading":"Assessment leases","content":"# Part 4 Assessment leases\n\nPart 4 Assessment leases","sortOrder":70},{"sectionNumber":"33","sectionType":"section","heading":"Application for assessment lease","content":"#### 33 Application for assessment lease\n\n33 Application for assessment lease\n\n> > (1) Any person may apply for an assessment lease.\n> \n> > (2) To avoid doubt, the owner of privately owned minerals may apply for an assessment (mineral owner) lease or any other assessment lease with respect to those minerals.\n> > \n> > Note.\n> > \n> > The owner of privately owned minerals may choose to apply for an ordinary assessment lease with respect to those minerals, rather than an assessment (mineral owner) lease. In relation to assessment (mineral owner) leases see section 42 (4).\n> \n> > (3) An application that relates to land in a mineral allocation area may not be made in relation to an allocated mineral except—\n> > \n> > > (a) by the holder of an exploration licence or mining lease over that land in respect of that mineral or group of minerals, or\n> > \n> > > (b) with the Minister’s consent.\n> \n> > (3A) An application that relates to land in a controlled release area may not be made in relation to a controlled release mineral except—\n> > \n> > > (a) by the holder of an exploration licence or mining lease over that land in respect of that mineral or group of minerals, or\n> > \n> > > (b) pursuant to an invitation under Schedule 1A (Competitive selection process for controlled release prospecting titles).\n> \n> > (4) An application for an assessment lease must—\n> > \n> > > (a) be lodged with the Secretary, and\n> > \n> > > (b) be accompanied by the application fee prescribed by the regulations, and\n> > \n> > > (c) be accompanied by the information, if any, specified by the regulations, and\n> > \n> > > (d) if the application is for an assessment (mineral owner) lease with respect to privately owned minerals that have more than one owner, be made by all the owners.\n> > \n> > Note.\n> > \n> > Section 129A requires an application for an assessment lease to be accompanied by a proposed work program.\n> \n> > (5), (6) (Repealed)\n> \n> **s 33:** Am 1996 No 137, Sch 1 \\[15\\]. Subst 2008 No 19, Sch 1 \\[30\\]. Am 2015 No 39, Sch 1 \\[5\\]; 2015 No 40, Sch 1 \\[16\\] \\[17\\]; 2022 No 21, Sch 1\\[18\\] \\[19\\].","sortOrder":72},{"sectionNumber":"33A","sectionType":"section","heading":"Notice of application for assessment lease","content":"#### 33A Notice of application for assessment lease\n\n33A Notice of application for assessment lease\n\n> > (1) Within 14 days (or such other period as may be prescribed by the regulations) after lodging an application for an assessment lease, the applicant must cause notice of the application to be published in the way specified by the regulations.\n> \n> > (2) The notice must—\n> > \n> > > (a) state that an application for an assessment lease has been lodged, and\n> > \n> > > (b) contain a plan of the proposed assessment area, and\n> > \n> > > (c) comply with any other requirements that are prescribed by the regulations for the purposes of this subsection.\n> \n> > (3) This section does not apply to an application made pursuant to an invitation under Schedule 1A (Competitive selection process for controlled release prospecting titles).\n> \n> **s 33A:** Ins 2008 No 19, Sch 1 \\[30\\]. Am 2015 No 39, Sch 1 \\[6\\]; 2022 No 21, Sch 1\\[20\\].","sortOrder":73},{"sectionNumber":"33B","sectionType":"section","heading":"Limit on subsequent applications","content":"#### 33B Limit on subsequent applications\n\n33B Limit on subsequent applications\n\n> If a person—\n> \n> > (a) applies for the grant or renewal of a mineral owner authority in relation to particular land and that application is refused, or\n> \n> > (b) was the holder of a mineral owner authority in relation to particular land when that authority was cancelled,\n> \n> the person may not, within 2 years after that refusal or cancellation, apply for an assessment (mineral owner) lease in relation to that land except with the Minister’s consent.\n> \n> **s 33B:** Ins 2008 No 19, Sch 1 \\[30\\].","sortOrder":74},{"sectionNumber":"34","sectionType":"section","heading":null,"content":"#### 34\n\n34 (Repealed)","sortOrder":75},{"sectionNumber":"35","sectionType":"section","heading":"Exclusion of land from assessment lease application","content":"#### 35 Exclusion of land from assessment lease application\n\n35 Exclusion of land from assessment lease application\n\n> > (1) The decision-maker may, by order in writing, direct that any part of the land to which an application for an assessment lease relates be excluded from the application.\n> \n> > (2) A direction takes effect on the date on which written notice of the direction is served on the applicant.\n> \n> > (3) This section does not apply to an application for an assessment (mineral owner) lease.\n> \n> **s 35:** Subst 2008 No 19, Sch 1 \\[31\\].","sortOrder":77},{"sectionNumber":"36","sectionType":"section","heading":"Land in reserve or opal prospecting area","content":"#### 36 Land in reserve or opal prospecting area\n\n36 Land in reserve or opal prospecting area\n\n> An assessment lease may not be granted over any land within—\n> \n> > (a) an opal prospecting area, or\n> \n> > (b) a reserve in respect of which an order prohibiting the granting of assessment leases is in force under section 367.","sortOrder":79},{"sectionNumber":"37","sectionType":"section","heading":"Land subject to authority","content":"#### 37 Land subject to authority\n\n37 Land subject to authority\n\n> > (1) An assessment lease may not be granted over any land—\n> > \n> > > (a) the subject of an exploration licence that includes any mineral or minerals in respect of which the assessment lease is sought, or\n> > \n> > > (b) the subject of an assessment lease, mining lease or mineral claim, or\n> > \n> > > (c) the subject of an application for any of the following that was lodged before the application for the assessment lease—\n> > > \n> > > > (i) an exploration licence that includes a group of minerals in respect of which the assessment lease is sought,\n> > > \n> > > > (ii) an assessment lease,\n> > > \n> > > > (iii) a mining lease,\n> > > \n> > > > (iv) a mineral claim,\n> > \n> > otherwise than to or with the written consent of the holder of, or the applicant for, that licence, lease or claim.\n> \n> > (1A) Despite subsection (1) (c) (i) and (ii), an assessment lease may be granted over land the subject of a preceding application for an exploration licence or assessment lease if—\n> > \n> > > (a) the application for the firstmentioned assessment lease was made pursuant to an invitation under Schedule 1A (Competitive selection process for controlled release prospecting titles), and\n> > \n> > > (b) that invitation was issued before the preceding application was lodged.\n> \n> > (2) A written consent given under this section is irrevocable.\n> \n> > (3) If, as a result of such a consent, an assessment lease is granted over any such land, that land—\n> > \n> > > (a) ceases to be subject to the exploration licence, assessment lease, mining lease or mineral claim concerned, or\n> > \n> > > (b) is excluded from the application for the exploration licence, assessment lease, mining lease or mineral claim concerned,\n> > \n> > as the case requires, unless the decision-maker makes a determination under subsection (4).\n> \n> > (4) The decision-maker may determine that subsection (3) does not apply with respect to the land or to a part of the land if the decision-maker is satisfied that having the land or that part subject to both the lease and the other authorisation concerned will not make the exercise of rights under the lease or the other authorisation impracticable.\n> \n> **s 37:** Am 2008 No 19, Sch 1 \\[32\\]–\\[34\\]; 2015 No 39, Sch 1 \\[7\\].","sortOrder":80},{"sectionNumber":"38","sectionType":"section","heading":"Land subject to exploration licence","content":"#### 38 Land subject to exploration licence\n\n38 Land subject to exploration licence\n\n> > (1) If an application for an assessment lease is made in respect of land that is wholly or partly subject to one or more exploration licences (other than exploration licences that include any mineral or minerals in respect of which the assessment lease is sought), the decision-maker must cause notice of the application to be served on the holder of every such exploration licence.\n> \n> > (2) The holder of an exploration licence served with such a notice may object to the granting of the assessment lease by lodging with the Secretary, on or before the date specified in the notice, a written notice stating the grounds of the objection.\n> \n> > (3) Any such objection is to be taken into consideration by the decision-maker when determining the application.\n> \n> > (4) This section does not apply to an application that is made with the written consent of the holder of every exploration licence over the land concerned.\n> \n> > (5) A written consent given under this section is irrevocable.\n> \n> **s 38:** Am 2008 No 19, Sch 1 \\[13\\] \\[35\\]; 2008 No 107, Sch 19 \\[3\\].","sortOrder":81},{"sectionNumber":"39","sectionType":"section","heading":null,"content":"#### 39\n\n39, 40 (Repealed)","sortOrder":82},{"sectionNumber":"41","sectionType":"section","heading":"Power of decision-maker in relation to applications","content":"#### 41 Power of decision-maker in relation to applications\n\n41 Power of decision-maker in relation to applications\n\n> > (1) After considering an application for an assessment lease, the decision-maker—\n> > \n> > > (a) may grant to the applicant an assessment lease over all or part of the land over which a lease was sought, or\n> > \n> > > (b) may refuse the application.\n> > \n> > Note.\n> > \n> > Schedule 1B contains provisions about the grant or refusal of an application for an assessment lease and the conditions to which an assessment lease is subject.\n> \n> > (2) The decision-maker may grant—\n> > \n> > > (a) a single assessment lease for 2 or more applications made by the same applicant, or\n> > \n> > > (b) 2 or more assessment leases to an applicant for a single application.\n> \n> > (3) The decision-maker may not grant an assessment lease under this section otherwise than in accordance with Part 1 of Schedule 1.\n> \n> > (4) However, Part 1 of Schedule 1 does not apply to an application for an assessment lease made—\n> > \n> > > (a) by the holder of a mining lease over the same land as that over which the assessment lease is sought, or\n> > \n> > > (b) pursuant to an invitation under Schedule 1A (Competitive selection process for controlled release prospecting titles).\n> \n> **s 41:** Am 2008 No 19, Sch 1 \\[13\\] \\[37\\] \\[38\\]; 2014 No 10, Sch 1 \\[5\\] \\[6\\]; 2015 No 39, Sch 1 \\[8\\]; 2015 No 40, Sch 1 \\[20\\] \\[21\\]; 2022 No 21, Sch 1\\[21\\].","sortOrder":85},{"sectionNumber":"42","sectionType":"section","heading":"Land and minerals for which assessment lease may be granted","content":"#### 42 Land and minerals for which assessment lease may be granted\n\n42 Land and minerals for which assessment lease may be granted\n\n> > (1) An assessment lease may be granted over land of any title or tenure.\n> \n> > (2) An assessment lease may be granted in respect of any mineral or minerals, regardless of whether the mineral or minerals are publicly owned, privately owned or partly publicly and partly privately owned.\n> \n> > (3) An assessment lease may be granted over the surface of land, over the surface of land and the subsoil below the surface, over the surface of land and the subsoil down to a specified depth below the surface or over the subsoil below or between any specified depth or depths below the surface of land.\n> \n> > (4) However, an assessment (mineral owner) lease may be granted—\n> > \n> > > (a) only in respect of privately owned minerals, and\n> > \n> > > (b) only to the owner of those minerals.\n> \n> **s 42:** Am 1999 No 43, Sch 1 \\[5\\]; 2008 No 19, Sch 1 \\[39\\].","sortOrder":86},{"sectionNumber":"43","sectionType":"section","heading":"Shape and dimensions of land over which assessment lease may be granted","content":"#### 43 Shape and dimensions of land over which assessment lease may be granted\n\n43 Shape and dimensions of land over which assessment lease may be granted\n\n> > (1) The land over which an assessment lease is granted may differ in size or shape from, but may not include land other than, the land over which the lease was sought.\n> \n> > (2) Subsection (1)—\n> > \n> > > (a) extends to the grant of a single assessment lease for 2 or more applications made by the same applicant, and\n> > \n> > > (b) as extended, applies as if the land over which the assessment lease was sought was the land over which the 2 or more assessment leases were sought.\n> \n> **s 43:** Am 2022 No 21, Sch 1\\[22\\].","sortOrder":87},{"sectionNumber":"44","sectionType":"section","heading":null,"content":"#### 44\n\n44 (Repealed)","sortOrder":88},{"sectionNumber":"44A","sectionType":"section","heading":"Activity approval required for assessable prospecting operations","content":"#### 44A Activity approval required for assessable prospecting operations\n\n44A Activity approval required for assessable prospecting operations\n\n> > (1) An assessment lease is subject to a statutory condition that the holder must not carry out an assessable prospecting operation on land over which the lease is granted unless an activity approval has been obtained for the carrying out of the assessable prospecting operation in relation to that land and is in force.\n> \n> > (2) The holder of an assessment lease may apply in writing to the decision-maker for approval to carry out an assessable prospecting operation in relation to any part of the land over which the lease is granted (an activity approval).\n> \n> > (3) An application for an activity approval must include the information, if any, prescribed by the regulations.\n> \n> > (3A) The decision-maker may require the holder of an assessment lease to provide further information as required by the decision-maker, within the time specified by the decision-maker, before considering the application or at any time during consideration of the application.\n> \n> > (4) After considering the application for the activity approval, the decision-maker—\n> > \n> > > (a) may grant the activity approval, or\n> > \n> > > (b) may refuse the application.\n> \n> > (5) Without limiting the grounds for refusal, the application may be refused if the applicant fails to provide the information required by the decision-maker within the time required.\n> \n> > (6) An activity approval may be granted subject to terms.\n> \n> > (7) For the purposes of this Act, it is a statutory condition of an assessment lease that the holder must comply with any activity approval granted to the holder and in force.\n> \n> > (8) Clauses 7 (2)–(4), 10 (2), 12 and 14 of Schedule 1B apply to and in respect of the imposition of terms on, and variation of the terms of, an activity approval in the same way as they apply to and in respect of the imposition of conditions on, and the variation of the conditions of, an authorisation.\n> \n> > (9) The decision-maker may cancel an activity approval—\n> > \n> > > (a) if the holder of the activity approval lodges with the Secretary a request that the decision-maker cancel the activity approval, or\n> > \n> > > (b) if the decision-maker is satisfied that a person has contravened the activity approval (whether or not the person is prosecuted or convicted of any offence arising from the contravention).\n> \n> > (10) Before cancelling an activity approval, otherwise than at the request of the holder of the activity approval, the decision-maker is to cause a written notice to be served on the holder of the activity approval that contains the following—\n> > \n> > > (a) notice that the activity approval is proposed to be cancelled,\n> > \n> > > (b) details of the grounds for the proposed cancellation,\n> > \n> > > (c) notice that the holder of the activity approval has a specified period (of at least 28 days) in which to make representations with respect to the proposed cancellation.\n> \n> > (11) The decision-maker must not cancel an activity approval, otherwise than at the request of the holder of the activity approval, unless—\n> > \n> > > (a) the decision-maker has taken any such representations received from the holder of the activity approval into consideration, or\n> > \n> > > (b) the period specified in the notice has elapsed and no such representations have been received.\n> \n> > (12) The decision-maker is to cause written notice of the cancellation of an activity approval to be given to the holder of the activity approval.\n> \n> > (13) The cancellation takes effect on the date on which the written notice of the cancellation is given to the holder of the activity approval, or on a later date specified in the notice.\n> \n> > (14) Any person who is aggrieved by the decision of the decision-maker to cancel an activity approval held by the person may appeal to the Land and Environment Court against the decision. Section 128 applies to such an appeal as if it were an appeal against a decision to cancel an authority.\n> \n> > (15) The cancellation of an activity approval does not affect any liability incurred by the holder of the activity approval before the cancellation took effect.\n> \n> > (16) Action may be taken under subsection (9) (b) whether or not any other action has been taken in respect of the activity approval under this Act.\n> \n> **s 44A:** Ins 2015 No 40, Sch 1 \\[23\\]. Am 2022 No 21, Sch 1\\[23\\].","sortOrder":90},{"sectionNumber":"45","sectionType":"section","heading":"Term of assessment lease","content":"#### 45 Term of assessment lease\n\n45 Term of assessment lease\n\n> An assessment lease—\n> \n> > (a) takes effect on the date on which it is granted or on such later date, or on the occurrence of such later event, as the decision-maker may determine, and\n> \n> > (b) ceases to have effect on the expiration of—\n> > \n> > > (i) 2 years after the date on which it took effect, in the case of an assessment (mineral owner) lease, or\n> > \n> > > (ii) such period (not exceeding 6 years) as the decision-maker determines, in the case of any other assessment lease.\n> \n> **s 45:** Subst 2008 No 19, Sch 1 \\[40\\]. Am 2015 No 40, Sch 1 \\[24\\].","sortOrder":91},{"sectionNumber":"46","sectionType":"section","heading":"Form of assessment lease","content":"#### 46 Form of assessment lease\n\n46 Form of assessment lease\n\n> An assessment lease is to be in the approved form and is to include the following particulars—\n> \n> > (a) a description of the land over which it is granted,\n> \n> > (b) a list of the mineral or minerals in respect of which it is granted,\n> \n> > (c) the conditions to which it is subject,\n> \n> > (d) the period for which it is to have effect.\n> \n> Note.\n> \n> Schedule 1B provides that an assessment lease may be varied after it is granted.\n> \n> **s 46:** Am 2015 No 40, Sch 1 \\[25\\].","sortOrder":92},{"sectionNumber":"47","sectionType":"section","heading":"Rights under assessment lease","content":"#### 47 Rights under assessment lease\n\n47 Rights under assessment lease\n\n> > (1) The holder of an assessment lease may, in accordance with the conditions of the lease, prospect on the land specified in the lease for the mineral or minerals so specified.\n> \n> > (2) If an application for a mining lease or mineral claim made by the holder of an assessment lease is not finally dealt with before the date on which the assessment lease would otherwise cease to have effect, the lease continues to have effect, in relation only to the land to which the application relates, until the application is finally dealt with.\n> \n> Note.\n> \n> An assessment lease is designed to allow retention of rights over an area in which a significant mineral deposit has been identified, if mining the deposit is not commercially viable in the short term but there is a reasonable prospect that it will be in the longer term. The holder is allowed to continue prospecting operations and to recover minerals in the course of assessing the viability of commercial mining.\n> \n> **s 47:** Am 2000 No 90, Sch 2.1 \\[2\\].","sortOrder":94},{"sectionNumber":"47A","sectionType":"section","heading":null,"content":"#### 47A\n\n47A (Repealed)","sortOrder":95},{"sectionNumber":"48","sectionType":"section","heading":"Exempted areas","content":"#### 48 Exempted areas\n\n48 Exempted areas\n\n> > (1) The holder of an assessment lease may not, except with the consent of the Minister, exercise a right conferred by the lease within the following land—\n> > \n> > > (a) land in a state conservation area within an exempted area,\n> > \n> > > (b) other land in an exempted area, unless an access arrangement under section 140 applies to the land.\n> \n> > (2) Such consent may be given either unconditionally or subject to conditions.\n> \n> > (3) Clauses 12 and 14 of Schedule 1B apply to the variation or suspension of a condition of consent granted under this section in the same way as they apply to the variation or suspension of a condition of an authorisation.\n> \n> **s 48:** Am 2015 No 40, Sch 1 \\[26\\]; 2022 No 21, Sch 1\\[24\\].","sortOrder":97},{"sectionNumber":"49","sectionType":"section","heading":"Dwelling-houses, gardens and significant improvements","content":"#### 49 Dwelling-houses, gardens and significant improvements\n\n49 Dwelling-houses, gardens and significant improvements\n\n> > (1) The holder of an assessment lease may not exercise any of the rights conferred by the lease over the surface of land—\n> > \n> > > (a) on which, or within the prescribed distance of which, is situated a dwelling-house that is the principal place of residence of the person occupying it, or\n> > \n> > > (b) on which, or within the prescribed distance of which, is situated any garden, or\n> > \n> > > (c) on which is situated any significant improvement other than an improvement constructed or used for ancillary mining activities only,\n> > \n> > except with the written consent of the owner of the dwelling-house, garden or improvement (and, in the case of the dwelling-house, the written consent of its occupant).\n> \n> > (2) The prescribed distance is—\n> > \n> > > (a) 200 metres (or, if a greater distance is prescribed by the regulations, the greater distance) for the purposes of subsection (1) (a), and\n> > \n> > > (b) 50 metres (or, if a greater distance is prescribed by the regulations, the greater distance) for the purposes of subsection (1) (b).\n> \n> > (3) A written consent given under this section is irrevocable.\n> \n> > (4) This section does not apply with respect to a dwelling-house, garden or significant improvement owned by the holder of the assessment lease or, if the holder is a corporation, by a related corporation.\n> \n> > (5) If a dispute arises as to whether or not subsection (1) applies in a particular case, any party to the dispute may apply to the Land and Environment Court for a determination of the matter.\n> \n> > (6) The holder of the assessment lease is to pay the costs of the owner of the dwelling-house, garden or improvement (or occupant of the dwelling-house) in those proceedings in the Land and Environment Court.\n> \n> > (7) This section does not apply to the holder of an assessment lease who carries out a seismic survey on a road within the meaning of the [Road Transport Act 2013](/view/html/inforce/current/act-2013-018), but only if the holder has given written notice of at least 21 days (or such other period as is prescribed by the regulations) of the carrying out of the seismic survey to the owner of the dwelling-house, garden or significant improvement concerned (and, in the case of a dwelling-house, the occupant).\n> \n> **s 49:** Am 1992 No 111, Sch 1; 1996 No 137, Sch 1 \\[41\\] \\[42\\]; 1999 No 43, Sch 1 \\[2\\] \\[3\\]; 2000 No 90, Sch 2.1 \\[3\\]; 2008 No 19, Sch 1 \\[42\\]; 2008 No 68, Sch 1 \\[2\\] \\[3\\]; 2008 No 107, Sch 19 \\[5\\]; 2015 No 41, Sch 1 \\[2\\].","sortOrder":98},{"sectionNumber":"50","sectionType":"section","heading":"Assessment areas over which authority is subsequently granted","content":"#### 50 Assessment areas over which authority is subsequently granted\n\n50 Assessment areas over which authority is subsequently granted\n\n> Land over which an assessment lease is granted and over which some other authority is subsequently granted ceases to be part of the assessment area when the other authority takes effect.","sortOrder":99},{"sectionNumber":"Part 5","sectionType":"part","heading":"Mining leases","content":"# Part 5 Mining leases\n\nPart 5 Mining leases","sortOrder":100},{"sectionNumber":"51","sectionType":"section","heading":"Application for mining lease","content":"#### 51 Application for mining lease\n\n51 Application for mining lease\n\n> > (1) Any person may apply for a mining lease.\n> \n> > (2) To avoid doubt, the owner of privately owned minerals may apply for a mining (mineral owner) lease or any other mining lease with respect to those minerals.\n> > \n> > Note.\n> > \n> > The owner of privately owned minerals may choose to apply for an ordinary mining lease with respect to those minerals, rather than a mining (mineral owner) lease. In relation to mining (mineral owner) leases see section 68 (4).\n> \n> > (3) An application that relates to land in a mineral allocation area may not be made in relation to an allocated mineral except—\n> > \n> > > (a) by the holder of an exploration licence, assessment lease or mining lease over that land in respect of that mineral, or\n> > \n> > > (b) with the Minister’s consent.\n> \n> > (3A) An application that relates to land in a controlled release area may not be made in relation to a controlled release mineral except by the holder of an exploration licence, assessment lease or mining lease over that land in respect of that mineral.\n> \n> > (4) An application for a mining lease must—\n> > \n> > > (a) be lodged with the Secretary, and\n> > \n> > > (b) be accompanied by the application fee, if any, prescribed by the regulations, and\n> > \n> > > (c) be accompanied by the information, if any, specified by the regulations, and\n> > \n> > > (d) if the application is for a mining (mineral owner) lease with respect to privately owned minerals that have more than one owner, be made by all the owners.\n> > \n> > Note.\n> > \n> > Section 129A requires an application for a mining lease to be accompanied by a proposed work program.\n> \n> > (5), (6) (Repealed)\n> \n> **s 51:** Am 1996 No 137, Sch 1 \\[15\\] \\[59\\]–\\[61\\]. Subst 2008 No 19, Sch 1 \\[43\\]. Am 2015 No 39, Sch 1 \\[9\\] \\[10\\]; 2015 No 40, Sch 1 \\[27\\] \\[28\\]; 2017 No 27, Sch 1 \\[4\\]; 2022 No 21, Sch 1\\[25\\] \\[26\\].","sortOrder":102},{"sectionNumber":"51A","sectionType":"section","heading":"Notice of application for mining lease","content":"#### 51A Notice of application for mining lease\n\n51A Notice of application for mining lease\n\n> > (1) Within 14 days (or such other period as may be prescribed by the regulations) after lodging an application for a mining lease, the applicant must cause notice of the application to be published in the way specified by the regulations.\n> \n> > (2) The notice must—\n> > \n> > > (a) state that an application for a mining lease has been lodged, and\n> > \n> > > (b) contain a plan of the proposed mining area, and\n> > \n> > > (c) comply with any other requirements that are prescribed by the regulations for the purposes of this subsection.\n> \n> **s 51A:** Ins 2008 No 19, Sch 1 \\[43\\]. Am 2022 No 21, Sch 1\\[20\\].","sortOrder":103},{"sectionNumber":"51B","sectionType":"section","heading":"Limitation on subsequent applications","content":"#### 51B Limitation on subsequent applications\n\n51B Limitation on subsequent applications\n\n> If a person—\n> \n> > (a) applies for the grant or renewal of a mineral owner authority in relation to particular land and that application is refused, or\n> \n> > (b) was the holder of a mineral owner authority in relation to particular land when that authority was cancelled,\n> \n> the person may not, within 2 years after that refusal or cancellation, apply for a mining (mineral owner) lease in relation to that land except with the Minister’s consent.\n> \n> **s 51B:** Ins 2008 No 19, Sch 1 \\[43\\].","sortOrder":104},{"sectionNumber":"52","sectionType":"section","heading":"Invitations for tenders","content":"#### 52 Invitations for tenders\n\n52 Invitations for tenders\n\n> > (1) This section applies only to allocated minerals in land within a mineral allocation area and to controlled release minerals in land within a controlled release area.\n> \n> > (2) The Minister may, by notice published in the way specified by the regulations, invite tenders for a mining lease, other than a mining (mineral owner) lease, for—\n> > \n> > > (a) an allocated mineral within a mineral allocation area, or\n> > \n> > > (b) a controlled release mineral within a controlled release area.\n> \n> > (3) An invitation—\n> > \n> > > (a) must describe the land to which it relates, and\n> > \n> > > (b) must identify the allocated mineral or controlled release mineral to which it relates, and\n> > \n> > > (c) must specify the way in which, and the date on or before which, tenders for the mining lease should be lodged.\n> \n> > (4) Tenders may not be invited under this section otherwise than in accordance with Part 2 of Schedule 1.\n> \n> **s 52:** Am 2008 No 19, Sch 1 \\[44\\]; 2015 No 39, Sch 1 \\[11\\]–\\[13\\]; 2022 No 21, Sch 1\\[12\\] \\[27\\].","sortOrder":105},{"sectionNumber":"53","sectionType":"section","heading":"Tenders","content":"#### 53 Tenders\n\n53 Tenders\n\n> > (1) A tender for a mining lease—\n> > \n> > > (a) must be lodged with the Secretary in accordance with the invitation for the tender, and\n> > \n> > > (b) must be accompanied by the required information, and\n> > \n> > > (c) must be accompanied by the lodgment fee prescribed by the regulations.\n> > \n> > Note.\n> > \n> > Section 129A requires a tender for a mining lease to be accompanied by a proposed work program.\n> \n> > (2) The required information is as follows—\n> > \n> > > (a) particulars of the financial resources and relevant technical advice available to the tenderer,\n> > \n> > > (b) (Repealed)\n> > \n> > > (c) any other information that is specified in the tender invitation.\n> \n> > (3) A tender may specify that, in the event that the tender is successful, the tenderer will pay—\n> > \n> > > (a) a specified amount, or\n> > \n> > > (b) royalty, at a specified rate, over and above the royalty payable under Part 14, or\n> > \n> > > (c) both such an amount and royalty at such a rate,\n> > \n> > in addition to the cash reserve price (if any) specified in the invitation for the tender.\n> \n> > (4) A tender may also specify—\n> > \n> > > (a) whether or not an amount referred to in subsection (3) (a) will be paid by way of instalments, and\n> > \n> > > (b) if such an amount is to be paid by way of instalments—the period (not exceeding 5 years) within which the amount will be paid.\n> \n> > (5) A tenderer is entitled to a refund of the fee referred to in subsection (1) (c) if a mining lease is not granted to the tenderer as a consequence of the tenderer being refused development consent to the use of the land concerned, or any part of the land, for the purpose of obtaining minerals.\n> \n> **s 53:** Am 1996 No 137, Sch 1 \\[15\\]; 2008 No 19, Sch 1 \\[45\\]–\\[47\\]; 2015 No 40, Sch 1 \\[29\\] \\[30\\].","sortOrder":106},{"sectionNumber":"54","sectionType":"section","heading":null,"content":"#### 54\n\n54 (Repealed)","sortOrder":107},{"sectionNumber":"55","sectionType":"section","heading":"Exclusion of land from application or tender","content":"#### 55 Exclusion of land from application or tender\n\n55 Exclusion of land from application or tender\n\n> > (1) The decision-maker may, by order in writing, direct that any part of the land to which an application or tender for a mining lease relates be excluded from the application or tender.\n> \n> > (2) A direction takes effect on the date on which written notice of the direction is served on the applicant or tenderer.\n> \n> > (3) A tenderer affected by any such direction may amend the tender by written notice lodged with the Secretary on or before such date as may be specified in the direction.\n> \n> > (4) This section does not apply to an application for a mining (mineral owner) lease.\n> \n> **s 55:** Am 2008 No 19, Sch 1 \\[48\\] \\[49\\].","sortOrder":109},{"sectionNumber":"56","sectionType":"section","heading":null,"content":"#### 56\n\n56 (Repealed)","sortOrder":110},{"sectionNumber":"57","sectionType":"section","heading":"Land in reserve","content":"#### 57 Land in reserve\n\n57 Land in reserve\n\n> A mining lease may not be granted over any land within—\n> \n> > (a) (Repealed)\n> \n> > (b) a reserve in respect of which an order prohibiting the granting of mining leases is in force under section 367.\n> \n> **s 57:** Am 1996 No 137, Sch 1 \\[108\\].","sortOrder":113},{"sectionNumber":"58","sectionType":"section","heading":"Land subject to authority","content":"#### 58 Land subject to authority\n\n58 Land subject to authority\n\n> > (1) A mining lease may not be granted over any land—\n> > \n> > > (a) the subject of an exploration licence that includes any mineral or minerals in respect of which the mining lease is sought, or\n> > \n> > > (b) the subject of an assessment lease, mining lease or mineral claim, or\n> > \n> > > (c) the subject of an application for any of the following that was lodged before the application for the firstmentioned mining lease—\n> > > \n> > > > (i) an exploration licence that includes minerals in respect of which the mining lease is sought,\n> > > \n> > > > (ii) an assessment lease,\n> > > \n> > > > (iii) a mining lease,\n> > > \n> > > > (iv) a mineral claim,\n> > \n> > otherwise than to or with the written consent of the holder of, or the applicant for, that licence, lease or claim.\n> \n> > (2) A written consent given under this section is irrevocable.\n> \n> > (3) If, as a result of such a consent, a mining lease is granted over any such land, that land—\n> > \n> > > (a) ceases to be subject to the exploration licence, assessment lease, mining lease or mineral claim concerned, or\n> > \n> > > (b) is excluded from the application for the exploration licence, assessment lease, mining lease or mineral claim concerned,\n> > \n> > as the case requires, unless the decision-maker makes a determination under subsection (4).\n> \n> > (4) The decision-maker may determine that subsection (3) does not apply with respect to the land or to a part of the land if the decision-maker is satisfied that having the land or that part subject to both the lease and the other authorisation concerned is not likely to make the exercise of rights under the lease or the other authorisation impracticable.\n> \n> **s 58:** Am 2008 No 19, Sch 1 \\[51\\]–\\[53\\].","sortOrder":114},{"sectionNumber":"59","sectionType":"section","heading":"Land subject to exploration licence","content":"#### 59 Land subject to exploration licence\n\n59 Land subject to exploration licence\n\n> > (1) If an application for a mining lease is lodged in respect of land that is subject wholly or partly to one or more exploration licences (other than exploration licences that include any mineral or minerals in respect of which the mining lease is sought), the decision-maker must cause notice of the application to be served on the holder of every such exploration licence.\n> \n> > (2) The holder of an exploration licence served with such a notice may object to the granting of the mining lease by lodging with the Secretary, on or before the date specified in the notice, a written notice stating the grounds of the objection.\n> \n> > (3) Any such objection is to be taken into consideration by the Minister when determining the application.\n> \n> > (4) This section does not apply to an application that is made with the written consent of the holder of every exploration licence over the land concerned.\n> \n> > (5) A written consent given under this section is irrevocable.\n> \n> **s 59:** Am 2008 No 19, Sch 1 \\[13\\] \\[54\\]; 2008 No 107, Sch 19 \\[6\\].","sortOrder":115},{"sectionNumber":"60","sectionType":"section","heading":null,"content":"#### 60\n\n60, 61 (Repealed)","sortOrder":116},{"sectionNumber":"62","sectionType":"section","heading":"Dwelling-houses, gardens and significant improvements","content":"#### 62 Dwelling-houses, gardens and significant improvements\n\n62 Dwelling-houses, gardens and significant improvements\n\n> > (1) A mining lease may not be granted over the surface of any land—\n> > \n> > > (a) on which, or within the prescribed distance of which, is situated a dwelling-house that is the principal place of residence of the person occupying it, or\n> > \n> > > (b) on which, or within the prescribed distance of which, is situated any garden, or\n> > \n> > > (c) on which is situated anything that is taken to be a significant improvement under clause 23A of Schedule 1,\n> > \n> > except with the written consent of the owner of the dwelling-house, garden or improvement (and, in the case of the dwelling-house, the written consent of its occupant).\n> \n> > (2) The prescribed distance is—\n> > \n> > > (a) 200 metres (or, if a greater distance is prescribed by the regulations, the greater distance) for the purposes of subsection (1) (a), and\n> > \n> > > (b) 50 metres (or, if a greater distance is prescribed by the regulations, the greater distance) for the purposes of subsection (1) (b).\n> \n> > (3) A written consent given under this section is irrevocable.\n> \n> > (4) Subsection (1) does not apply in respect of a dwelling-house, garden or significant improvement that was not in existence at the relevant date.\n> \n> > (5) The relevant date is—\n> > \n> > > (a) in the case of a mining lease the subject of a tender under section 53, the date on which notice of the invitation for tenders for the mining lease was published in the Gazette under section 136, or\n> > \n> > > (b) in the case of a mining lease the subject of an application made by the holder of an exploration licence granted as a result of a tender under section 15 in respect of the same land, or of an assessment lease granted over the same land to the holder of such an exploration licence, the date on which notice of the invitation for tenders for the exploration licence was published in the Gazette under section 136, or\n> > \n> > > (c) in the case of a mining lease for coal the subject of an application made by the holder of an exploration licence for coal in respect of the same land, or of an assessment lease for coal granted over the same land to the holder of such an exploration licence, the date on which the application for the exploration licence was lodged, or\n> > \n> > > (d) in the case of a mining lease the subject of an application made by the holder of an assessment lease or mineral claim over the same land, the date on which the lease or claim was granted, or\n> > \n> > > (e) in the case of a mining lease the subject of an application made otherwise than by a person referred to in paragraph (a), (b), (c) or (d), the date on which the application for the mining lease was lodged.\n> \n> > (6) This section does not apply with respect to a dwelling-house, garden or significant improvement owned by the applicant for the mining lease or, if the applicant is a corporation, by a related corporation.\n> \n> > (6A) If a dispute arises as to whether or not subsection (1) applies in a particular case, any party to the dispute may apply to the Land and Environment Court for a determination of the matter.\n> \n> > (6B) The applicant for the mining lease is to pay the costs of the owner of the dwelling-house, garden or improvement (or occupant of the dwelling-house) in those proceedings in the Land and Environment Court.\n> \n> > (7) A mining lease must not be granted over land below the surface of land referred to in subsection (1) except at such depths, and subject to such conditions, as the decision-maker considers sufficient to minimise damage to that surface.\n> \n> > (8) (Repealed)\n> \n> **s 62:** Am 1992 No 111, Sch 1; 1996 No 137, Sch 1 \\[43\\]–\\[45\\]; 1999 No 43, Sch 1 \\[2\\] \\[3\\]; 2000 No 90, Sch 2.1 \\[4\\]; 2008 No 19, Sch 1 \\[13\\]; 2008 No 68, Sch 1 \\[2\\] \\[4\\]–\\[6\\]; 2008 No 107, Sch 19 \\[8\\]; 2010 No 135, Sch 16 \\[1\\] \\[2\\]; 2015 No 41, Sch 1 \\[3\\].","sortOrder":118},{"sectionNumber":"63","sectionType":"section","heading":"Power of decision-maker in relation to applications","content":"#### 63 Power of decision-maker in relation to applications\n\n63 Power of decision-maker in relation to applications\n\n> > (1) After considering an application for a mining lease, the decision-maker—\n> > \n> > > (a) may grant to the applicant a mining lease over all or part of the land over which a lease was sought, or\n> > \n> > > (b) may refuse the application.\n> > \n> > Note.\n> > \n> > Schedule 1B contains provisions about the grant or refusal of an application for a mining lease.\n> \n> > (2) (Repealed)\n> \n> > (3) The decision-maker may grant—\n> > \n> > > (a) a single mining lease for 2 or more applications made by the same applicant, or\n> > \n> > > (b) 2 or more mining leases to an applicant for a single application.\n> \n> > (3A) A mining lease may not be granted until the mining lease fee prescribed by the regulations has been paid for the grant of the lease.\n> \n> > (4) A mining lease may not be granted under this section otherwise than in accordance with Part 2 of Schedule 1.\n> \n> > (5) A mining lease may not be granted, in respect of an ancillary mining activity or activities only, unless the decision-maker is satisfied that the ancillary mining activity or activities is or are to be carried out in the vicinity of and to directly facilitate—\n> > \n> > > (a) a mining lease in respect of a mineral or minerals, or\n> > \n> > > (b) a mineral claim,\n> > \n> > being a mining lease or mineral claim that has been or is proposed to be granted.\n> \n> > (6) A mining lease must not be granted if—\n> > \n> > > (a) the application for the mining lease is for an ancillary mining activity or activities, and\n> > \n> > > (b) the ancillary mining activity or activities relate only to mining under a mining (mineral owner) lease, and\n> > \n> > > (c) the land that is to be subject to the mining lease is not owned by the holder of the mining (mineral owner) lease.\n> \n> > (7) The decision-maker, in deciding whether to grant or refuse an application for a mining lease for an ancillary mining activity or activities only, is to have regard to guidelines issued (and made publicly available) by the Secretary for the purposes of this subsection.\n> \n> **s 63:** Am 1996 No 137, Sch 1 \\[16\\] \\[62\\]; 2008 No 19, Sch 1 \\[13\\] \\[57\\]–\\[60\\]; 2014 No 10, Sch 1 \\[7\\] \\[8\\]; 2015 No 40, Sch 1 \\[33\\] \\[34\\]; 2017 No 27, Sch 1 \\[4\\]–\\[7\\]; 2022 No 21, Sch 1\\[2\\] \\[29\\] \\[30\\].","sortOrder":120},{"sectionNumber":"64","sectionType":"section","heading":"Power of decision-maker in relation to tenders","content":"#### 64 Power of decision-maker in relation to tenders\n\n64 Power of decision-maker in relation to tenders\n\n> > (1) After considering a tender in respect of which one tender only is lodged, the Minister—\n> > \n> > > (a) may grant a mining lease to the tenderer, or\n> > \n> > > (b) may refuse the tender.\n> > \n> > Note.\n> > \n> > Schedule 1B contains provisions about the grant or refusal of a mining lease to a tenderer.\n> \n> > (2) After considering all tenders in respect of land in respect of which more than one tender is lodged, the Minister—\n> > \n> > > (a) may grant a mining lease to any one of the tenderers, or\n> > \n> > > (b) may refuse all of the tenders.\n> \n> > (3) (Repealed)\n> \n> > (4) For the purposes of this section, only one tender is lodged in respect of land if no other tender is lodged in respect of the land or any part of the land.\n> \n> > (5) A mining lease may not be granted under this section otherwise than in accordance with Part 2 of Schedule 1.\n> \n> **s 64:** Am 2008 No 19, Sch 1 \\[61\\]; 2014 No 10, Sch 1 \\[9\\] \\[10\\]; 2015 No 40, Sch 1 \\[35\\] \\[36\\].","sortOrder":121},{"sectionNumber":"65","sectionType":"section","heading":"Development consents under Environmental Planning and Assessment Act 1979","content":"#### 65 Development consents under Environmental Planning and Assessment Act 1979\n\n65 Development consents under [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203)\n\n> > (1) The Minister must not grant a mining lease over land if development consent is required for activities to be carried out under the lease unless an appropriate development consent is in force in respect of the carrying out of those activities on the land.\n> > \n> > Note.\n> > \n> > Section 380AA prevents an application for development consent to mine coal from being made or granted unless the applicant is the holder of an authority that is in force in respect of coal and the land concerned.\n> \n> > (2) Nothing in this Act permits an activity, for which development consent is required, to be carried out without the consent being obtained in accordance with the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203).\n> \n> > (3) If a mining lease is granted over land for which an appropriate development consent has been given (being a mining lease granted and a development consent given before the commencement of Schedule 7.11 to the [Environmental Planning and Assessment Amendment (Infrastructure and Other Planning Reform) Act 2005](/view/html/repealed/current/act-2005-043))—\n> > \n> > > (a) any condition (being a special purpose condition within the meaning of Division 2 of Part 2 of Schedule 1, as in force immediately before that commencement) imposed on the development consent by a consent authority, or by a body hearing an appeal from a consent authority, is void, and\n> > \n> > > (b) the development consent (to the extent only to which it relates to the use of the land concerned for the purpose of obtaining minerals) is taken to have been given free of the condition.\n> \n> > (4) In this section, a reference to granting a mining lease over land includes a reference to imposing a condition on a mining lease relating to the carrying out of an ancillary mining activity on land (whether or not within the mining area of the mining lease).\n> \n> > (5) The Minister may reject an application for a mining lease if the applicant, before the expiration of the period, if any, prescribed by the regulations or a longer period specified by the decision-maker, has failed to provide to the Minister evidence that—\n> > \n> > > (a) an application for the development consent required by this section has been made, or\n> > \n> > > (b) the development consent has been granted and is in force.\n> \n> > (6) To avoid doubt—\n> > \n> > > (a) an application rejected under this section is taken never to have been made, and\n> > \n> > > (b) the Minister is not required to notify the applicant before the rejection.\n> \n> **s 65:** Am 1996 No 137, Sch 1 \\[63\\]; 2005 No 43, Sch 7.11 \\[1\\] (am 2005 No 98, Sch 2.20) \\[2\\]; 2013 No 88, Sch 1 \\[1\\]; 2014 No 10, Sch 1 \\[11\\]; 2017 No 27, Sch 1 \\[8\\]; 2022 No 21, Sch 1\\[31\\].","sortOrder":122},{"sectionNumber":"66","sectionType":"section","heading":"Survey of land to be carried out","content":"#### 66 Survey of land to be carried out\n\n66 Survey of land to be carried out\n\n> > (1) Before a mining lease is granted, the Secretary must be satisfied that the land over which the mining lease is to be granted has been properly surveyed.\n> \n> > (2) For the purpose of doing so, the Secretary may direct the applicant for the mining lease to cause a survey to be prepared in accordance with such requirements as may be specified in the direction.\n> \n> **s 66:** Am 2008 No 19, Sch 1 \\[62\\].","sortOrder":123},{"sectionNumber":"67","sectionType":"section","heading":"Recovery of public money expended on testing for minerals or research","content":"#### 67 Recovery of public money expended on testing for minerals or research\n\n67 Recovery of public money expended on testing for minerals or research\n\n> > (1) If public money has been expended—\n> > \n> > > (a) in the course of testing any land (by way of drilling or otherwise) for the mineral bearing capacity of the land, or\n> > \n> > > (b) in the course of conducting an environmental impact study or other research program in connection with the proper assessment of any application for a mining lease that has been or may be made in respect of any land,\n> > \n> > the Minister may, by notice in writing, require any applicant for a mining lease over the land or any part of the land to reimburse the Government, within the time specified in the notice, for the money, or any part of the money, so expended.\n> \n> > (2) The applicant may elect to pay—\n> > \n> > > (a) a lump sum of the amount specified in the notice as being the proportion of the cost (at current market rates) of carrying out the testing, impact study or research program that the Minister determines should be paid by the applicant, or\n> > \n> > > (b) instalments (of such amounts and paid at such times as may be specified in the notice) totalling the amount referred to in paragraph (a).\n> \n> > (3) It is a condition of any mining lease granted to an applicant who has been required to reimburse the Government under this section that any amount that remains unpaid as at the time the lease takes effect is to be paid to the Minister in accordance with the election made by the applicant.\n> \n> > (4) If public money has been expended in connection with several parcels of land, the amount so expended is to be apportioned among them in such manner as the Minister thinks fit.","sortOrder":124},{"sectionNumber":"68","sectionType":"section","heading":"Land and minerals for which mining lease may be granted","content":"#### 68 Land and minerals for which mining lease may be granted\n\n68 Land and minerals for which mining lease may be granted\n\n> > (1) A mining lease may be granted over land of any title or tenure.\n> \n> > (2) A mining lease may be granted in respect of any mineral or minerals, regardless of whether the mineral or minerals are publicly owned, privately owned or partly publicly and partly privately owned.\n> \n> > (3) A mining lease may be granted over the surface of land, over the surface of land and the subsoil below the surface, over the surface of land and the subsoil down to a specified depth below the surface or over the subsoil between or below any specified depth or depths below the surface of land.\n> \n> > (4) However, a mining (mineral owner) lease may be granted—\n> > \n> > > (a) only in respect of privately owned minerals, and\n> > \n> > > (b) only to the owner of those minerals.\n> \n> **s 68:** Am 1999 No 43, Sch 1 \\[6\\]; 2008 No 19, Sch 1 \\[63\\].","sortOrder":125},{"sectionNumber":"69","sectionType":"section","heading":"Shape and dimensions of land over which mining lease may be granted","content":"#### 69 Shape and dimensions of land over which mining lease may be granted\n\n69 Shape and dimensions of land over which mining lease may be granted\n\n> > (1) The land over which a mining lease is granted may differ in size or shape from, but may not include land other than, the land over which the lease was sought.\n> \n> > (2) Subsection (1)—\n> > \n> > > (a) extends to the grant of a single mining lease for 2 or more applications made by the same applicant, and\n> > \n> > > (b) as extended, applies as if the land over which the mining lease was sought was the land over which the 2 or more mining leases were sought.\n> \n> **s 69:** Am 2022 No 21, Sch 1\\[32\\].","sortOrder":126},{"sectionNumber":"70","sectionType":"section","heading":null,"content":"#### 70\n\n70 (Repealed)","sortOrder":127},{"sectionNumber":"71","sectionType":"section","heading":"Term of mining lease","content":"#### 71 Term of mining lease\n\n71 Term of mining lease\n\n> A mining lease—\n> \n> > (a) takes effect on the date on which it is granted or on such later date as the decision-maker may determine, and\n> \n> > (b) ceases to have effect at the expiration of such period as the decision-maker determines, being a period that must not exceed 21 years, except with the Premier’s concurrence.\n> \n> **s 71:** Subst 2008 No 19, Sch 1 \\[67\\].","sortOrder":129},{"sectionNumber":"72","sectionType":"section","heading":"Form of mining lease","content":"#### 72 Form of mining lease\n\n72 Form of mining lease\n\n> A mining lease is to include the following particulars—\n> \n> > (a) a description of the land over which it is granted,\n> \n> > (b) a list of the mineral or minerals, or the ancillary mining activity or activities, in respect of which it is granted,\n> \n> > (c) the conditions to which it is subject,\n> \n> > (d) the period for which it is to have effect.\n> \n> **s 72:** Am 1996 No 137, Sch 1 \\[65\\]; 2008 No 19, Sch 1 \\[68\\]; 2017 No 27, Sch 1 \\[4\\].","sortOrder":130},{"sectionNumber":"73","sectionType":"section","heading":"Rights under mining lease","content":"#### 73 Rights under mining lease\n\n73 Rights under mining lease\n\n> > (1) The holder of a mining lease granted in respect of a mineral or minerals may, in accordance with the conditions of the lease—\n> > \n> > > (a) prospect on the land specified in the lease for, and mine on that land, the mineral or minerals so specified, and\n> > \n> > > (b) carry out on that land such primary treatment operations (such as crushing, sizing, grading, washing and leaching) as are necessary to separate the mineral or minerals from the material from which they are recovered, and\n> > \n> > > (c) carry out on that land any ancillary mining activity.\n> \n> > (1A) The holder of a mining lease granted in respect of an ancillary mining activity or activities only may, in accordance with the conditions of the lease, carry out the ancillary mining activity or activities specified in the lease.\n> \n> > (2) While a mining lease is in force, the holder of the lease and any person acting as agent or employee of the holder, or delivering goods or providing services to the holder, for the purpose of a requirement of or an activity authorised by the lease may—\n> > \n> > > (a) for that purpose enter and be on the mining area, and\n> > \n> > > (b) do anything so authorised or required.\n> \n> > (3) In this section—\n> > \n> > mining area includes, in relation to a lease that does not include the surface of land, any part of the surface of land on which the holder of the lease is authorised, in accordance with section 81, to carry out activities.\n> \n> **s 73:** Am 1996 No 137, Sch 1 \\[66\\] \\[67\\]; 2008 No 19, Sch 1 \\[69\\]; 2017 No 27, Sch 1 \\[4\\] \\[5\\]; 2023 No 7, Sch 2.35.","sortOrder":132},{"sectionNumber":"74","sectionType":"section","heading":null,"content":"#### 74\n\n74 (Repealed)","sortOrder":133},{"sectionNumber":"75","sectionType":"section","heading":"Ancillary mining activities","content":"#### 75 Ancillary mining activities\n\n75 Ancillary mining activities\n\n> > (1) The Minister may, by order in writing, direct that—\n> > \n> > > (a) a specified ancillary mining activity be carried out in accordance with any condition specified in the order, or\n> > \n> > > (b) the carrying out of a specified ancillary mining activity be discontinued for such period as is specified in the order.\n> \n> > (1A) Subsection (1) (b) does not apply to an ancillary mining activity specified in a mining lease granted in respect of an ancillary mining activity or activities only.\n> \n> > (2) An order takes effect on the date on which written notice of the order is served on the holder of the mining lease concerned or on such later date as may be specified in the notice.\n> \n> > (3) A person on whom an order is served must not contravene the order.\n> > \n> > Maximum penalty—100 penalty units.\n> \n> **s 75:** Am 1996 No 137, Sch 1 \\[68\\]; 2000 No 90, Sch 1.1 \\[5\\]; 2017 No 27, Sch 1 \\[5\\] .","sortOrder":135},{"sectionNumber":"76","sectionType":"section","heading":"Fencing of land subject to mining lease","content":"#### 76 Fencing of land subject to mining lease\n\n76 Fencing of land subject to mining lease\n\n> > (1) The holder of a mining lease may fence the whole or any part of the mining area.\n> \n> > (2) The holder of the mining lease must erect and maintain a fence around any unfenced shaft, machinery or other works on the surface of the mining area if required to do so by notice in writing—\n> > \n> > > (a) given by the landholder of the land concerned, or\n> > \n> > > (b) in the case of Crown land (within the meaning of the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058)) for which there is no landholder other than the Crown—given by the Minister.\n> > \n> > Maximum penalty—100 penalty units.\n> \n> **s 76:** Am 1999 No 43, Sch 1 \\[7\\]; 2008 No 19, Sch 1 \\[71\\]; 2017 No 17, Sch 2.12 \\[3\\].","sortOrder":136},{"sectionNumber":"77","sectionType":"section","heading":"Addition of mineral to mineral mining lease","content":"#### 77 Addition of mineral to mineral mining lease\n\n77 Addition of mineral to mineral mining lease\n\n> > (1) The holder of a mining lease granted in respect of a mineral or minerals may apply for the inclusion in the lease of a mineral additional to the mineral or minerals to which the lease relates.\n> \n> > (2) The application must be lodged with the Secretary.\n> \n> > (3) The holder of a mining lease over any land must, within 21 days after lodging the application, serve a copy of the application on each landholder.\n> \n> > (4) After considering the application, the decision-maker—\n> > \n> > > (a) may, by order in writing served on the applicant, direct that the mining lease apply to the additional mineral specified in the direction, or\n> > \n> > > (b) may refuse the application.\n> \n> > (4A) A direction may be given in respect of a mining (mineral owner) lease only if the additional mineral is owned by the holder of that lease.\n> \n> > (5) A direction may be given unconditionally or subject to such conditions as are specified in the direction.\n> \n> > (6) While a direction is in force, the mining lease concerned is taken to extend to the mineral the subject of the direction.\n> \n> **s 77:** Am 1996 No 137, Sch 1 \\[69\\]; 1999 No 43, Sch 1 \\[8\\]; 2008 No 19, Sch 1 \\[13\\] \\[72\\].","sortOrder":137},{"sectionNumber":"78","sectionType":"section","heading":"Inclusion of petroleum in mining lease","content":"#### 78 Inclusion of petroleum in mining lease\n\n78 Inclusion of petroleum in mining lease\n\n> > (1) The holder of a mining lease for coal may apply for the inclusion in the lease of petroleum.\n> \n> > (2) The application must be lodged with the Secretary.\n> \n> > (3) After considering the application, the Minister—\n> > \n> > > (a) may, by order in writing served on the applicant, direct that the mining lease apply to petroleum, or\n> > \n> > > (b) may refuse the application.\n> \n> > (4) Without limiting the generality of subsection (3), the Minister must refuse an application if the land to which the application relates—\n> > \n> > > (a) is within the New South Wales adjacent area, within the meaning of the [Petroleum (Offshore) Act 1982](/view/html/inforce/current/act-1982-023), or\n> > \n> > > (b) is subject to a petroleum exploration licence or a petroleum mining lease granted under the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084).\n> \n> > (5) A direction may be given unconditionally or subject to such conditions as are specified in the direction.\n> \n> > (6) Without limiting the generality of subsection (5), the Minister may direct that a mining lease is to apply to petroleum subject to a condition relating to any one or more of the following matters—\n> > \n> > > (a) the limitation of the right to prospect or drill for petroleum to part only of the mining area,\n> > \n> > > (b) the limitation of that right to prospecting or drilling for some specified type or form of petroleum only,\n> > \n> > > (c) the working practices and methods of extraction to be used when prospecting or drilling for petroleum,\n> > \n> > > (d) the use to which any petroleum recovered may be put,\n> > \n> > > (e) the joint mining and development of petroleum with the holder of a mining lease, or with the holder of a petroleum mining lease under the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084), over land adjoining the mining area.\n> \n> **s 78:** Am 1996 No 137, Sch 1 \\[109\\]; 2007 No 27, Sch 1.27 \\[1\\].","sortOrder":138},{"sectionNumber":"79","sectionType":"section","heading":null,"content":"#### 79\n\n79, 80 (Repealed)","sortOrder":139},{"sectionNumber":"81","sectionType":"section","heading":"Surface activities in relation to subsurface leases","content":"#### 81 Surface activities in relation to subsurface leases\n\n81 Surface activities in relation to subsurface leases\n\n> > (1) The holder of a mining lease over any land (being a lease that does not include the surface of the land) may, with the consent of—\n> > \n> > > (a) the landholder, and\n> > \n> > > (b) the holder of any authority or mineral claim in force over the surface of the land,\n> > \n> > carry out on the surface of the land any activities that are prescribed by the regulations.\n> \n> > (2) (Repealed)\n> \n> > (3) Part 11 applies to the land over which the holder of a mining lease carries out such prescribed activities as if that land were land the subject of the mining lease.\n> \n> **s 81:** Am 1996 No 137, Sch 1 \\[31\\]; 1999 No 43, Sch 1 \\[9\\]; 2008 No 19, Sch 1 \\[74\\]–\\[76\\].","sortOrder":141},{"sectionNumber":"82","sectionType":"section","heading":"Certain resumptions, conveyances and transfers not to affect mining lease","content":"#### 82 Certain resumptions, conveyances and transfers not to affect mining lease\n\n82 Certain resumptions, conveyances and transfers not to affect mining lease\n\n> The conveyance, transfer or compulsory acquisition of land by or under any other Act or law (including the conveyance or transfer of the land under section 722 of the [Local Government Act 1993](/view/html/inforce/current/act-1993-030)) does not affect a mining lease, or any rights under a mining lease, and the mining lease and those rights continue to have effect as if the land had not been conveyed, transferred or acquired.\n> \n> **s 82:** Am 1995 No 11, Sch 1 \\[1\\].","sortOrder":142},{"sectionNumber":"83","sectionType":"section","heading":"Mining areas over which an authority is subsequently granted","content":"#### 83 Mining areas over which an authority is subsequently granted\n\n83 Mining areas over which an authority is subsequently granted\n\n> Land over which a mining lease is granted and over which some other authority is subsequently granted ceases to be part of the mining area when the subsequent authority takes effect.","sortOrder":143},{"sectionNumber":"83A","sectionType":"section","heading":"Mining subleases","content":"#### 83A Mining subleases\n\n83A Mining subleases\n\n> > (1) The holder of a mining lease, other than a mining (mineral owner) lease, may grant a mining sublease with respect to all or part of the mining area under the mining lease (the head lease).\n> \n> > (2) A sublease may be renewed, or its term or conditions varied, according to law.\n> \n> > (3) However, the granting, renewal or variation of the term or a condition of a mining sublease has no effect for the purposes of this Act unless the sublease is registered in accordance with section 163A.\n> \n> > (4) A sublease that has been registered in accordance with section 163A ceases to have effect for the purposes of this Act if—\n> > \n> > > (a) the term of the sublease or head lease expires, or\n> > \n> > > (b) it ceases to have effect in accordance with the conditions of the sublease, or\n> > \n> > > (c) it is removed from the register of mining subleases in accordance with section 163B,\n> > \n> > whichever occurs first.\n> \n> > (5) The holder of a mining sublease must not grant a further mining sublease with respect to all or any part of the sublease area.\n> \n> > (6) The granting, renewal or variation of the term or a condition or registration of a mining sublease does not prevent any action being taken under this Act (including variation, suspension or cancellation) in respect of the head lease.\n> \n> **s 83A:** Ins 2004 No 75, Sch 1 \\[2\\]. Subst 2008 No 19, Sch 1 \\[77\\].","sortOrder":145},{"sectionNumber":"Part 6","sectionType":"part","heading":"Consolidation of mining leases","content":"# Part 6 Consolidation of mining leases\n\nPart 6 Consolidation of mining leases","sortOrder":146},{"sectionNumber":"84","sectionType":"section","heading":"Definitions","content":"#### 84 Definitions\n\n84 Definitions\n\n> > (1) In this Part—\n> > \n> > existing lease means a mining lease that is in force, including a mining lease that is in force by virtue of section 117 (1).\n> > \n> > holder, in relation to a proposed lease, means the holder of the existing leases specified in the proposed lease as the existing leases to be consolidated.\n> > \n> > proposed lease means a proposed consolidated mining lease prepared under this Part or, if the lease is amended under this Part, the lease as so amended.\n> \n> > (2) A reference in this Part to the grant of a proposed lease is a reference to the grant of a consolidated mining lease in the same terms as those of the proposed lease.\n> \n> **s 84:** Am 1996 No 137, Sch 1 \\[99\\].","sortOrder":148},{"sectionNumber":"85","sectionType":"section","heading":"Existing leases that may be consolidated","content":"#### 85 Existing leases that may be consolidated\n\n85 Existing leases that may be consolidated\n\n> Any 2 or more existing leases may be consolidated if the leases are held by the same person and relate to contiguous parcels of land or to parcels of land that are separated only by a road, stream or railway.","sortOrder":149},{"sectionNumber":"86","sectionType":"section","heading":"Preparation of proposed lease","content":"#### 86 Preparation of proposed lease\n\n86 Preparation of proposed lease\n\n> > (1) The Minister may (on the application of the holder of the leases concerned or otherwise) cause a proposed lease to be prepared for the purpose of consolidating 2 or more existing leases.\n> \n> > (2) A proposed lease must specify—\n> > \n> > > (a) the existing leases to be consolidated, and\n> > \n> > > (b) the mineral or minerals in respect of which the proposed lease is to be granted, and\n> > \n> > > (c) the period for which the proposed lease is to be granted, and\n> > \n> > > (d) the conditions on which the proposed lease is to be granted,\n> > \n> > and must have attached to it a description, prepared in the manner prescribed by the regulations, of the land over which the lease is to be granted.","sortOrder":151},{"sectionNumber":"87","sectionType":"section","heading":"Amendment of proposed lease","content":"#### 87 Amendment of proposed lease\n\n87 Amendment of proposed lease\n\n> > (1) The Minister may, at any time after the preparation of a proposed lease, make such amendments to the lease as the Minister thinks fit.\n> \n> > (2) The Minister may, by such an amendment, specify existing leases to be added to, or excluded from, those to be consolidated by the proposed lease.\n> \n> > (3) The Minister may, at any time after the preparation of a proposed lease, determine that the consolidation should not proceed.\n> \n> > (4) Such a determination does not prevent the Minister—\n> > \n> > > (a) from proceeding with the consolidation at a later time, or\n> > \n> > > (b) from causing a further proposed lease to be prepared for the purpose of consolidating all or any of the existing leases concerned.","sortOrder":152},{"sectionNumber":"88","sectionType":"section","heading":"Notification of Planning Secretary","content":"#### 88 Notification of Planning Secretary\n\n88 Notification of Planning Secretary\n\n> > (1) Before granting a proposed lease, the Minister must cause notice of the proposal to be served on the Planning Secretary.\n> \n> > (2) Such a notice—\n> > \n> > > (a) must include a copy of the proposed lease, and\n> > \n> > > (b) must state that objections to the granting of the proposed lease, or proposals for the inclusion in the proposed lease of any condition, may be made to the Minister on or before the date specified in the notice.\n> \n> > (3) The date specified in a notice under this section must be a date occurring not less than 28 days after the date of service of the notice.\n> \n> **s 88:** Am 2019 No 14, Sch 2.16\\[1\\]; 2022 No 21, Sch 1\\[33\\].","sortOrder":154},{"sectionNumber":"89","sectionType":"section","heading":null,"content":"#### 89\n\n89 (Repealed)","sortOrder":155},{"sectionNumber":"90","sectionType":"section","heading":"Subsequent amendment of proposed lease","content":"#### 90 Subsequent amendment of proposed lease\n\n90 Subsequent amendment of proposed lease\n\n> > (1) If—\n> > \n> > > (a) the Minister amends a proposed lease (otherwise than as a consequence of an objection or proposal made by the agency) after a copy has been served on a Government agency, and\n> > \n> > > (b) the Minister is of the opinion that the agency’s attitude to the proposed lease might be materially affected were the agency given a copy of the proposed lease as amended,\n> > \n> > the Minister must cause to be served on the agency a notice setting out details of the amendment and stating that objections to the amendment may be made to the Minister on or before the date specified in the notice.\n> \n> > (2) The date specified in a notice under this section must be a date occurring not less than 28 days after the date of service of the notice.","sortOrder":157},{"sectionNumber":"91","sectionType":"section","heading":"Objections to granting of proposed mining lease","content":"#### 91 Objections to granting of proposed mining lease\n\n91 Objections to granting of proposed mining lease\n\n> > (1) The Planning Secretary—\n> > \n> > > (a) may object to the granting of a proposed mining lease, or\n> > \n> > > (b) may propose that specified conditions be included in a proposed mining lease.\n> \n> > (2) (Repealed)\n> \n> > (3) An objection must be in writing and must be lodged with the Secretary of the Department on or before the date specified in the notice in that regard.\n> \n> > (4) (Repealed)\n> \n> **s 91:** Am 1996 No 137, Sch 1 \\[102\\]; 2008 No 19, Sch 1 \\[78\\]; 2015 No 26, Sch 3.6\\[3\\]; 2022 No 21, Sch 1\\[34\\].","sortOrder":158},{"sectionNumber":"92","sectionType":"section","heading":"Resolution of objections","content":"#### 92 Resolution of objections\n\n92 Resolution of objections\n\n> > (1) The Minister may cause to be taken such steps as the Minister considers appropriate in connection with any objection or proposal made under this Division and, if agreement is not reached concerning the acceptance, modification or withdrawal of the objection or proposal, the matter is to be referred to the Premier.\n> \n> > (2) The Premier may give such decision as the Premier considers appropriate in relation to any matter that is so referred.\n> \n> > (3) (Repealed)\n> \n> **s 92:** Am 2008 No 107, Sch 19 \\[9\\].","sortOrder":159},{"sectionNumber":"93","sectionType":"section","heading":"Granting of proposed lease if objection or proposal made","content":"#### 93 Granting of proposed lease if objection or proposal made\n\n93 Granting of proposed lease if objection or proposal made\n\n> > (1) If an objection to the granting of a proposed lease is duly made, the lease must not be granted unless the objection is withdrawn or otherwise resolved or is rejected by the Premier.\n> \n> > (2) A proposed lease must include—\n> > \n> > > (a) any condition proposed under this Division (unless the proposal for the inclusion of the condition is withdrawn or is rejected by the Premier) or, if such a condition is modified, the condition as so modified, and\n> > \n> > > (b) any condition directed by the Premier to be included in the lease.\n> \n> > (3) The failure to include a condition in a proposed lease does not affect the validity of the lease, but the Minister may, by instrument in writing, amend the lease so as to include the condition omitted.\n> \n> > (4) Despite clause 12 of Schedule 1B, a condition included in a proposed lease in accordance with a direction of the Premier may only be varied with the concurrence of the Premier.\n> \n> **s 93:** Am 2015 No 40, Sch 1 \\[39\\].","sortOrder":160},{"sectionNumber":"94","sectionType":"section","heading":"Notification of holder of existing leases","content":"#### 94 Notification of holder of existing leases\n\n94 Notification of holder of existing leases\n\n> > (1) Before granting a proposed lease, the Minister must cause notice of the proposal to be served on the holder of the existing leases.\n> \n> > (2) Such a notice—\n> > \n> > > (a) must include a copy of the proposed lease, and\n> > \n> > > (b) must state that representations with respect to the granting of the proposed lease, or the conditions on which the proposed lease is to be granted, may be made to the Minister on or before the date specified in the notice.\n> \n> > (3) The date specified in a notice under this section must be a date occurring not less than 28 days after the date of service of the notice.","sortOrder":162},{"sectionNumber":"95","sectionType":"section","heading":"Subsequent amendment of proposed lease","content":"#### 95 Subsequent amendment of proposed lease\n\n95 Subsequent amendment of proposed lease\n\n> If—\n> \n> > (a) the Minister amends a proposed lease (otherwise than as a consequence of representations made by the holder of the existing leases) after a copy of the lease has been served on the holder, and\n> \n> > (b) the Minister is of the opinion that the holder’s attitude to the proposed lease might be materially affected were the holder given a copy of the proposed lease as amended,\n> \n> the Minister must cause to be served on the holder a notice setting out details of the amendment and stating that representations concerning the amendment may be made to the Minister on or before the date specified in the notice.","sortOrder":163},{"sectionNumber":"96","sectionType":"section","heading":"Objections to granting of proposed lease","content":"#### 96 Objections to granting of proposed lease\n\n96 Objections to granting of proposed lease\n\n> The holder of the existing leases may, on or before the date specified in the relevant notice or within such further period as the Minister may allow, make such representations with respect to the matters referred to in the notice as the holder thinks fit.","sortOrder":164},{"sectionNumber":"97","sectionType":"section","heading":"Consideration of objections","content":"#### 97 Consideration of objections\n\n97 Consideration of objections\n\n> The Minister is to take such steps (including the amendment of the proposed lease) as the Minister considers appropriate in connection with any representations made under this Division.","sortOrder":165},{"sectionNumber":"98","sectionType":"section","heading":"Minister may grant consolidated mining lease","content":"#### 98 Minister may grant consolidated mining lease\n\n98 Minister may grant consolidated mining lease\n\n> > (1) After having complied with the requirements of this Part in respect of a proposed lease, the Minister may grant to the holder of the existing leases a consolidated mining lease in the same terms as those of the proposed lease.\n> \n> > (2) When a consolidated mining lease takes effect, each existing lease is taken to have been cancelled.\n> \n> > (3) The granting of a consolidated mining lease over land the subject of a mining lease in force by virtue of section 117 (1) does not constitute a renewal of that lease.\n> \n> **s 98:** Am 1996 No 137, Sch 1 \\[100\\].","sortOrder":167},{"sectionNumber":"99","sectionType":"section","heading":"Land over which consolidated mining lease may be granted","content":"#### 99 Land over which consolidated mining lease may be granted\n\n99 Land over which consolidated mining lease may be granted\n\n> The land over which a consolidated mining lease may be granted is the aggregate of all of the land the subject of the existing leases.","sortOrder":168},{"sectionNumber":"100","sectionType":"section","heading":"Conditions of consolidated mining lease","content":"#### 100 Conditions of consolidated mining lease\n\n100 Conditions of consolidated mining lease\n\n> A consolidated mining lease is subject to—\n> \n> > (a) a condition that the holder of the lease will not suspend mining operations in the mining area otherwise than in accordance with the written consent of the Minister, and\n> \n> > (b) such conditions as section 93 requires to be included in the lease, and\n> \n> > (c) such other conditions (if any) as the Minister imposes when the lease is granted, or at any other time under a power conferred by this Act.\n> \n> **s 100:** Subst 2005 No 64, Sch 1.20 \\[2\\]. Am 2012 No 46, Sch 5.2 \\[8\\].","sortOrder":169},{"sectionNumber":"101","sectionType":"section","heading":"Term of consolidated mining lease","content":"#### 101 Term of consolidated mining lease\n\n101 Term of consolidated mining lease\n\n> A consolidated mining lease—\n> \n> > (a) takes effect on the date on which it is granted or on such later date as the Minister may determine, and\n> \n> > (b) ceases to have effect at the expiration of such period (not extending beyond the first day by which all the existing leases that have been consolidated would, but for the consolidation, have expired) as the Minister may determine.","sortOrder":170},{"sectionNumber":"102","sectionType":"section","heading":"Form of consolidated mining lease","content":"#### 102 Form of consolidated mining lease\n\n102 Form of consolidated mining lease\n\n> A consolidated mining lease is to be in the approved form and is to include the following particulars—\n> \n> > (a) a description of the land over which it is granted,\n> \n> > (b) a list of the mineral or minerals in respect of which it is granted,\n> \n> > (c) the conditions to which it is subject,\n> \n> > (d) the period for which it is to have effect.","sortOrder":171},{"sectionNumber":"103","sectionType":"section","heading":"Validity of consolidated mining lease not affected by certain defects","content":"#### 103 Validity of consolidated mining lease not affected by certain defects\n\n103 Validity of consolidated mining lease not affected by certain defects\n\n> > (1) The validity of a consolidated mining lease is not affected—\n> > \n> > > (a) by the failure of any person to comply with this Act or the regulations in relation to the grant, renewal or transfer of an existing lease that has been consolidated, or\n> > \n> > > (b) by the inclusion in the area of land over which the consolidated mining lease has been granted of any land not subject to an existing lease.\n> \n> > (2) The Minister may amend a consolidated mining lease so as to exclude from the area of land the subject of the lease—\n> > \n> > > (a) any area of land the subject of an existing lease that appears to the Minister not to have been validly granted, renewed or transferred, and\n> > \n> > > (b) any area of land that appears to the Minister not to have been subject to an existing lease.\n> \n> > (3) An amendment takes effect on the date on which written notice of the amendment is served on the holder of the consolidated mining lease or on such later date as may be specified in the notice.","sortOrder":172},{"sectionNumber":"104","sectionType":"section","heading":"Application of this Act and other Acts to grant of consolidated mining leases","content":"#### 104 Application of this Act and other Acts to grant of consolidated mining leases\n\n104 Application of this Act and other Acts to grant of consolidated mining leases\n\n> > (1) Part 5 does not apply to or in respect of the grant of a consolidated mining lease.\n> \n> > (2) The provisions of any other Act prohibiting, regulating or restricting, or having the effect of prohibiting, regulating or restricting, the grant of a mining lease do not apply to the grant of a consolidated mining lease.","sortOrder":173},{"sectionNumber":"Division 6","sectionType":"division","heading":null,"content":"## Division 6\n\nDivision 6\n\n105–107 (Repealed)\n\n**pt 6, div 6 (ss 105–107):** Rep 2008 No 19, Sch 1 \\[79\\].","sortOrder":174},{"sectionNumber":"Division 7","sectionType":"division","heading":"Preservation of certain rights, liabilities etc on consolidation","content":"## Division 7 Preservation of certain rights, liabilities etc on consolidation\n\nDivision 7 Preservation of certain rights, liabilities etc on consolidation","sortOrder":175},{"sectionNumber":"108","sectionType":"section","heading":"Liability generally preserved","content":"#### 108 Liability generally preserved\n\n108 Liability generally preserved\n\n> Except as otherwise provided by this Act, the cancellation of an existing lease as a result of the granting of a consolidated mining lease does not affect any liability of the person who was the holder of the lease immediately before the consolidated mining lease was granted.","sortOrder":176},{"sectionNumber":"109","sectionType":"section","heading":"Saving of interest in existing leases","content":"#### 109 Saving of interest in existing leases\n\n109 Saving of interest in existing leases\n\n> > (1) Any interest (whether legal or equitable) in, or affecting, an existing lease continues to have the same effect in respect of the consolidated mining lease as it had in respect of the existing lease immediately before the existing lease was consolidated.\n> \n> > (2) (Repealed)\n> \n> **s 109:** Am 2008 No 107, Sch 19 \\[10\\].","sortOrder":177},{"sectionNumber":"110","sectionType":"section","heading":"Councils and development consents","content":"#### 110 Councils and development consents\n\n110 Councils and development consents\n\n> > (1) Any development consent granted with respect to development authorised by an existing lease is taken to have been granted with respect to development authorised by the consolidated mining lease, but in relation only to that part of the land that was subject to the existing lease.\n> \n> > (2) (Repealed)\n> \n> **s 110:** Am 2005 No 43, Sch 7.11 \\[4\\].","sortOrder":178},{"sectionNumber":"111","sectionType":"section","heading":null,"content":"#### 111\n\n111 (Repealed)","sortOrder":179},{"sectionNumber":"112","sectionType":"section","heading":"Rights of way","content":"#### 112 Rights of way\n\n112 Rights of way\n\n> Any right of way indicated or described as referred to in section 164 in respect of an existing lease continues to have effect in respect of a consolidated mining lease in the same way as it had effect in respect of the existing lease.\n> \n> **s 112:** Am 2004 No 75, Sch 1 \\[3\\].","sortOrder":181},{"sectionNumber":"Part 7","sectionType":"part","heading":"Renewal, transfer and cancellation of authorities","content":"# Part 7 Renewal, transfer and cancellation of authorities\n\nPart 7 Renewal, transfer and cancellation of authorities","sortOrder":182},{"sectionNumber":"113","sectionType":"section","heading":"Applications for renewal","content":"#### 113 Applications for renewal\n\n113 Applications for renewal\n\n> > (1) The holder of an authority may, from time to time, apply for the renewal of the authority.\n> \n> > (2) An application for the renewal of an authority must be lodged with the Secretary within the period, if any, prescribed by the regulations before the authority ceases to have effect.\n> \n> > (3) An application for renewal must be accompanied by the application fee prescribed by the regulations and any information that is prescribed by the regulations.\n> \n> > (4) (Repealed)\n> \n> > (5) If an application for the renewal of an authority is in respect of part only of the land subject to the authority, the application must be accompanied by a description, prepared in the manner prescribed by the regulations, of the land over which renewal of the authority is sought.\n> \n> > (5A) (Repealed)\n> \n> > (6) An application for the renewal of an exploration licence may be made in respect of one or more parts (but not more than such number of parts as may be prescribed by the regulations) of the exploration area.\n> \n> > (7) An application for the renewal of an assessment lease or a mining lease may be made in respect of the whole, or of any single part, of the assessment area or mining area.\n> \n> > (8) To avoid doubt, the holder of an exploration licence may apply for and be granted a renewal of the licence even if the holder is an applicant for or is granted an assessment lease or a mining lease with respect to some or all of the land in the exploration area.\n> \n> **s 113:** Am 1996 No 137, Sch 1 \\[15\\]; 2008 No 19, Sch 1 \\[80\\] \\[81\\]; 2015 No 40, Sch 1 \\[40\\]; 2022 No 21, Sch 1\\[37\\] \\[38\\].","sortOrder":184},{"sectionNumber":"114","sectionType":"section","heading":"Power of decision-maker in relation to renewal applications","content":"#### 114 Power of decision-maker in relation to renewal applications\n\n114 Power of decision-maker in relation to renewal applications\n\n> > (1) After considering an application for the renewal of an authority, the decision-maker—\n> > \n> > > (a) may renew the authority, or\n> > \n> > > (b) may refuse the application.\n> > \n> > Note.\n> > \n> > Schedule 1B contains provisions about the grant or refusal of an application to renew an authority and the grounds for refusal of such an application.\n> \n> > (2) The period for which an authority is renewed may not on any one occasion exceed—\n> > \n> > > (a) in the case of an exploration licence or assessment lease—6 years, or\n> > \n> > > (b) in the case of a mining lease—21 years (or such longer period as the decision-maker may, with the concurrence of the Premier, determine).\n> \n> > (3) The decision-maker is not bound to renew an authority over the area nominated by the applicant.\n> \n> > (4) The area of land over which an authority is renewed may differ from the area of land over which the renewal of the authority is sought, but not so as to include any land that was not subject to the authority immediately before the renewal.\n> \n> > (5) The decision-maker may defer dealing with an application for the renewal of a mining lease over any land if the mining lease is the subject of action being taken under Part 6 in connection with the granting of a consolidated mining lease over that land.\n> \n> **s 114:** Am 1996 No 137, Sch 1 \\[101\\]; 2008 No 19, Sch 1 \\[13\\] \\[82\\] \\[83\\]; 2014 No 10, Sch 1 \\[12\\]–\\[14\\]. Subst 2015 No 40, Sch 1 \\[41\\].","sortOrder":185},{"sectionNumber":"114A","sectionType":"section","heading":"Power of decision-maker in relation to renewal applications for exploration licences","content":"#### 114A Power of decision-maker in relation to renewal applications for exploration licences\n\n114A Power of decision-maker in relation to renewal applications for exploration licences\n\n> > (1) This section applies if the decision-maker is not satisfied that—\n> > \n> > > (a) the area of land over which renewal of an exploration licence is sought is genuinely required to support the proposed work program accompanying the application, or\n> > \n> > > (b) other special circumstances exist that justify the applicant retaining an area greater in size than that genuinely required to support the proposed work program.\n> \n> > (2) If this section applies, the decision-maker must—\n> > \n> > > (a) inform the applicant of—\n> > > \n> > > > (i) the decision-maker’s opinion, and\n> > > \n> > > > (ii) the area of land over which the decision-maker proposes to renew the exploration licence, and\n> > \n> > > (b) renew the exploration licence only over the area of land the decision-maker considers—\n> > > \n> > > > (i) to be genuinely required to support the proposed work program, or\n> > > \n> > > > (ii) for an area greater in size than that genuinely required to support the proposed work program—is justified by special circumstances.\n> \n> > (3) In deciding whether an area of land is genuinely required to support a proposed work program for the purposes of this section, the decision-maker may have regard to the matters specified by the regulations.\n> \n> **s 114A:** Ins 2015 No 40, Sch 1 \\[41\\]. Am 2016 No 27, Sch 1.16 \\[1\\]. Subst 2022 No 21, Sch 1\\[39\\].","sortOrder":186},{"sectionNumber":"115","sectionType":"section","heading":"Notice of renewal to be served on holder of authority","content":"#### 115 Notice of renewal to be served on holder of authority\n\n115 Notice of renewal to be served on holder of authority\n\n> > (1) The decision-maker must cause notice of renewal of an authority to be served on the holder of the authority.\n> \n> > (2) A notice of renewal of an authority must include the information, if any, prescribed by the regulations.\n> \n> **s 115:** Am 2008 No 19, Sch 1 \\[13\\]; 2022 No 21, Sch 1\\[40\\].","sortOrder":187},{"sectionNumber":"116","sectionType":"section","heading":"Application to renew by only some holders of authority","content":"#### 116 Application to renew by only some holders of authority\n\n116 Application to renew by only some holders of authority\n\n> > (1) If an application for the renewal of an authority is not made in the names of all of the holders of the authority, the decision-maker may renew the authority only if satisfied each holder of the authority not applying for its renewal does not wish the authority to be renewed in the person’s name.\n> \n> > (2) The decision-maker may cause to be served on any holder of an authority not applying for its renewal a written notice—\n> > \n> > > (a) stating that an application for renewal of the authority has been lodged, and\n> > \n> > > (b) requiring the person, in such manner and on or before such date as is specified in the notice, to state whether or not that person wishes the authority to be renewed in that person’s name.\n> \n> > (3) If a person on whom such a notice is served fails to state whether or not the person wishes the authority to be renewed in that person’s name, the failure to do so is conclusive evidence that the person does not wish the authority to be renewed in that person’s name.\n> \n> **s 116:** Am 2008 No 19, Sch 1 \\[13\\]; 2022 No 21, Sch 1\\[41\\].","sortOrder":188},{"sectionNumber":"117","sectionType":"section","heading":"Authority to have effect until application dealt with","content":"#### 117 Authority to have effect until application dealt with\n\n117 Authority to have effect until application dealt with\n\n> > (1) If an application for the renewal of an authority is not finally dealt with before the date on which the authority would otherwise cease to have effect, the authority continues to have effect, in relation only to the land to which the application relates, until the application is finally disposed of.\n> \n> > (2), (3) (Repealed)\n> \n> **s 117:** Am 2008 No 19, Sch 1 \\[13\\]; 2015 No 40, Sch 1 \\[42\\].","sortOrder":189},{"sectionNumber":"118","sectionType":"section","heading":"Date from which renewal of authority has effect","content":"#### 118 Date from which renewal of authority has effect\n\n118 Date from which renewal of authority has effect\n\n> > (1) The renewal of an authority takes effect on the date on which the application for renewal is granted or on any later date, or on the occurrence of any later event, that the decision-maker may determine.\n> \n> > (2) (Repealed)\n> \n> **s 118:** Am 2008 No 19, Sch 1 \\[84\\]; 2015 No 40, Sch 1 \\[43\\].","sortOrder":190},{"sectionNumber":"119","sectionType":"section","heading":"Partial renewals","content":"#### 119 Partial renewals\n\n119 Partial renewals\n\n> If an authority is renewed as to part only of the land to which the application for renewal relates, the authority ceases to have effect in relation to the remainder of the land on the date on which the renewal takes effect.","sortOrder":191},{"sectionNumber":"120","sectionType":"section","heading":"Application for approval of transfer","content":"#### 120 Application for approval of transfer\n\n120 Application for approval of transfer\n\n> > (1) The holder of an authority may apply for approval of the transfer of the authority.\n> \n> > (2) An application for approval must—\n> > \n> > > (a) be lodged with the Secretary, and\n> > \n> > > (b) include the information, if any, prescribed by the regulations, and\n> > \n> > > (c) be accompanied by the application fee, if any, prescribed by the regulations.\n> \n> > (3) The holder of an authority must not apply for a transfer of the authority unless the holder has notified any person who has an interest in the authority that is registered under section 161 of the proposed application.\n> \n> **s 120:** Am 1996 No 137, Sch 1 \\[15\\]. Subst 2008 No 19, Sch 1 \\[85\\]. Am 2015 No 40, Sch 1 \\[44\\] \\[45\\]; 2022 No 21, Sch 1\\[42\\].","sortOrder":193},{"sectionNumber":"121","sectionType":"section","heading":"Power of decision-maker in relation to transfer approval applications","content":"#### 121 Power of decision-maker in relation to transfer approval applications\n\n121 Power of decision-maker in relation to transfer approval applications\n\n> > (1) After considering an application for approval of the transfer of an authority, the decision-maker may—\n> > \n> > > (a) approve the transfer in accordance with the application, or\n> > \n> > > (b) refuse the application.\n> > \n> > Note.\n> > \n> > Schedule 1B contains provisions about the grant or refusal of an application for approval of the transfer of an authority.\n> \n> > (2) (Repealed)\n> \n> > (3) An application for the transfer of a mineral owner authority may be approved only—\n> > \n> > > (a) if the proposed transferee is the owner of the minerals to which the authority relates, or\n> > \n> > > (b) if the proposed transferee is not the owner, subject to the condition that the transfer does not come into effect until the decision-maker notifies the applicant in writing that the decision-maker is satisfied that the proposed transferee has become the owner.\n> \n> > (4) In approving a full transfer, the decision-maker may, subject to this Act, vary the conditions of the authority or include further conditions in the authority.\n> \n> > (5) In approving a partial transfer, the decision-maker—\n> > \n> > > (a) may, subject to this Act, vary the conditions of the original authority, and\n> > \n> > > (b) is to determine the conditions of the new authority.\n> \n> > (6) (Repealed)\n> \n> > (7) The decision-maker is to give the applicant written notice of the outcome of the application.\n> \n> > (7A) If the application is approved, the decision-maker may, by written notice given to the proposed transferor and transferee, specify the following amounts, whether or not the amounts are the subject of a dispute or objection—\n> > \n> > > (a) an amount of unpaid royalties payable under the authority,\n> > \n> > > (b) other amounts payable to the Crown in connection with the authority, including interest, penalty tax or other penalties and costs payable under the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097).\n> \n> > (7B) A notice under subsection (7A) may be amended or revoked by the decision-maker.\n> \n> > (8) This section does not affect the operation of section 4.50 (Granting and modification of approval by approval body) of the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203).\n> \n> **s 121:** Subst 2008 No 19, Sch 1 \\[85\\]. Am 2014 No 10, Sch 1 \\[15\\] \\[16\\]; 2015 No 40, Sch 1 \\[46\\] \\[47\\]; 2019 No 14, Sch 2.16\\[2\\]; 2025 No 37, Sch 3\\[1\\].","sortOrder":194},{"sectionNumber":"122","sectionType":"section","heading":"Registration of transfers","content":"#### 122 Registration of transfers\n\n122 Registration of transfers\n\n> > (1) If the transfer of an authority has been approved, the transferor or transferee of the authority may, within 3 months after being notified of the approval, apply for registration of the transfer.\n> \n> > (2) Any such application must be—\n> > \n> > > (a) lodged with the Secretary, and\n> > \n> > > (b) accompanied by the application fee prescribed by the regulations, and\n> > \n> > > (c) accompanied by evidence that any security deposit required to be provided under section 261BAA has been provided.\n> \n> > (3) On receipt of an application that complies with subsection (2), the Secretary must register the transferee as the holder of the authority or, for a partial transfer, the new authority, unless—\n> > \n> > > (a) registration is prohibited by section 124 or 292YC, or\n> > \n> > > (b) any unpaid amounts specified in a notice given under section 121(7A) in relation to the transfer remain unpaid.\n> \n> > (4) On registration of a full transfer the transferee becomes the holder of the authority and any variation of the authority under this Division takes effect.\n> \n> > (5) On registration of a partial transfer—\n> > \n> > > (a) the original authority is taken to have been cancelled as to the area of the part transferred, and\n> > \n> > > (b) an authority over the part transferred is taken to have been granted to the transferee for the period from the date of registration until the date on which the original authority is due to expire and subject to the conditions determined under this Division, and\n> > \n> > > (c) the transferee becomes the holder of the new authority, and\n> > \n> > > (d) any variation of the original authority under this Division takes effect.\n> \n> > (6) An approval of a transfer of an authority lapses if—\n> > \n> > > (a) an application for registration of the transfer under this section has not been made within 3 months after the transferor and transferee of the authority were notified of the approval, or\n> > \n> > > (b) any unpaid amounts specified in a notice given under section 121(7A) in relation to the transfer remain unpaid—\n> > > \n> > > > (i) 3 months after the date on which the transferor and transferee of the authority were notified of the approval, or\n> > > \n> > > > (ii) by a later date approved by the Secretary.\n> \n> **s 122:** Am 1996 No 137, Sch 1 \\[15\\]. Subst 2008 No 19, Sch 1 \\[85\\]. Am 2015 No 40, Sch 1 \\[48\\]–\\[50\\]; 2022 No 21, Sch 1\\[43\\]–\\[45\\]; 2025 No 37, Sch 3\\[2\\] \\[3\\].","sortOrder":195},{"sectionNumber":"123","sectionType":"section","heading":null,"content":"#### 123\n\n123 (Repealed)","sortOrder":196},{"sectionNumber":"124","sectionType":"section","heading":"Caveats","content":"#### 124 Caveats\n\n124 Caveats\n\n> > (1) A person claiming a legal or equitable interest in an authority may lodge with the Secretary a caveat, accompanied by the lodgment fee prescribed by the regulations, directing the Secretary not to register any transfer of the authority otherwise than in accordance with the provisions of the caveat.\n> \n> > (2) Unless sooner withdrawn, a caveat remains in force for the period of 3 months from the date on which it is lodged.\n> \n> > (3) While a caveat remains in force, a transfer of the authority to which it relates may not be registered in contravention of the provisions of the caveat otherwise than pursuant to an order of the Supreme Court directing the Secretary to register the transfer.\n> \n> > (4) At the expiration of the period for which a caveat is in force, a transfer of the authority to which it relates is to be registered unless, before the expiration of that period, the Secretary is served with an order of the Supreme Court prohibiting the Secretary from registering the transfer.\n> \n> **s 124:** Am 1996 No 137, Sch 1 \\[15\\]; 2008 No 19, Sch 1 \\[86\\].","sortOrder":198},{"sectionNumber":"125","sectionType":"section","heading":"Grounds of cancellation of authorities","content":"#### 125 Grounds of cancellation of authorities\n\n125 Grounds of cancellation of authorities\n\n> > (1) The decision-maker may cancel an authority as to the whole or any part of the land to which it relates—\n> > \n> > > (a) if the holder of the authority lodges with the Secretary a request that the decision-maker cancel the authority as to the whole or part of the land, or\n> > \n> > > (b) if the decision-maker is satisfied that the holder of the authority has contravened a provision of this Act or the regulations (whether or not the holder is prosecuted or convicted of any offence arising from the contravention), or\n> > \n> > > (c) if the decision-maker is satisfied that a person has contravened a condition of the authority (whether or not the person is prosecuted or convicted of any offence arising from the contravention), or\n> > \n> > > (d) if the decision-maker is satisfied that the holder of the authority provided false or misleading information in or in connection with an application for or with respect to the authority or any report provided under this Act, or\n> > \n> > > (e) if the decision-maker is satisfied that the holder of the authority has failed to comply with the requirements of any agreement or assessment under Part 13 in relation to the payment of compensation, or\n> > \n> > > (f) if the holder of the authority is convicted of any offence relating to mining or minerals, or\n> > \n> > > (g) if the decision-maker is satisfied that the holder of the authority has failed to use the land the subject of the authority in good faith for the purposes for which the authority has been granted, or has used the land for a purpose other than that for which the authority has been granted, or\n> > \n> > > (h) if the decision-maker is satisfied that there has been a contravention of a direction under section 240 or 240AA, or\n> > \n> > > (i) if the decision-maker is satisfied that the land is required for a public purpose.\n> \n> > (2) A request lodged with the Secretary for the cancellation of an authority as to part only of the land to which it relates must be accompanied by a description, prepared in the manner prescribed by the regulations, of the land in respect of which the authority is to be retained.\n> \n> > (3) Action may be taken under this section whether or not any other action has been taken in respect of the authority under this Act.\n> \n> **s 125:** Am 2000 No 90, Sch 2.1 \\[7\\] \\[8\\]; 2008 No 19, Sch 1 \\[13\\] \\[88\\] \\[89\\]; 2014 No 10, Sch 1 \\[17\\]–\\[22\\]. Subst 2015 No 40, Sch 1 \\[51\\]. Am 2022 No 59, Sch 1.24.","sortOrder":200},{"sectionNumber":"126","sectionType":"section","heading":"Cancellations of authorities","content":"#### 126 Cancellations of authorities\n\n126 Cancellations of authorities\n\n> > (1) Before cancelling an authority, otherwise than at the request of the holder of the authority, the decision-maker is to cause a written notice to be served on the holder of the authority that contains the following—\n> > \n> > > (a) notice that the authority is proposed to be cancelled,\n> > \n> > > (b) details of the grounds for the proposed cancellation,\n> > \n> > > (c) notice that the holder of the authority has a specified period (of at least 28 days) in which to make representations with respect to the proposed cancellation.\n> \n> > (2) The decision-maker must not cancel an authority, otherwise than at the request of the holder of the authority, unless—\n> > \n> > > (a) the decision-maker has taken any such representations received from the holder of the authority into consideration, or\n> > \n> > > (b) the period specified in the notice has elapsed and no such representations have been received.\n> \n> > (3) The decision-maker is to cause written notice of the cancellation of an authority to be given to the holder of the authority.\n> \n> > (4) The cancellation takes effect on the date on which the written notice of the cancellation is given to the holder of the authority, or on a later date specified in the notice.\n> \n> > (5) The cancellation of an authority does not affect any liability incurred by the holder of the authority before the cancellation took effect.\n> \n> **s 126:** Am 2000 No 90, Sch 2.1 \\[9\\]–\\[12\\]. Subst 2008 No 19, Sch 1 \\[90\\]; 2015 No 40, Sch 1 \\[51\\].","sortOrder":201},{"sectionNumber":"127","sectionType":"section","heading":"Compensation for cancellation","content":"#### 127 Compensation for cancellation\n\n127 Compensation for cancellation\n\n> > (1) The holder of an authority is not entitled to compensation merely because the authority is cancelled.\n> \n> > (2) However, if an authority is cancelled on the ground that the whole or any part of the land concerned is required for a public purpose, the holder of the authority is entitled to compensation, of an amount to be determined by the Minister, for any mining improvements made to the land.\n> \n> **s 127:** Am 2000 No 90, Sch 2.1 \\[13\\]; 2008 No 19, Sch 1 \\[91\\].","sortOrder":202},{"sectionNumber":"128","sectionType":"section","heading":"Appeals against decisions concerning cancellations","content":"#### 128 Appeals against decisions concerning cancellations\n\n128 Appeals against decisions concerning cancellations\n\n> > (1) Any person who is aggrieved by the decision of the decision-maker to cancel an authority held by the person, or of the decision of the decision-maker as to the amount of compensation payable as a consequence of its cancellation, may appeal to the Land and Environment Court against the decision.\n> \n> > (1A) Such an appeal is to be made—\n> > \n> > > (a) within 14 days after written notice of the cancellation or of the decision with respect to compensation, is served on the holder of the authority, or\n> > \n> > > (b) within such further period as the Land and Environment Court may allow.\n> \n> > (1B) In deciding whether or not to allow a further period for appeal, the Land and Environment Court is to have regard to—\n> > \n> > > (a) the circumstances that have prevented the appellant from making the appeal within the 14 days referred to in subsection (1A) (a), and\n> > \n> > > (b) the consequences to the appellant, and to persons other than the appellant, of a decision allowing a further period for appeal, and\n> > \n> > > (c) the consequences to the appellant, and to persons other than the appellant, of a decision refusing a further period for appeal, and\n> > \n> > > (d) the public interest.\n> \n> > (2) An appeal is to be heard by way of a new hearing, and fresh evidence, or evidence additional to the evidence available to the decision-maker when the decision was made, may be admitted in the hearing.\n> \n> > (3) Subject to any order made by the Land and Environment Court, the lodging of an appeal does not operate to stay the decision appealed against.\n> \n> > (4) The decision of the Land and Environment Court on an appeal is final and is to be given effect to as if it were the decision of the decision-maker.\n> \n> > (5) This section does not apply to a cancellation that was requested by the holder of the authority.\n> \n> **s 128:** Am 1992 No 111, Sch 1; 2000 No 90, Sch 2.1 \\[14\\]–\\[16\\]; 2008 No 19, Sch 1 \\[13\\] \\[92\\] \\[93\\]; 2008 No 107, Sch 19 \\[11\\]; 2015 No 40, Sch 1 \\[52\\].","sortOrder":203},{"sectionNumber":"Part 8","sectionType":"part","heading":"Authorities generally","content":"# Part 8 Authorities generally\n\nPart 8 Authorities generally","sortOrder":204},{"sectionNumber":"129","sectionType":"section","heading":"Holder of authority must be at least 18","content":"#### 129 Holder of authority must be at least 18\n\n129 Holder of authority must be at least 18\n\n> An authority may not be granted to an individual who has not attained the age of 18 years.","sortOrder":206},{"sectionNumber":"129A","sectionType":"section","heading":"Applications and tenders to be supported by proposed work program","content":"#### 129A Applications and tenders to be supported by proposed work program\n\n129A Applications and tenders to be supported by proposed work program\n\n> An application for an authority, or a tender, must be accompanied by a proposed work program that—\n> \n> > (a) contains the information, if any, required by the regulations, and\n> \n> > (b) complies with the regulations, if any.\n> \n> **s 129A:** Ins 2015 No 40, Sch 1 \\[53\\]. Subst 2022 No 21, Sch 1\\[46\\].","sortOrder":207},{"sectionNumber":"130","sectionType":"section","heading":"Withdrawal of application","content":"#### 130 Withdrawal of application\n\n130 Withdrawal of application\n\n> > (1) An application or objection in relation to the grant, renewal, transfer or cancellation of an authority may be withdrawn by means of a notice of withdrawal signed by the applicant or objector and lodged with the Secretary and ceases to have effect when the notice is lodged.\n> \n> > (2) The withdrawal of an application or objection under this section is irrevocable.","sortOrder":208},{"sectionNumber":"131","sectionType":"section","heading":"Pending applications","content":"#### 131 Pending applications\n\n131 Pending applications\n\n> For the purposes of this Act, an application for an authority is pending from the time it is lodged until the time it is finally disposed of.","sortOrder":209},{"sectionNumber":"132","sectionType":"section","heading":"Disputes as to priority of applications","content":"#### 132 Disputes as to priority of applications\n\n132 Disputes as to priority of applications\n\n> Any dispute as to the priority of competing applications for authorities over the same land is to be determined by the Minister.","sortOrder":210},{"sectionNumber":"133","sectionType":"section","heading":"Nomination of authority holder by applicant or tenderer","content":"#### 133 Nomination of authority holder by applicant or tenderer\n\n133 Nomination of authority holder by applicant or tenderer\n\n> > (1) An applicant or tenderer for an authority may, by notice in writing lodged with the Secretary, nominate a person to whom the authority is to be granted.\n> \n> > (2) The person nominated in an application or tender as the person to whom an authority is to be granted is, for the purposes of this Act, taken to be the applicant or tenderer for the authority.\n> \n> > (3) To avoid doubt, if 2 or more authorities are to be granted for a single application or tender, the applicant or tenderer may nominate 1 or more other persons under this section to be granted 1 or more of the authorities.\n> \n> **s 133:** Am 1996 No 137, Sch 1 \\[110\\]; 2008 No 19, Sch 1 \\[94\\]; 2022 No 21, Sch 1\\[47\\].","sortOrder":211},{"sectionNumber":"134","sectionType":"section","heading":"Death etc of applicant","content":"#### 134 Death etc of applicant\n\n134 Death etc of applicant\n\n> An application for an authority made by a person who subsequently dies, becomes bankrupt or becomes a mentally incapacitated person—\n> \n> > (a) subsists for the benefit of the applicant’s estate, and\n> \n> > (b) may continue to be dealt with,\n> \n> if the applicant’s legal representative or the manager of the applicant’s estate so requests.","sortOrder":212},{"sectionNumber":"135","sectionType":"section","heading":null,"content":"#### 135\n\n135 (Repealed)","sortOrder":213},{"sectionNumber":"136","sectionType":"section","heading":"Gazettal of certain matters","content":"#### 136 Gazettal of certain matters\n\n136 Gazettal of certain matters\n\n> As soon as practicable after—\n> \n> > (a) an invitation for tenders for an authority is made or withdrawn, or\n> \n> > (b) an application for an authority, for the renewal of an authority or for approval of the transfer of an authority is made, withdrawn or refused, or\n> \n> > (b1) a request for the cancellation of an authority is made, or\n> \n> > (c) an authority is granted, renewed, transferred or cancelled,\n> \n> the Secretary is to cause notice of that fact to be published in the Gazette.\n> \n> **s 136:** Am 2008 No 19, Sch 1 \\[96\\] \\[97\\].","sortOrder":215},{"sectionNumber":"137","sectionType":"section","heading":"Limitation of challenges to decisions with respect to authorities","content":"#### 137 Limitation of challenges to decisions with respect to authorities\n\n137 Limitation of challenges to decisions with respect to authorities\n\n> > (1) The cancellation of an authority, or the grant or refusal of an application for an authority or the renewal or approval of the transfer of an authority, cannot be challenged in any legal proceedings commenced later than 3 months after the date on which notice of the cancellation, grant or refusal is published in the Gazette.\n> \n> > (2) A notice lodged under section 130 cannot be challenged in any legal proceedings commenced later than one month after the date on which notice of its lodgment is published in the Gazette.\n> \n> > (3) This section has effect despite any other Act, but does not apply so as to affect—\n> > \n> > > (a) any appeal from proceedings commenced within the period of 3 months referred to in subsection (1) or, in the case of proceedings relating to a notice referred to in subsection (2), the month referred to in subsection (2), or\n> > \n> > > (b) the operation of section 128.\n> \n> **s 137:** Subst 2008 No 19, Sch 1 \\[98\\].","sortOrder":216},{"sectionNumber":"138","sectionType":"section","heading":"Application of Division","content":"#### 138 Application of Division\n\n138 Application of Division\n\n> > (1) This Division applies to the carrying out of prospecting operations under exploration licences and assessment leases (referred to in this Division as prospecting titles) on any land.\n> \n> > (2) However, this Division does not apply so as to require an access arrangement in respect of a landholder who is a native title holder if the prospecting title concerned was granted or renewed after compliance with Subdivision P of Division 3 of Part 2 of the Commonwealth Native Title Act and the grant or renewal of the title was not an act that attracted the expedited procedure under and within the meaning of that Subdivision. In addition, this Division does not apply if the prospecting title concerned was granted or renewed after compliance with a registered indigenous land use agreement under that Act and the agreement provides that an access arrangement is not required under this Division in respect of such a landholder.\n> \n> > (3) This Division applies, in the case of a prospecting title that is a low-impact exploration licence, as though a reference in this Division to a landholder included a reference to—\n> > \n> > > (a) any registered native title body corporate, and\n> > \n> > > (b) any registered native title claimant,\n> > \n> > in relation to the land over which the licence is granted.\n> \n> Note.\n> \n> Section 32F imposes a condition on low-impact exploration licences that requires an access arrangement to be entered into under this Division between the holder of the licence and each registered native title body corporate and registered native title claimant.\n> \n> **s 138:** Am 1994 No 45, Sch 1; 1996 No 137, Sch 1 \\[78\\] \\[79\\]; 1998 No 88, Sch 5 \\[2\\]–\\[4\\]; 1999 No 31, Sch 2.23 \\[2\\] \\[3\\]; 1999 No 43, Schs 1 \\[10\\]–\\[12\\], 3 \\[4\\] \\[5\\].","sortOrder":218},{"sectionNumber":"139","sectionType":"section","heading":"Arbitration Panel","content":"#### 139 Arbitration Panel\n\n139 Arbitration Panel\n\n> > (1) There is to be an Arbitration Panel.\n> \n> > (2) When appointing a person as a member of the Arbitration Panel, the Minister must comply with any processes or procedures for such appointments set out in the regulations.\n> \n> > (3) A person is not eligible for appointment as a member of the Arbitration Panel unless the person meets the eligibility criteria (if any) set out in the regulations.\n> \n> > (4) A person is to be appointed as a member of the Arbitration Panel for the term of office specified in the person’s instrument of appointment, being a term not exceeding the maximum period prescribed by the regulations. However, a person may be appointed for an additional term or terms of office if—\n> > \n> > > (a) the person is eligible for appointment, and\n> > \n> > > (b) the Minister considers it appropriate to do so.\n> \n> > (5) The appointment of a member of the Arbitration Panel is subject to such conditions as are determined by the Minister from time to time.\n> \n> > (6) Without limiting subsection (5), the Minister may determine conditions relating to the following—\n> > \n> > > (a) remuneration and travelling and subsistence allowances,\n> > \n> > > (b) the disclosure to the Secretary of information, including any actual and potential conflicts of interest,\n> > \n> > > (c) performance requirements to be met by the members of the Arbitration Panel.\n> \n> > (7) The Secretary is to keep and maintain a register of the following—\n> > \n> > > (a) the name, business address and contact information of each member of the Arbitration Panel,\n> > \n> > > (b) the qualifications and experience of each member (as at the time of the member’s most recent appointment),\n> > \n> > > (c) details of any actual and potential conflicts of interest disclosed to the Secretary in compliance with a condition of the member’s appointment (if such a condition has been imposed),\n> > \n> > > (d) any other matter relating to members of the Arbitration Panel as the regulations may prescribe.\n> \n> > (8) The register must be made available for public inspection on the Department’s website.\n> \n> **s 139:** Am 2000 No 90, Sch 3.1 \\[2\\]. Subst 2015 No 41, Sch 1 \\[4\\].","sortOrder":219},{"sectionNumber":"140","sectionType":"section","heading":"Prospecting to be carried out in accordance with access arrangement","content":"#### 140 Prospecting to be carried out in accordance with access arrangement\n\n140 Prospecting to be carried out in accordance with access arrangement\n\n> > (1) The holder of a prospecting title must not carry out prospecting operations on any particular area of land except in accordance with an access arrangement or arrangements applying to that area of land—\n> > \n> > > (a) agreed (in writing) between the holder of the prospecting title and each landholder of that area of land, or\n> > \n> > > (b) determined by an arbitrator in accordance with this Division.\n> > \n> > Maximum penalty—\n> > \n> > > (a) for a corporation—5,000 penalty units, and, for a continuing offence, a further penalty of 500 penalty units for each day the offence continues, or\n> > \n> > > (b) for an individual—1,000 penalty units or imprisonment for 5 years, or both, and, for a continuing offence, a further penalty of 100 penalty units for each day the offence continues.\n> \n> > (2) Separate access arrangements may (but need not) be agreed or determined with different landholders of the same area of land, for different areas of the same landholding or with respect to the different matters to which access arrangements relate.\n> \n> > (3) Separate access arrangements may be made to preserve the confidentiality of provisions of the arrangements, to deal with persons becoming landholders at different times or for any other reason.\n> \n> **s 140:** Am 1999 No 43, Sch 1 \\[13\\]. Subst 2010 No 29, Sch 1 \\[3\\]. Am 2022 No 21, Sch 1\\[50\\].","sortOrder":220},{"sectionNumber":"141","sectionType":"section","heading":"Matters for which access arrangement to provide","content":"#### 141 Matters for which access arrangement to provide\n\n141 Matters for which access arrangement to provide\n\n> > (1) An access arrangement may make provision for or with respect to the following matters—\n> > \n> > > (a) the periods during which the holder of the prospecting title is to be permitted access to the land,\n> > \n> > > (b) the parts of the land in or on which the holder of the prospecting title may prospect and the means by which the holder may gain access to those parts of the land,\n> > \n> > > (c) the kinds of prospecting operations that may be carried out in or on the land,\n> > \n> > > (d) the conditions to be observed by the holder of the prospecting title when prospecting in or on the land,\n> > \n> > > (e) (Repealed)\n> > \n> > > (f) the compensation to be paid to any landholder of the land as a consequence of the holder of the prospecting title carrying out prospecting operations in or on the land,\n> > \n> > > (g) the manner of resolving any dispute arising in connection with the arrangement,\n> > \n> > > (h) the manner of varying the arrangement,\n> > \n> > > (i) the notification to the holder of the prospecting title of particulars of any person who becomes an additional landholder.\n> \n> > (1A) The Secretary may, with the concurrence of the NSW Farmers Association and the NSW Minerals Council, publish templates for use for standard access arrangements. The use of any such template is not mandatory.\n> \n> > (2) An access arrangement that is determined by an arbitrator must specify the compensation, as assessed by the arbitrator, to which each landholder of the land concerned is entitled under Division 1 of Part 13.\n> \n> > (2A) (Repealed)\n> \n> > (3) In the event of an inconsistency between—\n> > \n> > > (a) a provision of an access arrangement, and\n> > \n> > > (b) a provision of this Act, of the regulations or of a condition of a prospecting title,\n> > \n> > the provision referred to in paragraph (b) prevails.\n> \n> > (4) If the holder of a prospecting title contravenes an access arrangement, a landholder of the land concerned may deny the holder access to the land until—\n> > \n> > > (a) the holder ceases the contravention, or\n> > \n> > > (b) the contravention is remedied to the reasonable satisfaction of, or in the manner directed by, an arbitrator appointed by the Secretary.\n> > \n> > The Secretary is to make such an appointment within 48 hours after being requested to do so by the landholder or the holder of a prospecting title and the arbitrator is to deal with the matter within 5 business days of the appointment. If the arbitrator does not deal with the matter within that time, the landholder may deny the holder of the prospecting title access to the land until such time as the matter is determined by the arbitrator.\n> \n> > (5) Subsection (4) does not affect any proceedings that may be brought against the holder of the prospecting title in respect of the contravention of the access arrangement.\n> \n> **s 141:** Am 1999 No 43, Sch 1 \\[14\\]–\\[17\\]; 2008 No 107, Sch 19 \\[12\\]; 2010 No 29, Sch 1 \\[4\\]–\\[7\\]; 2015 No 41, Sch 1 \\[5\\] \\[6\\].","sortOrder":221},{"sectionNumber":"141A","sectionType":"section","heading":"Access code","content":"#### 141A Access code\n\n141A Access code\n\n> > (1) The regulations may prescribe a code (an access code) containing provisions relating to access to land by the holder of a prospecting title and the carrying out of activities on that land by the holder.\n> \n> > (2) The regulations may designate any or all of the provisions of an access code as mandatory provisions.\n> \n> > (3) An access code may contain non-binding guidelines relating to negotiating and agreeing access arrangements.\n> \n> **s 141A:** Ins 2015 No 41, Sch 1 \\[7\\].","sortOrder":222},{"sectionNumber":"141B","sectionType":"section","heading":"Application of mandatory provisions of access codes","content":"#### 141B Application of mandatory provisions of access codes\n\n141B Application of mandatory provisions of access codes\n\n> > (1) An access arrangement is taken to include provisions in the same terms as the mandatory provisions of the access code.\n> \n> > (2) A provision of an access arrangement has no effect to the extent that it contains obligations on the holder of the prospecting title that are less stringent than those in a mandatory provision.\n> \n> Note.\n> \n> See also section 141 (3) which deals with inconsistency between provisions of access arrangements and provisions of regulations.\n> \n> **s 141B:** Ins 2015 No 41, Sch 1 \\[7\\].","sortOrder":223},{"sectionNumber":"142","sectionType":"section","heading":"Holder of prospecting title to seek access arrangement","content":"#### 142 Holder of prospecting title to seek access arrangement\n\n142 Holder of prospecting title to seek access arrangement\n\n> > (1) The holder of a prospecting title may, by written notice served on each landholder of the land concerned, give notice of the holder’s intention to obtain an access arrangement in respect of the land.\n> \n> > (2) The notice of the holder’s intention to obtain an access arrangement must, in addition to stating the holder’s intention, contain—\n> > \n> > > (a) a plan and description of the area of land over which the access is sought sufficient to enable the ready identification of that area, and\n> > \n> > > (b) a description of the prospecting methods intended to be used in that area.\n> \n> > (2A) The holder of the prospecting title must pay the reasonable costs of the landholder of the land concerned in participating in negotiating the access arrangement.\n> \n> > (2B) The maximum amount of reasonable costs payable by the holder of the prospecting title is the amount set out by the Minister by order published in the Gazette.\n> \n> > (2C) In making the order, the Minister must have regard to the following—\n> > \n> > > (a) time spent participating in negotiating the access arrangement,\n> > \n> > > (b) legal costs of negotiating the access arrangement,\n> > \n> > > (c) costs of engaging experts as part of the negotiation process.\n> \n> > (2D) Nothing in this section prevents a holder of a prospecting title, at the holder’s discretion, paying other amounts to a landholder.\n> \n> > (2E) An order relating to costs may—\n> > \n> > > (a) apply generally or be limited in its application by reference to specified exceptions or factors, or\n> > \n> > > (b) apply differently according to different factors of a specified kind, or\n> > \n> > > (c) authorise any matter or thing to be from time to time determined, applied or regulated by any specified person or body,\n> > \n> > or may do any combination of those things.\n> \n> > (2F) The regulations may make provision for or with respect to the payment of costs under this section, including, but not limited to, the following—\n> > \n> > > (a) the timing or frequency of payments,\n> > \n> > > (b) evidence of costs incurred to be provided to the holder of the prospecting title.\n> \n> > (2G) The holder of a prospecting title and the landholder of the land concerned must negotiate on an access arrangement in good faith.\n> \n> > (3) The holder of a prospecting title and a landholder of the land concerned may agree in writing (either before or after the prospecting title is granted) on an access arrangement.\n> \n> > (4) If some but not all of the landholders of any particular land have agreed to an access arrangement, a reference in sections 143–156 to each landholder of the land or to a party to the hearing before an arbitrator does not include a reference to any of those landholders who has agreed to an access arrangement. However, the arbitrator may allow a landholder who has agreed to an access arrangement to become a party to the hearing of the matter in order to ensure consistency in the access arrangements over the same land, and may, for that purpose, replace the agreed access arrangement with the access arrangement determined by the arbitrator.\n> \n> > (5) In this section, a reference to the holder of a prospecting title includes a reference to the proposed holder of a prospecting title.\n> \n> **s 142:** Am 1999 No 43, Sch 1 \\[18\\] \\[19\\]; 2010 No 29, Sch 1 \\[8\\]; 2015 No 41, Sch 1 \\[8\\].","sortOrder":224},{"sectionNumber":"142A","sectionType":"section","heading":"Notice to mortgagees of making of access arrangements","content":"#### 142A Notice to mortgagees of making of access arrangements\n\n142A Notice to mortgagees of making of access arrangements\n\n> > (1) Within 14 days after an access arrangement is agreed between a landholder and the holder of a prospecting title, the holder is to serve notice of the making of the arrangement on each person (other than that landholder) who is identified in any register or record kept by the Registrar-General as a person having an interest as mortgagee in the land concerned.\n> \n> > (2) Notice is not required to be served on a mortgagee under this section—\n> > \n> > > (a) if the mortgagee has been given a copy of the written notice referred to in section 142 to the landholder of the intention to obtain the access arrangement, or\n> > \n> > > (b) if the landholder with whom the access arrangement was made is not the mortgagor.\n> \n> > (3) If notice is required to be served on a mortgagee under this section, the access arrangement does not come into force until the end of the period of 14 days after the notice is served, unless the holder of the prospecting title has reasonable cause to believe that the mortgagee is not a mortgagee in possession of the land concerned.\n> \n> > (4) The requirement imposed by this section on the holder of a prospecting title is taken to be a condition of the prospecting title.\n> \n> > (5) This section applies only to access arrangements made after the commencement of this section.\n> \n> Note.\n> \n> If the person is a mortgagee in possession of the land, an access arrangement with that person is also required under section 140 before prospecting operations may be carried out on the land.\n> \n> **s 142A:** Ins 2010 No 29, Sch 1 \\[9\\].","sortOrder":225},{"sectionNumber":"143","sectionType":"section","heading":"Appointment of arbitrator by agreement","content":"#### 143 Appointment of arbitrator by agreement\n\n143 Appointment of arbitrator by agreement\n\n> > (1) If, by the end of 28 days after the holder of a prospecting title serves notice in writing on each landholder of the holder’s intention to obtain an access arrangement, the holder and each landholder have been unable to agree on such an arrangement, the holder may, by further notice in writing served on each landholder, request them to agree to the appointment of an arbitrator.\n> \n> > (2) The holder of a prospecting title and each landholder of the land concerned may agree to the appointment of any person as an arbitrator.\n> \n> **s 143:** Am 1999 No 43, Sch 1 \\[20\\]–\\[22\\].","sortOrder":226},{"sectionNumber":"144","sectionType":"section","heading":"Appointment of arbitrator in default of agreement","content":"#### 144 Appointment of arbitrator in default of agreement\n\n144 Appointment of arbitrator in default of agreement\n\n> > (1) If, by the end of 28 days after the holder of a prospecting title serves notice in accordance with section 143, the holder and each landholder of the land concerned have been unable to agree on the appointment of an arbitrator, then any one of them may apply to the Secretary for the appointment of a member of the Arbitration Panel as an arbitrator.\n> \n> > (2) At the same time as, or after, an application is made under this section, but before an arbitrator is appointed, the holder of the prospecting title concerned must pay the application fee prescribed by the regulations for the purposes of this section.\n> \n> > (3) The Secretary is to appoint a member of the Arbitration Panel as an arbitrator.\n> \n> **s 144:** Am 1996 No 137, Sch 1 \\[15\\]; 1999 No 43, Sch 1 \\[23\\]; 2000 No 90, Sch 3.1 \\[3\\]; 2008 No 19, Sch 1 \\[100\\] \\[101\\]; 2015 No 41, Sch 1 \\[9\\].","sortOrder":227},{"sectionNumber":"145","sectionType":"section","heading":"Arbitration process—mediation before arbitration hearing","content":"#### 145 Arbitration process—mediation before arbitration hearing\n\n145 Arbitration process—mediation before arbitration hearing\n\n> > (1) As soon as practicable after having been appointed, an arbitrator—\n> > \n> > > (a) must fix a time and place for conducting a mediation of the question of access to the land concerned, and\n> > \n> > > (b) must cause notice of his or her appointment, and of the time and place fixed for conducting the mediation, to be given to the holder of the prospecting title and to each landholder.\n> \n> > (2) The arbitrator may, by a further notice served on the holder of the prospecting title and on each landholder, vary the time or place fixed for conducting the mediation.\n> \n> > (3) The arbitrator must, at the time and place fixed under this section, conduct a mediation of the question of access to the land concerned.\n> \n> **s 145:** Am 1999 No 43, Sch 1 \\[24\\] \\[25\\]. Subst 2015 No 41, Sch 1 \\[10\\].","sortOrder":228},{"sectionNumber":"145A","sectionType":"section","heading":"Mediation","content":"#### 145A Mediation\n\n145A Mediation\n\n> > (1) An arbitrator conducting a mediation under this Division—\n> > \n> > > (a) must use his or her best endeavours to bring the parties to a settlement acceptable to all of them, and\n> > \n> > > (b) may communicate with the parties collectively or separately, and\n> > \n> > > (c) must treat information obtained by the arbitrator from a party with whom he or she communicates separately as confidential, unless that party otherwise agrees.\n> \n> > (2) The parties to a mediation must participate in the mediation in good faith.\n> \n> > (3) A mediation terminates if—\n> > \n> > > (a) the parties agree to terminate the mediation, or\n> > \n> > > (b) any party terminates the mediation, by notice in writing, served on the other parties and the arbitrator, or\n> > \n> > > (c) the arbitrator terminates the mediation, or\n> > \n> > > (d) the parties agree on an access arrangement.\n> \n> > (4) An arbitrator who has acted as mediator in a mediation that is terminated under subsection (3) (a)–(c)—\n> > \n> > > (a) may refuse to conduct the subsequent arbitration, and\n> > \n> > > (b) must not conduct the subsequent arbitration unless, at the time of or after the termination of the mediation, all the parties to the arbitration (including the arbitrator) consent in writing.\n> \n> > (5) If—\n> > \n> > > (a) an arbitrator has obtained confidential information from a party during a mediation, and\n> > \n> > > (b) the mediation has been terminated under subsection (3) (a)–(c), and\n> > \n> > > (c) the parties have consented to the arbitrator conducting the subsequent arbitration,\n> > \n> > the arbitrator must, as soon as reasonably practical after that consent has been given, disclose to all other parties to the arbitration so much of the information as the arbitrator considers material to the arbitration.\n> \n> > (6) If the parties consent under subsection (4) (b), no objection may be taken to the conduct of the subsequent arbitration by the arbitrator solely on the ground that he or she has previously conducted a mediation in accordance with this section.\n> \n> > (7) If the arbitrator refuses to conduct the subsequent arbitration under subsection (4) (a) or the parties do not consent under subsection (4) (b), the arbitrator’s mandate is taken to have been terminated and a substitute arbitrator may be appointed—\n> > \n> > > (a) by the parties, or\n> > \n> > > (b) by the Secretary, but only if the parties have been unable to agree on the appointment of an arbitrator by the end of 7 days after the termination of the mediation.\n> \n> > (8) Before a substitute arbitrator is appointed under this section, the holder of the prospecting title concerned must pay the application fee prescribed by the regulations for the purposes of this section.\n> \n> > (9) The substitute arbitrator is not required to conduct a mediation under this Division.\n> \n> **s 145A:** Ins 2015 No 41, Sch 1 \\[10\\].","sortOrder":229},{"sectionNumber":"145B","sectionType":"section","heading":"Arbitration hearing","content":"#### 145B Arbitration hearing\n\n145B Arbitration hearing\n\n> > (1) If the mediation is unsuccessful, the arbitrator must, as soon as practicable after its conclusion—\n> > \n> > > (a) fix a time and place for conducting a hearing of the question of access to the land concerned, and\n> > \n> > > (b) cause notice of the time and place fixed for conducting the hearing to be given to the holder of the prospecting title and to each landholder.\n> \n> > (2) The arbitrator may, by a further notice served on the holder of the prospecting title and on each landholder, vary the time or place fixed for conducting the hearing.\n> \n> > (3) The arbitrator must, at the time and place fixed under this section, conduct a hearing into the question of access to the land concerned.\n> \n> **s 145B:** Ins 2015 No 41, Sch 1 \\[10\\].","sortOrder":230},{"sectionNumber":"146","sectionType":"section","heading":"Right of appearance","content":"#### 146 Right of appearance\n\n146 Right of appearance\n\n> At any mediation of, or hearing into, the question of access to any land by the holder of a prospecting title, the holder and each landholder—\n> \n> > (a) are entitled to appear and be heard, and\n> \n> > (b) may be represented by an agent or by an Australian legal practitioner.\n> \n> **s 146:** Am 1999 No 43, Sch 1 \\[26\\]; 2005 No 98, Sch 3.46 \\[1\\]. Subst 2015 No 41, Sch 1 \\[11\\].","sortOrder":231},{"sectionNumber":"147","sectionType":"section","heading":null,"content":"#### 147\n\n147 (Repealed)","sortOrder":232},{"sectionNumber":"148","sectionType":"section","heading":"Conduct of arbitration","content":"#### 148 Conduct of arbitration\n\n148 Conduct of arbitration\n\n> > (1) The parties to an arbitration must participate in the arbitration in good faith.\n> \n> > (1A) An arbitrator may terminate an arbitration at any time at the request of the parties.\n> \n> > (2) An arbitrator must act according to equity, good conscience and the substantial merits of the case without regard to technicalities or legal forms.\n> \n> > (3) An arbitrator may conduct a hearing even though one or more of the parties to the hearing fails to attend the hearing.\n> \n> **s 148:** Am 2015 No 41, Sch 1 \\[13\\].","sortOrder":234},{"sectionNumber":"148A","sectionType":"section","heading":"Approved arbitration procedures","content":"#### 148A Approved arbitration procedures\n\n148A Approved arbitration procedures\n\n> > (1) The Secretary may, by order published in the Gazette, approve arbitration procedures for the conduct of mediations and arbitrations under this Division (approved arbitration procedures).\n> \n> > (2) The approved arbitration procedures may include guidance materials for the benefit of the parties and arbitrators.\n> \n> > (3) The approved arbitration procedures may also include, but are not limited to, the following—\n> > \n> > > (a) objectives and principles for arbitration,\n> > \n> > > (b) responsibilities of parties and the arbitrator in the arbitration process,\n> > \n> > > (c) stages and timeframes for the arbitration framework,\n> > \n> > > (d) processes for dealing with significant improvements,\n> > \n> > > (e) confidentiality,\n> > \n> > > (f) suspension of mediation or arbitration proceedings in certain circumstances,\n> > \n> > > (g) production of evidence of costs incurred by landholders.\n> \n> > (4) Unless the parties and the arbitrator agree otherwise, mediation and arbitration under this Division is to be conducted in accordance with the provisions of the approved arbitration procedures.\n> \n> > (5) In the event of an inconsistency between a provision of the approved arbitration procedures and a provision of this Act or of the regulations, the provision of this Act or of the regulations prevails.\n> \n> > (6) If a matter is not provided for in this Act, the regulations or the approved arbitration procedures, the procedure at a mediation or a hearing is to be as determined by the arbitrator.\n> \n> > (7) Approved arbitration procedures take effect on the day on which the procedures are published in the Gazette or, if a later day or days are specified for that purpose, on the later day or days so specified.\n> \n> > (8) Sections 40 and 41 of the [Interpretation Act 1987](/view/html/inforce/current/act-1987-015) apply to the approved arbitration procedures under this section in the same way as they apply to statutory rules within the meaning of that Act.\n> \n> **ss 148A–148C:** Ins 2015 No 41, Sch 1 \\[14\\].","sortOrder":235},{"sectionNumber":"148B","sectionType":"section","heading":"Site inspection by arbitrator","content":"#### 148B Site inspection by arbitrator\n\n148B Site inspection by arbitrator\n\n> An arbitrator conducting a mediation or a hearing may enter the land concerned and inspect it at a reasonable time after giving reasonable notice to the landholder.\n> \n> **ss 148A–148C:** Ins 2015 No 41, Sch 1 \\[14\\].","sortOrder":236},{"sectionNumber":"148C","sectionType":"section","heading":"Costs of landholder participation in mediation and arbitration","content":"#### 148C Costs of landholder participation in mediation and arbitration\n\n148C Costs of landholder participation in mediation and arbitration\n\n> > (1) The holder of the prospecting title must pay the reasonable costs of the landholder of the land concerned in participating in the mediation and arbitration.\n> \n> > (2) The maximum amount of reasonable costs is the amount set out by the Minister by order published in the Gazette.\n> \n> > (3) In making the order, the Minister must have regard to the following—\n> > \n> > > (a) time spent participating in the mediation and arbitration,\n> > \n> > > (b) legal costs in participating in the mediation and arbitration,\n> > \n> > > (c) costs of engaging experts as part of the mediation and arbitration process.\n> \n> > (4) Nothing in this section prevents a holder of a prospecting title, at the holder’s discretion, paying other amounts to a landholder.\n> \n> > (5) An order relating to costs may—\n> > \n> > > (a) apply generally or be limited in its application by reference to specified exceptions or factors, or\n> > \n> > > (b) apply differently according to different factors of a specified kind, or\n> > \n> > > (c) authorise any matter or thing to be from time to time determined, applied or regulated by any specified person or body,\n> > \n> > or may do any combination of those things.\n> \n> **ss 148A–148C:** Ins 2015 No 41, Sch 1 \\[14\\].","sortOrder":237},{"sectionNumber":"149","sectionType":"section","heading":"Interim determination by arbitrator","content":"#### 149 Interim determination by arbitrator\n\n149 Interim determination by arbitrator\n\n> > (1) As soon as practicable after concluding a hearing, an arbitrator—\n> > \n> > > (a) must make an interim determination as to whether or not the holder of the prospecting title should have a right of access to the land concerned, and\n> > \n> > > (b) if the arbitrator determines that the holder of the prospecting title should have such a right of access, must prepare a draft access arrangement in respect of that land.\n> \n> > (2) As soon as practicable after making an interim determination, the arbitrator—\n> > \n> > > (a) must reduce the determination to writing, and\n> > \n> > > (b) must cause a copy of the determination, together with a copy of any draft access arrangement, to be served on each of the parties to the hearing.","sortOrder":238},{"sectionNumber":"150","sectionType":"section","heading":"Further arbitration","content":"#### 150 Further arbitration\n\n150 Further arbitration\n\n> > (1) A party to a hearing may, within 14 days after being served with a copy of the arbitrator’s interim determination, apply to the arbitrator—\n> > \n> > > (a) for reconsideration of the question of access to the land concerned, or\n> > \n> > > (b) for variation of any draft access arrangement prepared by the arbitrator in respect of that land.\n> \n> > (2) As soon as practicable after receiving such an application, the arbitrator—\n> > \n> > > (a) must fix a time and place for continuing the hearing into the question of access to the land concerned, and\n> > \n> > > (b) must cause notice of the time and place fixed for continuing the hearing to be given to the holder of the prospecting title and to each landholder.\n> \n> > (3) The arbitrator may, by a further notice served on the holder of the prospecting title and on each landholder of the land concerned, vary the time or place fixed for continuing the hearing.\n> \n> > (4) The arbitrator must, at the time and place fixed under this section, continue the hearing into the question of access to the land concerned.\n> \n> **s 150:** Am 1999 No 43, Sch 1 \\[27\\] \\[28\\].","sortOrder":239},{"sectionNumber":"151","sectionType":"section","heading":"Final determination by arbitrator","content":"#### 151 Final determination by arbitrator\n\n151 Final determination by arbitrator\n\n> > (1) If an application is not made to the arbitrator within the period of 14 days referred to in section 150 (1)—\n> > \n> > > (a) the interim determination is taken to be the arbitrator’s final determination, and\n> > \n> > > (b) any draft access arrangement is taken to be a final access arrangement.\n> \n> > (2) If an application is made to the arbitrator within the period of 14 days referred to in section 150 (1), the arbitrator, as soon as practicable after concluding the continued hearing—\n> > \n> > > (a) must make a final determination as to whether or not the holder of the prospecting title should have a right of access to the land concerned, and\n> > \n> > > (b) if the arbitrator determines that the holder of the prospecting title should have such a right of access, must determine a final access arrangement in respect of that land.\n> \n> > (3) As soon as practicable after making a final determination, the arbitrator—\n> > \n> > > (a) must reduce the determination to writing, and\n> > \n> > > (b) must cause a copy of the determination, together with a copy of any final access arrangement forming part of the determination, to be served on each of the parties to the hearing.","sortOrder":240},{"sectionNumber":"151A","sectionType":"section","heading":"Determination as to costs","content":"#### 151A Determination as to costs\n\n151A Determination as to costs\n\n> > (1) This section applies to an arbitrator in the following circumstances—\n> > \n> > > (a) as soon as practicable after an interim determination is taken to be a final determination,\n> > \n> > > (b) on making a final determination under this Division,\n> > \n> > > (c) before terminating an arbitration at the request of the parties.\n> \n> > (2) The arbitrator must determine the following—\n> > \n> > > (a) if the parties have disputed a payment to cover the landholder’s costs in negotiating the access arrangement, the amount of that payment (in accordance with section 142), and\n> > \n> > > (b) the reasonable costs of the landholder in participating in the mediation and arbitration (in accordance with section 148C).\n> \n> > (3) When determining a payment to cover the reasonable costs of the landholder in participating in the mediation and arbitration, the arbitrator must—\n> > \n> > > (a) consider whether or not the landholder has acted unreasonably in the negotiation, mediation or arbitration, and\n> > \n> > > (b) deduct an amount that in the opinion of the arbitrator represents the amount by which the unreasonable conduct increased the costs of the negotiation, mediation or arbitration.\n> \n> **s 151A:** Ins 2015 No 41, Sch 1 \\[15\\].","sortOrder":241},{"sectionNumber":"152","sectionType":"section","heading":"Costs of mediation and arbitration hearing","content":"#### 152 Costs of mediation and arbitration hearing\n\n152 Costs of mediation and arbitration hearing\n\n> > (1) (Repealed)\n> \n> > (2) The arbitrator’s costs in relation to the hearing are to be borne by the holder of the prospecting title.\n> \n> > (3) Payment of the arbitrator’s costs in relation to a hearing is, for the purpose of any security given by the holder of a prospecting title, taken to be an obligation under the title.\n> \n> **s 152:** Am 2015 No 41, Sch 1 \\[16\\].","sortOrder":242},{"sectionNumber":"153","sectionType":"section","heading":"Withdrawal from arbitration","content":"#### 153 Withdrawal from arbitration\n\n153 Withdrawal from arbitration\n\n> > (1) The parties to a hearing may, at any time before the conclusion of the hearing, terminate the hearing by notice in writing, signed by all of the parties, served on the arbitrator.\n> \n> > (2) This section does not limit the liability of the holder of a prospecting title to bear the arbitrator’s costs in relation to the hearing.","sortOrder":243},{"sectionNumber":"154","sectionType":"section","heading":"Liability","content":"#### 154 Liability\n\n154 Liability\n\n> No proceedings lie against an arbitrator for or with respect to—\n> \n> > (a) any determination made by the arbitrator, or\n> \n> > (b) any publication made by the arbitrator, or\n> \n> > (c) any other act, matter or thing done by the arbitrator,\n> \n> for the purposes of a mediation or a hearing, as long as the determination, publication, act, matter or thing was made or done in good faith.\n> \n> **s 154:** Am 2015 No 41, Sch 1 \\[17\\].","sortOrder":244},{"sectionNumber":"155","sectionType":"section","heading":"Review of determination","content":"#### 155 Review of determination\n\n155 Review of determination\n\n> > (1) A party to a hearing who is aggrieved by an arbitrator’s final determination may apply to the Land and Environment Court for a review of the determination.\n> \n> > (2) An application—\n> > \n> > > (a) must be accompanied by a copy of the determination to which it relates, together with a copy of any access arrangement forming part of the determination, and\n> > \n> > > (b) must be filed in the Land and Environment Court—\n> > > \n> > > > (i) in the case of an interim determination that has become a final determination—within 28 days after a copy of the interim determination was served on the applicant, or\n> > > \n> > > > (ii) in the case of a final determination—within 14 days after a copy of the final determination was served on the applicant.\n> \n> > (3) An application for review may not be made—\n> > \n> > > (a) during the period of 14 days within which an application may be made to an arbitrator, or\n> > \n> > > (b) if such an application is made, until the arbitrator has made a final determination with respect to the application.\n> \n> > (4) The applicant must cause a copy of the application to be served on each of the other parties to the determination to which the application relates.\n> \n> > (5) Subject to any order of the Land and Environment Court to the contrary, an application for review of a determination operates to stay the effect of any related access arrangement in relation to a party to the arrangement from the time when a copy of the arrangement has been served on the party until the decision of the Land and Environment Court on the review.\n> \n> > (6) In reviewing a determination under this section, the Land and Environment Court has the functions of an arbitrator under this Division in addition to its other functions.\n> \n> > (6A) A review of a determination is to be by way of rehearing, and fresh material or material in addition to, or in substitution for, the material considered on the making of the determination by the arbitrator may be given on the review and taken into consideration by the Land and Environment Court.\n> \n> > (7) The decision of the Land and Environment Court on a review of a determination is final and is to be given effect to as if it were the determination of an arbitrator.\n> \n> > (8) The holder of the prospecting title must pay the reasonable costs of the landholder of the land concerned in a review of a determination under this section.\n> \n> > (9) The Land and Environment Court, in determining those reasonable costs, must consider whether or not the landholder has acted unreasonably in the negotiation, mediation, arbitration or review proceedings.\n> \n> **s 155:** Am 2008 No 107, Sch 19 \\[13\\]; 2010 No 29, Sch 1 \\[10\\]; 2015 No 41, Sch 1 \\[18\\] \\[19\\].","sortOrder":245},{"sectionNumber":"156","sectionType":"section","heading":"Effect of access arrangement etc","content":"#### 156 Effect of access arrangement etc\n\n156 Effect of access arrangement etc\n\n> An access arrangement determined by an arbitrator—\n> \n> > (a) takes effect—\n> > \n> > > (i) in the case of a draft access arrangement that is taken to be a final access arrangement—at the end of the period of 14 days after a copy of the draft access arrangement has been served on each of the parties, or\n> > \n> > > (ii) in the case of a final access arrangement prepared under section 151—when a copy of the arrangement has been served on each of the parties,\n> > \n> > or on such later date as may be specified in the arrangement, and\n> \n> > (b) subject to section 141 (3), has effect as if its terms were embodied in a deed that had been duly executed by each of the parties.","sortOrder":246},{"sectionNumber":"156A","sectionType":"section","heading":"Register of arbitrated access arrangements","content":"#### 156A Register of arbitrated access arrangements\n\n156A Register of arbitrated access arrangements\n\n> > (1) As soon as is practicable after an access arrangement is determined by an arbitrator, the holder of the prospecting title must provide the Secretary with a copy of the final access arrangement.\n> > \n> > Maximum penalty—100 penalty units (in the case of a corporation) or 50 penalty units (in the case of an individual).\n> \n> > (2) The Secretary is to keep and maintain a register of all final access arrangements provided to him or her.\n> \n> > (3) The Secretary is not required to include in the register—\n> > \n> > > (a) personal information (within the meaning of the [Privacy and Personal Information Protection Act 1998](/view/html/inforce/current/act-1998-133)) about an individual, or\n> > \n> > > (b) any other information prescribed by the regulations, or\n> > \n> > > (c) any other information that the Secretary determines should be kept confidential.\n> \n> > (4) The register is to be made available for public inspection on the Department’s website.\n> \n> **s 156A:** Ins 2015 No 41, Sch 1 \\[20\\].","sortOrder":247},{"sectionNumber":"157","sectionType":"section","heading":"Variation of access arrangements","content":"#### 157 Variation of access arrangements\n\n157 Variation of access arrangements\n\n> > (1) An access arrangement may be varied—\n> > \n> > > (a) in accordance with the terms of the arrangement relating to its variation, or\n> > \n> > > (b) by the agreement of the parties to the arrangement, or\n> > \n> > > (c) by an arbitrator under this section (whether or not the access arrangement was determined by an arbitrator), or\n> > \n> > > (d) on application by any of the parties to the arrangement, by order of the Land and Environment Court if the arrangement was determined by a court or an arbitrator.\n> \n> > (2) A party to an access arrangement may, by written notice served on all the other parties to the arrangement, request the parties to agree to the appointment of an arbitrator.\n> \n> > (3) The parties to an access arrangement may agree to the appointment of any person as an arbitrator.\n> \n> > (4) Sections 144–151 and 152–156 apply, with all necessary changes, in relation to an arbitration under this section, subject to the following modifications—\n> > \n> > > (a) in the application of section 144 (1), the reference to a notice served in accordance with section 143 is taken to be a reference to a notice served in accordance with subsection (2),\n> > \n> > > (b) section 144 (2) does not apply and instead the following applies—\n> > > \n> > > > > (2) Before an arbitrator is appointed under this section, the party requesting the appointment of an arbitrator must pay the application fee prescribed by the regulations for the purposes of this section.\n> > \n> > > (c) section 148C does not apply and instead the following provision applies—\n> > \n> > > (d) any other modification prescribed by the regulations.\n> \n> > (5) In this section, vary includes terminate.\n> \n> **s 157:** Subst 2010 No 29, Sch 1 \\[11\\]; 2015 No 41, Sch 1 \\[21\\].","sortOrder":248},{"sectionNumber":"158","sectionType":"section","heading":"Change in landholders etc","content":"#### 158 Change in landholders etc\n\n158 Change in landholders etc\n\n> > (1) An access arrangement with 2 or more landholders does not terminate because one of those landholders ceases to be a landholder of the land concerned.\n> \n> > (2) An access arrangement does not terminate because a person becomes a landholder of all or any part of the land concerned after the arrangement was agreed or determined.\n> \n> > (3) An access arrangement does not run with the land, and accordingly a person does not (except as provided by this section) become a party to the access arrangement merely because the person becomes a landholder of any of the land after the access arrangement was agreed or determined.\n> \n> > (4) If, after an access arrangement has been agreed or determined, a person becomes a landholder of any of the land to which the arrangement applies in addition to another landholder who continues to be a party to the arrangement, the provisions of the arrangement (other than those relating to the payment of compensation) apply to the new landholder as if the new landholder were a party to the arrangement, but only if the holder of the prospecting title concerned has given the new landholder a copy of the access arrangement.\n> \n> > (5) If the new landholder objects to the access arrangement within 28 days after being given a copy of the arrangement, the access arrangement ceases to apply to the new landholder when whichever of the following first happens—\n> > \n> > > (a) the new landholder agrees to an access arrangement with the holder of the prospecting title concerned in accordance with this Division,\n> > \n> > > (b) an arbitrator is appointed and determines an access arrangement in relation to the new landholder in accordance with this Division,\n> > \n> > > (c) at the end of the period of 60 days after the new landholder objects, an access arrangement has not been so agreed or determined.\n> > \n> > However, if an arbitrator is appointed or an application for review of a determination of the arbitrator is made, the arbitrator or the Land and Environment Court (as the case requires) may continue the existing access arrangement (with or without variation) until the determination of the arbitration or review.\n> \n> > (6) Nothing in this section prevents an access arrangement being agreed or determined in respect of a proposed new landholder.\n> \n> **s 158:** Am 1999 No 43, Sch 1 \\[29\\]. Subst 2010 No 29, Sch 1 \\[11\\].","sortOrder":250},{"sectionNumber":"158A","sectionType":"section","heading":"Court may determine access arrangement if already considering significant improvements etc","content":"#### 158A Court may determine access arrangement if already considering significant improvements etc\n\n158A Court may determine access arrangement if already considering significant improvements etc\n\n> > (1) If—\n> > \n> > > (a) a party applied to the Land and Environment Court for a determination of a matter under section 31 (5) or 49 (5), and\n> > \n> > > (b) no access arrangement relates to the land concerned,\n> > \n> > either party to those Court proceedings may apply to the Court to have the Court determine an access arrangement under this Division in relation to the land.\n> \n> > (2) An application under this section must not be lodged within 28 days after the holder of the prospecting title has served notice under section 142 of an intention to obtain an access arrangement in respect of the land concerned.\n> \n> > (3) The Land and Environment Court may accept or reject the application.\n> \n> > (4) Subject to any order of the Land and Environment Court, an application under this section operates to stay any other access arrangement mediation or arbitration in relation to the land until the decision of the Land and Environment Court on the application.\n> \n> > (5) If the Land and Environment Court decides to accept the application—\n> > \n> > > (a) the Land and Environment Court is, subject to the regulations, to determine an access arrangement under this Division in relation to the land, and\n> > \n> > > (b) any other access arrangement mediation or arbitration in relation to the land is terminated.\n> \n> **s 158A:** Ins 2015 No 41, Sch 1 \\[22\\].","sortOrder":251},{"sectionNumber":"158B","sectionType":"section","heading":"Removal of Arbitration Panel arbitrator","content":"#### 158B Removal of Arbitration Panel arbitrator\n\n158B Removal of Arbitration Panel arbitrator\n\n> > (1) The Secretary may, subject to the regulations, remove an arbitrator who has been appointed under section 144 or 145A (7) (b) if, after an investigation by the Secretary following a complaint, the Secretary is satisfied—\n> > \n> > > (a) that—\n> > > \n> > > > (i) circumstances exist that give rise to justifiable doubts as to the arbitrator’s impartiality, or\n> > > \n> > > > (ii) the arbitrator is incapable of conducting the proceedings or there are justifiable doubts as to the arbitrator’s capacity to do so, or\n> > > \n> > > > (iii) the arbitrator has refused or failed properly to conduct the proceedings, and\n> > \n> > > (b) that substantial injustice has been caused or will be caused to one or more of the parties.\n> \n> > (2) If an arbitrator has been removed under subsection (1), the arbitrator’s mandate is taken to have been terminated and a substitute arbitrator is to be appointed—\n> > \n> > > (a) by the parties, or\n> > \n> > > (b) by the Secretary, but only if the parties have been unable to agree on the appointment of an arbitrator by the end of 7 days after the removal.\n> \n> > (3) The regulations may make provision for or with respect to the removal of arbitrators under this section, including, but not limited to—\n> > \n> > > (a) the making of complaints to the Secretary, and\n> > \n> > > (b) investigations by the Secretary of complaints.\n> \n> **s 158B:** Ins 2015 No 41, Sch 1 \\[22\\].","sortOrder":252},{"sectionNumber":"159","sectionType":"section","heading":"Records","content":"#### 159 Records\n\n159 Records\n\n> > (1) The Secretary is to cause a record to be kept of—\n> > \n> > > (a) every application for an authority that is duly made under this Act, and\n> > \n> > > (b) every authority that is granted, renewed, transferred or cancelled under this Act, and\n> > \n> > > (c) every other matter in relation to which the Secretary is required to keep a record by the regulations.\n> \n> > (2) The record must be kept in the approved form (if any) and must contain the particulars prescribed by the regulations.\n> \n> > (3) The record must be kept available at such offices of the Department as may be prescribed by the regulations for inspection, free of charge, by members of the public.\n> \n> **s 159:** Am 1992 No 111, Sch 1; 1996 No 137, Sch 1 \\[111\\]; 2005 No 64, Sch 1.20 \\[3\\]; 2008 No 19, Sch 1 \\[103\\]; 2012 No 46, Sch 5.2 \\[9\\].","sortOrder":254},{"sectionNumber":"160","sectionType":"section","heading":"Interest in authority to be created by instrument in writing","content":"#### 160 Interest in authority to be created by instrument in writing\n\n160 Interest in authority to be created by instrument in writing\n\n> > (1) A legal or equitable interest in an authority may not be created or disposed of except by instrument in writing.\n> \n> > (2) The creation of a legal or equitable interest in an authority does not affect the liability of the holder of the authority for any breach of the conditions of the authority or of any of the provisions of this Act or the regulations.","sortOrder":255},{"sectionNumber":"161","sectionType":"section","heading":"Registration of certain interests","content":"#### 161 Registration of certain interests\n\n161 Registration of certain interests\n\n> > (1) The Secretary is to keep a register of legal and equitable interests in authorities.\n> \n> > (2) Any person claiming a legal or equitable interest in an authority may apply for registration of the interest.\n> \n> > (3) An application must be lodged with the Secretary and must be accompanied by the application fee prescribed by the regulations and by documentary evidence of the legal or equitable interest concerned.\n> \n> > (4) The Secretary may, if satisfied that the applicant holds the interest concerned, register the document by which the legal or equitable interest is evidenced.\n> \n> > (5) The Secretary may, on application by the holder of an interest or otherwise, make such amendments to the register kept under this section as are appropriate to reflect dealings in the interest.\n> \n> > (6) Without limiting the generality of subsection (5), the Secretary may cancel the registration of an interest if of the opinion that the interest has ceased to exist.\n> \n> > (7) The registration of an interest under this section is not to be taken to be evidence of the existence of the interest.\n> \n> > (7A) (Repealed)\n> \n> > (8) For the purposes of any legal proceedings concerning an authority—\n> > \n> > > (a) a registered interest has priority over an interest that is not registered, and\n> > \n> > > (b) an earlier registered interest has priority over a later registered interest.\n> \n> > (9) The register must be kept available at such offices of the Department as may be prescribed by the regulations for inspection, free of charge, by members of the public.\n> \n> > (10) Section 130 applies to an application under this section in the same way as it applies to an application referred to in section 130 (1).\n> \n> > (11) An interest arising under a mining sublease is not a legal or equitable interest for the purposes of this section.\n> \n> **s 161:** Am 1996 No 137, Sch 1 \\[15\\] \\[112\\]; 2004 No 75, Sch 1 \\[4\\]; 2005 No 64, Sch 1.20 \\[4\\]; 2008 No 19, Sch 1 \\[104\\]–\\[106\\].","sortOrder":256},{"sectionNumber":"162","sectionType":"section","heading":"Devolution of rights of holder of authority","content":"#### 162 Devolution of rights of holder of authority\n\n162 Devolution of rights of holder of authority\n\n> > (1) A person on whom the rights of the holder of an authority have devolved by operation of law may apply to the Minister to have the person’s name recorded as the holder of the authority.\n> \n> > (2) An application must be made in a way prescribed by the regulations.\n> \n> > (3) The Minister, if satisfied that the rights of the holder of an authority have devolved by operation of law, may direct the Secretary to record the name of the applicant as the holder of the authority.\n> \n> > (4) In considering an application under this section, the Minister must have regard to guidelines issued and made publicly available by the Minister for the purposes of this section, if any.\n> \n> > (5) To avoid doubt, in this section—\n> > \n> > > (a) rights have devolved by operation of law if the rights have involuntarily passed from 1 person to another by operation of a law, including a transfer caused by death, bankruptcy or insolvency, and\n> > \n> > > (b) the granting or registration under this Act of a mining sublease does not result in the devolution of the rights of the holder of the head lease on a person.\n> \n> **s 162:** Am 2008 No 19, Sch 1 \\[107\\]. Subst 2022 No 21, Sch 1\\[54\\].","sortOrder":257},{"sectionNumber":"163","sectionType":"section","heading":"Colliery holdings","content":"#### 163 Colliery holdings\n\n163 Colliery holdings\n\n> > (1) The Secretary is to cause to be kept a register of colliery holdings (referred to in this section as the register) in such form as may be prescribed by the regulations.\n> \n> > (2) The Secretary is to cause to be recorded in the register—\n> > \n> > > (a) such particulars as are necessary to give effect to a direction given under this section, and\n> > \n> > > (aa) the name of the colliery holding, and\n> > \n> > > (ab) the name of the colliery holder, and\n> > \n> > > (ac) a plan showing the location of the holding, and\n> > \n> > > (b) such other particulars as may be prescribed by the regulations.\n> \n> > (3) The holder of a mining lease or registered mining sublease that authorises the holder to mine for coal or to carry out ancillary mining activities in connection with the mining of coal must apply to have the mining area or sublease area registered as a colliery holding or recorded on the register as part of an existing colliery holding before commencing mining operations under the lease or sublease.\n> > \n> > Maximum penalty—20 penalty units.\n> \n> > (3A) (Repealed)\n> \n> > (4) A person who is lawfully carrying out ancillary mining activities on land in connection with the mining of coal (and doing so otherwise than as the holder of a mining lease or registered mining sublease) may apply to have the land registered as a colliery holding or recorded on the register as part of an existing colliery holding.\n> \n> > (5) A person may not be recorded as the colliery holder of a colliery holding registered under this section unless the person is the holder of a mining lease or registered mining sublease that is part of the colliery holding.\n> \n> > (6) A person who has an interest in a colliery holding registered under this section may apply to have the registration of the holding concerned—\n> > \n> > > (a) cancelled, or\n> > \n> > > (b) amended so as to exclude land from the holding, or\n> > \n> > > (c) amended so as to transfer land from the holding to another registered colliery holding, or\n> > \n> > > (d) amended with respect to the identity of the colliery holder.\n> \n> > (6A) An application under this section must be—\n> > \n> > > (a) signed by the persons or classes of persons prescribed by the regulations, and\n> > \n> > > (b) accompanied by any fee and any particulars and consents to the making of the application prescribed by the regulations, and\n> > \n> > > (c) lodged with the Secretary.\n> \n> > (6B) Within 14 days after an application is lodged (or within such longer period as may be prescribed by the regulations), the Minister must—\n> > \n> > > (a) grant the application and cause the register to be updated, as soon as practicable, in accordance with the application, or\n> > \n> > > (b) refuse the application on any of the following grounds—\n> > > \n> > > > (i) the application does not comply with the requirements of this section,\n> > > \n> > > > (ii) if the application is for registration of a holding or with respect to the name of a holding—the name proposed for the holding may cause confusion (because, for example, it is the same as or similar to a name that is or was used for another holding, whether registered or not).\n> \n> > (6C) The Minister may, by order in writing—\n> > \n> > > (a) direct a person who is required to or may apply for land to be registered as a colliery holding or recorded on the register as part of an existing colliery holding to apply for that registration or recording in accordance with this section within the time specified by the order, or\n> > \n> > > (b) direct that a colliery holding is to be registered with a specified name or that the registered name of a colliery holding is to be amended, or\n> > \n> > > (c) direct that a person be registered as the colliery holder of a colliery holding, if no person has been registered or nominated for registration of the colliery holding.\n> \n> > (6D) A person who is given a direction under subsection (6C) must not, without reasonable excuse, fail to comply with the direction.\n> > \n> > Maximum penalty—20 penalty units.\n> \n> > (7) The Minister may, by order in writing, direct that the registration of a colliery holding be cancelled or amended so as to exclude specified land from the colliery holding.\n> \n> > (8) A direction may be given under subsection (6C) or (7) whether or not an application has been made under subsection (4) or (6) in respect of the same land.\n> \n> > (9) The Secretary is to cause copies of any order under subsection (6C) or (7) to be served on such persons as, in the Secretary’s opinion, have a right to mine coal or to carry out ancillary mining activities in connection with mining for coal in the land or colliery holding to which the order relates.\n> \n> > (10) The register of colliery holdings must be kept available for inspection, free of charge, by members of the public at such offices of the Department as may be prescribed by the regulations.\n> \n> **s 163:** Am 2004 No 74, Sch 1 \\[2\\]–\\[4\\]; 2008 No 19, Sch 1 \\[108\\] \\[109\\] (am 2008 No 114, Sch 2.16; 2009 No 56, Sch 1.27 \\[1\\]) \\[110\\]–\\[113\\]; 2014 No 53, Sch 3 \\[2\\].","sortOrder":258},{"sectionNumber":"163A","sectionType":"section","heading":"Registration of mining subleases","content":"#### 163A Registration of mining subleases\n\n163A Registration of mining subleases\n\n> > (1) The Secretary is to cause to be kept a register of mining subleases containing such information as is prescribed by the regulations.\n> \n> > (2) Any person claiming to have been granted a mining sublease or to be the holder of a mining sublease may apply in writing for registration of the sublease or of its renewal or variation.\n> \n> > (3) An application must not be made without the Minister’s approval.\n> \n> > (4) An application must be in the approved form, lodged with the Secretary and accompanied by the following—\n> > \n> > > (a) documentary evidence of the sublease, including its term and conditions,\n> > \n> > > (b) a plan of the sublease area,\n> > \n> > > (c) documentary evidence that a security deposit to the Minister’s satisfaction has been provided and is being maintained in relation to the sublease area,\n> > \n> > > (d) documentary evidence of the Minister’s approval of the application (if required),\n> > \n> > > (e) the application fee prescribed by the regulations,\n> > \n> > > (f) any other information that is prescribed by the regulations.\n> \n> > (5) The Secretary may register the document by which the mining sublease is evidenced only if satisfied that the applicant holds the sublease.\n> \n> > (6) The registration of a mining sublease under this section does not affect any liability that the holder of the sublease would otherwise have to a penalty for an offence under this Act, including an offence that relates to the head lease.\n> \n> > (7) The regulations may exempt an application or class of applications from the requirement in subsection (3).\n> \n> > (8) The register of mining subleases must be kept available for inspection, free of charge, by members of the public at such offices of the Department as may be prescribed by the regulations.\n> \n> **s 163A:** Ins 2008 No 19, Sch 1 \\[114\\].","sortOrder":259},{"sectionNumber":"163B","sectionType":"section","heading":"Deregistration of mining subleases","content":"#### 163B Deregistration of mining subleases\n\n163B Deregistration of mining subleases\n\n> > (1) Any person who would be entitled to apply to have a mining sublease registered under this Act may apply for the removal of the sublease from the register.\n> \n> > (2) An application must be in writing, lodged with the Secretary and accompanied by the written consent of the sublessor.\n> \n> > (3) The Secretary may grant or refuse an application to remove a sublease from the register of mining subleases.\n> \n> **s 163B:** Ins 2008 No 19, Sch 1 \\[114\\].","sortOrder":260},{"sectionNumber":"Division 3A","sectionType":"division","heading":"Reports and records","content":"## Division 3A Reports and records\n\nDivision 3A Reports and records\n\n**pt 8, div 3A:** Ins 2015 No 40, Sch 1 \\[56\\].","sortOrder":261},{"sectionNumber":"163C","sectionType":"section","heading":"Reports","content":"#### 163C Reports\n\n163C Reports\n\n> > (1) The holder of an authorisation must prepare and lodge reports of all operations carried out under the authorisation.\n> > \n> > Note.\n> > \n> > Clause 7 (2) (g) of Schedule 1B provides that reports may also be required by the conditions of an authorisation.\n> \n> > (2) The regulations may make provision for or with respect to the following—\n> > \n> > > (a) the content, form or lodgment of the reports,\n> > \n> > > (b) the exemption of any person, class of persons, authorisations or class of authorisations from a requirement of this section or the regulations under this section,\n> > \n> > > (c) prohibiting or regulating the disclosure of reports required to be lodged or made under this section or as a condition of an authorisation.\n> \n> > (3) A person who fails, without reasonable excuse, to prepare or lodge a report in accordance with this section or the regulations is guilty of an offence.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of a corporation—10,000 penalty units, and, in the case of a continuing offence, a further penalty of 1,000 penalty units for each day that the offence continues, or\n> > \n> > > (b) in the case of a natural person—2,000 penalty units, and, in the case of a continuing offence, a further penalty of 200 penalty units for each day that the offence continues.\n> \n> > (4) If there is an inconsistency between a condition of an authorisation and a reporting requirement imposed under this section, the condition prevails to the extent of the inconsistency.\n> \n> **s 163C:** Ins 2008 No 19, Sch 1 \\[114\\]. Am 2014 No 1, Sch 2 \\[1\\]. Subst 2015 No 40, Sch 1 \\[56\\].","sortOrder":262},{"sectionNumber":"163D","sectionType":"section","heading":"Record-keeping","content":"#### 163D Record-keeping\n\n163D Record-keeping\n\n> Any record required to be created and maintained under this Act, the regulations, a condition of an authorisation or a term of an activity approval must be kept in a legible form, or in a form that can readily be reduced to a legible form for production to any inspector.\n> \n> **ss 163D–163G:** Ins 2015 No 40, Sch 1 \\[56\\].","sortOrder":263},{"sectionNumber":"163E","sectionType":"section","heading":"Retention of records relating to authorisations","content":"#### 163E Retention of records relating to authorisations\n\n163E Retention of records relating to authorisations\n\n> The holder of an authorisation must retain any records required to be created and maintained under this Act, the regulations, a condition of an authorisation or a term of an activity approval in relation to the authorisation for not less than 4 years after the expiry or cancellation of the authorisation.\n> \n> **ss 163D–163G:** Ins 2015 No 40, Sch 1 \\[56\\].","sortOrder":264},{"sectionNumber":"163F","sectionType":"section","heading":"Information provided, served or lodged by agents","content":"#### 163F Information provided, served or lodged by agents\n\n163F Information provided, served or lodged by agents\n\n> Any information received from or served or lodged by an agent duly appointed and notified in accordance with the regulations on behalf of any of the following persons is taken to have been received from or served or lodged by that person—\n> \n> > (a) the holder of an authorisation,\n> \n> > (b) an applicant or tenderer for an authorisation or an applicant for the renewal, transfer or cancellation of an authorisation,\n> \n> > (c) an applicant for an activity approval or for the cancellation of an activity approval,\n> \n> > (d) any person who owns or occupies land over which an authorisation is in force or to which an application for an authorisation relates.\n> \n> **ss 163D–163G:** Ins 2015 No 40, Sch 1 \\[56\\].","sortOrder":265},{"sectionNumber":"163G","sectionType":"section","heading":"Samples of strata, minerals and water","content":"#### 163G Samples of strata, minerals and water\n\n163G Samples of strata, minerals and water\n\n> > (1) The holder of an authorisation must collect any samples of strata, minerals, water or any other thing required by the regulations.\n> \n> > (2) Those samples must be collected, labelled for reference or preserved in the manner required by the regulations.\n> \n> **ss 163D–163G:** Ins 2015 No 40, Sch 1 \\[56\\].","sortOrder":266},{"sectionNumber":"164","sectionType":"section","heading":"Rights of way","content":"#### 164 Rights of way\n\n164 Rights of way\n\n> > (1) The holder of an authority (other than a mineral owner authority) is entitled to a right of way (to be indicated or described in the manner prescribed by the regulations) between the land subject to the authority and a public road.\n> \n> > (2) The route of a right of way should, wherever practicable, follow the route of existing roads or tracks (particularly, in the case of land in the Western Division, those the subject of special easements under Part 6 of Schedule 3 to the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058)).\n> \n> > (3) The holder of the authority—\n> > \n> > > (a) must ensure that substantial gates or grids (or, if the landholder of the land so requires, gates and grids), that comply with subsection (4), are placed wherever fences are intersected by the right of way, or\n> > \n> > > (b) if those fences are rabbit-proof, marsupial-proof or dog-proof fences, must ensure that rabbit-proof, marsupial-proof or dog-proof gates are placed at all such intersections.\n> > \n> > Maximum penalty (subsection (3)): 50 penalty units.\n> \n> > (4) Any such gate or grid must be of a design and construction that is adequate to prevent stock from straying.\n> \n> > (5) The costs of installing and maintaining any gates or grids required by this section are to be borne by the holder of the authority.\n> \n> > (6) Subject to any determination by the Land and Environment Court, a right of way is subject to such conditions as to its exercise, and to such exceptions as to the land over which it may be exercised, as may be prescribed by the regulations.\n> \n> > (7) If a dispute arises as to the exercise of a right of way, any party to the dispute may apply to the Land and Environment Court for a determination of the matter.\n> \n> > (8) (Repealed)\n> \n> **s 164:** Am 1999 No 43, Sch 1 \\[30\\]. Subst 2004 No 75, Sch 1 \\[5\\]. Am 2008 No 19, Sch 1 \\[115\\]–\\[117\\]; 2008 No 107, Sch 19 \\[14\\]; 2017 No 17, Sch 2.12 \\[4\\].","sortOrder":268},{"sectionNumber":"165","sectionType":"section","heading":"Right of access to water","content":"#### 165 Right of access to water\n\n165 Right of access to water\n\n> > (1) If land subject to an authority includes the surface of any land, a landholder who is entitled to use the land for stock watering or water drainage purposes is entitled to free and uninterrupted access, for those purposes, to the water in any stream (whether perennial or intermittent) or any lagoon or swamp (whether permanent or temporary) on or adjacent to the land.\n> \n> > (2) If a dispute arises between the holder of an authority and any such landholder concerning the right of access, the holder or the landholder may apply to the Land and Environment Court for a determination on the matter.\n> \n> > (3), (4) (Repealed)\n> \n> **s 165:** Am 1999 No 43, Sch 1 \\[31\\]–\\[33\\]; 2008 No 19, Sch 1 \\[118\\]; 2008 No 107, Sch 19 \\[13\\].","sortOrder":269},{"sectionNumber":"166","sectionType":"section","heading":"Use of water, timber and pasturage etc","content":"#### 166 Use of water, timber and pasturage etc\n\n166 Use of water, timber and pasturage etc\n\n> > (1) If land subject to an authority includes the surface of the land, the holder of the authority must not—\n> > \n> > > (a) use water artificially conserved on that land, or\n> > \n> > > (b) fell trees, strip bark or cut timber on that land,\n> > \n> > otherwise than in accordance with the consent of any landholder of the surface of the land or, if such a landholder refuses consent or attaches unreasonable conditions to the consent, in accordance with a determination of the Land and Environment Court.\n> \n> > (2) If land subject to a mining lease includes the surface of the land, the holder of the lease must not—\n> > \n> > > (a) depasture horses on the land, or keep on the land any dog that is not kept under effective control, unless the land is securely fenced, or\n> > \n> > > (b) remove rock or earth from the land, except in connection with mining operations, otherwise than with the consent of the landholder of the surface of the land.\n> \n> **s 166:** Am 1999 No 43, Sch 1 \\[34\\]–\\[36\\]; 2008 No 107, Sch 19 \\[15\\].","sortOrder":270},{"sectionNumber":"167","sectionType":"section","heading":"Joint holders of authorities","content":"#### 167 Joint holders of authorities\n\n167 Joint holders of authorities\n\n> If there is more than one holder of an authority, each of the holders is jointly and severally liable for the fulfilment of the obligations arising under this Act in relation to the authority.","sortOrder":271},{"sectionNumber":"168","sectionType":"section","heading":null,"content":"#### 168\n\n168–169 (Repealed)","sortOrder":272},{"sectionNumber":"170","sectionType":"section","heading":"Settlement of certain disputes","content":"#### 170 Settlement of certain disputes\n\n170 Settlement of certain disputes\n\n> If any dispute arises between the holders of 2 or more authorities concerning their respective rights in relation to any land or minerals, any one or more of them may apply to the Land and Environment Court for a determination on the matter.\n> \n> **s 170:** Am 2000 No 90, Sch 1.1 \\[6\\]. Subst 2008 No 19, Sch 1 \\[121\\]. Am 2008 No 107, Sch 19 \\[13\\].","sortOrder":274},{"sectionNumber":"171","sectionType":"section","heading":"Certain claims for damages prohibited","content":"#### 171 Certain claims for damages prohibited\n\n171 Certain claims for damages prohibited\n\n> > (1) No action lies against the Crown, the Minister or any person administering this Act in respect of any injury or loss suffered or incurred in relation to the exercise of any right conferred by an authority.\n> \n> > (2) Subsection (1) does not affect any liability of the Crown in respect of any injury or loss suffered or incurred in relation to the exercise of any right conferred by an exploration licence held by the Secretary on behalf of the Crown.\n> > \n> > Note.\n> > \n> > The Secretary may hold an exploration licence on behalf of the Crown—see section 364.\n> \n> **s 171:** Subst 2008 No 19, Sch 1 \\[122\\].","sortOrder":275},{"sectionNumber":"172","sectionType":"section","heading":null,"content":"#### 172\n\n172 (Repealed)","sortOrder":276},{"sectionNumber":"172A","sectionType":"section","heading":"Effect of change of inner limit of coastal waters","content":"#### 172A Effect of change of inner limit of coastal waters\n\n172A Effect of change of inner limit of coastal waters\n\n> > (1) If—\n> > \n> > > (a) an area is covered by an authority, and\n> > \n> > > (b) there is a change to the inner limit of the coastal waters of the State as defined in the [Offshore Minerals Act 1999](/view/html/inforce/current/act-1999-042), and\n> > \n> > > (c) as a result of the change, the area covered by the authority comes within those coastal waters,\n> > \n> > this Act continues to apply to the area, while the authority or any successor authority remains in force, as if the change had not been made.\n> \n> > (2) If—\n> > \n> > > (a) a mining lease takes effect immediately after an exploration licence expires, and\n> > \n> > > (b) the holder of the mining lease immediately after it takes effect was the holder of the exploration licence immediately before it expired,\n> > \n> > the mining lease is a successor authority to the exploration permit for the purposes of subsection (1).\n> \n> > (3) If—\n> > \n> > > (a) an assessment lease takes effect immediately after an exploration licence expires, and\n> > \n> > > (b) the holder of the assessment lease immediately after it takes effect was the holder of the exploration licence immediately before it expired,\n> > \n> > the assessment lease is a successor authority to the exploration licence for the purposes of subsection (1).\n> \n> > (4) If—\n> > \n> > > (a) a mining lease takes effect immediately after an assessment lease expires, and\n> > \n> > > (b) the assessment lease took effect immediately after an exploration licence expired, and\n> > \n> > > (c) the holder of the mining lease immediately after it takes effect was the holder of the assessment lease immediately before it expired, and\n> > \n> > > (d) the holder of the assessment lease immediately after it took effect was the holder of the exploration licence immediately before it expired,\n> > \n> > the mining lease is a successor authority to the exploration licence and the assessment lease for the purposes of subsection (1).\n> \n> **s 172A:** Ins 1999 No 42, Sch 3.11 \\[2\\].","sortOrder":278},{"sectionNumber":"Part 9","sectionType":"part","heading":"Mineral claims","content":"# Part 9 Mineral claims\n\nPart 9 Mineral claims","sortOrder":279},{"sectionNumber":"173","sectionType":"section","heading":"Constitution of mineral claims districts","content":"#### 173 Constitution of mineral claims districts\n\n173 Constitution of mineral claims districts\n\n> > (1) The Governor may, by order published in the Gazette, constitute any land as a mineral claims district and may, by the same or a subsequent order so published, name the district and fix its boundaries.\n> > \n> > Editorial note.\n> > \n> > For orders under this subsection see Gazette No 101 of 20.8.1992, pp 5948, 5949. From April 2021, PCO is no longer updating notes in provisions of in force titles about related gazette notices. To search for related gazette notices, please use the Gazette Search functionality.\n> \n> > (2) Such an order—\n> > \n> > > (a) may not be made except on the recommendation of the Minister, and\n> > \n> > > (b) may not be made over land within a reserve if an order under section 367 directs that mineral claims are not to be granted over land in the reserve, and\n> > \n> > > (c) may not be made over land within an exempted area except in accordance with the consent of the controlling body for that area.\n> \n> **s 173:** Am 2008 No 19, Sch 1 \\[124\\].","sortOrder":281},{"sectionNumber":"173A","sectionType":"section","heading":"Ancillary orders","content":"#### 173A Ancillary orders\n\n173A Ancillary orders\n\n> > (1) The Secretary may, by order published in the Gazette, prohibit, either indefinitely or until a specified date, the lodging of applications for mineral claims over specified land in a mineral claims district.\n> \n> > (2) The Secretary may, by order published in the Gazette, constitute any land in a mineral claims district as a preserved mining field and may, by the same or a subsequent order so published, name the preserved mining field and fix its boundaries.\n> \n> > (3) An order under this section may not be made with respect to land that is within an area for which a board of management is constituted under section 359 unless the Secretary—\n> > \n> > > (a) has notified the board of the proposed order, and\n> > \n> > > (b) has taken into consideration any submission made by the board in relation to the proposed order.\n> \n> **s 173A:** Ins 2004 No 75, Sch 1 \\[7\\].","sortOrder":282},{"sectionNumber":"174","sectionType":"section","heading":"Notice of proposal to constitute mineral claims district","content":"#### 174 Notice of proposal to constitute mineral claims district\n\n174 Notice of proposal to constitute mineral claims district\n\n> > (1) The Minister must cause notice of any proposed recommendation to constitute a mineral claims district to be served on—\n> > \n> > > (a) each Government agency that, in the opinion of the Minister, would be materially affected by the recommendation, and\n> > \n> > > (b) each council within whose area is situated the land to which the proposed recommendation relates.\n> \n> > (2) Such a notice—\n> > \n> > > (a) must identify the proposed boundaries of the mineral claims district, and\n> > \n> > > (b) must specify proposed conditions for inclusion in the order to be made under section 175 with respect to the mineral claims district.\n> \n> **s 174:** Am 2004 No 75, Sch 1 \\[8\\].","sortOrder":283},{"sectionNumber":"175","sectionType":"section","heading":"Special conditions","content":"#### 175 Special conditions\n\n175 Special conditions\n\n> > (1) The Minister may, by order published in the Gazette, specify the conditions that are to apply to mineral claims granted over land within any specified mineral claims district.\n> > \n> > Editorial note.\n> > \n> > For orders under this subsection see Gazettes No 101 of 20.8.1992, pp 5950, 5954; No 56 of 8.4.1994, p 1556; No 97 of 23.8.1996, p 4889; No 28 of 21.3.1997, p 1601; No 67 of 28.3.2002, p 2065; No 59 of 7.3.2003, p 4038; No 87 of 21.5.2004, p 3116; No 58 of 3.4.2009, p 1588 and No 207 of 18.12.2009, p 6149. From April 2021, PCO is no longer updating notes in provisions of in force titles about related gazette notices. To search for related gazette notices, please use the Gazette Search functionality.\n> \n> > (2) Without limiting the generality of subsection (1), the conditions that may be specified in an order under this section include conditions as to the following matters—\n> > \n> > > (a) the shape and size of mineral claims that may be granted,\n> > \n> > > (b) the minerals in respect of which mineral claims may be granted,\n> > \n> > > (c) the maximum number of mineral claims that may be held by any one person,\n> > \n> > > (d) the nature and extent of prospecting and mining operations that may be carried out in respect of mineral claims,\n> > \n> > > (e) the period for which a mineral claim is to have effect,\n> > \n> > > (f), (g) (Repealed)\n> > \n> > > (h) the royalties payable in respect of minerals recovered under mineral claims,\n> > \n> > > (h1) (Repealed)\n> > \n> > > (i) the depth below the surface of the land to which prospecting or mining operations may be carried out,\n> > \n> > > (j) the obligations of the holders of mineral claims as to the rehabilitation of land on which prospecting or mining operations have been carried out.\n> \n> > (2A) The conditions may vary by reference to specified matters including, in particular, by reference to whether or not the proposed claim area is within a preserved mining field.\n> \n> > (3) The Minister must have regard to, but (except as provided by subsection (4)) is not bound by, any representations made by a person or body to whom notice has been given under section 174.\n> \n> > (4) To the extent to which an order under this section applies to land within an exempted area, the order must include any conditions required by the controlling body for that area to be included in the order.\n> \n> > (5) This section does not authorise the making of conditions that permit a mineral claim to be granted over land having an area of more than 2 hectares or that permit a mineral claim to have a term of more than 5 years.\n> \n> > (6) A condition limiting the maximum number of mineral claims that may be held by any one person does not prevent a person from becoming the holder of further mineral claims that devolve on the person by operation of law.\n> \n> **s 175:** Am 2004 No 75, Sch 1 \\[9\\] \\[10\\]; 2008 No 19, Sch 1 \\[126\\]; 2012 No 46, Sch 5.2 \\[10\\] \\[11\\]; 2014 No 53, Sch 1 \\[1\\].","sortOrder":284},{"sectionNumber":"175A","sectionType":"section","heading":"Unlawful entry to site of mineral claim","content":"#### 175A Unlawful entry to site of mineral claim\n\n175A Unlawful entry to site of mineral claim\n\n> > (1) Any person who, while in a mineral claims district, is found in or on any land the subject of a mineral claim held by some other person is guilty of an offence.\n> > \n> > Maximum penalty—\n> > \n> > > (a) except as provided by paragraph (b), 50 penalty units or imprisonment for 6 months, or both, or\n> > \n> > > (b) if, when found on the land, the person is in possession of tools or equipment of a kind generally used for the purposes of prospecting or mining, 100 penalty units or imprisonment for 2 years, or both.\n> \n> > (2) It is a sufficient defence to a prosecution under this section if the defendant establishes that he or she had a reasonable excuse for being in or on the land concerned.\n> \n> **s 175A:** Ins 1996 No 137, Sch 1 \\[4\\]. Am 2000 No 90, Sch 1.1 \\[7\\] \\[8\\].","sortOrder":285},{"sectionNumber":"175B","sectionType":"section","heading":"Court may make exclusion order against convicted persons","content":"#### 175B Court may make exclusion order against convicted persons\n\n175B Court may make exclusion order against convicted persons\n\n> > (1) This section applies to—\n> > \n> > > (a) an offence referred to in section 12B, 12C or 12D, or\n> > \n> > > (b) an offence referred to in section 175A in connection with which the accused was found in possession of tools or equipment of a kind generally used for the purposes of prospecting or mining,\n> > \n> > being an offence occurring within a mineral claims district.\n> \n> > (2) A court that convicts a person of an offence to which this section applies may make an order (an exclusion order) prohibiting the person from entering the whole or any part of the mineral claims district concerned, or any other mineral claims district, for such period (not exceeding 2 years) as may be specified in the order.\n> \n> > (3) An exclusion order may be made—\n> > \n> > > (a) at any time within 6 months after the person’s conviction, and\n> > \n> > > (b) whether or not the person has a legal or equitable interest in, or is the holder of an authority, mineral claim or opal prospecting licence over, any of the land to which the order relates.\n> \n> > (4) Before making an exclusion order against a person, a court—\n> > \n> > > (a) must cause written notice of the fact that it proposes to make such an order, and of the terms of the proposed order, to be served on the person, and\n> > \n> > > (b) must give the person a reasonable opportunity to make representations to the court with respect to the proposed order, and\n> > \n> > > (c) must take any such representations into consideration.\n> \n> > (5) An exclusion order takes effect—\n> > \n> > > (a) if the person to whom it relates is present in court when it is made, at the time it is made, or\n> > \n> > > (b) in any other case, when it is served on the person to whom it relates.\n> \n> > (6) A copy of an exclusion order must be sent to the Commissioner of Police as soon as practicable after the order is made.\n> \n> **s 175B:** Ins 1996 No 137, Sch 1 \\[4\\].","sortOrder":286},{"sectionNumber":"175C","sectionType":"section","heading":"Appeals against, and suspensions and annulments of, exclusion orders","content":"#### 175C Appeals against, and suspensions and annulments of, exclusion orders\n\n175C Appeals against, and suspensions and annulments of, exclusion orders\n\n> > (1) An appeal against an exclusion order made by the Local Court may be made to the Land and Environment Court under Part 4 of the [Crimes (Appeal and Review) Act 2001](/view/html/inforce/current/act-2001-120) as if that order were a sentence arising from a court attendance notice dealt with under Part 2 of Chapter 4 of the [Criminal Procedure Act 1986](/view/html/inforce/current/act-1986-209).\n> \n> > (1A) The [Crimes (Appeal and Review) Act 2001](/view/html/inforce/current/act-2001-120) applies to an appeal arising under subsection (1) with such modifications as are made by or in accordance with the regulations under that Act.\n> \n> > (2) For the purposes of the [Criminal Appeal Act 1912](/view/html/inforce/current/act-1912-016), an exclusion order made by a court other than the Local Court is taken to be a sentence within the meaning of that Act.\n> \n> > (3) If an appeal (or an application for leave to appeal) is made against the conviction from which an exclusion order arises, the operation of the exclusion order is suspended until the appeal or application is finally determined.\n> \n> > (4) Unless the appeal court orders otherwise, the exclusion order is annulled if the conviction is quashed.\n> \n> > (5) The appeal court may, by order, annul or vary the exclusion order even if the conviction is not quashed.\n> \n> > (6) In this section, appeal court means the court to which an appeal (or an application for leave to appeal) is made as referred to in subsection (3).\n> \n> **s 175C:** Ins 1996 No 137, Sch 1 \\[4\\]. Am 1998 No 137, Sch 2.17; 2001 No 121, Sch 2.148 \\[1\\]; 2007 No 94, Sch 2 (am 2008 No 107, Sch 21 \\[2\\]); 2008 No 107, Sch 19 \\[16\\] \\[17\\]; 2015 No 15, Sch 2.34.","sortOrder":287},{"sectionNumber":"175D","sectionType":"section","heading":"Offence of contravening exclusion order","content":"#### 175D Offence of contravening exclusion order\n\n175D Offence of contravening exclusion order\n\n> > (1) A person must not knowingly contravene an exclusion order that is in force in respect of the person.\n> > \n> > Maximum penalty—200 penalty units or imprisonment for 2 years, or both.\n> \n> > (2) It is a sufficient defence to a prosecution under this section if the defendant establishes that he or she had a reasonable excuse for contravening the order.\n> \n> **s 175D:** Ins 1996 No 137, Sch 1 \\[4\\].","sortOrder":288},{"sectionNumber":"176","sectionType":"section","heading":"Marking out of proposed claim area","content":"#### 176 Marking out of proposed claim area\n\n176 Marking out of proposed claim area\n\n> > (1) Before applying for a mineral claim, a person must, in the manner prescribed by the regulations, mark out the area of land over which the person wishes the mineral claim to be granted.\n> \n> > (2) The area marked out must comply with the regulations in relation to shape and size.\n> \n> **s 176:** Am 2008 No 19, Sch 1 \\[128\\].","sortOrder":290},{"sectionNumber":"177","sectionType":"section","heading":"Notice of intention to apply for mineral claim","content":"#### 177 Notice of intention to apply for mineral claim\n\n177 Notice of intention to apply for mineral claim\n\n> > (1) A person may not apply for a mineral claim over any land until after the person has caused notice of the proposed application to be served on the landholder.\n> \n> > (2) Such a notice must identify, in the manner prescribed by the regulations, the land to which the application relates.\n> \n> **s 177:** Am 1999 No 43, Sch 1 \\[37\\] \\[38\\].","sortOrder":291},{"sectionNumber":"178","sectionType":"section","heading":"Application for granting of mineral claim","content":"#### 178 Application for granting of mineral claim\n\n178 Application for granting of mineral claim\n\n> > (1) Any person may apply for a mineral claim.\n> \n> > (2) An application must—\n> > \n> > > (a) be lodged with the Secretary, and\n> > \n> > > (b) include the information, if any, prescribed by the regulations, and\n> > \n> > > (c) be accompanied by the application fee prescribed by the regulations.\n> \n> > (3) An application for a mineral claim may not be lodged with respect to land over which the lodging of such an application is prohibited by an order in force under section 173A (1).\n> \n> **s 178:** Am 1994 No 45, Sch 1; 1996 No 137, Sch 1 \\[15\\] \\[70\\]; 1999 No 43, Sch 1 \\[39\\] \\[40\\]; 2004 No 75, Sch 1 \\[11\\]; 2008 No 19, Sch 1 \\[129\\]; 2017 No 27, Sch 1 \\[4\\]; 2022 No 21, Sch 1\\[60\\].","sortOrder":292},{"sectionNumber":"179","sectionType":"section","heading":"Objection as to agricultural land","content":"#### 179 Objection as to agricultural land\n\n179 Objection as to agricultural land\n\n> > (1) A landholder may object to the granting of a mineral claim over land on the basis that the land is agricultural land if—\n> > \n> > > (a) the landholder has been served with a notice under section 177 in relation to the land, and\n> > \n> > > (b) the landholder is entitled to use the land for agricultural purposes.\n> \n> > (2) The Secretary is not required to deal with an objection made under this section until the application for the mineral claim has been made under section 178.\n> \n> > (3) Schedule 2 contains provisions dealing with objections.\n> \n> **s 179:** Am 1999 No 43, Sch 1 \\[41\\]; 2008 No 19, Sch 1 \\[130\\] \\[131\\] (am 2010 No 59, Sch 2.62 \\[2\\]); 2010 No 59, Sch 2.61 \\[1\\]; 2022 No 21, Sch 1\\[61\\].","sortOrder":293},{"sectionNumber":"180","sectionType":"section","heading":"General restrictions","content":"#### 180 General restrictions\n\n180 General restrictions\n\n> > (1) A mineral claim may not be granted over land having an area of more than 2 hectares.\n> \n> > (2) A mineral claim may not be granted over land that is not situated within a mineral claims district.\n> \n> > (3) (Repealed)\n> \n> > (4) A mineral claim may not be granted in respect of coal.\n> \n> > (5) (Repealed)\n> \n> **s 180:** Am 1994 No 45, Sch 1; 1999 No 43, Sch 1 \\[42\\]; 2008 No 19, Sch 1 \\[132\\].","sortOrder":295},{"sectionNumber":"181","sectionType":"section","heading":"Exempted areas","content":"#### 181 Exempted areas\n\n181 Exempted areas\n\n> > (1) A mineral claim may not be granted over land within an exempted area (other than land within a mineral claims district) except with the written consent of the controlling body of that area.\n> \n> > (2) A written consent given under this section is irrevocable.","sortOrder":296},{"sectionNumber":"182","sectionType":"section","heading":"Opal prospecting blocks, reserves, mineral allocation areas and controlled release areas","content":"#### 182 Opal prospecting blocks, reserves, mineral allocation areas and controlled release areas\n\n182 Opal prospecting blocks, reserves, mineral allocation areas and controlled release areas\n\n> > (1) A mineral claim may not be granted over any land within—\n> > \n> > > (a) an opal prospecting block that is the subject of an opal prospecting licence held by a person other than the applicant for the mineral claim, or\n> > \n> > > (b) a reserve in respect of which an order prohibiting the granting of mineral claims is in force under section 367.\n> > \n> > > (c) (Repealed)\n> \n> > (2) Except with the approval of the Minister, a mineral claim may not be granted over any land within a mineral allocation area or controlled release area that is constituted in respect of any mineral or minerals to which the application for the mineral claim relates.\n> \n> **s 182:** Am 1996 No 137, Sch 1 \\[114\\]–\\[116\\]; 2015 No 39, Sch 1 \\[14\\].","sortOrder":297},{"sectionNumber":"183","sectionType":"section","heading":"Land subject to authority","content":"#### 183 Land subject to authority\n\n183 Land subject to authority\n\n> > (1) A mineral claim may not be granted over any land—\n> > \n> > > (a) the subject of an exploration licence that includes any mineral or minerals in respect of which the claim is sought, or\n> > \n> > > (b) the subject of an assessment lease, a mining lease or a mineral claim, or\n> > \n> > > (c) the subject of an application for any of the following that was lodged before the application for the firstmentioned mineral claim—\n> > > \n> > > > (i) an exploration licence that includes a group of minerals in respect of which the mineral claim is sought,\n> > > \n> > > > (ii) an assessment lease,\n> > > \n> > > > (iii) a mining lease,\n> > > \n> > > > (iv) a mineral claim.\n> > \n> > otherwise than to or with the written consent of the holder of, or the applicant for, that licence, lease or claim.\n> \n> > (2) A written consent given under this section is irrevocable.\n> \n> > (3) If, as a result of such a consent, a mineral claim is granted in respect of land referred to in subsection (1), that land—\n> > \n> > > (a) ceases to be subject to the exploration licence, assessment lease, mining lease or mineral claim referred to in that subsection, or\n> > \n> > > (b) is excluded from the application for the exploration licence, assessment lease, mining lease or mineral claim so referred to,\n> > \n> > as the case requires, unless the Secretary makes a determination under subsection (4).\n> \n> > (4) The Secretary may determine that subsection (3) does not apply with respect to the land or to a part of the land if the Secretary is satisfied that having the land or that part subject to both the claim and the other authorisation concerned is not likely to make the exercise of rights under the claim or the other authorisation impracticable.\n> \n> **s 183:** Am 2008 No 19, Sch 1 \\[134\\]–\\[136\\].","sortOrder":298},{"sectionNumber":"184","sectionType":"section","heading":"Land subject to exploration licence","content":"#### 184 Land subject to exploration licence\n\n184 Land subject to exploration licence\n\n> > (1) If an application for a mineral claim is lodged in respect of land that is subject wholly or partly to one or more exploration licences (other than exploration licences that include any mineral or minerals in respect of which the claim is sought), the Secretary must cause notice of the application to be served on the holder of every such exploration licence.\n> \n> > (2) A person served with such a notice may object to the granting of the mineral claim by lodging with the Secretary, on or before the date specified in the notice, a written notice stating the grounds of the objection.\n> \n> > (3) Any such objection is to be taken into consideration by the Minister when determining the application.\n> \n> > (4) This section does not apply to an application that is made with the written consent of the holder of every exploration licence over the land concerned.\n> \n> > (5) A written consent given under this section is irrevocable.\n> \n> > (6) If a mineral claim is granted over land that is subject to an exploration licence, that land ceases to be subject to the exploration licence when the mineral claim is granted.\n> \n> **s 184:** Am 2008 No 19, Sch 1 \\[137\\] \\[138\\]; 2008 No 107, Sch 19 \\[18\\].","sortOrder":299},{"sectionNumber":"185","sectionType":"section","heading":null,"content":"#### 185\n\n185, 186 (Repealed)","sortOrder":300},{"sectionNumber":"187","sectionType":"section","heading":"Agricultural land","content":"#### 187 Agricultural land\n\n187 Agricultural land\n\n> > (1) A mineral claim may not, except with the written consent of the landholder, be granted over any land that, as a consequence of an objection to the granting of the claim, has been determined to be agricultural land in accordance with Schedule 2.\n> \n> > (2) This section does not prevent a mineral claim from being granted over land merely because an objection to the granting of the claim has been made on the basis that the land is agricultural land.\n> \n> **s 187:** Am 2008 No 19, Sch 1 \\[140\\]; 2022 No 21, Sch 1\\[62\\].","sortOrder":302},{"sectionNumber":"188","sectionType":"section","heading":"Dwelling-houses, gardens and significant improvements","content":"#### 188 Dwelling-houses, gardens and significant improvements\n\n188 Dwelling-houses, gardens and significant improvements\n\n> > (1) A mineral claim may not be granted over the surface of any land—\n> > \n> > > (a) on which, or within the prescribed distance of which, is situated a dwelling-house that is the principal place of residence of the person occupying it or a woolshed or shearing shed which is in use as such, or\n> > \n> > > (b) on which, or within the prescribed distance of which, is situated any garden, or\n> > \n> > > (c) on which is situated any significant improvement other than an improvement constructed or used for ancillary mining activities only,\n> > \n> > except with the written consent of the owner of the dwelling-house, woolshed, shearing shed, garden or improvement (and, in the case of the dwelling-house, the written consent of its occupant).\n> \n> > (2) The prescribed distance is—\n> > \n> > > (a) 200 metres (or, if a greater distance is prescribed by the regulations, the greater distance) for the purposes of subsection (1) (a), and\n> > \n> > > (b) 50 metres (or, if a greater distance is prescribed by the regulations, the greater distance) for the purposes of subsection (1) (b).\n> \n> > (2A) A mineral claim may not be granted over land—\n> > \n> > > (a) which is within a preserved mining field, and\n> > \n> > > (b) which is privately owned land (that is, land that is not Crown land) or is Crown land held under a Western lands lease (as defined in Schedule 3 to the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058)) for residential purposes, and\n> > \n> > > (c) within which is situated a dwelling-house that is the principal place of residence of its occupier,\n> > \n> > except with the written consent of both the owner and the occupier of the dwelling-house.\n> \n> > (2B) Subsection (1) does not apply to land referred to in subsection (2A).\n> \n> > (3) A written consent given under this section is irrevocable.\n> \n> > (4) Subsections (1) and (2A) do not apply in respect of a dwelling-house, woolshed, shearing shed, garden or significant improvement that was not in existence when the application for the mineral claim was lodged.\n> \n> > (5) If a dispute arises as to whether or not subsection (1) or (2A) applies in a particular case, any party to the dispute may apply to the Land and Environment Court for a determination of the matter.\n> \n> > (6) A mineral claim may not be granted over land below the surface of land referred to in subsection (1) except at such depths, and subject to such conditions, as the decision-maker considers sufficient to minimise damage to that surface.\n> \n> **s 188:** Am 1992 No 111, Sch 1; 1996 No 137, Sch 1 \\[46\\]–\\[49\\]; 1999 No 43, Sch 1 \\[43\\] \\[44\\]; 2000 No 90, Sch 2.1 \\[17\\]; 2004 No 75, Sch 1 \\[12\\]–\\[14\\]; 2008 No 19, Sch 1 \\[141\\]; 2008 No 68, Sch 1 \\[2\\] \\[7\\]; 2008 No 107, Sch 19 \\[20\\]; 2017 No 17, Sch 2.12 \\[5\\] (am 2017 No 63, Sch 1.6 \\[1\\]; 2022 No 21, Sch 1\\[63\\].","sortOrder":303},{"sectionNumber":"189","sectionType":"section","heading":"Mineral claim not to be re-granted to former holder","content":"#### 189 Mineral claim not to be re-granted to former holder\n\n189 Mineral claim not to be re-granted to former holder\n\n> > (1) A person who has been the holder of a mineral claim that has been cancelled pursuant to an order of the Land and Environment Court may not be granted a further mineral claim over any part of the land over which the earlier mineral claim was held until the expiration of the period of 12 months following the making of the order.\n> \n> > (2) This section is subject to any further order made by the Land and Environment Court.\n> \n> **s 189:** Am 2008 No 107, Sch 19 \\[13\\] \\[21\\].","sortOrder":304},{"sectionNumber":"190","sectionType":"section","heading":"Power of Secretary in relation to applications","content":"#### 190 Power of Secretary in relation to applications\n\n190 Power of Secretary in relation to applications\n\n> > (1) After considering an application for a mineral claim, the Secretary—\n> > \n> > > (a) may grant to the applicant a mineral claim over all or only part of the land over which a claim was sought, or\n> > \n> > > (b) may refuse the application.\n> \n> > (2) (Repealed)\n> \n> > (3) If an objection to the granting of the mineral claim on the basis that the land concerned is agricultural land has been lodged with the Secretary before the application is determined, the Secretary may defer consideration of the application until the objection has been determined.\n> \n> > (4)–(4B) (Repealed)\n> \n> > (5) If the Secretary refuses to grant a mineral claim, the Secretary is to cause notice of the decision, and of the reasons for the decision, to be served on the applicant.\n> \n> > (6) If more than one application is made for a mineral claim over the same area of land, the applications are to be dealt with in the order in which they are lodged or, if they are lodged simultaneously, in such order as may be prescribed by the regulations.\n> > \n> > Note.\n> > \n> > Schedule 1B makes provision about the grant or refusal of an application for a mineral claim and the conditions to which a mineral claim is subject.\n> \n> > (7) (Repealed)\n> \n> **s 190:** Am 1996 No 137, Sch 1 \\[32\\] \\[33\\] \\[71\\]; 2004 No 75, Sch 1 \\[15\\]; 2005 No 64, Sch 1.20 \\[5\\]; 2008 No 19, Sch 1 \\[137\\] \\[142\\]–\\[145\\]; 2014 No 53, Sch 1 \\[2\\]; 2015 No 40, Sch 1 \\[60\\] \\[61\\].","sortOrder":306},{"sectionNumber":"191","sectionType":"section","heading":"Land over which mineral claim may be granted","content":"#### 191 Land over which mineral claim may be granted\n\n191 Land over which mineral claim may be granted\n\n> > (1) A mineral claim may be granted in respect of any mineral or minerals, regardless of whether the mineral or minerals are publicly owned, privately owned or partly publicly and partly privately owned.\n> \n> > (2) A mineral claim may be granted over the surface of land, over the surface of land and the subsoil below the surface, over the surface of land and the subsoil down to a specified depth below the surface or over the subsoil between or below any specified depth or depths below the surface of land.","sortOrder":307},{"sectionNumber":"192","sectionType":"section","heading":null,"content":"#### 192\n\n192 (Repealed)","sortOrder":308},{"sectionNumber":"193","sectionType":"section","heading":"Term of mineral claim","content":"#### 193 Term of mineral claim\n\n193 Term of mineral claim\n\n> A mineral claim—\n> \n> > (a) takes effect on the date on which it is granted or on such later date as the Secretary may determine, and\n> \n> > (b) ceases to have effect at the expiration of such period (not exceeding 5 years or, in the case of a mineral claim over land that is situated within a mineral claims district, not exceeding such shorter period as the special conditions may specify) as the Secretary may determine.\n> \n> **s 193:** Am 2008 No 19, Sch 1 \\[137\\].","sortOrder":310},{"sectionNumber":"194","sectionType":"section","heading":"Certificate of mineral claim","content":"#### 194 Certificate of mineral claim\n\n194 Certificate of mineral claim\n\n> > (1) On granting a mineral claim, the Secretary is to cause a certificate to be given to the holder of the claim of the fact that the claim has been granted.\n> \n> > (2) A certificate is to be in the approved form and is to include the following particulars—\n> > \n> > > (a) a description of the land over which the mineral claim is granted,\n> > \n> > > (b) a list of the mineral or minerals, or the ancillary mining activity or activities, in respect of which the mineral claim is granted,\n> > \n> > > (c) the conditions to which the mineral claim is subject,\n> > \n> > > (d) the period for which the mineral claim is to have effect.\n> \n> **s 194:** Am 1996 No 137, Sch 1 \\[72\\]; 2008 No 19, Sch 1 \\[137\\]; 2017 No 27, Sch 1 \\[4\\].","sortOrder":311},{"sectionNumber":"195","sectionType":"section","heading":"Rights under mineral claim","content":"#### 195 Rights under mineral claim\n\n195 Rights under mineral claim\n\n> > (1) The holder of a mineral claim granted in respect of a mineral or minerals may, in accordance with the conditions of the claim, prospect for that mineral or those minerals and mine that mineral or those minerals.\n> \n> > (1A) The holder of a mineral claim may, subject to the conditions of the claim, also do any of the following in connection with any prospecting or mining authorised by subsection (1)—\n> > \n> > > (a) erect any buildings and structures,\n> > \n> > > (b) exercise any rights in the nature of easements,\n> > \n> > > (c) remove from the claim area any timber, stone or gravel,\n> > \n> > > (d) carry out any ancillary mining activity.\n> \n> > (1B) The holder of a mineral claim granted in respect of an ancillary mining activity or activities only may, in accordance with the conditions of the claim, carry out the ancillary mining activity or activities specified in the certificate relating to the claim.\n> \n> > (2) (Repealed)\n> \n> **s 195:** Am 1992 No 111, Sch 1; 1996 No 137, Sch 1 \\[73\\] \\[74\\]; 2008 No 19, Sch 1 \\[147\\]–\\[149\\]; 2017 No 27, Sch 1 \\[4\\] \\[5\\].","sortOrder":313},{"sectionNumber":"195A","sectionType":"section","heading":null,"content":"#### 195A\n\n195A (Repealed)","sortOrder":314},{"sectionNumber":"196","sectionType":"section","heading":"Claim areas over which authority is subsequently granted","content":"#### 196 Claim areas over which authority is subsequently granted\n\n196 Claim areas over which authority is subsequently granted\n\n> Land over which a mineral claim is granted and over which an authority or further mineral claim is subsequently granted ceases to be part of the claim area when the authority or further claim takes effect.","sortOrder":316},{"sectionNumber":"197","sectionType":"section","heading":"Application for renewal of mineral claim","content":"#### 197 Application for renewal of mineral claim\n\n197 Application for renewal of mineral claim\n\n> > (1) The holder of a mineral claim may, from time to time, apply for renewal of the claim.\n> \n> > (2) An application for renewal of a mineral claim—\n> > \n> > > (a) must be accompanied by the application fee prescribed by the regulations, and\n> > \n> > > (b) must be lodged with the Secretary within the period, if any, prescribed by the regulations, before the day on which the claim would otherwise expire.\n> \n> > (3) If an application for renewal of a mineral claim is not finally dealt with before the date on which the mineral claim would otherwise cease to have effect, the mineral claim continues to have effect in relation to the land to which the application relates (and no other land) until the application is finally determined.\n> \n> **s 197:** Am 1996 No 137, Sch 1 \\[15\\] \\[80\\] \\[81\\]; 2008 No 19, Sch 1 \\[151\\]; 2022 No 21, Sch 1\\[64\\].","sortOrder":318},{"sectionNumber":"198","sectionType":"section","heading":"Determination of application for renewal of mineral claim","content":"#### 198 Determination of application for renewal of mineral claim\n\n198 Determination of application for renewal of mineral claim\n\n> > (1) After considering an application for renewal of a mineral claim, the Secretary—\n> > \n> > > (a) may renew the mineral claim, or\n> > \n> > > (b) may refuse the application.\n> \n> > (2), (3) (Repealed)\n> \n> **s 198:** Am 2008 No 19, Sch 1 \\[137\\] \\[152\\] 2012 No 46, Sch 5.2 \\[13\\]; 2015 No 40, Sch 1 \\[63\\].","sortOrder":319},{"sectionNumber":"199","sectionType":"section","heading":"Partial renewal","content":"#### 199 Partial renewal\n\n199 Partial renewal\n\n> A mineral claim may be renewed as to the whole or any part of the claim area and, if it is renewed as to part only of the claim area, the remainder ceases to be part of the claim area when the renewal takes effect.","sortOrder":320},{"sectionNumber":"199A","sectionType":"section","heading":"Term of renewal","content":"#### 199A Term of renewal\n\n199A Term of renewal\n\n> > (1) A mineral claim that is renewed—\n> > \n> > > (a) takes effect on the date on which it is renewed or on such later date as the Secretary may determine, and\n> > \n> > > (b) ceases to have effect at the expiration of such period (not exceeding 5 years or such shorter period as the special conditions may specify) as the Secretary may determine.\n> \n> > (2) Any amendment of the conditions of a mineral claim takes effect on the date on which the renewal of the mineral claim takes effect.\n> \n> **s 199A:** Ins 1996 No 137, Sch 1 \\[82\\]. Am 2008 No 19, Sch 1 \\[137\\] \\[153\\].","sortOrder":321},{"sectionNumber":"200","sectionType":"section","heading":"Application for transfer of mineral claim","content":"#### 200 Application for transfer of mineral claim\n\n200 Application for transfer of mineral claim\n\n> > (1) The holder of a mineral claim may apply for the transfer of the claim to some other person.\n> \n> > (2) An application must—\n> > \n> > > (a) be lodged with the Secretary, and\n> > \n> > > (b) include the information, if any, prescribed by the regulations, and\n> > \n> > > (c) be accompanied by the application fee prescribed by the regulations.\n> \n> > (2A) Notice of an intention to make an application under this section must be given by the applicant to the landholder of the land to which the mineral claim relates.\n> \n> > (3) The Secretary may defer consideration of an application that is the subject of legal proceedings, or of an inquiry under this Act, pending the outcome of those proceedings or that inquiry.\n> \n> **s 200:** Am 1996 No 137, Sch 1 \\[15\\]; 1999 No 43, Sch 1 \\[45\\] \\[46\\]; 2008 No 19, Sch 1 \\[137\\] \\[154\\]; 2022 No 21, Sch 1\\[65\\].","sortOrder":322},{"sectionNumber":"201","sectionType":"section","heading":"Determination of application for transfer of mineral claim","content":"#### 201 Determination of application for transfer of mineral claim\n\n201 Determination of application for transfer of mineral claim\n\n> > (1) After considering an application for transfer of a mineral claim, the Secretary—\n> > \n> > > (a) may transfer the mineral claim, or\n> > \n> > > (b) may refuse the application.\n> \n> > (2), (3) (Repealed)\n> \n> > (4) A mineral claim may not be transferred to a person if the person would consequently become the holder of more mineral claims than the maximum number allowed by this Act.\n> \n> **s 201:** Am 2008 No 19, Sch 1 \\[137\\] \\[155\\]; 2015 No 40, Sch 1 \\[64\\].","sortOrder":323},{"sectionNumber":"202","sectionType":"section","heading":"Devolution of rights of mineral claim","content":"#### 202 Devolution of rights of mineral claim\n\n202 Devolution of rights of mineral claim\n\n> > (1) A person on whom the rights of the holder of a mineral claim have devolved by operation of law may apply to the Secretary to have the person’s name recorded as the holder of the mineral claim.\n> \n> > (2) An application must be made in a way prescribed by the regulations.\n> \n> > (3) The Secretary, if satisfied that the rights of the holder of a mineral claim have devolved by operation of law, may record the name of the applicant as the holder of the mineral claim.\n> \n> > (4) In considering an application under this section, the Secretary must have regard to guidelines issued and made publicly available by the Minister for the purposes of this section, if any.\n> \n> > (5) To avoid doubt, in this section, rights have devolved by operation of law if the rights have involuntarily passed from 1 person to another by operation of a law, including a transfer caused by death, bankruptcy or insolvency.\n> \n> **s 202:** Am 1996 No 137, Sch 1 \\[15\\]. Subst 2008 No 19, Sch 1 \\[156\\]; 2022 No 21, Sch 1\\[66\\].","sortOrder":324},{"sectionNumber":"203","sectionType":"section","heading":"Grounds of cancellation","content":"#### 203 Grounds of cancellation\n\n203 Grounds of cancellation\n\n> > (1) The Secretary may cancel a mineral claim, as to the whole or any part of the land to which it relates—\n> > \n> > > (a) if the holder of the claim requests the Secretary to cancel the claim, or\n> > \n> > > (b) if, as a result of an objection made under section 179, it is determined in accordance with Schedule 2 that the land is agricultural land, or\n> > \n> > > (c) if the holder of the claim contravenes a provision of this Act or the regulations (whether or not the holder is prosecuted or convicted of any offence arising from the contravention), or\n> > \n> > > (c1) if a person contravenes a condition of the claim (whether or not the holder is prosecuted or convicted of any offence arising from the contravention), or\n> > \n> > > (c2) if the Secretary reasonably considers that the holder of the claim provided false or misleading information in or in connection with an application or any report provided under this Act for or with respect to the claim, or\n> > \n> > > (d) if the holder of the claim fails to comply with the requirements of any agreement or assessment under Part 13 in relation to the payment of compensation, or\n> > \n> > > (e) if the holder of the claim is convicted of any offence relating to mining or minerals, or\n> > \n> > > (f) if the land is required for a public purpose, or\n> > \n> > > (g) if the decision-maker is ordered by the Land and Environment Court to cancel the claim, or\n> > \n> > > (h) if the holder of the claim fails to use the land comprised in the claim in good faith for the purposes for which the claim has been granted, or uses the land for a purpose other than that for which the claim has been granted, or\n> > \n> > > (i) if the Secretary reasonably considers that there has been a contravention of a direction under section 240 or 240AA.\n> \n> > (2) A request referred to in subsection (1) (a)—\n> > \n> > > (a) must be lodged with the Secretary, and\n> > \n> > > (b) if the application is for the cancellation of the claim as to part only of the land to which it relates—must be accompanied by a description, prepared in the manner prescribed by the regulations, of the land in respect of which the claim is to be cancelled.\n> \n> > (3) The Secretary may defer cancellation of a mineral claim that is the subject of legal proceedings, or of an inquiry under this Act, pending the outcome of those proceedings or that inquiry.\n> \n> > (4) (Repealed)\n> \n> **s 203:** Am 2000 No 90, Sch 2.1 \\[18\\] \\[19\\]; 2008 No 19, Sch 1 \\[137\\] \\[157\\]–\\[161\\]; 2008 No 107, Sch 19 \\[13\\]; 2015 No 40, Sch 1 \\[65\\]; 2022 No 21, Sch 1\\[63\\] \\[67\\].","sortOrder":325},{"sectionNumber":"204","sectionType":"section","heading":"Cancellations of mineral claims","content":"#### 204 Cancellations of mineral claims\n\n204 Cancellations of mineral claims\n\n> > (1) Before cancelling a mineral claim on a ground referred to in section 203 (1) (b)–(f), (h) or (i), the Secretary—\n> > \n> > > (a) must cause written notice of the proposed cancellation, and of the grounds of the proposed cancellation, to be served on the holder of the claim, and\n> > \n> > > (b) must give the holder of the claim a reasonable opportunity to make representations with respect to the proposed cancellation, and\n> > \n> > > (c) must take any such representations into consideration.\n> \n> > (2) Cancellation of a mineral claim takes effect on the date on which written notice of the cancellation is served on the holder of the claim or on such later date as is specified in the notice.\n> \n> > (3) Cancellation of a mineral claim does not affect any liability incurred by the holder of the claim before the cancellation took effect.\n> \n> > (4), (5) (Repealed)\n> \n> **s 204:** Am 2000 No 90, Sch 2.1 \\[20\\]–\\[23\\]; 2008 No 19, Sch 1 \\[137\\] \\[162\\]–\\[167\\]; 2015 No 40, Sch 1 \\[66\\].","sortOrder":326},{"sectionNumber":"205","sectionType":"section","heading":"Compensation for cancellation of mineral claims","content":"#### 205 Compensation for cancellation of mineral claims\n\n205 Compensation for cancellation of mineral claims\n\n> > (1) The holder of a mineral claim is not entitled to compensation merely because the claim is cancelled.\n> \n> > (2) However, if a mineral claim is cancelled on the ground that the whole or any part of the land concerned is required for a public purpose, the holder of the claim is entitled to compensation, of an amount to be determined by the Secretary, for any mining improvements made to the land.\n> \n> **s 205:** Am 1996 No 137, Sch 1 \\[8\\]; 2000 No 90, Sch 2.1 \\[24\\]; 2008 No 19, Sch 1 \\[137\\] \\[168\\].","sortOrder":327},{"sectionNumber":"206","sectionType":"section","heading":"Review of decisions concerning cancellation of mineral claims","content":"#### 206 Review of decisions concerning cancellation of mineral claims\n\n206 Review of decisions concerning cancellation of mineral claims\n\n> > (1) Any person who is aggrieved by the decision of the Secretary to cancel a mineral claim held by the person, or as to the amount of compensation payable as a consequence of its cancellation, may apply to the Land and Environment Court for a review of the decision.\n> \n> > (2) An application must be filed in the Land and Environment Court within 14 days after written notice of the decision is served on the person.\n> \n> > (3) Subject to any order made by the Land and Environment Court, an application for a review does not operate to stay the decision to which the application relates.\n> \n> > (4) The decision of the Land and Environment Court is to be given effect to as if it were the decision of the Secretary.\n> \n> **s 206:** Am 1992 No 111, Sch 1. Subst 1996 No 137, Sch 1 \\[88\\]. Am 2000 No 90, Sch 2.1 \\[25\\] \\[26\\]; 2008 No 19, Sch 1 \\[137\\] \\[169\\] \\[170\\]; 2008 No 107, Sch 19 \\[13\\] \\[22\\].","sortOrder":328},{"sectionNumber":"207","sectionType":"section","heading":"Holder of mineral claim must be at least 18","content":"#### 207 Holder of mineral claim must be at least 18\n\n207 Holder of mineral claim must be at least 18\n\n> A mineral claim may not be granted to an individual who has not attained the age of 18 years.","sortOrder":330},{"sectionNumber":"208","sectionType":"section","heading":"Withdrawal of application","content":"#### 208 Withdrawal of application\n\n208 Withdrawal of application\n\n> > (1) An application or objection in relation to the grant, renewal, transfer or cancellation of a mineral claim may be withdrawn by means of a notice of withdrawal lodged by the applicant or objector with the Secretary and ceases to have effect when the notice is lodged.\n> \n> > (2) The withdrawal of an application or objection under this section is irrevocable.\n> \n> **s 208:** Am 2008 No 19, Sch 1 \\[171\\].","sortOrder":331},{"sectionNumber":"209","sectionType":"section","heading":"Pending applications","content":"#### 209 Pending applications\n\n209 Pending applications\n\n> For the purposes of this Act, an application for a mineral claim is pending from the time it is lodged under this Act until the time it is finally disposed of.","sortOrder":332},{"sectionNumber":"210","sectionType":"section","heading":"Death etc of applicant for granting of mineral claim","content":"#### 210 Death etc of applicant for granting of mineral claim\n\n210 Death etc of applicant for granting of mineral claim\n\n> An application for a mineral claim made by a person who subsequently dies, becomes bankrupt or becomes a mentally incapacitated person—\n> \n> > (a) subsists for the benefit of the applicant’s estate, and\n> \n> > (b) may continue to be dealt with,\n> \n> if the applicant’s legal representative or the manager of the applicant’s estate so requests.","sortOrder":333},{"sectionNumber":"210A","sectionType":"section","heading":null,"content":"#### 210A\n\n210A (Repealed)","sortOrder":334},{"sectionNumber":"210B","sectionType":"section","heading":"Limitation of challenges to decisions relating to mineral claims","content":"#### 210B Limitation of challenges to decisions relating to mineral claims\n\n210B Limitation of challenges to decisions relating to mineral claims\n\n> > (1) The cancellation of a mineral claim, or the grant or refusal of an application for a mineral claim or for the renewal or transfer of a mineral claim, cannot be challenged in any legal proceedings commenced later than 3 months after the date of the cancellation, grant or refusal.\n> \n> > (2) A notice lodged under section 208 cannot be challenged in any legal proceedings commenced later than one month after the date of its lodgment.\n> \n> > (3) This section has effect despite any other Act, but does not apply so as to affect—\n> > \n> > > (a) any appeal from proceedings commenced within the period of 3 months referred to in subsection (1) or, in the case of proceedings relating to a notice referred to in subsection (2), the month referred to in subsection (2), or\n> > \n> > > (b) the operation of section 206.\n> \n> **s 210B:** Ins 1996 No 137, Sch 1 \\[90\\]. Subst 2008 No 19, Sch 1 \\[172\\].","sortOrder":336},{"sectionNumber":"211","sectionType":"section","heading":"Rights of way","content":"#### 211 Rights of way\n\n211 Rights of way\n\n> > (1) The holder of a mineral claim is entitled to a right of way (to be indicated or described in the manner prescribed by the regulations) between the claim area and a public road.\n> \n> > (2) The route of a right of way—\n> > \n> > > (a) should, wherever practicable, follow the route of existing roads or tracks (particularly, in the case of land in the Western Division, those the subject of special easements under Part 6 of Schedule 3 to the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058)), and\n> > \n> > > (b) must accord with the provisions of any registered access management plan applying to the land.\n> \n> > (3) The holder of the mineral claim—\n> > \n> > > (a) must ensure that substantial gates or grids (or, if the landholder of the land so requires, gates and grids), that comply with subsection (4), are placed wherever fences are intersected by the right of way, or\n> > \n> > > (b) if those fences are rabbit-proof, marsupial-proof or dog-proof fences, must ensure that rabbit-proof, marsupial-proof or dog-proof gates are placed at all such intersections.\n> \n> > (4) Any such gate or grid must be of a design and construction that is adequate to prevent stock from straying.\n> \n> > (5) The costs of installing and maintaining any gates or grids required by this section are to be borne by the holder of the mineral claim.\n> \n> > (6) Subject to any determination by the Land and Environment Court, a right of way is subject to such conditions as to its exercise, and to such exceptions as to the land over which it may be exercised—\n> > \n> > > (a) as may be prescribed by the regulations, or\n> > \n> > > (b) as may be specified in any registered access management plan applying to the land.\n> \n> > (7) If a dispute arises as to the exercise of a right of way, any party to the dispute may apply to the Land and Environment Court for a determination of the matter.\n> \n> > (8) In the case of land within a mineral claims district, the conditions imposed by the Land and Environment Court under subsection (7) must not be inconsistent with the conditions specified in any registered access management plan applying to the land.\n> \n> > (9) (Repealed)\n> \n> Maximum penalty (subsection (3)): 50 penalty units.\n> \n> **s 211:** Am 1999 No 43, Sch 1 \\[47\\]. Subst 2004 No 75, Sch 1 \\[18\\]. Am 2008 No 19, Sch 1 \\[173\\]–\\[175\\]; 2008 No 107, Sch 19 \\[23\\]; 2017 No 17, Sch 2.12 \\[6\\].","sortOrder":337},{"sectionNumber":"212","sectionType":"section","heading":"Right of access to water","content":"#### 212 Right of access to water\n\n212 Right of access to water\n\n> > (1) If land subject to a mineral claim includes the surface of any land, a landholder who is entitled to use the land for stock watering or water drainage purposes is entitled to free and uninterrupted access, for those purposes, to the water in any stream (whether perennial or intermittent) or any lagoon or swamp (whether permanent or temporary) on or adjacent to the land.\n> \n> > (2) If a dispute arises between the holder of the mineral claim and any such landholder concerning the right of access, the holder of the mineral claim or the landholder may apply to the Land and Environment Court for a determination on the matter.\n> \n> > (3), (4) (Repealed)\n> \n> **s 212:** Am 1999 No 43, Sch 1 \\[48\\]–\\[50\\]; 2008 No 19, Sch 1 \\[177\\]; 2008 No 107, Sch 19 \\[13\\].","sortOrder":338},{"sectionNumber":"213","sectionType":"section","heading":"Use of water, timber and pasturage etc","content":"#### 213 Use of water, timber and pasturage etc\n\n213 Use of water, timber and pasturage etc\n\n> > (1) If land subject to a mineral claim includes the surface of the land, the holder of the mineral claim must not—\n> > \n> > > (a) use water artificially conserved on that land, or\n> > \n> > > (b) fell trees, strip bark or cut timber on that land,\n> > \n> > otherwise than in accordance with the consent of any landholder of the surface of the land or, if such a landholder refuses consent or attaches unreasonable conditions to the consent, in accordance with a determination of the Land and Environment Court.\n> \n> > (2) If land subject to a mineral claim includes the surface of the land, the holder of the claim must not—\n> > \n> > > (a) depasture horses on the land, or keep on the land any dog that is not under effective control, unless the land is securely fenced, or\n> > \n> > > (b) remove rock or earth from the land, except in connection with mining operations, otherwise than with the consent of the landholder of the surface of the land.\n> \n> Maximum penalty—100 penalty units.\n> \n> **s 213:** Am 1999 No 43, Sch 1 \\[34\\] \\[51\\] \\[52\\]; 2008 No 19, Sch 1 \\[178\\]; 2008 No 107, Sch 19 \\[24\\].","sortOrder":339},{"sectionNumber":"214","sectionType":"section","heading":"Joint holders of mineral claims","content":"#### 214 Joint holders of mineral claims\n\n214 Joint holders of mineral claims\n\n> If there is more than one holder of a mineral claim, each of the holders is jointly and severally liable for the fulfilment of the obligations arising under this Act in relation to the claim.","sortOrder":340},{"sectionNumber":"215","sectionType":"section","heading":null,"content":"#### 215\n\n215, 216 (Repealed)","sortOrder":341},{"sectionNumber":"217","sectionType":"section","heading":"Settlement of certain disputes","content":"#### 217 Settlement of certain disputes\n\n217 Settlement of certain disputes\n\n> If any dispute arises between the holders of 2 or more mineral claims concerning their respective rights in relation to any land or minerals, any one or more of them may apply to the Land and Environment Court for a determination on the matter.\n> \n> **s 217:** Am 2000 No 90, Sch 1.1 \\[6\\]. Subst 2008 No 19, Sch 1 \\[179\\]. Am 2008 No 107, Sch 19 \\[13\\].","sortOrder":343},{"sectionNumber":"218","sectionType":"section","heading":"Certain claims for damages prohibited","content":"#### 218 Certain claims for damages prohibited\n\n218 Certain claims for damages prohibited\n\n> No action lies against the Crown, the Minister or any person administering this Act in respect of any injury or loss suffered or incurred in relation to the exercise of any right conferred by a mineral claim.\n> \n> **s 218:** Subst 2004 No 75, Sch 1 \\[19\\].","sortOrder":344},{"sectionNumber":"218A","sectionType":"section","heading":"Records","content":"#### 218A Records\n\n218A Records\n\n> > (1) The Secretary is to cause to be kept a record of—\n> > \n> > > (a) every application for a mineral claim that is received by the Secretary, and\n> > \n> > > (b) every mineral claim granted, renewed, varied, transferred or cancelled by the Secretary.\n> \n> > (2) Such a record must be kept in the form, and must contain the particulars, required by the Secretary.\n> \n> > (3) The record must be kept available at the office of the Department for inspection, free of charge, by members of the public.\n> \n> **s 218A:** Ins 1992 No 111, Sch 1. Am 2008 No 19, Sch 1 \\[137\\] \\[157\\] \\[180\\]; 2015 No 40, Sch 1 \\[69\\].","sortOrder":345},{"sectionNumber":"218B","sectionType":"section","heading":"Registration of certain interests in mineral claims","content":"#### 218B Registration of certain interests in mineral claims\n\n218B Registration of certain interests in mineral claims\n\n> > (1) The Secretary is to keep a register of legal and equitable interests in mineral claims.\n> \n> > (2) Any person claiming a legal or equitable interest in a mineral claim may apply for registration of the interest.\n> \n> > (3) An application must be lodged with the Secretary and must be accompanied by the application fee prescribed by the regulations and by documentary evidence of the legal or equitable interest concerned.\n> \n> > (4) The Secretary may, if satisfied that the applicant holds the interest concerned, register the document by which the legal or equitable interest is evidenced.\n> \n> > (5) The Secretary may, on application by the holder of an interest or otherwise, make such amendments to the register kept under this section as are appropriate to reflect dealings in the interest.\n> \n> > (6) Without limiting the generality of subsection (5), the Secretary may cancel the registration of an interest if of the opinion that the interest has ceased to exist.\n> \n> > (7) The registration of an interest under this section is not to be taken to be evidence of the existence of the interest.\n> \n> > (8) For the purposes of any legal proceedings concerning a mineral claim—\n> > \n> > > (a) a registered interest has priority over an interest that is not registered, and\n> > \n> > > (b) an earlier registered interest has priority over a later registered interest.\n> \n> > (9) The register must be kept available at such offices of the Department as may be prescribed by the regulations for inspection, free of charge, by members of the public.\n> \n> > (10) Section 208 applies to an application under this section in the same way as it applies to an application referred to in section 208 (1).\n> \n> **s 218B:** Ins 2010 No 57, Sch 1.15 \\[1\\]. Am 2011 No 27, Sch 2.32 \\[1\\].","sortOrder":346},{"sectionNumber":"219","sectionType":"section","heading":null,"content":"#### 219\n\n219, 219A (Repealed)","sortOrder":347},{"sectionNumber":"Part 10","sectionType":"part","heading":"Opal prospecting licences","content":"# Part 10 Opal prospecting licences\n\nPart 10 Opal prospecting licences","sortOrder":349},{"sectionNumber":"220","sectionType":"section","heading":"Opal prospecting areas","content":"#### 220 Opal prospecting areas\n\n220 Opal prospecting areas\n\n> > (1) The Minister may, by order published in the Gazette, constitute any prescribed land as an opal prospecting area and may, by the same or a subsequent order so published, name the area and fix its boundaries.\n> \n> > (2) For the purposes of this section, prescribed land is—\n> > \n> > > (a) any land held under a lease or licence for grazing purposes under the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058), or\n> > \n> > > (b) Crown land other than—\n> > > \n> > > > (i) land that is held under a lease or licence (not being a lease or licence referred to in paragraph (a)) under the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058), or\n> > > \n> > > > (ii) land in respect of which a Crown land manager has been appointed or that is under the control of a council pursuant to section 48 of the [Local Government Act 1993](/view/html/inforce/current/act-1993-030), or\n> > > \n> > > > (iii) land that is subject to an easement, or\n> > > \n> > > > (iv) any land of a class or description prescribed by the regulations.\n> \n> > (3) In subsection (2)—\n> > \n> > Crown land has the same meaning as in the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058).\n> > \n> > licence includes a permissive occupancy.\n> \n> **s 220:** Am 1999 No 43, Sch 1 \\[53\\] \\[54\\]; 2017 No 17, Sch 2.12 \\[7\\].","sortOrder":351},{"sectionNumber":"221","sectionType":"section","heading":"Notification of landholders","content":"#### 221 Notification of landholders\n\n221 Notification of landholders\n\n> Before constituting any land as an opal prospecting area or adding any land to an existing opal prospecting area, the Minister must cause written notice to be served on the landholder—\n> \n> > (a) of the proposal to constitute the land as an opal prospecting area, and\n> \n> > (b) of the grounds on which the landholder may make an objection to the constitution of the land as an opal prospecting area, and\n> \n> > (c) of the manner and form in which the landholder may make such an objection.\n> \n> **s 221:** Am 1999 No 43, Sch 1 \\[55\\]–\\[57\\].","sortOrder":352},{"sectionNumber":"222","sectionType":"section","heading":"Objections","content":"#### 222 Objections\n\n222 Objections\n\n> > (1) A landholder of any land who has been served with a notice of the Minister’s proposal to constitute the land as an opal prospecting area, or to add the land to an existing opal prospecting area, may, within 28 days after being so served, make an objection to the proposal on any of the following grounds—\n> > \n> > > (a) on the ground that the land the subject of the proposal is agricultural land, if the landholder is a person who is entitled to use the land for agricultural purposes,\n> > \n> > > (b) on one or more grounds of the kind prescribed by the regulations.\n> \n> > (2) An objection made on a ground referred to in subsection (1)(b)—\n> > \n> > > (a) must be lodged with the Secretary, and\n> > \n> > > (b) must be in the approved form.\n> \n> > (3) Schedule 2 contains provisions dealing with objections made on the ground referred to in subsection (1)(a).\n> \n> > (4) Unless it is earlier withdrawn, the Secretary must refer any objection made on the ground referred to in subsection (1) (b) for inquiry and report by a person having such qualifications or experience as may be prescribed by the regulations.\n> \n> > (5) At the conclusion of the inquiry into the objection, the person to whom the objection has been referred must furnish the Minister with a report as to his or her findings.\n> \n> > (6) An objection made on the ground referred to in subsection (1) (b) is to be determined by the Minister on the basis of the report so furnished.\n> \n> **s 222:** Am 1999 No 43, Sch 1 \\[58\\] \\[59\\]; 2008 No 19, Sch 1 \\[182\\]; 2008 No 107, Sch 19 \\[25\\]; 2022 No 21, Sch 1\\[73\\] \\[74\\].","sortOrder":353},{"sectionNumber":"223","sectionType":"section","heading":"Certain land not to be included in opal prospecting area","content":"#### 223 Certain land not to be included in opal prospecting area\n\n223 Certain land not to be included in opal prospecting area\n\n> > (1) Land may not be constituted as an opal prospecting area or added to an existing opal prospecting area—\n> > \n> > > (a) if an application for an authority is pending in respect of the land, or\n> > \n> > > (b) if an authority is in force in respect of the land, or\n> > \n> > > (c) if the land forms part of a reserve, an exempted area, a mineral allocation area for opal or a colliery holding, or\n> > \n> > > (d) if it has been determined in accordance with Schedule 2 that the land is agricultural land, except with the written consent of the landholder.\n> \n> > (2) Land that is within a national park, state conservation area, regional park, historic site, nature reserve, state game reserve, Aboriginal area, protected archaeological area, wildlife district, wildlife refuge, wildlife assessment area or Aboriginal place within the meaning of the [National Parks and Wildlife Act 1974](/view/html/inforce/current/act-1974-080) may not be constituted as an opal prospecting area, or added to an existing opal prospecting area, except with the consent of the Minister administering that Act.\n> \n> **s 223:** Am 1996 No 58, Sch 2.6; 2006 No 120, Sch 2.54; 2022 No 21, Sch 1\\[75\\].","sortOrder":354},{"sectionNumber":"223A","sectionType":"section","heading":"Special conditions","content":"#### 223A Special conditions\n\n223A Special conditions\n\n> > (1) The Minister may, by order published in the Gazette, specify special conditions that are to apply to opal prospecting licences granted over land within any specified opal prospecting area.\n> \n> > (2) Without limiting the generality of subsection (1), the conditions that may be specified in an order under this section include conditions as to the following matters—\n> > \n> > > (a) the areas in which prospecting operations in respect of an opal prospecting block are prohibited,\n> > \n> > > (b) the nature and extent of prospecting operations that may be carried out in respect of opal prospecting blocks,\n> > \n> > > (c)–(e) (Repealed)\n> > \n> > > (f) the obligations of holders of opal prospecting licences as to the rehabilitation of land on which prospecting operations have been carried out,\n> > \n> > > (g) the works to be carried out under an opal prospecting licence,\n> > \n> > > (h) the amount of money to be expended on prospecting,\n> > \n> > > (i) such other matters as the Minister considers appropriate.\n> \n> **s 223A:** Ins 2004 No 75, Sch 1 \\[21\\]. Am 2008 No 19, Sch 1 \\[184\\] 2012 No 46, Sch 5.2 \\[14\\]; 2014 No 53, Sch 1 \\[3\\]; 2015 No 40, Sch 1 \\[70\\].","sortOrder":355},{"sectionNumber":"224","sectionType":"section","heading":"Opal prospecting blocks","content":"#### 224 Opal prospecting blocks\n\n224 Opal prospecting blocks\n\n> > (1) The Minister may, by order published in the Gazette, constitute any land within an opal prospecting area as an opal prospecting block.\n> \n> > (2) Such an order—\n> > \n> > > (a) may give the opal prospecting block a designation and fix its boundaries, and\n> > \n> > > (b) may specify any periods during which an opal prospecting licence may not be granted in respect of the opal prospecting block.\n> \n> > (3) An opal prospecting block may not exceed—\n> > \n> > > (a) an area of 500 hectares, or\n> > \n> > > (b) such smaller area as is prescribed by the regulations.\n> \n> **s 224:** Am 1998 No 88, Sch 5 \\[5\\].","sortOrder":356},{"sectionNumber":"225","sectionType":"section","heading":"Map of opal prospecting area to be prepared","content":"#### 225 Map of opal prospecting area to be prepared\n\n225 Map of opal prospecting area to be prepared\n\n> > (1) As soon as practicable after land within an opal prospecting area has been constituted as an opal prospecting block, the Minister—\n> > \n> > > (a) must cause a map to be prepared, on which the following particulars are to be depicted—\n> > > \n> > > > (i) the boundary of the opal prospecting area,\n> > > \n> > > > (ii) the boundary of each opal prospecting block within the opal prospecting area,\n> > > \n> > > > (iii) the name of the opal prospecting area,\n> > > \n> > > > (iv) the designation of each opal prospecting block within the opal prospecting area,\n> > > \n> > > > (v) the period (not exceeding 5 years) for which an opal prospecting licence over an opal prospecting block within the opal prospecting area may be granted, and\n> > > \n> > > > (vi) (Repealed)\n> > \n> > > (b) must cause a copy of the map to be furnished to the Secretary.\n> \n> > (2) The Minister may from time to time cause such a map to be amended—\n> > \n> > > (a) by varying the boundary of the opal prospecting area, or\n> > \n> > > (b) by varying the boundary of one or more opal prospecting blocks within the opal prospecting area, or\n> > \n> > > (c) by varying the period for which an opal prospecting licence over an opal prospecting block within the opal prospecting area may be granted.\n> > \n> > > (d) (Repealed)\n> \n> > (3) As soon as practicable after a map is amended, the Minister must cause a copy of the amended map to be furnished to the Secretary.\n> \n> > (4) The Secretary must cause a copy of the map to be kept available for inspection during office hours, free of charge, in such location or locations as the Secretary determines.\n> \n> **s 225:** Am 1998 No 88, Sch 5 \\[6\\]; 2004 No 75, Sch 1 \\[22\\]–\\[25\\]; 2008 No 19, Sch 1 \\[185\\]–\\[187\\].","sortOrder":357},{"sectionNumber":"226","sectionType":"section","heading":"Applications for opal prospecting licences","content":"#### 226 Applications for opal prospecting licences\n\n226 Applications for opal prospecting licences\n\n> > (1) Any person may apply for an opal prospecting licence over an opal prospecting block.\n> \n> > (2) An application must be in writing, lodged with the Secretary and accompanied by—\n> > \n> > > (a) the application fee prescribed by the regulations, and\n> > \n> > > (b) any information that is prescribed by the regulations.\n> \n> > (3) If more than one application is lodged with the Secretary in respect of the same opal prospecting block, the applications are to be dealt with in the order in which they are lodged or, if they are lodged simultaneously, in such order as may be prescribed by the regulations.\n> \n> **s 226:** Am 1996 No 137, Sch 1 \\[17\\]; 2008 No 19, Sch 1 \\[169\\] \\[188\\] \\[189\\].","sortOrder":359},{"sectionNumber":"227","sectionType":"section","heading":"Restrictions on grant of licence","content":"#### 227 Restrictions on grant of licence\n\n227 Restrictions on grant of licence\n\n> > (1) An opal prospecting licence may not be granted over an opal prospecting block—\n> > \n> > > (a) to an individual who has not attained the age of 18 years,\n> > \n> > > (b) over which any other opal prospecting licence is in force or has (at any time within the 14 days preceding the day on which the application for the licence was lodged) been in force, or\n> > \n> > > (c) over which a mineral claim is in force, or\n> > \n> > > (d) to a person who is the holder of an opal prospecting licence over any other opal prospecting block, or\n> > \n> > > (e) during a period specified in the order by which the opal prospecting block is constituted as a period during which such a licence may not be granted.\n> \n> > (2) An opal prospecting licence may not be granted over any part of an opal prospecting block in respect of which an application for a mineral claim is pending.\n> \n> **s 227:** Am 1996 No 137, Sch 1 \\[118\\]; 2000 No 90, Sch 2.1 \\[27\\]; 2008 No 19, Sch 1 \\[190\\].","sortOrder":360},{"sectionNumber":"228","sectionType":"section","heading":"Power of Secretary in relation to applications","content":"#### 228 Power of Secretary in relation to applications\n\n228 Power of Secretary in relation to applications\n\n> > (1) After considering an application for an opal prospecting licence, the Secretary—\n> > \n> > > (a) may grant an opal prospecting licence to the applicant, or\n> > \n> > > (b) may refuse the application.\n> \n> > (2) (Repealed)\n> \n> > (3) If the Secretary refuses to grant an opal prospecting licence, the Secretary is to cause notice of the decision, and of the reasons for the decision, to be served on the applicant.\n> \n> > (4)–(6) (Repealed)\n> \n> **s 228:** Subst 1996 No 137, Sch 1 \\[119\\]. Am 2000 No 90, Sch 2.1 \\[28\\]; 2004 No 75, Sch 1 \\[27\\]; 2008 No 19, Sch 1 \\[137\\] \\[191\\] \\[192\\]; 2014 No 53, Sch 1 \\[4\\]; 2015 No 40, Sch 1 \\[71\\].","sortOrder":361},{"sectionNumber":"229","sectionType":"section","heading":null,"content":"#### 229\n\n229 (Repealed)","sortOrder":362},{"sectionNumber":"230","sectionType":"section","heading":"Term of licence","content":"#### 230 Term of licence\n\n230 Term of licence\n\n> An opal prospecting licence has effect for the period specified on the map in respect of the opal prospecting block concerned.","sortOrder":364},{"sectionNumber":"231","sectionType":"section","heading":"Form of licence","content":"#### 231 Form of licence\n\n231 Form of licence\n\n> An opal prospecting licence is to be in the approved form and is to include the following particulars—\n> \n> > (a) the designation of the opal prospecting block over which the licence is granted,\n> \n> > (b) the period for which the licence is to have effect.\n> \n> Note.\n> \n> Schedule 1B applies to small-scale titles, including opal prospecting licences.\n> \n> **s 231:** Am 2015 No 40, Sch 1 \\[72\\].","sortOrder":365},{"sectionNumber":"232","sectionType":"section","heading":"Rights under licence","content":"#### 232 Rights under licence\n\n232 Rights under licence\n\n> > (1) The holder of an opal prospecting licence may, in accordance with the licence, prospect for opals in the opal prospecting block over which the licence is granted.\n> \n> > (1A) Despite subsection (1), the holder of an opal prospecting licence may not prospect for opals in any part of an opal prospecting block in respect of which prospecting is prohibited under section 223A.\n> \n> > (2) While an opal prospecting licence is in force, no person, other than the holder of the licence, may prospect for opals in any part of the opal prospecting block to which the licence relates.\n> \n> > (3) Nothing in this section prevents the holder of a mineral claim from exercising, in relation to any land within an opal prospecting block, any right conferred by the claim.\n> \n> > (4) An application for a mineral claim is a nullity to the extent to which it relates to any part of an opal prospecting block in respect of which any person other than the applicant holds an opal prospecting licence.\n> \n> **s 232:** Am 2004 No 75, Sch 1 \\[29\\].","sortOrder":366},{"sectionNumber":"232A","sectionType":"section","heading":null,"content":"#### 232A\n\n232A (Repealed)","sortOrder":367},{"sectionNumber":"233","sectionType":"section","heading":"Grounds of cancellation of opal prospecting licence","content":"#### 233 Grounds of cancellation of opal prospecting licence\n\n233 Grounds of cancellation of opal prospecting licence\n\n> > (1) The Secretary may cancel an opal prospecting licence—\n> > \n> > > (a) if the holder of the licence requests the Secretary to cancel the licence, or\n> > \n> > > (b) if the holder contravenes a provision of this Act or the regulations (whether or not the holder is prosecuted or convicted of any offence arising from the contravention), or\n> > \n> > > (b1) if a person contravenes a condition of the licence (whether or not the holder is prosecuted or convicted of any offence arising from the contravention), or\n> > \n> > > (b2) if the Secretary reasonably considers that the holder of the licence provided false or misleading information in or in connection with an application or any report provided under this Act for or with respect to the licence, or\n> > \n> > > (c) if the holder of the licence fails to comply with the requirements of any agreement or assessment under Part 13 in relation to the payment of compensation, or\n> > \n> > > (d) if the holder of the licence is convicted of any offence relating to mining or minerals, or\n> > \n> > > (e) if the Secretary is ordered by the Land and Environment Court to cancel the licence, or\n> > \n> > > (f) if the Secretary reasonably considers that there has been a contravention of a direction under section 240 or 240AA.\n> \n> > (2) A request referred to in subsection (1) (a) must be lodged with the Secretary.\n> \n> **s 233:** Am 2008 No 19, Sch 1 \\[137\\] \\[157\\] \\[194\\] \\[195\\]; 2008 No 107, Sch 19 \\[13\\]; 2015 No 40, Sch 1 \\[73\\].","sortOrder":369},{"sectionNumber":"234","sectionType":"section","heading":"Cancellations","content":"#### 234 Cancellations\n\n234 Cancellations\n\n> > (1) Before cancelling an opal prospecting licence on a ground referred to in section 233 (1) (b)–(d) or (f), the Secretary—\n> > \n> > > (a) must cause written notice of the proposed cancellation, and of the grounds of the proposed cancellation, to be served on the holder of the licence, and\n> > \n> > > (b) must give the holder of the licence a reasonable opportunity to make representations with respect to the proposed cancellation, and\n> > \n> > > (c) must take any such representations into consideration.\n> \n> > (2) Cancellation of an opal prospecting licence takes effect on the date on which written notice of the cancellation is served on the holder of the licence or on such later date as is specified in the notice.\n> \n> > (3) Cancellation of an opal prospecting licence does not affect any liability incurred by the holder of the licence before the cancellation took effect.\n> \n> **s 234:** Am 2008 No 19, Sch 1 \\[137\\] \\[196\\]; 2015 No 40, Sch 1 \\[74\\].","sortOrder":370},{"sectionNumber":"234A","sectionType":"section","heading":"Limitation of challenges to decisions relating to opal prospecting licences","content":"#### 234A Limitation of challenges to decisions relating to opal prospecting licences\n\n234A Limitation of challenges to decisions relating to opal prospecting licences\n\n> > (1) The cancellation of an opal prospecting licence or the grant or refusal of an application for an opal prospecting licence cannot be challenged in any legal proceedings commenced later than 3 months after the cancellation, grant or refusal.\n> \n> > (2) This section has effect despite any other Act, but does not apply so as to affect any appeal from proceedings commenced within the period of 3 months referred to in subsection (1).\n> \n> **s 234A:** Ins 2008 No 19, Sch 1 \\[197\\].","sortOrder":371},{"sectionNumber":"235","sectionType":"section","heading":"Certain claims for damages prohibited","content":"#### 235 Certain claims for damages prohibited\n\n235 Certain claims for damages prohibited\n\n> No action lies against the Crown, the Minister or any person administering this Act in respect of any injury or loss suffered or incurred in relation to the exercise of any right conferred by an opal prospecting licence.","sortOrder":373},{"sectionNumber":"235A","sectionType":"section","heading":"Records","content":"#### 235A Records\n\n235A Records\n\n> > (1) The Secretary is to cause to be kept a record of—\n> > \n> > > (a) every application for an opal prospecting licence that is made, and\n> > \n> > > (b) every opal prospecting licence that is granted or cancelled, and\n> > \n> > > (c) the amendment of any opal prospecting licence, and\n> > \n> > > (d) the variation of any opal prospecting licence.\n> \n> > (2) The record must be kept in the approved form and must contain the particulars prescribed by the regulations.\n> \n> > (3) The record must be kept available for inspection, free of charge, by members of the public at such office or offices of the Department as the Secretary determines.\n> \n> **s 235A:** Ins 1996 No 137, Sch 1 \\[120\\]. Subst 2008 No 19, Sch 1 \\[198\\]. Am 2015 No 40, Sch 1 \\[75\\].","sortOrder":374},{"sectionNumber":"235B","sectionType":"section","heading":null,"content":"#### 235B\n\n235B (Repealed)","sortOrder":375},{"sectionNumber":"235C","sectionType":"section","heading":"Rights of way","content":"#### 235C Rights of way\n\n235C Rights of way\n\n> > (1) The holder of an opal prospecting licence is entitled to a right of way (to be indicated or described in the manner prescribed by the regulations) between the opal prospecting block and a public road.\n> \n> > (2) The route of a right of way—\n> > \n> > > (a) should, wherever practicable, follow the route of existing roads or tracks (particularly, in the case of land in the Western Division, those the subject of special easements under Part 6 of Schedule 3 to the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058)), and\n> > \n> > > (b) must accord with the provisions of any registered access management plan applying to the land.\n> \n> > (3) The holder of the opal prospecting licence—\n> > \n> > > (a) must ensure that substantial gates or grids (or, if the landholder of the land so requires, gates and grids), that comply with subsection (4), are placed wherever fences are intersected by the right of way, or\n> > \n> > > (b) if those fences are rabbit-proof, marsupial-proof or dog-proof fences, must ensure that rabbit-proof, marsupial-proof or dog-proof gates are placed at all such intersections.\n> \n> > (4) Any such gate or grid must be of a design and construction that is adequate to prevent stock from straying.\n> \n> > (5) The costs of installing and maintaining any gates or grids required by this section are to be borne by the holder of the opal prospecting licence.\n> \n> > (6) Subject to any determination by the Land and Environment Court, a right of way is subject to such conditions as to its exercise, and to such exceptions as to the land over which it may be exercised—\n> > \n> > > (a) as may be prescribed by the regulations, or\n> > \n> > > (b) as may be specified in any registered access management plan applying to the land.\n> \n> > (7) If a dispute arises as to the exercise of a right of way, any party to the dispute may apply to the Land and Environment Court for a determination of the matter.\n> \n> > (8) The conditions imposed by the Land and Environment Court under subsection (7) must not be inconsistent with the conditions specified in any registered access management plan applying to the land.\n> \n> > (9) (Repealed)\n> \n> Maximum penalty (subsection (3)): 50 penalty units.\n> \n> **s 235C:** Ins 2004 No 75, Sch 1 \\[31\\]. Am 2008 No 19, Sch 1 \\[199\\] \\[200\\]; 2008 No 107, Sch 19 \\[26\\]; 2017 No 17, Sch 2.12 \\[8\\].","sortOrder":377},{"sectionNumber":"235D","sectionType":"section","heading":null,"content":"#### 235D\n\n235D (Repealed)","sortOrder":378},{"sectionNumber":"235E","sectionType":"section","heading":"Pending applications","content":"#### 235E Pending applications\n\n235E Pending applications\n\n> For the purposes of this Act, an application for an opal prospecting licence is pending from the time it is lodged under this Act until the time it is finally disposed of.\n> \n> **s 235E:** Ins 2004 No 75, Sch 1 \\[31\\].","sortOrder":380},{"sectionNumber":"235F","sectionType":"section","heading":"Registration of certain interests in opal prospecting licences","content":"#### 235F Registration of certain interests in opal prospecting licences\n\n235F Registration of certain interests in opal prospecting licences\n\n> > (1) The Secretary is to keep a register of legal and equitable interests in opal prospecting licences.\n> \n> > (2) Any person claiming a legal or equitable interest in an opal prospecting licence may apply for registration of the interest.\n> \n> > (3) An application must be lodged with the Secretary and must be accompanied by the application fee prescribed by the regulations and by documentary evidence of the legal or equitable interest concerned.\n> \n> > (4) The Secretary may, if satisfied that the applicant holds the interest concerned, register the document by which the legal or equitable interest is evidenced.\n> \n> > (5) The Secretary may, on application by the holder of an interest or otherwise, make such amendments to the register kept under this section as are appropriate to reflect dealings in the interest.\n> \n> > (6) Without limiting the generality of subsection (5), the Secretary may cancel the registration of an interest if of the opinion that the interest has ceased to exist.\n> \n> > (7) The registration of an interest under this section is not to be taken to be evidence of the existence of the interest.\n> \n> > (8) For the purposes of any legal proceedings concerning an opal prospecting licence—\n> > \n> > > (a) a registered interest has priority over an interest that is not registered, and\n> > \n> > > (b) an earlier registered interest has priority over a later registered interest.\n> \n> > (9) The register must be kept available at such offices of the Department as may be prescribed by the regulations for inspection, free of charge, by members of the public.\n> \n> **s 235F:** Ins 2010 No 57, Sch 1.15 \\[2\\]. Am 2011 No 27, Sch 2.32 \\[1\\].","sortOrder":381},{"sectionNumber":"236","sectionType":"section","heading":null,"content":"#### 236\n\n236 (Repealed)","sortOrder":382},{"sectionNumber":"Part 10A","sectionType":"part","heading":"Access management plans for small-scale titles","content":"# Part 10A Access management plans for small-scale titles\n\nPart 10A Access management plans for small-scale titles\n\n**pt 10A:** Ins 2004 No 75, Sch 1 \\[32\\].","sortOrder":384},{"sectionNumber":"236A","sectionType":"section","heading":"Application of Part","content":"#### 236A Application of Part\n\n236A Application of Part\n\n> > (1) This Part applies to mineral claims and opal prospecting licences (referred to collectively as small-scale titles) with respect to land within an access management area.\n> \n> > (2) This Part does not require an access management plan in respect of a landholder who is a native title holder if—\n> > \n> > > (a) the small-scale title concerned was granted or renewed after compliance with Subdivision P of Division 3 of Part 2 of the Commonwealth Native Title Act, and\n> > \n> > > (b) the grant or renewal of the title was not an act that attracted the expedited procedure under and within the meaning of that Subdivision.\n> \n> > (3) This Part does not apply if—\n> > \n> > > (a) the small-scale title concerned was granted or renewed after compliance with a registered indigenous land use agreement under the Commonwealth Native Title Act, and\n> > \n> > > (b) the agreement provides that an access management plan is not required under this Part in respect of a landholder who is a native title holder.\n> \n> **s 236A:** Ins 2004 No 75, Sch 1 \\[32\\].","sortOrder":385},{"sectionNumber":"236B","sectionType":"section","heading":"Declared areas","content":"#### 236B Declared areas\n\n236B Declared areas\n\n> The Secretary may, by order published in the Gazette, constitute any land within a mineral claims district or opal prospecting area as an access management area and may, by the same or a subsequent order so published, name the area and fix its boundaries.\n> \n> **s 236B:** Ins 2004 No 75, Sch 1 \\[32\\].","sortOrder":386},{"sectionNumber":"236C","sectionType":"section","heading":"Alternative procedures for making access management plan","content":"#### 236C Alternative procedures for making access management plan\n\n236C Alternative procedures for making access management plan\n\n> An access management plan for land within an access management area—\n> \n> > (a) may be agreed between a miners’ representative and the landholder, or\n> \n> > (b) may be determined by the Secretary or the Land and Environment Court in accordance with this Part,\n> \n> either before or after small-scale titles are granted in relation to the land.\n> \n> **s 236C:** Ins 2004 No 75, Sch 1 \\[32\\]. Am 2008 No 19, Sch 1 \\[202\\]; 2008 No 107, Sch 19 \\[13\\].","sortOrder":387},{"sectionNumber":"236D","sectionType":"section","heading":"Matters for which access management plan to provide","content":"#### 236D Matters for which access management plan to provide\n\n236D Matters for which access management plan to provide\n\n> > (1) An access management plan may make provision for or with respect to the following matters—\n> > \n> > > (a) the rights of access that the holder of a small-scale title has in relation to the land to which the plan applies, including rights in relation to—\n> > > \n> > > > (i) access points to the land, and\n> > > \n> > > > (ii) routes of access across the land, and\n> > > \n> > > > (iii) the manner in which, and the times at which, rights of access may be exercised,\n> > \n> > > (b) the conditions to which the holder of a small-scale title is subject in relation to his or her exercise of any such right of access, including conditions in relation to—\n> > > \n> > > > (i) maintaining routes of access, and\n> > > \n> > > > (ii) preserving the safety of persons and stock, and\n> > > \n> > > > (iii) avoiding interference with the land management practices being adopted in relation to the land affected by the right of way, and\n> > > \n> > > > (iv) environmental protection,\n> > \n> > > (c) the manner of resolving any dispute arising in connection with the plan,\n> > \n> > > (d) the manner of varying or replacing the plan,\n> > \n> > > (e) such other matters as the parties to the plan may agree to include in the plan.\n> \n> > (2) In the event of an inconsistency between—\n> > \n> > > (a) a provision of an access management plan, and\n> > \n> > > (b) a provision of this Act, the regulations or a condition of a small-scale title,\n> > \n> > the provision referred to in paragraph (b) prevails.\n> \n> **ss 236D–236F:** Ins 2004 No 75, Sch 1 \\[32\\].","sortOrder":388},{"sectionNumber":"236E","sectionType":"section","heading":"Miners’ representative to seek access management plan","content":"#### 236E Miners’ representative to seek access management plan\n\n236E Miners’ representative to seek access management plan\n\n> > (1) A miners’ representative may, by written notice served on a landholder, give notice of his or her intention to negotiate an access management plan in respect of the land.\n> \n> > (2) The notice of intention to negotiate an access management plan must, in addition to stating that intention, contain—\n> > \n> > > (a) a plan and description of the area of land over which the access is sought, sufficient to enable the ready identification of that area, and\n> > \n> > > (b) a description of the mining or prospecting methods intended to be used in that area.\n> \n> > (3) The miners’ representative and the landholder may agree in writing on an access management plan.\n> \n> > (4) An access management plan so agreed must be lodged with the Secretary for registration.\n> \n> **ss 236D–236F:** Ins 2004 No 75, Sch 1 \\[32\\].","sortOrder":389},{"sectionNumber":"236F","sectionType":"section","heading":"Determination of access management plan by Secretary","content":"#### 236F Determination of access management plan by Secretary\n\n236F Determination of access management plan by Secretary\n\n> > (1) If the miners’ representative and the landholder are unable to agree on an access management plan within 60 days after notice of intention to negotiate such a plan is served under section 236E, either of them—\n> > \n> > > (a) may apply to the Secretary for a determination under this section, and\n> > \n> > > (b) in that event, must cause a copy of the application to be served on the other.\n> \n> > (2) On receiving such an application, the Secretary may determine an access management plan for the land concerned.\n> \n> > (3) Before making a determination under this section, the Secretary—\n> > \n> > > (a) must consult with the miners’ representative and the landholder concerned, and\n> > \n> > > (b) must give full consideration to any submissions arising from the consultation process.\n> \n> > (4) On making a determination under this section, the Secretary must cause copies of the determination to be served on the landholder and the miners’ representative.\n> \n> > (5) At any time after receiving an application for determination of an access management plan, the Secretary—\n> > \n> > > (a) may decline to make such a determination, either generally or in relation to any particular matter, and\n> > \n> > > (b) in that event, must cause written notice of that fact to be served on the miners’ representative and the landholder.\n> \n> **ss 236D–236F:** Ins 2004 No 75, Sch 1 \\[32\\].","sortOrder":390},{"sectionNumber":"236G","sectionType":"section","heading":"Determination of access management plan by Land and Environment Court","content":"#### 236G Determination of access management plan by Land and Environment Court\n\n236G Determination of access management plan by Land and Environment Court\n\n> > (1) If the Secretary has declined to make a determination under section 236F, either generally or in relation to a particular matter, either the landholder or the miners’ representative—\n> > \n> > > (a) may apply to the Land and Environment Court for a determination under this section, either generally or in relation to that matter, as the case may be, and\n> > \n> > > (b) in that event, must cause copies of the application to be served on the landholder or miner’s representative, as the case requires, and on the Secretary.\n> \n> > (2) On receiving such an application, the Land and Environment Court is to determine an access management plan for the land concerned, as required by the application.\n> \n> > (3) The Secretary is not a party to the proceedings before the Land and Environment Court, but may nevertheless make written submissions to the Court in relation to the proposed determination.\n> \n> > (4) In making a decision under this section, the Land and Environment Court must give consideration to any submissions made by the Secretary under subsection (3).\n> \n> > (5) On making a determination under this section, the Land and Environment Court is to cause copies of the determination to be served on the landholder and the miners’ representative.\n> \n> > (6) Each party to proceedings under this section is to bear his or her own costs in relation to the proceedings.\n> \n> **s 236G:** Ins 2004 No 75, Sch 1 \\[32\\]. Am 2008 No 19, Sch 1 \\[203\\]. Subst 2008 No 107, Sch 19 \\[27\\].","sortOrder":391},{"sectionNumber":"236H","sectionType":"section","heading":"Review of Secretary’s determination","content":"#### 236H Review of Secretary’s determination\n\n236H Review of Secretary’s determination\n\n> > (1) An application for the review of an access management plan determined under section 236F may be made to the Land and Environment Court by either the landholder or the miners’ representative (the parties to the determination).\n> \n> > (2) An application—\n> > \n> > > (a) must be accompanied by a copy of the determination to which it relates, together with a copy of any access management plan forming part of the determination, and\n> > \n> > > (b) must be filed in the Land and Environment Court within 14 days after a copy of the determination was served on the applicant.\n> \n> > (3) The applicant must cause a copy of the application to be served on the Secretary and on each of the other parties to the determination.\n> \n> > (4) The Secretary is not a party to the proceedings before the Land and Environment Court, but may nevertheless make written submissions to the Court in relation to the determination under review.\n> \n> > (5) In making a decision under this section, the Land and Environment Court must give consideration to any submissions made by the Secretary under subsection (4).\n> \n> > (6) The decision of the Land and Environment Court on a review of a determination is final and is to be given effect to as if it were the determination of the Secretary under section 236F.\n> \n> > (7) Each party to proceedings under this section is to bear his or her own costs in relation to the proceedings.\n> \n> **s 236H:** Ins 2004 No 75, Sch 1 \\[32\\]. Subst 2008 No 107, Sch 19 \\[27\\].","sortOrder":392},{"sectionNumber":"236I","sectionType":"section","heading":"Registration of access management plans","content":"#### 236I Registration of access management plans\n\n236I Registration of access management plans\n\n> > (1) An access management plan agreed under section 236E or determined under section 236G must be registered by the Secretary as soon as practicable after it is lodged for registration.\n> \n> > (2) An access management plan determined under section 236F must be registered by the Secretary—\n> > \n> > > (a) as soon as practicable after the expiry of the 14-day period referred to in section 236H (2) (b), or\n> > \n> > > (b) if an application for a review of the determination is made to the Land and Environment Court within that period, as soon as practicable after the Court makes its decision on the application.\n> \n> **s 236I:** Ins 2004 No 75, Sch 1 \\[32\\]. Am 2008 No 107, Sch 19 \\[28\\].","sortOrder":393},{"sectionNumber":"236J","sectionType":"section","heading":"Public notice of access management plans","content":"#### 236J Public notice of access management plans\n\n236J Public notice of access management plans\n\n> > (1) As soon as practicable after registering an access management plan, the Secretary must cause notice of that fact to be published in the way specified by the regulations.\n> \n> > (2) The notice must identify the land to which the access management plan relates and indicate where copies of the access management plan may be inspected or purchased.\n> \n> > (3) Copies of each registered access management plan must be kept available for inspection or purchase at the place or places indicated in the notice.\n> \n> **s 236J:** Ins 2004 No 75, Sch 1 \\[32\\]. Am 2022 No 21, Sch 1\\[80\\].","sortOrder":394},{"sectionNumber":"236K","sectionType":"section","heading":"Commencement and operation of access management plan","content":"#### 236K Commencement and operation of access management plan\n\n236K Commencement and operation of access management plan\n\n> > (1) An access management plan takes effect on the date on which notice of its registration is published under section 236J or on such later date as may be specified in the plan in that regard.\n> \n> > (2) An access management plan does not apply to land within the claim area under a mineral claim, but does apply to land within an opal prospecting block.\n> \n> > (3) An access management plan does not affect any right of way to which the holder of a small-scale title was entitled under section 211 or 235C immediately before the plan took effect, and does not affect any conditions imposed under section 211 or 235C on any such right of access.\n> \n> > (4) Subsection (3) ceases to have effect in relation to a small-scale title when the small-scale title ceases to have effect, and is not continued by any renewal of the small-scale title.\n> \n> > (5) A later registered access management plan prevails over an earlier registered access management plan to the extent to which they relate to the same land.\n> \n> **s 236K:** Ins 2004 No 75, Sch 1 \\[32\\].","sortOrder":395},{"sectionNumber":"236L","sectionType":"section","heading":"Replacement of access management plans","content":"#### 236L Replacement of access management plans\n\n236L Replacement of access management plans\n\n> > (1) An access management plan may, subject to its provisions, be replaced by a new access management plan with respect to the same land.\n> \n> > (2) Despite subsection (1), an access management plan under section 236G or 236H may not be replaced by a new access management plan with respect to the same land except by leave of the Land and Environment Court.\n> \n> **s 236L:** Ins 2004 No 75, Sch 1 \\[32\\]. Am 2008 No 107, Sch 19 \\[29\\].","sortOrder":396},{"sectionNumber":"236M","sectionType":"section","heading":"Duration of access management plans","content":"#### 236M Duration of access management plans\n\n236M Duration of access management plans\n\n> An access management plan does not run with the land and, unless sooner terminated, terminates—\n> \n> > (a) if a landholder of the land to which it relates ceases to be a landholder of the land, or\n> \n> > (b) on the death of a landholder of the land to which it relates.\n> \n> **s 236M:** Ins 2004 No 75, Sch 1 \\[32\\].","sortOrder":397},{"sectionNumber":"Part 11","sectionType":"part","heading":"Protection of the environment","content":"# Part 11 Protection of the environment\n\nPart 11 Protection of the environment","sortOrder":398},{"sectionNumber":"239E","sectionType":"section","heading":"Interpretation","content":"#### 239E Interpretation\n\n239E Interpretation\n\n> > (1) In this Division—\n> > \n> > authorisation includes a mining sublease and (except in sections 240 (4) and 240AA) an authorisation that has ceased to have effect.\n> > \n> > authorised person means—\n> > \n> > > (a) a person engaged in connection with the taking of steps under section 241 (1), or\n> > \n> > > (b) the Secretary, or\n> > \n> > > (c) a person authorised in writing by the Secretary for the purposes of this Division, or\n> > \n> > > (d) an inspector.\n> > \n> > mining sublease includes a mining sublease that has ceased to have effect.\n> > \n> > responsible person means—\n> > \n> > > (a) in relation to an authorisation that is in force—\n> > > \n> > > > (i) a holder of the authorisation, or\n> > > \n> > > > (ii) in the case of a mining lease or registered mining sublease that authorises the holder to mine for coal or carry out ancillary mining activities connected with the land—a person who is the mine operator of the mine concerned within the meaning of the [Work Health and Safety (Mines and Petroleum Sites) Act 2013](/view/html/inforce/current/act-2013-054), or\n> > \n> > > (b) in relation to an authorisation that has ceased to be in force—a person who was a responsible person, in relation to that authorisation, immediately before the authorisation ceased to be in force.\n> \n> > (2) In this Division, a reference to giving a direction or notice to a person includes, where the person is a corporation that is subject to a scheme of arrangement, receivership, winding up or other external administration, a reference to giving a direction or notice to the administrator, receiver, controller or liquidator of the corporation.\n> \n> **s 239E:** Ins 2008 No 19, Sch 1 \\[206\\]. Am 2013 No 54, Sch 3.7 \\[2\\]; 2015 No 40, Sch 1 \\[77\\] \\[78\\]; 2022 No 21, Sch 1\\[81\\] \\[82\\].","sortOrder":401},{"sectionNumber":"240","sectionType":"section","heading":"Directions","content":"#### 240 Directions\n\n240 Directions\n\n> > (1) The Secretary or an inspector may, by written notice, direct a responsible person in relation to an authorisation to do any one or more of the following—\n> > \n> > > (a) to give effect to a condition of an authorisation (except a condition requiring payment of royalty or provision or maintenance of a security deposit),\n> > \n> > > (b) to address any adverse impact that activities carried out under, or purportedly carried out under, an authorisation have had on any aspect of the environment,\n> > \n> > > (c) to address a risk of there being such an impact,\n> > \n> > > (d) to conserve the environment, protect it from harm as a result of activities under the authorisation or to prevent, control or mitigate any such harm,\n> > \n> > > (e) to rehabilitate land or water that is or may be affected by activities under the authorisation.\n> \n> > (1A) The Secretary or an inspector may, by written notice, direct a person to do 1 or more of the following if the person has carried out prospecting, mining or another activity otherwise than in accordance with an authorisation, where an authorisation to carry out the prospecting, mining or activity is required under this Act—\n> > \n> > > (a) to address an adverse impact the prospecting, mining or activity has had on 1 or more aspects of the environment,\n> > \n> > > (b) to address a risk of there being such an impact,\n> > \n> > > (c) to conserve the environment, protect it from harm as a result of the prospecting, mining or activity or prevent, control or mitigate the harm,\n> > \n> > > (d) to rehabilitate land or water that is or may be affected by the prospecting, mining or activity.\n> \n> > (1B) To avoid doubt, a reference to the environment, land and water in subsections (1) and (1A) includes the environment, land and water in a place regardless of whether the environment, land and water is within or outside an authorisation area.\n> \n> > (2) A direction may require a person to carry out or stop carrying out particular activities, carry out activities in a particular manner or achieve specified outcomes, within such period (if any) as is specified in the direction or any condition specified in the direction.\n> \n> > (2A) A direction served on a person under this Division may require the person to prepare, and submit to the Secretary or inspector, reports as to any of the following—\n> > \n> > > (a) the measures the person proposes to take for the purpose of complying with the direction,\n> > \n> > > (b) the progress made by the person in implementing any such measures.\n> \n> > (3) However, a direction to a responsible person in the person’s capacity as the holder of a mining sublease may only impose requirements relating to activities under the sublease or in relation to the sublease area.\n> \n> > (4) If a direction under subsection (1) is issued to a person who is not the holder of the authorisation to which the direction relates, the Secretary must cause a copy of the direction to be served on the holder within 5 days after the direction is issued.\n> \n> **s 240:** Am 2000 No 90, Schs 1.1 \\[9\\], 2.1 \\[31\\] \\[32\\]. Subst 2008 No 19, Sch 1 \\[206\\]. Am 2015 No 40, Sch 1 \\[79\\] \\[80\\]; 2022 No 21, Sch 1\\[83\\]–\\[85\\].","sortOrder":402},{"sectionNumber":"240A","sectionType":"section","heading":"Prohibition notices","content":"#### 240A Prohibition notices\n\n240A Prohibition notices\n\n> > (1) If the Secretary or an inspector reasonably suspects that a person who is not the holder of an authorisation is carrying out, or is about to carry out, any activity in contravention of a provision of this Act requiring an authorisation to be held when carrying out the activity, the Secretary or inspector may direct the person to discontinue that activity on the land specified in the notice.\n> \n> > (1A) If the Secretary or an inspector reasonably suspects that a person is carrying out, or is about to carry out, an activity in contravention of section 6 (Unauthorised carrying out of designated ancillary mining activities), the Secretary or inspector may direct the person to discontinue that activity.\n> \n> > (2) The direction may be given orally, but must be confirmed by written notice (a prohibition notice) issued to the person as soon as practicable.\n> \n> > (3) A prohibition notice must state—\n> > \n> > > (a) the reasons for the issue of the prohibition notice, and\n> > \n> > > (b) the activity concerned, and\n> > \n> > > (c) the provision of this Act that the Secretary or inspector believes is being, or is likely to be, contravened by that activity.\n> \n> **s 240A:** Ins 2008 No 19, Sch 1 \\[206\\]. Subst 2015 No 40, Sch 1 \\[81\\]. Am 2017 No 27, Sch 1 \\[9\\].","sortOrder":403},{"sectionNumber":"240AA","sectionType":"section","heading":"Direction to suspend operations and activity approvals","content":"#### 240AA Direction to suspend operations and activity approvals\n\n240AA Direction to suspend operations and activity approvals\n\n> > (1) The Secretary may, by written notice (a suspension notice), direct a responsible person to suspend (for such period as is specified in the direction or until further notice) all, or any specified, operations under an authorisation or suspend any activity approval relating to the operations if the Secretary considers that—\n> > \n> > > (a) circumstances exist that could constitute a ground for cancellation of the authorisation under section 125 (1) (b)–(g), 203 (1) (b)–(e) or (h) or 233 (1) (b)–(d), or\n> > \n> > > (b) circumstances exist that could constitute a ground for cancellation of the authorisation under section 125 (1) (h), 203 (1) (i) or 233 (1) (f), in relation to a breach of a direction under section 240 only, or\n> > \n> > > (c) on any other ground specified in the regulations.\n> \n> > (2) Before giving a suspension notice, the Secretary is to—\n> > \n> > > (a) cause written notice of the proposed suspension notice and the grounds for it to be served on the holder of the authorisation, and\n> > \n> > > (b) give the holder a reasonable opportunity to make representations with respect to the proposed suspension notice, and\n> > \n> > > (c) take any such representations into consideration.\n> \n> > (3) The suspension notice takes effect on the date on which it is given to the holder of the authorisation or on a later date specified in the notice.\n> \n> > (4) The suspension of an authorisation or an activity approval does not affect any liability incurred by the holder of the authorisation or activity approval before the suspension took effect.\n> \n> > (5) The holder of an authorisation or an activity approval is not entitled to compensation merely because of the suspension of operations under the authorisation or activity approval in accordance with a suspension notice.\n> \n> > (6) If a suspension notice under this section is issued to a person who is not the current holder of the authorisation concerned, the Secretary must cause a copy of the notice to be served on any current holder within 5 days after the notice is issued.\n> \n> > (7) A direction served on a person under this section may require the person to prepare, and submit to the Secretary or inspector, reports as to any of the following—\n> > \n> > > (a) the measures the person proposes to take for the purpose of complying with the direction,\n> > \n> > > (b) the progress made by the person in implementing any such measures.\n> \n> > (8) Any costs or expenses incurred by the Crown under this section are a debt due to the Crown by the person on whom the direction was served and are recoverable in a court of competent jurisdiction.\n> \n> **s 240AA:** Ins 2015 No 40, Sch 1 \\[81\\]. Am 2022 No 21, Sch 1\\[86\\] \\[87\\].","sortOrder":404},{"sectionNumber":"240B","sectionType":"section","heading":"Revocation or variation","content":"#### 240B Revocation or variation\n\n240B Revocation or variation\n\n> > (1) A direction under this Division may be revoked or varied by a subsequent direction issued in accordance with this Division.\n> \n> > (2) A direction may be varied by modification of, or addition to, its terms and specifications or any condition specified in the direction.\n> \n> > (3) Without limiting the above, a direction may be varied by extending the time for complying with the direction or the period of suspension.\n> \n> **s 240B:** Ins 2008 No 19, Sch 1 \\[206\\]. Am 2015 No 40, Sch 1 \\[82\\] \\[83\\].","sortOrder":405},{"sectionNumber":"240C","sectionType":"section","heading":"Breach of direction or notice","content":"#### 240C Breach of direction or notice\n\n240C Breach of direction or notice\n\n> > (1) A person must comply with a direction or notice issued to the person under this Division, unless the person has a reasonable excuse for not doing so.\n> \n> > (2) If a person fails, without reasonable excuse, to comply with a direction or notice under this Division in relation to an authorisation, the holder of the authorisation to which the direction or notice relates, if not the person to whom the direction or notice was issued, is also guilty of an offence.\n> \n> Maximum penalty—\n> \n> > (a) for a corporation—10,000 penalty units, and, in the case of a continuing offence, a further penalty of 1,000 penalty units for each day the offence continues, or\n> \n> > (b) for an individual—2,000 penalty units, and, in the case of a continuing offence, a further penalty of 200 penalty units for each day the offence continues.\n> \n> Note—\n> \n> An offence against this section committed by a corporation is an executive liability offence attracting executive liability for a director or other person involved in the management of the corporation—see section 378F.\n> \n> **s 240C:** Ins 2008 No 19, Sch 1 \\[206\\]. Am 2012 No 84, Sch 2.2 \\[7\\]; 2012 No 97, Sch 1.25 \\[1\\]; 2015 No 40, Sch 1 \\[84\\]. Subst 2022 No 21, Sch 1\\[88\\].","sortOrder":406},{"sectionNumber":"240D","sectionType":"section","heading":"Effect of direction","content":"#### 240D Effect of direction\n\n240D Effect of direction\n\n> The issuing of a direction under this Division does not affect—\n> \n> > (a) the liability of any person to any penalty for an offence in relation to an authorisation, or\n> \n> > (b) the amount of security deposit that is or may be required under an authorisation, or\n> \n> > (c) the operation of any other provision of this Act or the regulations that requires or enables other action to be taken in relation to any contravention or other circumstances to which the direction relates.\n> \n> Note.\n> \n> For example, the issuing of a direction does not affect the power to cancel an authority under Division 3 of Part 7.\n> \n> **s 240D:** Ins 2008 No 19, Sch 1 \\[206\\]. Am 2015 No 40, Sch 1 \\[85\\]; 2016 No 27, Sch 1.16 \\[2\\].","sortOrder":407},{"sectionNumber":"240E","sectionType":"section","heading":"Fee","content":"#### 240E Fee\n\n240E Fee\n\n> > (1) The purpose of this section is to enable the recovery of the administrative costs of preparing and issuing a direction under this Division (not including a direction that varies an earlier direction under this Division).\n> \n> > (2) A person to whom a direction is issued must within 30 days pay the fee prescribed by the regulations to the Secretary.\n> \n> > (3) A fee payable under this section is a debt due to the Crown and is recoverable in a court of competent jurisdiction.\n> \n> **s 240E:** Ins 2008 No 19, Sch 1 \\[206\\]. Am 2015 No 40, Sch 1 \\[86\\]; 2022 No 21, Sch 1\\[89\\].","sortOrder":408},{"sectionNumber":"241","sectionType":"section","heading":"Rehabilitation by Minister at holder’s expense","content":"#### 241 Rehabilitation by Minister at holder’s expense\n\n241 Rehabilitation by Minister at holder’s expense\n\n> > (1) If a person on whom a direction is served under this Division does not comply with the direction, the Minister may take any action necessary to give effect to the direction.\n> \n> > (2) Any costs or expenses incurred by the Crown under this section are a debt due to the Crown by the person on whom the direction was served and are recoverable in a court of competent jurisdiction.\n> \n> > (3) An authorised person may enter any land and do anything that in the person’s opinion is necessary for or in connection with the taking of that action (including gaining access from that land to other land).\n> \n> > (4) However, an authorised person must not enter land unless the person—\n> > \n> > > (a) has given the occupier of the land reasonable notice of the person’s intention to do so, and\n> > \n> > > (b) enters the land at a reasonable time (except in the case of an emergency), and\n> > \n> > > (c) uses no more force than is reasonably necessary to effect entry, and\n> > \n> > > (d) before entering any premises on the land that are used only for residential purposes, has obtained the permission of the occupier of those premises.\n> \n> > (5) A person who suffers damage caused by the taking of any action under this section is entitled to be paid reasonable compensation by the person who failed to comply with the direction (as referred to in subsection (1)).\n> \n> > (6) Division 3 of Part 13 and Part 15 apply (with such modifications as may be prescribed by the regulations) to that compensation as if it were compensation payable for a compensable loss (within the meaning of Division 3 of Part 13).\n> \n> **s 241:** Am 2008 No 19, Sch 1 \\[207\\] 2012 No 46, Sch 5.2 \\[16\\]–\\[18\\].","sortOrder":409},{"sectionNumber":"242","sectionType":"section","heading":"Recovery of costs of rehabilitation","content":"#### 242 Recovery of costs of rehabilitation\n\n242 Recovery of costs of rehabilitation\n\n> > (1) In any proceedings for the recovery of a debt due to the Crown under this Division, a certificate that is signed by the Minister and that states that a specified amount is the amount of the debt so due is admissible in evidence in all courts and is evidence of that fact.\n> \n> > (2) A debt due to the Crown under this Division is recoverable whether or not the person by whom it is due is prosecuted or convicted of an offence under this Division.","sortOrder":410},{"sectionNumber":"242AA","sectionType":"section","heading":"Prior notice of direction under section 240 or 240A not required","content":"#### 242AA Prior notice of direction under section 240 or 240A not required\n\n242AA Prior notice of direction under section 240 or 240A not required\n\n> A person who gives a direction under section 240 or 240A is not required to notify any person who may be affected by the direction before giving the direction.\n> \n> **s 242AA:** Ins 2015 No 40, Sch 1 \\[87\\]. Am 2016 No 27, Sch 1.16 \\[3\\].","sortOrder":411},{"sectionNumber":"242A","sectionType":"section","heading":"Declaration of derelict mine sites","content":"#### 242A Declaration of derelict mine sites\n\n242A Declaration of derelict mine sites\n\n> > (1) The Minister may, by order published in the Gazette, declare as a derelict mine site any land that, in the opinion of the Minister—\n> > \n> > > (a) was used for, or has been affected by, mining operations or prospecting operations, and\n> > \n> > > (b) has been abandoned.\n> \n> > (2) The declaration is to identify the land with reasonable particularity.\n> \n> > (3) In making the declaration, the Minister is to have regard to any matters that are prescribed by the regulations.\n> \n> > (4) The Minister may declare land as a derelict mine site whether or not it is possible to identify or locate the landholder or the holder of an authorisation under which operations referred to in subsection (1) (a) were carried out.\n> \n> > (5) A declaration cannot be challenged in any legal proceedings commenced later than 3 months after the order is published in the Gazette.\n> \n> > (6) Subsection (5) has effect despite the provisions of any other Act or law, but does not apply so as to affect any appeal from proceedings commenced within 3 months after the declaration is published in the Gazette.\n> \n> **s 242A:** Ins 2008 No 19, Sch 1 \\[208\\].","sortOrder":413},{"sectionNumber":"242B","sectionType":"section","heading":"Rehabilitation of derelict mine site","content":"#### 242B Rehabilitation of derelict mine site\n\n242B Rehabilitation of derelict mine site\n\n> > (1) The Secretary may cause steps to be taken to have a derelict mine site fully or partially rehabilitated and may, for that purpose, enter into contracts or agreements.\n> \n> > (2) An authorised person may enter any land and do anything that in the person’s opinion is necessary for or in connection with the rehabilitation (including gaining access to other land from that land).\n> \n> > (3) However, an authorised person must not enter land unless the person—\n> > \n> > > (a) has given the occupier of the land reasonable notice of the person’s intention to do so, and\n> > \n> > > (b) enters the land at a reasonable time (except in the case of an emergency), and\n> > \n> > > (c) uses no more force than is reasonably necessary to effect entry.\n> \n> > (4) A landholder who suffers damage caused by an authorised person entering the landholder’s land under this section is entitled to be paid reasonable compensation by the Crown unless the landholder obstructed, hindered or restricted the authorised person’s entry.\n> \n> > (5) Division 3 of Part 13 and Part 15 apply (with such modifications as may be prescribed by the regulations) to that compensation as if it were compensation payable for a compensable loss (within the meaning of Division 3 of Part 13).\n> \n> > (6) In this section—\n> > \n> > authorised person means—\n> > \n> > > (a) a person engaged in connection with the taking of steps under subsection (1), or\n> > \n> > > (b) the Secretary, or\n> > \n> > > (c) a person authorised in writing by the Secretary for the purposes of this section, or\n> > \n> > > (d) an inspector.\n> > \n> > landholder includes a secondary landholder.\n> \n> **s 242B:** Ins 2008 No 19, Sch 1 \\[208\\] (am 2010 No 29, Sch 2 \\[2\\]).","sortOrder":414},{"sectionNumber":"242C","sectionType":"section","heading":"Derelict Mine Sites Fund","content":"#### 242C Derelict Mine Sites Fund\n\n242C Derelict Mine Sites Fund\n\n> > (1) There is established in the Special Deposits Account the Derelict Mine Sites Fund.\n> \n> > (2) Money in the Fund is under the control of the Secretary and may be spent by the Secretary only for the purposes authorised by this section.\n> \n> > (3) There is to be paid into the Fund—\n> > \n> > > (a) the balance of any money received from the sale of mining plant under section 246 after all deductions have been made in accordance with that section, and\n> > \n> > > (b) the proceeds of investment of money in the Fund, and\n> > \n> > > (c) money obtained under a security deposit that is payable into the Fund under section 261F or 261G, and\n> > \n> > > (c1) any money paid into the Fund from the Minerals and Petroleum Administrative Fund maintained under Part 14B, and\n> > \n> > > (d) any other money that is appropriated by Parliament for the purposes of the Fund, that is required by law to be paid into the Fund or that the Minister has approved being paid into the Fund.\n> \n> > (4) Subject to the regulations, there may be paid out of the Fund—\n> > \n> > > (a) compensation payable to a landholder under section 242B, and\n> > \n> > > (b) any other costs associated with the rehabilitation of derelict mine sites under this Division, as determined by the Secretary.\n> \n> > (5) The Secretary may invest money in the Derelict Mine Sites Fund—\n> > \n> > > (a) if the Department is a GSF agency for the purposes of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055), Part 6—in a way the Department is permitted to invest money under that Part, or\n> > \n> > > (b) if the Department is not a GSF agency for the purposes of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055), Part 6—in a way approved by the Treasurer.\n> \n> **s 242C:** Ins 2008 No 19, Sch 1 \\[208\\]. Am 2012 No 46, Sch 5.2 \\[19\\]; 2015 No 40, Sch 1 \\[88\\]; 2022 No 21, Sch 1\\[90\\].","sortOrder":415},{"sectionNumber":"243","sectionType":"section","heading":"Application of Division","content":"#### 243 Application of Division\n\n243 Application of Division\n\n> This Division applies to land that ceases to be subject to an authorisation.\n> \n> **s 243:** Subst 2008 No 19, Sch 1 \\[209\\].","sortOrder":417},{"sectionNumber":"244","sectionType":"section","heading":"Definitions","content":"#### 244 Definitions\n\n244 Definitions\n\n> In this Division—\n> \n> landholder of land means the owner of an estate in fee simple of the land, the controlling body in relation to an exempted area or the holder, over or in the land, of—\n> \n> > (a) a lease or licence under the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058), or\n> \n> > (b) any continued incomplete tenure purchase within the meaning of Schedule 1 to the [Crown Land Management Act 2016](/view/html/inforce/current/act-2016-058).\n> \n> mining plant means any building, plant, machinery, equipment, tools or other property that has been used for prospecting, mining or ancillary mining activities, whether or not affixed to land, but does not include any timber or other material used or applied in the construction or support of any shaft, drive, gallery, adit, terrace, race, dam or other mining work.\n> \n> prescribed period, in relation to land that has ceased to be subject to an authorisation, means the period of 6 months from the date on which the land ceased to be subject to the authorisation or any longer period that the Minister may, in any particular case, allow.\n> \n> **s 244:** Am 2008 No 19, Sch 1 \\[210\\]–\\[212\\]; 2014 No 1, Sch 2 \\[2\\]; 2015 No 40, Sch 1 \\[89\\]; 2017 No 17, Sch 2.12 \\[9\\]; 2022 No 21, Sch 1\\[91\\].","sortOrder":418},{"sectionNumber":"245","sectionType":"section","heading":"Clearing away of mining plant","content":"#### 245 Clearing away of mining plant\n\n245 Clearing away of mining plant\n\n> > (1) The holder of an authority or mineral claim over land that ceases to be subject to the authority or claim—\n> > \n> > > (a) may, within the prescribed period, and\n> > \n> > > (b) must, if directed to do so by the Minister by notice in writing, within the period specified in the notice,\n> > \n> > cause to be removed from the land any mining plant brought onto, or erected on, that land in the course of mining operations carried out under the authority or claim.\n> \n> > (2) The Minister may give a direction under this section even though the prescribed period has not expired.","sortOrder":419},{"sectionNumber":"246","sectionType":"section","heading":"Sale of mining plant","content":"#### 246 Sale of mining plant\n\n246 Sale of mining plant\n\n> > (1) If mining plant is not duly removed under this Division, the Minister may direct that the mining plant be sold by public auction.\n> \n> > (2) Any mining plant remaining unsold after the public auction held may be sold by private treaty.\n> \n> > (3) The following amounts are to be deducted from the proceeds of any such sale—\n> > \n> > > (a) the costs of the sale and of any matter incidental to or connected with the sale,\n> > \n> > > (b) the costs of removing from the land concerned any mining plant remaining unsold after the public auction,\n> > \n> > > (c) any amount owing in respect of compensation for compensable loss within the meaning of Division 1 of Part 13,\n> > \n> > > (d) any other amount that the Secretary certifies to be a deductible amount.\n> \n> > (4) Any balance remaining is to be paid to the Chief Commissioner of Unclaimed Money as unclaimed money, and section 10 (2) and Part 4 of the [Unclaimed Money Act 1995](/view/html/inforce/current/act-1995-075) apply to the balance so paid as they would have applied had the balance been paid to the Chief Commissioner under section 10 of that Act.\n> \n> > (5) If the proceeds of sale are less than the amounts to be deducted, the proceeds are to be applied in meeting those amounts in such manner as the Minister directs.\n> \n> **s 246:** Am 1995 No 75, Sch 1.","sortOrder":420},{"sectionNumber":"246M","sectionType":"section","heading":"Relationship of this Division to other provisions","content":"#### 246M Relationship of this Division to other provisions\n\n246M Relationship of this Division to other provisions\n\n> This Division does not affect any other provision of this Act that—\n> \n> > (a) enables an authorisation to be subject to a condition requiring monitoring or reporting, or\n> \n> > (b) relates to functions exercisable by persons for the purpose of auditing compliance with this Act, the regulations or conditions of authorisations.\n> \n> **ss 246M–246O:** Ins 2008 No 19, Sch 1 \\[213\\].","sortOrder":423},{"sectionNumber":"246N","sectionType":"section","heading":"Nature of audit","content":"#### 246N Nature of audit\n\n246N Nature of audit\n\n> An audit under this Division is a periodic or particular documented evaluation of prospecting or mining operations (including management practices, systems and plant) for any one or more of the following purposes—\n> \n> > (a) to provide information on compliance or otherwise with obligations under the authorisation or other related legal requirements under this or any other law (including in relation to the protection of the environment from the impacts of, or the rehabilitation of land affected by, activities under the authorisation),\n> \n> > (b) to provide information on compliance or otherwise with codes of practice or policies relevant to the authorisation,\n> \n> > (c) to enable a determination of whether the way activities are being carried out under the authorisation can be improved in order to protect the environment.\n> \n> **ss 246M–246O:** Ins 2008 No 19, Sch 1 \\[213\\].","sortOrder":424},{"sectionNumber":"246O","sectionType":"section","heading":"Accreditation and regulation of auditors","content":"#### 246O Accreditation and regulation of auditors\n\n246O Accreditation and regulation of auditors\n\n> The regulations may make provision for or with respect to either or both of the following—\n> \n> > (a) the accreditation of auditors for the purposes of this Division,\n> \n> > (b) the carrying out of audits by auditors.\n> \n> **ss 246M–246O:** Ins 2008 No 19, Sch 1 \\[213\\].","sortOrder":425},{"sectionNumber":"246P","sectionType":"section","heading":"Conditions for mandatory audits","content":"#### 246P Conditions for mandatory audits\n\n246P Conditions for mandatory audits\n\n> > (1) A condition that requires one or more mandatory audits to be undertaken, to the satisfaction of the Secretary, for any one or more of the purposes referred to in section 246N (a mandatory audit condition) may be imposed by the decision-maker on an authorisation.\n> \n> > (2) A mandatory audit condition must specify the purpose or purposes of the audit.\n> \n> > (3) A mandatory audit condition may require any one or more of the following—\n> > \n> > > (a) appointment of an auditor to undertake the audit,\n> > \n> > > (b) approval by the Secretary of the auditor before being appointed,\n> > \n> > > (c) preparation of particular written documentation during the course of the audit,\n> > \n> > > (d) preparation of an audit report,\n> > \n> > > (e) production to the Secretary of the audit report.\n> \n> > (4) A mandatory audit condition may also—\n> > \n> > > (a) specify the format and level of detail required for the audit, or\n> > \n> > > (b) require the auditor to submit the proposed format and level of detail to the Secretary for approval.\n> \n> > (5) A mandatory audit condition may be varied or revoked by written notice served on the holder of the authorisation.\n> \n> > (6) A condition imposed under this section takes effect on the date on which written notice of the condition is served on the holder of the authorisation or on any later date specified in the notice.\n> \n> > (7) This section does not affect the operation of the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203), section 4.42, 4.50 or 5.24.\n> \n> **s 246P:** Ins 2008 No 19, Sch 1 \\[213\\]. Am 2015 No 40, Sch 1 \\[90\\]; 2017 No 27, Sch 1 \\[10\\]; 2022 No 21, Sch 1\\[92\\].","sortOrder":426},{"sectionNumber":"246Q","sectionType":"section","heading":"Certification of audit report","content":"#### 246Q Certification of audit report\n\n246Q Certification of audit report\n\n> The audit report for a mandatory audit is taken not to have been duly produced to the Secretary unless it is accompanied by—\n> \n> > (a) a declaration signed by the holder of the authorisation certifying that the holder has not knowingly provided any false or misleading information to the auditor and has provided all relevant information to the auditor, and\n> \n> > (b) a declaration signed by the auditor—\n> > \n> > > (i) setting out the auditor’s qualifications, and\n> > \n> > > (ii) certifying that the report is accurate, and that the auditor has not knowingly included any false or misleading information in it or failed to include any relevant information in it.\n> \n> **ss 246Q–246U:** Ins 2008 No 19, Sch 1 \\[213\\].","sortOrder":427},{"sectionNumber":"246R","sectionType":"section","heading":"Offences relating to audit information","content":"#### 246R Offences relating to audit information\n\n246R Offences relating to audit information\n\n> > (1) A person who provides information to an auditor in connection with a mandatory audit, knowing the information to be false or misleading in a material respect, is guilty of an offence.\n> \n> > (2) The holder of an authorisation who fails to provide information to an auditor in connection with a mandatory audit being carried out in relation to the authorisation, knowing the information to be materially relevant to the audit, is guilty of an offence.\n> \n> > (3) An auditor who includes information in an audit report produced to the Secretary in connection with a mandatory audit, knowing the information to be false or misleading in a material respect, is guilty of an offence.\n> \n> > (4) An auditor who fails to provide information in an audit report produced to the Secretary in connection with a mandatory audit, knowing the information to be materially relevant to the audit, is guilty of an offence.\n> \n> > (5) The holder of an authorisation who—\n> > \n> > > (a) fails to retain any written documentation required to be prepared by the holder in connection with a mandatory audit for a period of at least 5 years after the audit report concerned was produced to the Secretary (or such other period as is prescribed by the regulations), or\n> > \n> > > (b) fails to produce during that period any such documentation to the Secretary on request,\n> > \n> > is guilty of an offence.\n> \n> Maximum penalty—\n> \n> > (a) in the case of a corporation—1,000 penalty units, or\n> \n> > (b) in the case of a natural person—500 penalty units.\n> \n> **ss 246Q–246U:** Ins 2008 No 19, Sch 1 \\[213\\].","sortOrder":428},{"sectionNumber":"246S","sectionType":"section","heading":"Self-incriminatory information not exempt","content":"#### 246S Self-incriminatory information not exempt\n\n246S Self-incriminatory information not exempt\n\n> Information must be supplied by a person in connection with a mandatory audit, and this Division applies to any such information that is supplied, whether or not the information might incriminate the person.\n> \n> **ss 246Q–246U:** Ins 2008 No 19, Sch 1 \\[213\\].","sortOrder":429},{"sectionNumber":"246T","sectionType":"section","heading":"Use of information","content":"#### 246T Use of information\n\n246T Use of information\n\n> > (1) Any information in an audit report or other documentation supplied to the Secretary in connection with a mandatory audit may be supplied by the Secretary to, and taken into consideration by, any person who has functions under this Act, the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203) or the environment protection legislation and may be used by that person for the purposes of those laws.\n> \n> > (2) Without limiting subsection (1)—\n> > \n> > > (a) the Secretary is authorised, despite any other Act or law, to provide a relevant agency with any such information, and\n> > \n> > > (b) any such information is admissible in evidence in any prosecution of the holder of an authorisation for any offence (whether under this Act or otherwise).\n> \n> > (3) In this section, relevant agency means the Department, or a public authority engaged in administering or executing the environment protection legislation, the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203) or such other legislation, if any, as may be prescribed by the regulations.\n> \n> **ss 246Q–246U:** Ins 2008 No 19, Sch 1 \\[213\\].","sortOrder":430},{"sectionNumber":"246U","sectionType":"section","heading":"Nature of voluntary audit","content":"#### 246U Nature of voluntary audit\n\n246U Nature of voluntary audit\n\n> > (1) For the purposes of this Division, a voluntary audit is an audit commissioned or carried out voluntarily, whether or not in relation to activities carried out under an authorisation.\n> \n> > (2) An audit is not voluntary if there is a contemporaneous requirement for a mandatory audit in relation to the same or substantially the same activity or other matter and the audits are to be carried out by the same person.\n> \n> **ss 246Q–246U:** Ins 2008 No 19, Sch 1 \\[213\\].","sortOrder":431},{"sectionNumber":"246V","sectionType":"section","heading":"Protected documents","content":"#### 246V Protected documents\n\n246V Protected documents\n\n> > (1) Documents prepared for the sole purpose of a voluntary audit are protected documents for the purposes of this Act.\n> \n> > (2) The protected documents include the final report of the audit and any documents prepared during the course of the audit for the sole purpose of the audit.\n> \n> > (3) Without affecting the generality of subsection (1) or (2), documents are not protected if they are prepared wholly or partly in connection with monitoring or reporting that is required by any conditions of an authorisation or by a direction under section 240 or 240AA.\n> \n> **s 246V:** Ins 2008 No 19, Sch 1 \\[213\\]. Am 2015 No 40, Sch 1 \\[91\\].","sortOrder":432},{"sectionNumber":"246W","sectionType":"section","heading":"Nature of protection","content":"#### 246W Nature of protection\n\n246W Nature of protection\n\n> > (1) A protected document—\n> > \n> > > (a) is not admissible in evidence against any person in any proceedings connected with the administration or enforcement of this Act, the environment protection legislation or such other legislation, if any, as may be prescribed by the regulations, and\n> > \n> > > (b) must not be inspected, copied, seized or otherwise obtained by the Department, any authority prescribed by the regulations or by any other person for any purpose connected with such administration or enforcement.\n> \n> > (2) Neither the Department, a prescribed authority nor any other person may, for the purpose referred to in subsection (1) (b), require a person to answer any question or provide any information about the existence of the document or about what it contains.\n> \n> > (3) The onus of establishing that a document is a protected document lies on the person asserting that it is protected.\n> \n> > (4) A court may inspect any document that is claimed to be a protected document for the purpose of determining whether it is or is not a protected document.\n> \n> > (5) The regulations may prescribe procedures for making and determining claims that a document is a protected document.\n> \n> **s 246W:** Ins 2008 No 19, Sch 1 \\[213\\] (am 2009 No 106, Sch 2.21).","sortOrder":433},{"sectionNumber":"246X","sectionType":"section","heading":"Lifting of protection","content":"#### 246X Lifting of protection\n\n246X Lifting of protection\n\n> > (1) Documents prepared in relation to a voluntary audit cease to be protected if the person asserting or relying on the protection uses or relies on (or attempts to use or rely on) the whole or any part of one or more of the documents, whether directly or indirectly, in any proceedings connected with the administration or enforcement of this Act, the environment protection legislation or such other legislation, if any, as may be prescribed.\n> \n> > (2) This section does not apply where the person is using or relying on (or attempting to use or rely on) a document for the purpose of establishing that the document is protected.\n> \n> **s 246X:** Ins 2008 No 19, Sch 1 \\[213\\].","sortOrder":434},{"sectionNumber":"Part 12","sectionType":"part","heading":"Powers of entry and inspection","content":"# Part 12 Powers of entry and inspection\n\nPart 12 Powers of entry and inspection\n\n**pt 12, hdg:** Subst 2008 No 19, Sch 1 \\[214\\].","sortOrder":435},{"sectionNumber":"247","sectionType":"section","heading":"Purposes for which powers under Part may be exercised","content":"#### 247 Purposes for which powers under Part may be exercised\n\n247 Purposes for which powers under Part may be exercised\n\n> Powers may be exercised under this Part for the following purposes—\n> \n> > (a) for determining whether there has been compliance with or a contravention of this Act or the regulations or any authorisation, direction, notice or requirement issued or made under this Act,\n> \n> > (b) for obtaining information or records for purposes connected with the administration of this Act,\n> \n> > (c) generally for administering this Act.\n> \n> **s 247:** Am 1992 No 111, Sch 1; 2000 No 90, Sch 1.1 \\[6\\]. Subst 2008 No 19, Sch 1 \\[215\\].","sortOrder":437},{"sectionNumber":"247A","sectionType":"section","heading":null,"content":"#### 247A\n\n247A (Repealed)","sortOrder":438},{"sectionNumber":"248","sectionType":"section","heading":"Effect on other functions","content":"#### 248 Effect on other functions\n\n248 Effect on other functions\n\n> Nothing in this Part—\n> \n> > (a) affects any function under any other Part of this Act or under any other Act, or\n> \n> > (b) limits the conditions that may be attached to an authorisation.\n> \n> **s 248:** Am 1996 No 137, Sch 1 \\[92\\]. Subst 2008 No 19, Sch 1 \\[215\\].","sortOrder":440},{"sectionNumber":"Division 1A","sectionType":"division","heading":"Powers to require information and records","content":"## Division 1A Powers to require information and records\n\nDivision 1A Powers to require information and records\n\n**pt 12, div 1A (ss 248A, 248B):** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":441},{"sectionNumber":"248A","sectionType":"section","heading":"Application of Division","content":"#### 248A Application of Division\n\n248A Application of Division\n\n> This Division applies whether or not a power of entry under Division 1B is being or has been exercised.\n> \n> **pt 12, div 1A (ss 248A, 248B):** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":442},{"sectionNumber":"248B","sectionType":"section","heading":"Requirement to provide information and records","content":"#### 248B Requirement to provide information and records\n\n248B Requirement to provide information and records\n\n> > (1) An inspector may, by written notice given to a person, require the person to furnish to the inspector such information or records (or both) as the inspector requires by the notice in connection with any matter relating to the administration of this Act.\n> \n> > (2) The notice must specify the manner in which the information or records are required to be furnished and a reasonable time by which the information or records are required to be furnished.\n> \n> > (3) If a record required to be furnished under the notice is in electronic, mechanical or other form, the notice requires the record to be furnished in written form, unless the notice otherwise provides.\n> \n> > (4) The notice may only require a person to furnish existing records that are in the person’s possession or that are within the person’s power to obtain lawfully.\n> \n> > (5) The inspector to whom a record is furnished under the notice may take copies of the record.\n> \n> **pt 12, div 1A (ss 248A, 248B):** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":443},{"sectionNumber":"Division 1B","sectionType":"division","heading":"Powers of entry and search","content":"## Division 1B Powers of entry and search\n\nDivision 1B Powers of entry and search\n\n**pt 12, div 1B:** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":444},{"sectionNumber":"248C","sectionType":"section","heading":"Powers to enter premises","content":"#### 248C Powers to enter premises\n\n248C Powers to enter premises\n\n> > (1) An inspector may enter—\n> > \n> > > (a) any premises at which the inspector reasonably suspects that any prospecting operations, mining operations or ancillary mining activities are being or are about to be carried out—at any time, and\n> > \n> > > (b) any premises that the inspector reasonably suspects have been, are being or are likely to be affected by prospecting operations, mining operations or an ancillary mining activity—at any time, and\n> > \n> > > (c) any premises where the inspector reasonably believes that documents that relate to any activity referred to in paragraph (a) or (b) are kept—at any time.\n> \n> > (2) The power to enter premises authorises entry by foot or by means of a motor vehicle or other vehicle, or by an aircraft, or in any other manner.\n> \n> > (3) Entry may be effected with the aid of such police officers or other inspectors as the inspector considers necessary and with the use of reasonable force.\n> \n> > (4) Entry may be effected to any premises with the authority of a search warrant under section 248F.\n> \n> **s 248C:** Ins 2008 No 19, Sch 1 \\[215\\] (am 2009 No 56, Sch 1.27 \\[2\\]).","sortOrder":445},{"sectionNumber":"248D","sectionType":"section","heading":"Entry into residential premises only with permission or warrant","content":"#### 248D Entry into residential premises only with permission or warrant\n\n248D Entry into residential premises only with permission or warrant\n\n> This Division does not entitle an inspector to enter any part of premises used only for residential purposes without the permission of the occupier or the authority of a search warrant under section 248F.\n> \n> **s 248D:** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":446},{"sectionNumber":"248E","sectionType":"section","heading":"Powers of inspectors to do things at premises","content":"#### 248E Powers of inspectors to do things at premises\n\n248E Powers of inspectors to do things at premises\n\n> > (1) An inspector may, at any premises lawfully entered, do anything that in the opinion of the inspector is necessary to be done for the purposes of this Part, including (but not limited to) the things specified in subsection (2).\n> \n> > (2) An inspector may do any or all of the following—\n> > \n> > > (a) examine and inspect any works, plant, vehicle, aircraft or other article,\n> > \n> > > (b) take and remove samples,\n> > \n> > > (c) make such examinations, inquiries and tests as the inspector considers necessary,\n> > \n> > > (d) take such photographs, films, audio, video and other recordings as the inspector considers necessary,\n> > \n> > > (e) require records to be produced for inspection,\n> > \n> > > (f) examine and inspect any records,\n> > \n> > > (g) take extracts from, or a copy of, any records,\n> > \n> > > (h) seize anything that the inspector has reasonable grounds for believing is connected with an offence against this Act or the regulations,\n> > \n> > > (i) for the purposes of paragraph (h), direct the occupier of the premises where the thing is seized to retain it at those premises or at another place under the control of the occupier,\n> > \n> > > (j) do any other thing the inspector is empowered to do under this Part.\n> \n> > (3) The power to seize anything connected with an offence includes a power to seize—\n> > \n> > > (a) a thing with respect to which the offence has been committed, and\n> > \n> > > (b) a thing that will afford evidence of the commission of the offence, and\n> > \n> > > (c) a thing that was used for the purpose of committing the offence.\n> > \n> > A reference to any such offence includes a reference to an offence that there are reasonable grounds for believing has been committed.\n> \n> **s 248E:** Ins 2008 No 19, Sch 1 \\[215\\] (am 2009 No 56, Sch 1.27 \\[3\\]).","sortOrder":447},{"sectionNumber":"248F","sectionType":"section","heading":"Search warrants","content":"#### 248F Search warrants\n\n248F Search warrants\n\n> > (1) An inspector may apply to an authorised officer within the meaning of the [Law Enforcement (Powers and Responsibilities) Act 2002](/view/html/inforce/current/act-2002-103) for the issue of a search warrant if the inspector believes on reasonable grounds that—\n> > \n> > > (a) a provision of this Act or the regulations is being or has been contravened at any premises, or\n> > \n> > > (b) there is in or on any premises matter or a thing that is connected with an offence under this Act or the regulations.\n> \n> > (2) An authorised officer within the meaning of the [Law Enforcement (Powers and Responsibilities) Act 2002](/view/html/inforce/current/act-2002-103) to whom an application is made may, if satisfied that there are reasonable grounds for doing so, issue a search warrant authorising an inspector named in the warrant—\n> > \n> > > (a) to enter the premises, and\n> > \n> > > (b) to exercise any function of an inspector under this Part.\n> \n> > (3) Division 4 of Part 5 of the [Law Enforcement (Powers and Responsibilities) Act 2002](/view/html/inforce/current/act-2002-103) applies to a search warrant issued under this section.\n> \n> > (4) Definitions In this section—\n> > \n> > matter or a thing connected with an offence means—\n> > \n> > > (a) matter or a thing with respect to which the offence has been committed, or\n> > \n> > > (b) matter or a thing that will afford evidence of the commission of an offence, or\n> > \n> > > (c) matter or a thing that was used, or is intended to be used, for the purpose of committing the offence.\n> > \n> > offence includes an offence that there are reasonable grounds for believing has been, or is to be, committed.\n> \n> **ss 248F–248J:** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":448},{"sectionNumber":"248G","sectionType":"section","heading":"Inspectors may request assistance","content":"#### 248G Inspectors may request assistance\n\n248G Inspectors may request assistance\n\n> A person may accompany an inspector and take all reasonable steps to assist the inspector in the exercise of his or her functions under this Part if the inspector is of the opinion that the person is capable of providing assistance to the inspector in the exercise of those functions.\n> \n> **ss 248F–248J:** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":449},{"sectionNumber":"248H","sectionType":"section","heading":"Assistance to be given to inspectors","content":"#### 248H Assistance to be given to inspectors\n\n248H Assistance to be given to inspectors\n\n> > (1) This section applies for the purpose of enabling an inspector to exercise any of the powers of an inspector under this Part in connection with any premises.\n> \n> > (2) The Secretary may, by written notice given to the owner or occupier of the premises, require the owner or occupier to provide such reasonable assistance and facilities as are specified in the notice within a specified time and in a specified manner.\n> \n> > (3) Assistance and facilities can be required under this section, whether they are of the same kind as, or a different kind from, any prescribed by the regulations.\n> \n> **ss 248F–248J:** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":450},{"sectionNumber":"248I","sectionType":"section","heading":"Care to be taken","content":"#### 248I Care to be taken\n\n248I Care to be taken\n\n> In the exercise of a power of entering or searching premises under this Part, the inspector must do as little damage as possible.\n> \n> **ss 248F–248J:** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":451},{"sectionNumber":"248J","sectionType":"section","heading":"Compensation","content":"#### 248J Compensation\n\n248J Compensation\n\n> The Crown is to compensate all interested parties for any damage caused by an inspector in exercising a power under this Part of entering premises (but not any damage caused by the exercise of any other power), unless the occupier obstructed or hindered the inspector in the exercise of the power of entry.\n> \n> **ss 248F–248J:** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":452},{"sectionNumber":"248L","sectionType":"section","heading":"Power of inspectors to require answers","content":"#### 248L Power of inspectors to require answers\n\n248L Power of inspectors to require answers\n\n> > (1) An inspector may require a person whom the inspector suspects on reasonable grounds to have knowledge of matters in respect of which information is reasonably required for a purpose to which this Part applies to answer questions in relation to those matters.\n> \n> > (2) The Secretary may, by written notice, require a corporation to nominate, in writing within the time specified in the notice, a director or officer of the corporation to be the corporation’s representative for the purpose of answering questions under this section.\n> \n> > (3) Answers given by a person nominated under subsection (2) bind the corporation.\n> \n> > (4) An inspector may, by written notice, require a person to attend at a specified place and time to answer questions under this section if attendance at that place is reasonably required in order that the questions can be properly put and answered.\n> \n> > (5) The place and time at which a person may be required to attend is to be—\n> > \n> > > (a) a place or time nominated by the person, or\n> > \n> > > (b) if the place and time nominated is not reasonable in the circumstances or a place and time is not nominated by the person, a place and time nominated by the inspector that is reasonable in the circumstances.\n> \n> > (6) The inspector may, in the notice under subsection (4) or in a subsequent notice, authorise the person to answer the questions using an audio link or audio visual link of a kind approved by the inspector.\n> \n> > (7) If the questions are to be answered by the person using an audio link or audio visual link—\n> > \n> > > (a) the place at which the person is required to attend is taken to be any place having adequate facilities for the answering of questions in that way at the time nominated under subsection (5), and\n> > \n> > > (b) the person must ensure the audio link or audio visual link is operated appropriately so that the answers given to the questions are clear to the inspector.\n> \n> > (8) In this section—\n> > \n> > audio link means technology that enables continuous and contemporaneous audio communication between persons at different places, including telephones.\n> > \n> > audio visual link means technology that enables continuous and contemporaneous audio and visual communication between persons at different places, including video conferencing.\n> \n> > (9) (Repealed)\n> \n> **s 248L:** Ins 2008 No 19, Sch 1 \\[215\\]. Am 1992 No 92, sec 248L(9); 2015 No 40, Sch 1 \\[93\\]; 2020 No 5, Sch 1.22; 2021 No 5, Sch 1.21; 2022 No 5, Sch 1.13.","sortOrder":453},{"sectionNumber":"248M","sectionType":"section","heading":"Recording of evidence","content":"#### 248M Recording of evidence\n\n248M Recording of evidence\n\n> > (1) An inspector may cause any questions and answers to questions given under this Part to be recorded if the inspector has informed the person who is to be questioned that the record is to be made.\n> \n> > (2) A record may be made using sound recording apparatus or audio visual apparatus, or any other method determined by the inspector.\n> \n> > (3) A copy of any such record must be provided by the inspector to the person who is questioned as soon as practicable after it is made.\n> \n> > (4) A record may be made under this section despite the provisions of any other law.\n> \n> **s 248M:** Ins 2008 No 19, Sch 1 \\[215\\]. Am 2015 No 40, Sch 1 \\[94\\].","sortOrder":454},{"sectionNumber":"248N","sectionType":"section","heading":"Power of inspectors to demand name and address","content":"#### 248N Power of inspectors to demand name and address\n\n248N Power of inspectors to demand name and address\n\n> > (1) An inspector may require a person whom the inspector suspects on reasonable grounds to have offended or to be offending against a provision of this Act or the regulations to state his or her full name and residential address.\n> \n> > (2) An inspector may request a person who is required under this section to state his or her full name and residential address to provide proof of the name and address. It is not an offence under section 248S to fail to comply with any such request.\n> \n> > (3) The maximum penalty for an offence under section 248S in connection with a requirement under this section is 100 penalty units, despite anything to the contrary in that section.\n> \n> **s 248N:** Ins 2008 No 19, Sch 1 \\[215\\]. Am 2015 No 40, Sch 1 \\[95\\].","sortOrder":455},{"sectionNumber":"248NA","sectionType":"section","heading":"Application of Division","content":"#### 248NA Application of Division\n\n248NA Application of Division\n\n> The powers in sections 248L, 248M and 248N may be exercised whether or not a power of entry under this Division is being or has been exercised.\n> \n> **s 248NA:** Ins 2015 No 40, Sch 1 \\[96\\].","sortOrder":456},{"sectionNumber":"248O","sectionType":"section","heading":null,"content":"#### 248O\n\n248O (Repealed)","sortOrder":457},{"sectionNumber":"Division 1C","sectionType":"division","heading":null,"content":"## Division 1C\n\nDivision 1C\n\n(Repealed)\n\n**pt 12, div 1C:** Ins 2008 No 19, Sch 1 \\[215\\].\n\n**pt 12, div 1C, hdg:** Ins 2008 No 19, Sch 1 \\[215\\]. Rep 2015 No 40, Sch 1 \\[92\\].","sortOrder":459},{"sectionNumber":"Division 1D","sectionType":"division","heading":"Powers with respect to articles","content":"## Division 1D Powers with respect to articles\n\nDivision 1D Powers with respect to articles\n\n**pt 12, div 1D (ss 248P–248R):** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":460},{"sectionNumber":"248P","sectionType":"section","heading":"Definition","content":"#### 248P Definition\n\n248P Definition\n\n> In this Division, article includes any plant, motor or other vehicle, aircraft, vessel or other thing of any description.\n> \n> **pt 12, div 1D (ss 248P–248R):** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":461},{"sectionNumber":"248Q","sectionType":"section","heading":"Application of Division","content":"#### 248Q Application of Division\n\n248Q Application of Division\n\n> Nothing in this Division limits the functions that may be exercised under any other Division of this Part.\n> \n> **pt 12, div 1D (ss 248P–248R):** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":462},{"sectionNumber":"248R","sectionType":"section","heading":"Power to inspect and test","content":"#### 248R Power to inspect and test\n\n248R Power to inspect and test\n\n> > (1) An inspector may, for the purposes of this Part, inspect and test any article.\n> \n> > (2) The inspector may, for the purposes of any such inspection or testing—\n> > \n> > > (a) enter the article, and\n> > \n> > > (b) enter in accordance with this Act the premises where the article is located, and\n> > \n> > > (c) operate the article, and\n> > \n> > > (d) take photographs or video films of the article, and\n> > \n> > > (e) inspect or test any substance being carried by the article or in any container on the article, and\n> > \n> > > (f) take a sample of any such substance for testing.\n> \n> **pt 12, div 1D (ss 248P–248R):** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":463},{"sectionNumber":"Division 1E","sectionType":"division","heading":"General","content":"## Division 1E General\n\nDivision 1E General\n\n**pt 12, div 1E:** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":464},{"sectionNumber":"248S","sectionType":"section","heading":"Offences","content":"#### 248S Offences\n\n248S Offences\n\n> > (1) A person who, without lawful excuse, neglects or fails to comply with a requirement made of the person under this Part is guilty of an offence.\n> \n> > (2) A person who wilfully delays or obstructs an inspector in the exercise of the inspector’s powers under this Part is guilty of an offence.\n> \n> > (3) A person who impersonates an inspector is guilty of an offence.\n> \n> Maximum penalty—\n> \n> > (a) in the case of a corporation—10,000 penalty units, and, in the case of a continuing offence, a further penalty of 1,000 penalty units for each day that the offence continues, or\n> \n> > (b) in the case of a natural person—2,000 penalty units, and, in the case of a continuing offence, a further penalty of 200 penalty units for each day that the offence continues.\n> \n> **s 248S:** Ins 2008 No 19, Sch 1 \\[215\\]. Am 2012 No 84, Sch 2.2 \\[8\\].","sortOrder":465},{"sectionNumber":"248T","sectionType":"section","heading":"Provisions relating to requirements to furnish records or information or answer questions","content":"#### 248T Provisions relating to requirements to furnish records or information or answer questions\n\n248T Provisions relating to requirements to furnish records or information or answer questions\n\n> > (1) Warning to be given on each occasion A person is not guilty of an offence of failing to comply with a requirement under this Part to furnish records or information or to answer a question unless the person was warned on that occasion that a failure to comply is an offence.\n> \n> > (2) Self-incrimination not an excuse A person is not excused from a requirement under this Part to furnish records or information or to answer a question on the ground that the record, information or answer might incriminate the person or make the person liable to a penalty.\n> \n> > (3) Information or answer not admissible if objection made However, any information furnished or answer given by a natural person in compliance with a requirement under this Part is not admissible in evidence against the person in criminal proceedings (except proceedings for an offence under this Part) if—\n> > \n> > > (a) the person objected at the time to doing so on the ground that it might incriminate the person, or\n> > \n> > > (b) the person was not warned on that occasion that the person may object to furnishing the information or giving the answer on the ground that it might incriminate the person.\n> \n> > (4) Records admissible Any record furnished by a person in compliance with a requirement under this Part is not inadmissible in evidence against the person in criminal proceedings on the ground that the record might incriminate the person.\n> \n> > (5) Further information Further information obtained as a result of a record or information furnished or of an answer given in compliance with a requirement under this Part is not inadmissible on the ground—\n> > \n> > > (a) that the record or information had to be furnished or the answer had to be given, or\n> > \n> > > (b) that the record or information furnished or answer given might incriminate the person.\n> \n> > (6) Section extends to requirement to state name and address This section extends to a requirement under this Part to state a person’s name and address.\n> \n> **s 248T:** Ins 2008 No 19, Sch 1 \\[215\\]. Subst 2015 No 40, Sch 1 \\[98\\].","sortOrder":466},{"sectionNumber":"248U","sectionType":"section","heading":"Revocation or variation","content":"#### 248U Revocation or variation\n\n248U Revocation or variation\n\n> > (1) A notice given under this Part may be revoked or varied by a subsequent notice or notices.\n> \n> > (2) A notice may be varied by modification of, or addition to, its terms and specifications.\n> \n> > (3) Without limiting subsection (2), a notice may be varied by extending the time for complying with the notice.\n> \n> > (4) A notice may only be revoked or varied by an inspector (whether or not the inspector who gave the notice).\n> \n> **s 248U:** Ins 2008 No 19, Sch 1 \\[215\\].","sortOrder":467},{"sectionNumber":"248V","sectionType":"section","heading":null,"content":"#### 248V\n\n248V (Repealed)","sortOrder":468},{"sectionNumber":"249","sectionType":"section","heading":"Entry on land to comply with environmental, rehabilitation and other directions and for other purposes","content":"#### 249 Entry on land to comply with environmental, rehabilitation and other directions and for other purposes\n\n249 Entry on land to comply with environmental, rehabilitation and other directions and for other purposes\n\n> > (1) The Minister may grant a permit to any person to enter any land so as to enable the person—\n> > \n> > > (a) to comply with a direction in force under section 240, or\n> > \n> > > (b) to remove any mining plant from any land in accordance with a direction under section 245 or as a result of a sale conducted under section 246.\n> \n> > (2) The holder of a permit under this section, and any employee or agent of the holder, may, in accordance with the permit—\n> > \n> > > (a) enter the land to which the permit relates, and\n> > \n> > > (b) do on that land all such things as are reasonably necessary to achieve the purpose for which the permit is granted.\n> \n> **s 249:** Am 2022 No 21, Sch 1\\[93\\] \\[94\\].","sortOrder":471},{"sectionNumber":"250","sectionType":"section","heading":"Surveys and ore sampling","content":"#### 250 Surveys and ore sampling\n\n250 Surveys and ore sampling\n\n> > (1) The Minister may grant a permit to any registered surveyor, or any officer of the Department, to enter any land for any of the following purposes—\n> > \n> > > (a) the carrying out of any geological, geophysical, geochemical or other survey of the land,\n> > \n> > > (b) the removal of soil, rock, mineral or ore samples from the land.\n> \n> > (2) The holder of a permit under this section, and any employee, agent or assistant of the holder, may, in accordance with the permit—\n> > \n> > > (a) enter the land to which the permit relates, and\n> > \n> > > (b) do on that land all such things as are reasonably necessary to achieve the purpose for which the permit was granted.\n> \n> **s 250:** Subst 1996 No 137, Sch 1 \\[98\\]. Am 2002 No 83, Sch 2.13 \\[1\\].","sortOrder":472},{"sectionNumber":"251","sectionType":"section","heading":null,"content":"#### 251\n\n251 (Repealed)","sortOrder":473},{"sectionNumber":"252","sectionType":"section","heading":"Environmental assessment","content":"#### 252 Environmental assessment\n\n252 Environmental assessment\n\n> > (1) The Minister may, on the application of a person who proposes to undertake an assessment (for the purposes of this Act or the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203)) of the likely effect on the environment of the activities to be carried out under an authority or a mineral claim, grant a permit to the applicant to enter any land so as to enable the person to undertake the assessment.\n> \n> > (2) (Repealed)\n> \n> > (3) The holder of a permit under this section, and any employee or agent of the holder, may, in accordance with the permit—\n> > \n> > > (a) enter the land to which the permit relates, and\n> > \n> > > (b) do on that land all such things as are reasonably necessary to carry out the assessment to which the permit relates.\n> \n> > (4), (5) (Repealed)\n> \n> > (6) A permit under this section may not be granted in respect of land within a national park, state conservation area, regional park, historic site, nature reserve, karst conservation reserve, Aboriginal area, wildlife refuge or Aboriginal place within the meaning of the [National Parks and Wildlife Act 1974](/view/html/inforce/current/act-1974-080) except with the concurrence of the Minister administering that Act.\n> \n> > (7) A permit under this section may not be granted in respect of land within a marine park within the meaning of the [Marine Estate Management Act 2014](/view/html/inforce/current/act-2014-072) except with the concurrence of the relevant Ministers within the meaning of that Act.\n> \n> **s 252:** Am 1996 No 58, Sch 2.6; 1997 No 64, Sch 4.2; 2006 No 120, Sch 2.54; 2008 No 107, Sch 19 \\[30\\]–\\[32\\]; 2014 No 72, Sch 4.7.","sortOrder":475},{"sectionNumber":"253","sectionType":"section","heading":"Encroachments by mining works","content":"#### 253 Encroachments by mining works\n\n253 Encroachments by mining works\n\n> > (1) The Minister may, on the application of a person having the care and management of a public road or railway, grant a permit to a registered surveyor or other person to enter and inspect any land the subject of an authority or a mineral claim so as to enable the person to ascertain whether any work carried out on that land—\n> > \n> > > (a) is encroaching on that road or railway, or\n> > \n> > > (b) is likely to cause injury or damage to that road or railway or to any building or structure adjacent to that road or railway.\n> \n> > (2) The Minister may, on the application of a landholder of land adjoining land the subject of an authority or a mineral claim, grant a permit to a registered surveyor or other person to enter and inspect that land so as to enable the person to ascertain whether any work carried out on that land is encroaching on the adjoining land.\n> \n> > (3) The holder of a permit under this section, and any employee or agent of the holder, may, in accordance with the permit—\n> > \n> > > (a) enter and inspect the land to which the permit relates, and\n> > \n> > > (b) survey that land or any part of that land, and\n> > \n> > > (c) make plans and sections of that land or any part of that land and of any buildings, structures or works situated on that land.\n> \n> **s 253:** Am 1999 No 43, Sch 1 \\[60\\]; 2002 No 83, Sch 2.13 \\[2\\]; 2008 No 107, Sch 19 \\[33\\].","sortOrder":476},{"sectionNumber":"254","sectionType":"section","heading":"Permit to enter land","content":"#### 254 Permit to enter land\n\n254 Permit to enter land\n\n> > (1) Subject to the regulations, the Secretary may grant a permit to any person to enter any land so as to enable the person to inspect or mark out a proposed mineral claim, to inspect an opal prospecting block or to comply with the conditions of a mineral claim or opal prospecting licence.\n> \n> > (2) Subject to the regulations, the holder of a permit under this section, and any employee or agent of the holder, may, in accordance with the permit—\n> > \n> > > (a) enter the land to which the permit relates, and\n> > \n> > > (b) do all such things as are reasonably necessary for the purpose of inspecting or marking out a proposed mineral claim, inspecting an opal prospecting block or complying with the conditions of any mineral claim or opal prospecting licence.\n> \n> > (3) A permit under this section may not be granted over any land—\n> > \n> > > (a) on which, or within the prescribed distance of which, is situated a dwelling-house that is the principal place of residence of the person occupying it or a woolshed or shearing shed that is in use as such, or\n> > \n> > > (b) on which, or within the prescribed distance of which, is situated any garden, or\n> > \n> > > (c) on which is situated any significant improvement other than an improvement constructed or used for ancillary mining activities only.\n> \n> > (4) The prescribed distance is—\n> > \n> > > (a) 200 metres (or, if a greater distance is prescribed by the regulations, the greater distance) for the purposes of subsection (3) (a), and\n> > \n> > > (b) 50 metres (or, if a greater distance is prescribed by the regulations, the greater distance) for the purposes of subsection (3) (b).\n> \n> **s 254:** Am 1999 No 43, Sch 1 \\[61\\] \\[62\\]; 2004 No 75, Sch 1 \\[33\\]; 2008 No 68, Sch 1 \\[8\\].","sortOrder":477},{"sectionNumber":"255","sectionType":"section","heading":null,"content":"#### 255\n\n255 (Repealed)","sortOrder":479},{"sectionNumber":"255A","sectionType":"section","heading":"Restriction of power of entry: permit holders","content":"#### 255A Restriction of power of entry: permit holders\n\n255A Restriction of power of entry: permit holders\n\n> > (1) A power conferred by this Act to enter any land, or to do anything on any land, pursuant to a permit may not be exercised by any person or persons unless he or she (or, if more than one, one of them)—\n> > \n> > > (a) is in possession of the permit, and\n> > \n> > > (b) gives reasonable notice to the landholder of his or her intention to exercise the power, and\n> > \n> > > (c) exercises the power at a reasonable time, and\n> > \n> > > (d) produces the permit if required to do so by the landholder.\n> \n> > (2) If damage is caused by the holder of a permit exercising a power of entry under the permit, the landholder is entitled to payment from the holder of the permit of a reasonable amount of compensation unless the landholder obstructed, hindered or restricted the holder of the permit in the exercise of the power.\n> \n> > (3) In this section, landholder includes a secondary landholder.\n> \n> **s 255A:** Ins 2004 No 75, Sch 1 \\[34\\]. Am 2008 No 19, Sch 1 \\[220\\]; 2010 No 29, Sch 1 \\[12\\].","sortOrder":481},{"sectionNumber":"256","sectionType":"section","heading":"Entry into residential premises only with permission","content":"#### 256 Entry into residential premises only with permission\n\n256 Entry into residential premises only with permission\n\n> Nothing in this Division or Division 2 entitles any person to enter any part of premises used only for residential purposes without the permission of the occupier.\n> \n> **s 256:** Am 1996 No 137, Sch 1 \\[93\\]. Subst 2008 No 19, Sch 1 \\[221\\].","sortOrder":482},{"sectionNumber":"257","sectionType":"section","heading":"Obstruction","content":"#### 257 Obstruction\n\n257 Obstruction\n\n> A person must not, without reasonable excuse, obstruct, hinder or restrict any other person who is—\n> \n> > (a) entering land, or carrying out any other activity, pursuant to a permit under Division 2, or\n> \n> > (b) entering or doing things on a derelict mine site pursuant to section 249 (2).\n> \n> Maximum penalty—100 penalty units.\n> \n> **s 257:** Am 1996 No 137, Sch 1 \\[93\\]; 2000 No 90, Sch 1.1 \\[6\\]. Subst 2008 No 19, Sch 1 \\[221\\].","sortOrder":483},{"sectionNumber":"258","sectionType":"section","heading":"Conditions of permit","content":"#### 258 Conditions of permit\n\n258 Conditions of permit\n\n> > (1) A permit is subject to such conditions as are imposed by the Minister or Secretary when granting the permit, or at any other time under a power conferred by this Act.\n> \n> > (2) A holder of a permit who contravenes any condition of the permit is guilty of an offence.\n> > \n> > Maximum penalty—5 penalty units.\n> \n> **s 258:** Am 2008 No 19, Sch 1 \\[222\\] 2012 No 46, Sch 5.2 \\[20\\].","sortOrder":485},{"sectionNumber":"259","sectionType":"section","heading":"Term of permit","content":"#### 259 Term of permit\n\n259 Term of permit\n\n> Unless sooner cancelled, a permit remains in force for such period not exceeding—\n> \n> > (a) except as provided by paragraph (b), 12 months from the date it is granted, or\n> \n> > (b) in the case of a permit under section 254, 28 days from the date it is granted,\n> \n> as is specified in the permit.\n> \n> **s 259:** Am 2004 No 75, Sch 1 \\[35\\].","sortOrder":486},{"sectionNumber":"260","sectionType":"section","heading":"Form of permit","content":"#### 260 Form of permit\n\n260 Form of permit\n\n> A permit must be in the form prescribed by the regulations, must be signed by the person by whom it is granted and must include the following particulars—\n> \n> > (a) a statement to the effect that it has been granted under this Act,\n> \n> > (b) the name of the person to whom it has been granted,\n> \n> > (c) the nature of the powers it confers,\n> \n> > (d) a description of the land over which it is granted,\n> \n> > (e) the conditions to which it is subject,\n> \n> > (f) the period for which it is to have effect.","sortOrder":487},{"sectionNumber":"261","sectionType":"section","heading":"Cancellation of permit","content":"#### 261 Cancellation of permit\n\n261 Cancellation of permit\n\n> > (1) The Minister may, for such reason as the Minister thinks fit, cancel a permit that has been granted by the Minister.\n> \n> > (2) (Repealed)\n> \n> > (3) The Secretary may, for such reason as he or she thinks fit, cancel a permit.\n> \n> > (4) The cancellation of a permit under this section cannot be challenged in any legal proceedings commenced later than 3 months after the cancellation.\n> \n> > (5) This section has effect despite the provisions of any other Act, but does not apply so as to affect any appeal against the cancellation commenced not later than 3 months after the cancellation.\n> \n> **s 261:** Am 2008 No 19, Sch 1 \\[223\\]; 2008 No 107, Sch 19 \\[34\\].","sortOrder":488},{"sectionNumber":"Part 12A","sectionType":"part","heading":"Security deposits","content":"# Part 12A Security deposits\n\nPart 12A Security deposits\n\n**pt 12A:** Ins 2008 No 19, Sch 1 \\[224\\].","sortOrder":489},{"sectionNumber":"261A","sectionType":"section","heading":"Definitions","content":"#### 261A Definitions\n\n261A Definitions\n\n> In this Part—\n> \n> assessed deposit has the meaning given by section 261BC.\n> \n> group security deposit means a single security deposit that, under a security deposit condition or conditions, is required to be provided and maintained in respect of more than one authorisation.\n> \n> holder, in relation to an authorisation that has ceased to have effect, means the person who was the holder of the authorisation immediately before it ceased to have effect.\n> \n> minimum deposit has the meaning given by section 261BF.\n> \n> obligations under an authorisation means—\n> \n> > (a) any obligations under the conditions of an authorisation, other than an obligation to pay royalty, and\n> \n> > (b) any obligations on the holder of the authorisation under Part 11.\n> \n> security deposit condition means a condition of an authorisation imposed under section 261B.\n> \n> **s 261A:** Ins 2008 No 19, Sch 1 \\[224\\]. Am 2012 No 46, Sch 5.2 \\[21\\].","sortOrder":490},{"sectionNumber":"261B","sectionType":"section","heading":"Security deposit conditions","content":"#### 261B Security deposit conditions\n\n261B Security deposit conditions\n\n> > (1) A decision-maker may impose a condition on an authorisation that requires the holder of the authorisation to provide and maintain a security deposit to secure funding for the fulfilment of obligations under the authorisation, including obligations under the authorisation that may arise in the future.\n> \n> > (2) A condition may be imposed under this section—\n> > \n> > > (a) whether or not the land that is or may be affected by the activities the subject of the obligations or direction is or has at any time been an authorisation area, and\n> > \n> > > (b) whether or not the obligations relate to activities that were carried out by the current holder of the authorisation, and\n> > \n> > > (c) whether or not the obligations relate to activities that were authorised by the authorisation, and\n> > \n> > > (d) if the authorisation has been previously wholly or partly transferred, whether or not the obligations relate to activities carried out under the transferred authority.\n> \n> > (3) A security deposit condition may be varied to change the required amount of the deposit (whether the deposit was provided by the holder of the authorisation or by another person) or any other requirement of the condition.\n> \n> > (4) A security deposit condition may be imposed or varied—\n> > \n> > > (a) when an authorisation is granted or renewed, or\n> > \n> > > (b) when a full or partial transfer of an authority is approved under this Act, or\n> > \n> > > (c) when a mineral claim is transferred under this Act, or\n> > \n> > > (d) at any other time during the term of an authorisation.\n> \n> > (4A) A security deposit condition, or a variation to a security deposit condition, takes effect as follows—\n> > \n> > > (a) in the case of a security deposit condition imposed when an authorisation is granted—when the grant takes effect,\n> > \n> > > (b) in the case of a security deposit condition imposed or varied when an authorisation is renewed—when the renewal takes effect,\n> > \n> > > (c) in the case of a security deposit condition imposed or varied when a full or partial transfer of an authority is approved under this Act—when the transfer is registered under this Act,\n> > \n> > > (d) in the case of a security deposit condition imposed or varied when a mineral claim is transferred under this Act—when the mineral claim is transferred,\n> > \n> > > (e) in any other case—when written notice of the imposition or variation of the condition is served on the holder of the authorisation or on any later date specified in the notice.\n> \n> > (5) A security deposit condition may require—\n> > \n> > > (a) a single security deposit to be provided and maintained for more than 1 authorisation held by the same person, and\n> > \n> > > (b) the holder of 2 or more authorisations to cause a security deposit that has been provided and maintained for 1 authorisation to be extended to other authorisations held by the holder.\n> \n> > (6) To avoid doubt, a security deposit condition for a group security deposit may be varied at the request of the holder of the authorisation or on the decision-maker’s initiative—\n> > \n> > > (a) to deal with a further authorisation, or\n> > \n> > > (b) to remove an authorisation from being the subject of the condition.\n> \n> > (7) This section does not affect the operation of the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203), section 4.42, 4.50 or 5.24.\n> \n> **s 261B:** Ins 2008 No 19, Sch 1 \\[224\\]. Am 2012 No 46, Sch 5.2 \\[22\\]–\\[26\\]; 2022 No 21, Sch 1\\[95\\].","sortOrder":491},{"sectionNumber":"261BA","sectionType":"section","heading":"Security may be required before application for authorisation is granted or renewed","content":"#### 261BA Security may be required before application for authorisation is granted or renewed\n\n261BA Security may be required before application for authorisation is granted or renewed\n\n> > (1) If a decision-maker proposes to grant an authorisation subject to a security deposit condition, the decision-maker may, by notice given to the applicant—\n> > \n> > > (a) advise the applicant of the proposed security deposit condition, and\n> > \n> > > (b) require the applicant to provide the security deposit required to be provided and maintained under that condition before the authorisation is granted.\n> \n> > (2) If a decision-maker requires a security deposit to be provided before an authorisation is granted, the authorisation must not be granted unless the security deposit is provided.\n> \n> > (3) Subsections (1) and (2) extend to the renewal of an authorisation.\n> \n> **s 261BA:** Ins 2012 No 46, Sch 5.2 \\[27\\]. Am 2022 No 21, Sch 1\\[96\\] \\[97\\].","sortOrder":492},{"sectionNumber":"261BAA","sectionType":"section","heading":"Security may be required before transfer of authorities","content":"#### 261BAA Security may be required before transfer of authorities\n\n261BAA Security may be required before transfer of authorities\n\n> > (1) If a decision-maker proposes to approve a transfer of an authority that is not subject to a security deposit condition, the decision-maker may, by notice given to the proposed transferee—\n> > \n> > > (a) advise the proposed transferee that the decision-maker proposes to impose a security deposit condition when the transfer is approved, and\n> > \n> > > (b) require the proposed transferee to provide the security deposit required to be provided and maintained under the condition before the transfer of the authority is registered.\n> \n> > (2) If a decision-maker proposes to approve a transfer of an authority that is subject to a security deposit condition, the decision-maker may, by notice given to the proposed transferee, require the proposed transferee to provide the security deposit required to be provided and maintained under the condition before the transfer of the authority is registered.\n> \n> > (3) If a decision-maker requires a security deposit to be provided before a transfer of the authority is registered, the transfer of the authority must not be registered under section 122 unless the security deposit is provided.\n> \n> > (4) To avoid doubt, a decision-maker is not required under section 261G to return a security deposit to a transferor of an authority merely because the decision-maker requires or obtains a security deposit from a transferee of the authority or approves the transfer of the authority.\n> \n> > (5) Subsections (1)–(4) apply to a full or partial transfer of an authority.\n> \n> **s 261BAA:** Ins 2022 No 21, Sch 1\\[98\\].","sortOrder":493},{"sectionNumber":"261BB","sectionType":"section","heading":"Amount of security deposit","content":"#### 261BB Amount of security deposit\n\n261BB Amount of security deposit\n\n> > (1) The amount of the security deposit that may be required by a security deposit condition is—\n> > \n> > > (a) the assessed deposit for the authorisation concerned as at the date the decision-maker imposes or varies the condition, or\n> > \n> > > (b) if there is no assessed deposit for the authorisation—the minimum deposit for the authorisation as at the date the decision-maker imposes or varies the condition.\n> \n> > (2) The amount of a group security deposit that may be required by a security deposit condition is—\n> > \n> > > (a) the assessed deposit for the authorisations concerned as at the date the decision-maker imposes or varies the condition, or\n> > \n> > > (b) if there is no assessed deposit for the authorisations—the amount specified under section 261BC(7)(a) as at the date the decision-maker imposes or varies the condition.\n> \n> **s 261BB:** Ins 2012 No 46, Sch 5.2 \\[27\\]. Am 2022 No 21, Sch 1\\[99\\] (am 2022 No 59, Sch 1.25\\[1\\]).","sortOrder":494},{"sectionNumber":"261BC","sectionType":"section","heading":"Secretary may assess amount of security deposit","content":"#### 261BC Secretary may assess amount of security deposit\n\n261BC Secretary may assess amount of security deposit\n\n> > (1) The Secretary may assess the amount of the security deposit that may be required by a security deposit condition for a particular authorisation or, in the case of a group security deposit, for a particular group of authorisations.\n> \n> > (2) The amount of the security deposit as assessed by the Secretary is the assessed deposit for the authorisation or authorisations concerned.\n> \n> > (3) The Secretary must make an assessment if the regulations require an assessment to be made.\n> \n> > (4) The Secretary may make an assessment at any other time—\n> > \n> > > (a) at the request of the decision-maker, or\n> > \n> > > (b) on the Secretary’s own initiative.\n> \n> > (5) An assessment, and a decision to make or request an assessment, may be made without prior notice to, or consultation with, the holder of an affected authorisation.\n> \n> > (6) The Secretary must make an assessment under this section having regard to the following—\n> > \n> > > (a) the estimated cost of fulfilling any obligations under the authorisation or authorisations concerned, including obligations under the authorisation that may arise in the future,\n> > \n> > > (b) other matters, if any, prescribed by the regulations.\n> \n> > (7) An assessed deposit must not be less than—\n> > \n> > > (a) for a group security deposit—the amount prescribed by or calculated in accordance with the regulations,\n> > \n> > > (b) for another security deposit—the minimum deposit for the authorisation.\n> \n> > (8) After an assessment is made, the Secretary must give written notice of the assessment—\n> > \n> > > (a) to the holder of an affected authorisation, and\n> > \n> > > (b) to the decision-maker (if not the Secretary).\n> \n> > (9) The notice given to the holder of an affected authorisation must—\n> > \n> > > (a) set out the reasons for the Secretary’s assessment, and\n> > \n> > > (b) advise the holder of the holder’s entitlement to apply for a review of the assessment under this Part.\n> \n> > (10) The Secretary is to exercise his or her functions under this section having regard to any guidelines approved by the Minister.\n> \n> > (11) An assessment by the Secretary under this section does not affect—\n> > \n> > > (a) the validity of any security deposit condition imposed or varied before the assessment was made, or\n> > \n> > > (b) liability for an administrative levy that arose before the assessment was made.\n> \n> > (12) The Secretary may revise his or her assessment under this section. For that purpose, the Secretary may amend, revoke or replace a previous assessment.\n> \n> > (13) This section applies in respect of the revision of an assessment in the same way as it applies in respect of an assessment.\n> \n> > (14) An assessment may be made in relation to a security deposit condition proposed to be imposed on the grant of an authorisation and, for that purpose, a reference in this section, and in sections 261BD and 261BE, to a holder of an authorisation is taken to include a reference to a person who, on grant, will be a holder of an authorisation.\n> \n> **s 261BC:** Ins 2012 No 46, Sch 5.2 \\[27\\]. Am 2014 No 53, Sch 3 \\[2\\]; 2022 No 21, Sch 1\\[100\\].","sortOrder":495},{"sectionNumber":"261BD","sectionType":"section","heading":"Application for review of assessed deposit","content":"#### 261BD Application for review of assessed deposit\n\n261BD Application for review of assessed deposit\n\n> > (1) The holder of an authorisation may apply for a review by the Minister of the Secretary’s assessment of the amount of the security deposit that may be required for the authorisation.\n> \n> > (2) The application must—\n> > \n> > > (a) be made in the way, and contain the information, prescribed by the regulations, if any, and\n> > \n> > > (b)–(d) (Repealed)\n> > \n> > > (e) be accompanied by any fee required by the regulations, and\n> > \n> > > (f) be lodged with the Secretary within 28 days after notice is given to the holder of the authorisation of the assessment or within such other period as the regulations may prescribe.\n> \n> > (3) The holder of an authorisation is not entitled to apply for a review under this section if the assessment concerned has previously been reviewed under this section.\n> \n> > (4) This section applies in respect of a revision of an assessment in the same way as it applies in respect of an assessment.\n> \n> **s 261BD:** Ins 2012 No 46, Sch 5.2 \\[27\\]. Am 2014 No 53, Sch 3 \\[2\\]; 2022 No 21, Sch 1\\[101\\].","sortOrder":496},{"sectionNumber":"261BE","sectionType":"section","heading":"Review of assessed deposit by Minister","content":"#### 261BE Review of assessed deposit by Minister\n\n261BE Review of assessed deposit by Minister\n\n> > (1) If an application for review of the Secretary’s assessment of the amount of a security deposit that may be required for an authorisation is duly made, the Minister is to review the Secretary’s assessment.\n> \n> > (2) In conducting a review, the Minister—\n> > \n> > > (a) must have regard to—\n> > > \n> > > > (i) submissions made by the holder of the authorisation in relation to the assessment the subject of the review, and\n> > > \n> > > > (ii) matters prescribed by the regulations for the purposes of this section, if any, and\n> > \n> > > (b) otherwise, has the same functions as the Secretary in relation to an assessment.\n> \n> > (3) The review, if conducted by a delegate of the Minister, is not to be conducted by the Secretary or a person who, as the delegate of the Secretary, made the assessment the subject of the review.\n> \n> > (4) Following the review, the Minister may—\n> > \n> > > (a) affirm the Secretary’s assessment, or\n> > \n> > > (b) amend the Secretary’s assessment, or\n> > \n> > > (c) set aside the Secretary’s assessment and substitute a new assessment.\n> \n> > (5) An assessment, or an amendment to an assessment, that is made by the Minister has the same effect as an assessment, or an amendment, made by the Secretary. However, the assessment or amendment is not reviewable under this section.\n> \n> > (6) Any action taken by the Minister under this section does not affect—\n> > \n> > > (a) the validity of any security deposit condition imposed or varied before the action was taken, or\n> > \n> > > (b) liability for an administrative levy that arose before that action was taken.\n> \n> > (7) However, if the Minister makes a new assessment, or amends an assessment, the Minister may—\n> > \n> > > (a) vary or, if the decision-maker is not the Minister, direct the decision-maker to vary, a security deposit condition in accordance with the assessment or amendment, and\n> > \n> > > (b) direct the Secretary to reassess any administrative levy payable for an affected authorisation, and for which liability arose before the Minister’s assessment or amendment, in a manner that the Minister considers fair and reasonable.\n> \n> **s 261BE:** Ins 2012 No 46, Sch 5.2 \\[27\\]. Am 2014 No 53, Sch 3 \\[2\\]; 2022 No 21, Sch 1\\[102\\] \\[103\\].","sortOrder":497},{"sectionNumber":"261BF","sectionType":"section","heading":"Minimum deposit","content":"#### 261BF Minimum deposit\n\n261BF Minimum deposit\n\n> > (1) The minimum deposit for an authorisation is the amount prescribed by the regulations as the minimum deposit in relation to the type of authorisation concerned.\n> \n> > (2) A change to the following does not affect the validity of a security deposit condition imposed or varied before the change takes effect—\n> > \n> > > (a) the minimum deposit for an authorisation,\n> > \n> > > (b) an amount referred to in section 261BC(7)(a).\n> \n> **s 261BF:** Ins 2012 No 46, Sch 5.2 \\[27\\]. Am 2022 No 21, Sch 1\\[104\\] (am 2022 No 59, Sch 1.25\\[2\\]).","sortOrder":498},{"sectionNumber":"261C","sectionType":"section","heading":"Content of security deposit condition","content":"#### 261C Content of security deposit condition\n\n261C Content of security deposit condition\n\n> > (1A) A security deposit condition may—\n> > \n> > > (a) be in a standard form, being a form prescribed by the regulations, or\n> > \n> > > (b) be in a form approved by the decision-maker.\n> \n> > (1) A security deposit condition, whether in a standard form or otherwise, may include requirements specified for inclusion by the regulations.\n> \n> > (2), (3) (Repealed)\n> \n> > (4) Nothing in this section limits the matters that may be included in a security deposit condition.\n> \n> **s 261C:** Ins 2008 No 19, Sch 1 \\[224\\]. Am 2012 No 46, Sch 5.2 \\[28\\]–\\[32\\]; 2022 No 21, Sch 1\\[105\\].","sortOrder":499},{"sectionNumber":"261D","sectionType":"section","heading":"Form and amount of security deposit","content":"#### 261D Form and amount of security deposit\n\n261D Form and amount of security deposit\n\n> > (1) A security deposit may be in (but is not limited to) any of the following forms—\n> > \n> > > (a) a bank guarantee,\n> > \n> > > (b) cash,\n> > \n> > > (c) a bond,\n> > \n> > > (d) another form (such as an insurance policy) that the decision-maker considers appropriate and specifies in the security deposit condition.\n> \n> > (2) (Repealed)\n> \n> **s 261D:** Ins 2008 No 19, Sch 1 \\[224\\]. Am 2012 No 46, Sch 5.2 \\[33\\].","sortOrder":500},{"sectionNumber":"261E","sectionType":"section","heading":"Security deposit can be taken to be provided for consolidated mining lease or multiple authorisations","content":"#### 261E Security deposit can be taken to be provided for consolidated mining lease or multiple authorisations\n\n261E Security deposit can be taken to be provided for consolidated mining lease or multiple authorisations\n\n> > (1) A security deposit is taken to have been provided under a security deposit condition of a consolidated mining lease if—\n> > \n> > > (a) a security deposit was provided in compliance with the conditions of one or more of the leases that were consolidated, and\n> > \n> > > (b) the Minister notifies the holder of the consolidated mining lease that, because of the provision of the security deposit referred to in paragraph (a), a security deposit is taken to have been provided under the consolidated mining lease.\n> \n> > (2) A security deposit is taken to have been provided under a security deposit condition of an authorisation (the first authorisation) held by a person if—\n> > \n> > > (a) a security deposit was provided in compliance with the conditions of one or more other authorisations held by that person, and\n> > \n> > > (b) the Minister notifies that person that, because of the provision of the security deposit referred to in paragraph (a), a security deposit is taken to have been provided under the first authorisation.\n> \n> **s 261E:** Ins 2008 No 19, Sch 1 \\[224\\]. Am 2012 No 46, Sch 5.2 \\[34\\].","sortOrder":501},{"sectionNumber":"261F","sectionType":"section","heading":"Claim on and use of security deposit","content":"#### 261F Claim on and use of security deposit\n\n261F Claim on and use of security deposit\n\n> > (1) The Minister may make a claim on or realise a security deposit provided under a security deposit condition if—\n> > \n> > > (a) the authorisation is cancelled or otherwise ceases to have effect and an obligation under the former authorisation remains unfulfilled, or\n> > \n> > > (b) the holder of the authorisation has failed to comply with a direction under section 240 that relates to the authorisation or to activities carried out under, or purportedly under, the authorisation.\n> \n> > (1A) The Minister may make a claim on or realise a security deposit for a failure to comply with a direction under section 240 even if the security deposit condition under which it was provided was imposed before the direction was given.\n> \n> > (2) Before making a claim on or realising a security deposit, the Minister must, if practicable, give written notice of the proposed action to the holder of the authorisation or, if the authorisation has been cancelled or has otherwise ceased to have effect, the former holder of the authorisation.\n> \n> > (3) The Minister may use money obtained under a security deposit—\n> > \n> > > (a) in the circumstances to which subsection (1) (a) refers—to recover or fund the costs or expenses that the Crown reasonably incurs in causing any obligation under the former authorisation to be fulfilled, or\n> > \n> > > (b) in the circumstances to which subsection (1) (b) refers—to recover or fund the reasonable costs or expenses of the Crown in giving effect to the direction under section 240.\n> \n> > (3A) The Minister may use money obtained under a security deposit for a small-scale title to recover or fund the reasonable costs or expenses that the Crown reasonably incurs rehabilitating land affected by activities undertaken under any small-scale title.\n> \n> > (4) The Minister may invest money obtained under a security deposit—\n> > \n> > > (a) if the Minister is a GSF agency for the purposes of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055), Part 6—in a way the Department is permitted to invest money under that Part, or\n> > \n> > > (b) if the Minister is not a GSF agency for the purposes of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055), Part 6—in a way approved by the Treasurer.\n> \n> > (5) Any interest accruing on the money is to be paid into the Derelict Mine Sites Fund.\n> \n> > (6) Money obtained under a security deposit and used under subsection (3) or (3A) is taken, for all purposes, to be forfeited to the Crown when it is so used.\n> \n> > (7) The functions of the Minister under this Part may be exercised with or without the benefit of a finding by a court or tribunal that the holder of the authorisation concerned has failed to comply with a direction under section 240 or failed to fulfil any obligation under the authorisation.\n> \n> > (8) In relation to a group security deposit, a reference in this section to the authorisation is a reference to any authorisation in respect of which the group security deposit is provided and maintained.\n> \n> **s 261F:** Ins 2008 No 19, Sch 1 \\[224\\]. Am 2012 No 46, Sch 5.2 \\[35\\]–\\[38\\]; 2015 No 40, Sch 1 \\[100\\]; 2022 No 21, Sch 1\\[106\\] \\[107\\].","sortOrder":502},{"sectionNumber":"261G","sectionType":"section","heading":"Lapsing of security deposit requirement and return of money","content":"#### 261G Lapsing of security deposit requirement and return of money\n\n261G Lapsing of security deposit requirement and return of money\n\n> > (1) (Repealed)\n> \n> > (2) The requirement to maintain a security deposit lapses—\n> > \n> > > (a) in accordance with the terms of the security deposit condition, or\n> > \n> > > (b) if the condition does not deal with the lapsing of the requirement, when the Minister has determined that any requirements of the direction under section 240 or obligations under the authorisation (non-compliance with which would authorise a claim on or realisation of the deposit) have been fulfilled to a satisfactory extent and in a satisfactory manner.\n> \n> > (3) The Minister must, if practicable, give written notice of that determination to the holder of the authorisation.\n> \n> > (4) If a security deposit has lapsed, money obtained under the security deposit that has not been used under section 261F must be paid, without interest, as follows—\n> > \n> > > (a) to the person who provided the deposit,\n> > \n> > > (b) if the person who provided the deposit is unable to be located despite reasonable endeavours—to the holder of the authorisation concerned,\n> > \n> > > (c) if the person who provided the deposit and the holder of the authorisation are unable to be located despite reasonable endeavours—into the Derelict Mine Sites Fund.\n> \n> > (5) To avoid doubt, a security deposit does not lapse merely because the person who provided the deposit—\n> > \n> > > (a) if the person is an individual—becomes bankrupt or an incapacitated person or dies, or\n> > \n> > > (b) if the person is a corporation—is wound up or deregistered or becomes a Chapter 5 body corporate within the meaning of the [Corporations Act 2001](http://www.legislation.gov.au/) of the Commonwealth.\n> \n> **s 261G:** Ins 2008 No 19, Sch 1 \\[224\\]. Am 2012 No 46, Sch 5.2 \\[39\\]; 2017 No 27, Sch 1 \\[11\\]; 2022 No 21, Sch 1\\[108\\] \\[109\\].","sortOrder":503},{"sectionNumber":"261H","sectionType":"section","heading":"Security deposit not to affect other action","content":"#### 261H Security deposit not to affect other action\n\n261H Security deposit not to affect other action\n\n> Nothing in this Part affects—\n> \n> > (a) the liability of a person to any penalty for an offence in relation to a direction under section 240 or an obligation under an authorisation or any contravention to which the security deposit relates, or\n> \n> > (b) any other action that may be taken or is required to be taken in relation to any contravention or other circumstances to which the security deposit relates.\n> \n> **s 261H:** Ins 2008 No 19, Sch 1 \\[224\\].","sortOrder":504},{"sectionNumber":"261I","sectionType":"section","heading":"Regulations in relation to security deposits","content":"#### 261I Regulations in relation to security deposits\n\n261I Regulations in relation to security deposits\n\n> The regulations may make provision for or with respect to the administration of money or other securities obtained by the Minister under a security deposit.\n> \n> **s 261I:** Ins 2008 No 19, Sch 1 \\[224\\].","sortOrder":505},{"sectionNumber":"Part 13","sectionType":"part","heading":"Compensation","content":"# Part 13 Compensation\n\nPart 13 Compensation","sortOrder":506},{"sectionNumber":"262","sectionType":"section","heading":"Definitions","content":"#### 262 Definitions\n\n262 Definitions\n\n> In this Division—\n> \n> compensable loss means loss caused, or likely to be caused, by—\n> \n> > (a) damage to the surface of land, to crops, trees, grasses or other vegetation (including fruit and vegetables) or to buildings, structures or works, being damage which has been caused by or which may arise from prospecting or mining operations, or\n> \n> > (b) deprivation of the possession or of the use of the surface of land or any part of the surface, or\n> \n> > (c) severance of land from other land of the landholder, or\n> \n> > (d) surface rights of way and easements, or\n> \n> > (e) destruction or loss of, or injury to, disturbance of or interference with, stock, or\n> \n> > (f) damage consequential on any matter referred to in paragraph (a)–(e),\n> \n> but does not include loss that is compensable under the [Coal Mine Subsidence Compensation Act 2017](/view/html/inforce/current/act-2017-037).\n> \n> landholder includes a secondary landholder.\n> \n> **s 262:** Am 1999 No 43, Sch 1 \\[66\\]; 2010 No 29, Sch 1 \\[13\\]; 2017 No 37, Sch 2.3 \\[1\\].","sortOrder":508},{"sectionNumber":"263","sectionType":"section","heading":"Compensation arising under exploration licence","content":"#### 263 Compensation arising under exploration licence\n\n263 Compensation arising under exploration licence\n\n> > (1) On the granting of an exploration licence, a landholder of any land (whether or not subject to the licence) becomes entitled to compensation for any compensable loss suffered, or likely to be suffered, by the landholder as a result of the exercise of the rights conferred by the licence or by an access arrangement in respect of the licence.\n> \n> > (2) The holder of an exploration licence may agree with a landholder as to the amount of compensation payable, but an agreement reached is not valid unless it is in writing, signed by or on behalf of the parties to the agreement.\n> \n> > (3) Such of the provisions of an access arrangement (whether or not in writing) as relate to compensation have effect as an agreement for the purposes of this section.\n> \n> > (4) Payment of compensation under this section (other than compensation payable under an access arrangement agreed on as referred to in section 140 (1) (a)) is taken, for the purposes of any security given by the licensee, to be an obligation under the licence.\n> \n> **s 263:** Am 1996 No 137, Sch 1 \\[35\\]; 1999 No 43, Sch 1 \\[67\\] \\[68\\]; 2013 No 111, Sch 3.15.","sortOrder":509},{"sectionNumber":"264","sectionType":"section","heading":"Compensation arising under assessment lease","content":"#### 264 Compensation arising under assessment lease\n\n264 Compensation arising under assessment lease\n\n> > (1) On the granting of an assessment lease, a landholder of any land (whether or not subject to the lease) becomes entitled to compensation for any compensable loss suffered, or likely to be suffered, by the landholder as a result of the exercise of the rights conferred by the lease or by an access arrangement in respect of the lease.\n> \n> > (2) The holder of an assessment lease may agree with a landholder as to the amount of compensation payable, but an agreement reached is not valid unless it is in writing, signed by or on behalf of the parties to the agreement.\n> \n> > (3) Such of the provisions of an access arrangement (whether or not in writing) as relate to compensation have effect as an agreement for the purposes of this section.\n> \n> > (4) Payment of compensation under this section (other than compensation payable under an access arrangement agreed on as referred to in section 140 (1) (a)) is taken, for the purposes of any security given by the lessee, to be an obligation under the lease.\n> \n> > (5) If, immediately before the grant of an assessment lease any part of the assessment area was, or was in, an authorisation area and the subject of a valid agreement under this Division (an existing agreement), a valid agreement is taken to have been entered into in relation to that part for the purpose of this section, if the holder of the assessment lease—\n> > \n> > > (a) was the holder of the authorisation immediately before the grant of the assessment lease, or\n> > \n> > > (b) is the assignee of the rights under the existing agreement.\n> \n> > (6) Subsection (5) ceases to apply to a part of an assessment area if a subsequent valid agreement is entered into, or the Land and Environment Court makes an assessment of compensation payable, in relation to that part.\n> \n> **s 264:** Am 1996 No 137, Sch 1 \\[35\\]; 1999 No 43, Sch 1 \\[69\\] \\[70\\]; 2008 No 19, Sch 1 \\[226\\] (am 2008 No 107, Sch 20 \\[3\\]; 2010 No 29, Sch 2 \\[4\\]); 2013 No 111, Sch 3.15.","sortOrder":510},{"sectionNumber":"265","sectionType":"section","heading":"Compensation arising under mining lease","content":"#### 265 Compensation arising under mining lease\n\n265 Compensation arising under mining lease\n\n> > (1) On the granting of a mining lease, a landholder of any land (whether or not subject to the lease) becomes entitled to compensation for any compensable loss suffered, or likely to be suffered, by the landholder as a result of the exercise of the rights conferred by the lease.\n> \n> > (2) The holder of a mining lease may agree with a landholder as to the amount of compensation payable, but an agreement reached is not valid unless it is in writing, signed by or on behalf of the parties to the agreement.\n> \n> > (3) If a valid agreement is not entered into under this section within such period as may be prescribed by the regulations, the holder of a mining lease, or a landholder of land, may apply to the Land and Environment Court to assess the amount of compensation payable, and the Court is to assess the compensation payable.\n> \n> > (4) The holder of a mining lease is not authorised to exercise any rights under the lease on the surface of any part of the mining area unless the amount of any compensation payable to a landholder under subsection (1) in respect of that part of the mining area is the subject of a valid agreement or of an assessment made by the Land and Environment Court.\n> \n> > (5) If, immediately before the grant of a mining lease any part of the mining area was, or was in, an authorisation area and the subject of a valid agreement under this Division (an existing agreement), a valid agreement is taken to have been entered into in relation to that part for the purpose of this section, if the holder of the mining lease—\n> > \n> > > (a) was the holder of the authorisation immediately before the grant of the mining lease, or\n> > \n> > > (b) is the assignee of the rights under the existing agreement.\n> \n> > (6) Subsection (5) ceases to apply to a part of a mining area if a subsequent valid agreement is entered into, or the Land and Environment Court makes an assessment of compensation payable, in relation to that part.\n> \n> **s 265:** Am 1996 No 137, Sch 1 \\[35\\]; 1999 No 43, Sch 1 \\[71\\]–\\[73\\]; 2008 No 19, Sch 1 \\[227\\] (am 2008 No 107, Sch 20 \\[3\\]); 2008 No 107, Sch 19 \\[35\\] \\[36\\].","sortOrder":511},{"sectionNumber":"266","sectionType":"section","heading":"Compensation arising under small-scale title","content":"#### 266 Compensation arising under small-scale title\n\n266 Compensation arising under small-scale title\n\n> > (1) On the granting of a small-scale title, a landholder becomes entitled to compensation determined under this section in lieu of compensation for any compensable loss suffered, or likely to be suffered, by the landholder as a result of the exercise of the rights conferred by the small-scale title.\n> > \n> > Note.\n> > \n> > Small-scale title means a mineral claim or an opal prospecting licence.\n> \n> > (2) The Minister may determine the compensation payable (standard compensation) for the purposes of subsection (1) and the quantum of any standard compensation is at the discretion of the Minister.\n> \n> > (3) A determination of the Minister is to be made by order published in the Gazette and any such order—\n> > \n> > > (a) may prescribe different amounts of standard compensation for different mineral claims districts or opal prospecting areas, and\n> > \n> > > (b) may provide for standard compensation to be indexed on an annual or other basis.\n> \n> > (4) The Secretary must not grant a small-scale title to an applicant unless satisfied that—\n> > \n> > > (a) the applicant has paid to the collection agency on behalf of any landholder entitled to compensation on the granting of the small-scale title the standard compensation for the term of the small-scale title (unless the applicant and landholder have entered into an agreement as an alternative to standard compensation (a compensation agreement)), and\n> > \n> > > (b) the applicant has given, in the manner prescribed by the regulations, any such landholder a notice that states the applicant’s intention to exercise rights under the small-scale title and that identifies (by map or otherwise) the land to which the small-scale title applies, and\n> > \n> > > (c) if the application is for the renewal of a mineral claim, the applicant has, no later than 28 days after lodging the application, paid all outstanding amounts of compensation payable by the applicant to the landholder under the mineral claim (other than compensation that may be payable under a compensation agreement).\n> \n> > (5) The Secretary may grant a small-scale title to an applicant despite the applicant failing to satisfy the Secretary of a matter specified in subsection (4) if the Secretary is satisfied that the failure occurred because the applicant, after taking all reasonable steps, has been unable to sufficiently identify a landholder for the purposes of this section. Nothing in this subsection affects the right of a landholder to compensation under this section.\n> \n> > (6) The Land and Environment Court—\n> > \n> > > (a) may determine the compensation payable for the purposes of subsection (1) in respect of a small-scale title for which no standard compensation has been determined by the Minister, and\n> > \n> > > (b) may make any such determination on the application of the landholder or the applicant for the small-scale title, and\n> > \n> > > (c) in determining the compensation payable is to have regard to any determinations of standard compensation made by the Minister.\n> \n> > (7) Compensation determined by the Court under subsection (6) is taken to be standard compensation in respect of—\n> > \n> > > (a) the grant of the relevant small-scale title, and\n> > \n> > > (b) the grant of a renewal of the title (but only if the Minister does not, within the term of the title, make a determination of standard compensation in respect of the title).\n> \n> > (8) The Land and Environment Court may, in exceptional circumstances and despite subsection (1), award a landholder compensation for the compensable loss suffered, or likely to be suffered, by the landholder as a result of the exercise of the rights conferred by a small-scale title, but only if—\n> > \n> > > (a) the application for such compensation is made to the Court no later than 60 days after the notice under subsection (4) (b) is given to the landholder in respect of the title, and\n> > \n> > > (b) there is no compensation agreement in place in respect of the title between the landholder and the person from whom compensation is sought.\n> \n> > (9) Division 3 does not apply to a determination of compensation under this section. However, sections 271, 272 (other than section 272 (1) (b) (i)) and 275 do apply to a determination of compensation under subsection (8).\n> \n> > (10) No appeal lies against a determination of compensation under this section.\n> \n> > (11) The Minister cannot vary or substitute a standard compensation amount previously determined by the Minister under this section unless—\n> > \n> > > (a) at least 5 years have passed since that previous determination, and\n> > \n> > > (b) the Minister has caused an independent review to be conducted into the appropriate levels of standard compensation and has considered the findings of that review.\n> \n> > (12) The regulations may make provisions for or with respect to the collection of standard compensation by the collection agency and the payment of that compensation to landholders, and in particular may—\n> > \n> > > (a) prescribe fees in respect of the exercise of functions by or on behalf of the collection agency under this section, and\n> > \n> > > (b) permit any such function to be delegated to Service NSW as a customer service function.\n> \n> > (13) In this section—\n> > \n> > collection agency means a government sector agency or the head of a government sector agency nominated by the regulations as the collection agency.\n> > \n> > grant of a small-scale title includes, in the case of a mineral claim, the grant of a renewal of the small-scale title.\n> > \n> > term of a small-scale title includes, in the case of the renewal of a mineral claim, any period during which, before its renewal, the mineral claim was taken to continue to have effect under section 197 (3).\n> \n> **s 266:** Am 1996 No 137, Sch 1 \\[36\\] \\[122\\]. Subst 1999 No 43, Sch 2 \\[1\\]. Am 2008 No 107, Sch 19 \\[13\\] \\[35\\] \\[37\\]; 2010 No 119, Sch 1.23 \\[1\\]. Subst 2014 No 53, Sch 1 \\[5\\].","sortOrder":512},{"sectionNumber":"267","sectionType":"section","heading":null,"content":"#### 267\n\n267 (Repealed)","sortOrder":513},{"sectionNumber":"267A","sectionType":"section","heading":"Effect of determination and payment of compensation under provisions of Commonwealth Native Title Act","content":"#### 267A Effect of determination and payment of compensation under provisions of Commonwealth Native Title Act\n\n267A Effect of determination and payment of compensation under provisions of Commonwealth Native Title Act\n\n> > (1) If, between the Government party, an applicant for an exploration licence, assessment lease, mining lease, mineral claim or opal prospecting licence as a grantee party and a native title party, compensation is agreed on or determined under Subdivision M or P of Division 3 of Part 2 of the Commonwealth Native Title Act, the compensation so agreed on or determined is taken—\n> > \n> > > (a) to be validly agreed on or assessed for the purposes of whichever is relevant of section 263, 264, 265 or 266 as if the applicant for the exploration licence, assessment lease, mining lease, mineral claim or opal prospecting licence as the grantee party was the holder under this Act of the licence, lease or claim concerned and the native title party was the landholder of the land concerned, and\n> > \n> > > (b) to be paid under and for the purposes of whichever is relevant of those sections when it is paid in accordance with section 52 of the Commonwealth Native Title Act.\n> \n> > (2) In this section, Government party, grantee party and native title party have the same meanings as they have in the Commonwealth Native Title Act.\n> \n> **s 267A:** Ins 1994 No 45, Sch 1. Am 1998 No 88, Sch 5 \\[7\\]; 1999 No 43, Sch 1 \\[74\\]; 2014 No 53, Sch 1 \\[6\\].","sortOrder":515},{"sectionNumber":"268","sectionType":"section","heading":"Compensation payable on transfer of certain authorities etc","content":"#### 268 Compensation payable on transfer of certain authorities etc\n\n268 Compensation payable on transfer of certain authorities etc\n\n> If an authority or mineral claim over any land is transferred from a person who is a landholder of the land to a person who is not a landholder of the land, the provisions of this Act relating to compensation apply to the person to whom the authority or claim is transferred.\n> \n> **s 268:** Am 1999 No 43, Sch 1 \\[75\\] \\[76\\].","sortOrder":516},{"sectionNumber":"269","sectionType":"section","heading":"Definitions","content":"#### 269 Definitions\n\n269 Definitions\n\n> In this Division—\n> \n> compensable loss means loss caused, or likely to be caused, by—\n> \n> > (a) interference with the use of land, or\n> \n> > (b) damage to land, to any crops, trees, grasses or other vegetation on the land or to any buildings, structures and works on the land, or\n> \n> > (c) damage consequential on any matter referred to in paragraph (a) or (b),\n> \n> but does not include loss that is compensable under the [Coal Mine Subsidence Compensation Act 2017](/view/html/inforce/current/act-2017-037).\n> \n> environmental assessment permit means a permit granted under section 252.\n> \n> landholder includes a secondary landholder.\n> \n> **s 269:** Am 2010 No 29, Sch 1 \\[13\\]; 2017 No 37, Sch 2.3 \\[2\\].","sortOrder":518},{"sectionNumber":"270","sectionType":"section","heading":"Compensation arising under environmental assessment permit","content":"#### 270 Compensation arising under environmental assessment permit\n\n270 Compensation arising under environmental assessment permit\n\n> > (1) If the holder of an environmental assessment permit enters any land under the authority of the permit, landholders become entitled to compensation from the holder of the permit for any compensable loss they suffer as a result of the exercise of the rights conferred by the permit.\n> \n> > (2) The amount of compensation payable under this section is such amount as may be assessed by the Land and Environment Court on the application of the holder of the environmental assessment permit, the Crown or the landholder concerned.\n> \n> > (3) Nothing in this section affects any remedy available to any person whose lands are entered pursuant to a power conferred by or under Part 12.\n> \n> **s 270:** Am 1999 No 43, Sch 1 \\[77\\] \\[78\\]; 2008 No 107, Sch 19 \\[35\\].","sortOrder":519},{"sectionNumber":"271","sectionType":"section","heading":"Definitions","content":"#### 271 Definitions\n\n271 Definitions\n\n> In this Division—\n> \n> compensable loss, in relation to the assessment of compensation payable under Division 1 or 2, has the same meaning as it has in that Division.\n> \n> landholder includes a secondary landholder.\n> \n> **s 271:** Am 2008 No 19, Sch 1 \\[230\\]; 2010 No 29, Sch 1 \\[13\\].","sortOrder":521},{"sectionNumber":"272","sectionType":"section","heading":"Assessment of compensation","content":"#### 272 Assessment of compensation\n\n272 Assessment of compensation\n\n> > (1) The assessment of compensation payable under this Part—\n> > \n> > > (a) must be made in the manner prescribed by the regulations, and\n> > \n> > > (b) must not be made until notice in the approved form—\n> > > \n> > > > (i) has been published in the way specified by the regulations, or\n> > > \n> > > > (ii) has been served on each person who appears to the Land and Environment Court to be interested in the assessment, and\n> > \n> > > (c) must not exceed in amount the market value (for other than ancillary mining activities) of the land and the buildings, structures and works situated on the land.\n> \n> > (2) Any compensation agreed on or determined under Subdivision M or P of Division 3 or Division 5 of Part 2 of the Commonwealth Native Title Act for essentially the same act as an act in respect of which compensation is to be assessed under this Part must be taken into account in the assessment of compensation for the act under this Part.\n> \n> **s 272:** Am 1994 No 45, Sch 1; 1998 No 88, Sch 5 \\[8\\]; 2008 No 107, Sch 19 \\[35\\]; 2022 No 21, Sch 1\\[110\\].","sortOrder":522},{"sectionNumber":"273","sectionType":"section","heading":"Payment into court","content":"#### 273 Payment into court\n\n273 Payment into court\n\n> The total amount of compensation assessed under this Division is to be paid into the Land and Environment Court at such times, and in respect of such periods, as is specified in the order of assessment.\n> \n> **s 273:** Am 2008 No 107, Sch 19 \\[13\\].","sortOrder":523},{"sectionNumber":"274","sectionType":"section","heading":"Payment out of court","content":"#### 274 Payment out of court\n\n274 Payment out of court\n\n> > (1) As compensable loss occurs, money held in the Land and Environment Court by way of compensation is to be paid out of court, on the application of any person entitled to the compensation, in accordance with the agreement or order under which it is payable.\n> \n> > (2) If, after the expiration of 6 months, and before the expiration of 12 months, from the date on which the authorisation concerned ceases to have effect, the whole or any part of an amount paid into court under this section has neither been paid out nor ordered to be paid out, the person who paid the amount into court may apply to the Land and Environment Court for payment out to that person of the whole or any part of that amount, and the Court may order the payment to be made.\n> \n> > (3) If, after the expiration of 12 months from the date on which the authorisation concerned ceases to have effect, the whole or any part of an amount paid into court under this section has neither been paid out nor ordered to be paid out, the Land and Environment Court may cause the whole or any part of that amount to be paid into the Treasury for payment into the Consolidated Fund.\n> \n> **s 274:** Am 2008 No 107, Sch 19 \\[35\\] \\[38\\] \\[39\\].","sortOrder":524},{"sectionNumber":"275","sectionType":"section","heading":"Procedure for making assessment","content":"#### 275 Procedure for making assessment\n\n275 Procedure for making assessment\n\n> In making an assessment of compensation under this Division, the Land and Environment Court—\n> \n> > (a) may make the assessment at any time and at any place, and\n> \n> > (b) may make the assessment in the absence of any person who appears to be interested in the assessment, if the Court is satisfied that the person has been served with a notice in accordance with this Part, and\n> \n> > (c) may adjourn the hearing of the matter to any time and any place, subject to such terms as to costs or otherwise as the Court thinks fit.\n> \n> **s 275:** Subst 2008 No 107, Sch 19 \\[40\\].","sortOrder":525},{"sectionNumber":"276","sectionType":"section","heading":"Additional assessment","content":"#### 276 Additional assessment\n\n276 Additional assessment\n\n> > (1) If, after an assessment of compensation has been made, it is proved to the satisfaction of the Land and Environment Court—\n> > \n> > > (a) that the whole of the amount paid into court under this Part has been duly paid out, and\n> > \n> > > (b) that further compensable loss has been caused, or is likely to be caused, in respect of the land to which the assessment relates, or to other land,\n> > \n> > the Court must, on the application of any of the parties concerned, assess that loss and order that the amount so assessed be paid by the holder of the authorisation to which the assessment relates, within the time and to the persons specified in the order.\n> \n> > (2) If it is proved to the satisfaction of the Land and Environment Court—\n> > \n> > > (a) that an access arrangement does not make provision for or with respect to compensation, and\n> > \n> > > (b) that compensable loss has been caused, or is likely to be caused, in respect of the land to which the arrangement relates,\n> > \n> > the Court must, on the application of any of the parties concerned, assess that loss and order that the amount so assessed be paid by the holder of the authorisation to which the assessment relates, within the time and to the persons specified in the order.\n> \n> > (3) If it is proved to the satisfaction of the Land and Environment Court—\n> > \n> > > (a) that the whole of the amount assessed by or in accordance with an access arrangement determined by an arbitrator as referred to in section 140 (1) (b) has been paid in accordance with the arrangement, and\n> > \n> > > (b) that further compensable loss has been caused, or is likely to be caused, in respect of the land to which the assessment relates or to other land,\n> > \n> > the Court must, on the application of any of the parties concerned, assess that loss and order that the amount so assessed be paid by the holder of the authorisation to which the assessment relates, within the time and to the persons specified in the order.\n> \n> > (4) The Land and Environment Court’s decision on such an application has effect as an assessment of compensation under this Division.\n> \n> > (5) In making an assessment of compensation, the Land and Environment Court must have regard to—\n> > \n> > > (a) any previous compensation agreement between the parties under this Division, and\n> > \n> > > (b) any current or previous access arrangement between the parties that was determined, or taken to have been determined, by an arbitrator under Part 8, and\n> > \n> > > (c) any previous assessment under this Division of compensation payable to the landholder,\n> > \n> > with respect to the land to which the current assessment relates.\n> \n> **s 276:** Am 2008 No 19, Sch 1 \\[237\\]. Subst 2008 No 107, Sch 19 \\[40\\]. Am 2008 No 19, Sch 1 \\[236\\].","sortOrder":526},{"sectionNumber":"277","sectionType":"section","heading":"Directions to furnish names and addresses","content":"#### 277 Directions to furnish names and addresses\n\n277 Directions to furnish names and addresses\n\n> > (1) If the Land and Environment Court considers that a landholder of any land may be entitled to compensation under this Part, the Court may, by instrument in writing served on the holder of the authorisation concerned, direct the holder to notify the Court of the name and address of the landholder.\n> \n> > (2) An instrument served under this section must specify a date on or before which compliance with the direction contained in the instrument is required.\n> \n> **s 277:** Am 1999 No 43, Sch 1 \\[79\\] \\[80\\]; 2008 No 107, Sch 19 \\[41\\].","sortOrder":527},{"sectionNumber":"278","sectionType":"section","heading":"Appeals","content":"#### 278 Appeals\n\n278 Appeals\n\n> **s 278:** Am 1996 No 137, Sch 1 \\[38\\]; 1999 No 43, Sch 2 \\[2\\]; 2008 No 19, Sch 1 \\[238\\] \\[239\\]; 2008 No 107, Sch 19 \\[13\\] \\[35\\]. Rep 2014 No 53, Sch 1 \\[7\\].","sortOrder":528},{"sectionNumber":"279","sectionType":"section","heading":"Compensation not payable on consolidation","content":"#### 279 Compensation not payable on consolidation\n\n279 Compensation not payable on consolidation\n\n> > (1) Compensation is not payable under this Part in respect of the grant of a consolidated mining lease.\n> \n> > (2) Any compensation to which a person is entitled under this Part in respect of the grant of an existing lease that is consolidated under Part 6 is to be assessed or agreed on and paid as if the existing lease had not been consolidated.","sortOrder":530},{"sectionNumber":"280","sectionType":"section","heading":"Compensation already due not affected by consolidation","content":"#### 280 Compensation already due not affected by consolidation\n\n280 Compensation already due not affected by consolidation\n\n> > (1) Except as provided by this Division, any compensation assessed, agreed on or paid under this Part in respect of an existing lease that is consolidated under Part 6 is not affected by the consolidation of the existing lease and is to be dealt with as if the existing lease had not been consolidated.\n> \n> > (2) If any compensation is paid into court under this Part in respect of an existing lease that is consolidated under Part 6, the date on which the existing lease ceases to have effect is taken, for the purposes of this Part, to be the date on which the consolidated mining lease ceases to have effect.","sortOrder":531},{"sectionNumber":"281","sectionType":"section","heading":"Compensation for further loss","content":"#### 281 Compensation for further loss\n\n281 Compensation for further loss\n\n> > (1) If—\n> > \n> > > (a) compensation has been assessed or agreed on under this Part in respect of an existing lease that is consolidated under Part 6, and\n> > \n> > > (b) the date of expiry of the consolidated mining lease is later than the date on which the existing lease would have expired if it had not been consolidated, and\n> > \n> > > (c) it is proved to the satisfaction of the Land and Environment Court that—\n> > > \n> > > > (i) further loss has been caused in respect of the land to which the assessment or agreement related, or in respect of other land, after the date on which the existing lease would have so expired, being compensable loss within the meaning of Division 1, and\n> > > \n> > > > (ii) in the case of an assessment, the whole of the amount paid into court pursuant to this Part has been duly paid out,\n> > \n> > the Court is to assess the loss in accordance with Division 3 and order that the amount so assessed be paid by the holder of the consolidated mining lease to which the assessment relates, within the time and to the persons specified in the order.\n> \n> > (2) The provisions of section 276 have effect with respect to a consolidated mining lease even though the assessment referred to in that section relates to an existing lease that has been consolidated under Part 6.\n> \n> **s 281:** Am 2008 No 107, Sch 19 \\[35\\] \\[42\\].","sortOrder":532},{"sectionNumber":"281A","sectionType":"section","heading":"Application of Division","content":"#### 281A Application of Division\n\n281A Application of Division\n\n> This Division applies to the grant, renewal or variation of an authority under this Act after the commencement of this Division.\n> \n> **s 281A:** Ins 1998 No 88, Sch 5 \\[9\\].","sortOrder":534},{"sectionNumber":"281B","sectionType":"section","heading":"Compensation payable by holders of authority","content":"#### 281B Compensation payable by holders of authority\n\n281B Compensation payable by holders of authority\n\n> If compensation is payable under section 24MD or 24NA of the Commonwealth Native Title Act in respect of an act to which this Division applies that is attributable to the State, the holder of the authority concerned at the time of the grant, renewal or variation is declared, in accordance with section 24MD (4) (b) (i) or 24NA (as the case requires) of that Act, to be liable to pay the compensation.\n> \n> **s 281B:** Ins 1998 No 88, Sch 5 \\[9\\]. Am 1999 No 42, Sch 3.11 \\[3\\] \\[4\\]; 2000 No 53, Sch 3.14.","sortOrder":535},{"sectionNumber":"Part 14","sectionType":"part","heading":"Royalty","content":"# Part 14 Royalty\n\nPart 14 Royalty","sortOrder":536},{"sectionNumber":"282","sectionType":"section","heading":"Liability to pay royalty—publicly owned minerals","content":"#### 282 Liability to pay royalty—publicly owned minerals\n\n282 Liability to pay royalty—publicly owned minerals\n\n> > (1) The holder of a mining lease is liable to pay royalty to the Crown on publicly owned minerals recovered by the holder under the lease.\n> \n> > (1A) The holder of a mining sublease is liable to pay royalty to the Crown on publicly owned minerals recovered from the sublease area.\n> \n> > (1B) Despite subsection (1), the holder of a mining lease remains liable to pay royalty on publicly owned minerals recovered from a sublease area only to the extent that the royalty has not been paid by the holder of the sublease.\n> \n> > (1C) To avoid doubt, the liability to pay royalty under this section attaches to the person who is the holder of the mining lease or sublease at the time the minerals are recovered under the lease or sublease.\n> \n> > (2) Royalty that is payable to the Crown under a condition of a mining lease (being a condition of the kind referred to in clause 7A (3) of Schedule 1B) is payable in addition to, and not instead of, royalty payable under this Division.\n> \n> **s 282:** Am 2008 No 19, Sch 1 \\[241\\]; 2014 No 37, Sch 4.1 \\[1\\]; 2015 No 40, Sch 1 \\[101\\]; 2016 No 27, Sch 1.16 \\[4\\]; 2025 No 37, Sch 3\\[4\\].","sortOrder":538},{"sectionNumber":"283","sectionType":"section","heading":"Rate of royalty","content":"#### 283 Rate of royalty\n\n283 Rate of royalty\n\n> > (1) Royalty on a publicly owned mineral is payable under this Division—\n> > \n> > > (a) at the base rate prescribed by the regulations in respect of that mineral, and\n> > \n> > > (b) if the regulations so provide—at the additional rate prescribed by the regulations in respect of that mineral.\n> \n> > (2) Royalty under this Division is payable on a publicly owned mineral at the rate or rates applicable as at the time the material from which it is recovered is extracted from the land.\n> \n> > (3) A rate of royalty prescribed for the purposes of this Division may be prescribed—\n> > \n> > > (a) as a percentage of the value of minerals recovered from the land, or\n> > \n> > > (b) as an amount payable on the basis of any specified measurement of minerals recovered from the land, or\n> > \n> > > (c) by reference to such other matters as the Minister determines.\n> \n> > (4) The quantity of minerals recovered is to be calculated (whether by volume or by weight) in the manner prescribed by the regulations.\n> \n> > (5) The value of minerals recovered is to be calculated (whether by volume or by weight) in the manner determined by the Minister.","sortOrder":539},{"sectionNumber":"284","sectionType":"section","heading":"Liability to pay royalty—privately owned minerals","content":"#### 284 Liability to pay royalty—privately owned minerals\n\n284 Liability to pay royalty—privately owned minerals\n\n> > (1) The holder of a mining lease is liable to pay royalty to the Crown on privately owned minerals recovered from the mining area as if those minerals were publicly owned.\n> \n> > (1A) The holder of a mining sublease is liable to pay royalty to the Crown on privately owned minerals recovered from the sublease area as if those minerals were publicly owned.\n> \n> > (1B) Despite subsection (1), the holder of a mining lease remains liable to pay royalty on privately owned minerals recovered from a sublease area only to the extent that the royalty has not been paid by the sublessee.\n> \n> > (1C) To avoid doubt, the liability to pay royalty under this section attaches to the person who is the holder of the mining lease or sublease at the time the minerals are recovered under the lease or sublease.\n> \n> > (2) If royalty (including any interest and penalty tax on royalty) is paid to or recovered by the Chief Commissioner in respect of a privately owned mineral, the Chief Commissioner is to pay to the Minister seven-eighths of the amount so paid or recovered.\n> \n> > (2A) The Minister is to pay that amount to the owner of the mineral.\n> \n> > (3) This section does not apply to a mining (mineral owner) lease.\n> \n> **s 284:** Am 2008 No 19, Sch 1 \\[242\\] \\[243\\]; 2014 No 37, Sch 4.1 \\[1\\] \\[5\\]; 2025 No 37, Sch 3\\[5\\].","sortOrder":541},{"sectionNumber":"285","sectionType":"section","heading":"Rate of royalty","content":"#### 285 Rate of royalty\n\n285 Rate of royalty\n\n> Royalty is payable under this Division—\n> \n> > (a) except as provided by paragraph (b)—at the base rate prescribed under section 283 (1) (a) in respect of the mineral concerned, or\n> \n> > (b) in the case of a mineral other than coal—at such other rate as may be agreed on between the holder of the mineral claim or authority concerned and the owner of the mineral.","sortOrder":542},{"sectionNumber":"286","sectionType":"section","heading":"Royalty payable on petroleum recovered under mining lease for coal","content":"#### 286 Royalty payable on petroleum recovered under mining lease for coal\n\n286 Royalty payable on petroleum recovered under mining lease for coal\n\n> > (1) The holder of a mining lease for coal who recovers petroleum from a mining area by virtue of the fact that, under section 78, petroleum is included in the lease is liable to pay royalty to the Crown on the petroleum recovered.\n> \n> > (2) The amount payable as royalty under this Division in respect of petroleum is the rate prescribed for the purposes of this Division by or under the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084).\n> \n> > (3) Royalty under this Division is payable on petroleum at the rate or rates applicable as at the time the petroleum is recovered from the land.\n> \n> > (4) This section does not apply to methane recovered in conjunction with coal mining operations.\n> \n> > (5) To avoid doubt, the liability to pay royalty under this section attaches to the holder of the mining lease who is the holder of the lease at the time the petroleum is recovered under the lease.\n> \n> **s 286:** Am 1996 No 137, Sch 1 \\[123\\]; 2000 No 90, Sch 2.1 \\[34\\]; 2014 No 37, Sch 4.1 \\[1\\]; 2025 No 37, Sch 3\\[6\\].","sortOrder":544},{"sectionNumber":"286A","sectionType":"section","heading":"Definition of coal reject","content":"#### 286A Definition of coal reject\n\n286A Definition of coal reject\n\n> In this Division—\n> \n> coal reject means the by-product of the mining or processing of coal that contains a mixture of coal and other substances (such as shale) and has either an energy value (the maximum energy capable of being produced by it on combustion) of less than 16 gigajoules per tonne (dry weight) or contains more than 35 per cent ash (by dry weight).\n> \n> **s 286A:** Ins 1996 No 137, Sch 1 \\[13\\].","sortOrder":546},{"sectionNumber":"286B","sectionType":"section","heading":"Royalty on coal in coal reject","content":"#### 286B Royalty on coal in coal reject\n\n286B Royalty on coal in coal reject\n\n> > (1) Royalty is not payable on the coal in coal reject recovered under a mining lease until the coal reject is used or disposed of.\n> \n> > (2) The holder of a mining lease is liable to pay royalty under this Division to the Crown on the coal in coal reject recovered under the lease if the holder uses the coal reject in producing energy or disposes of it for use in producing energy.\n> \n> > (3) If royalty is payable under this Division on the coal in coal reject, Division 1 does not apply to that coal.\n> \n> **s 286B:** Ins 1996 No 137, Sch 1 \\[13\\]. Am 2014 No 37, Sch 4.1 \\[1\\].","sortOrder":547},{"sectionNumber":"286C","sectionType":"section","heading":"Rate of royalty","content":"#### 286C Rate of royalty\n\n286C Rate of royalty\n\n> > (1) Royalty on the coal in coal reject recovered under a mining lease is payable under this Division at the rate determined from time to time by the Minister, with the concurrence of the Treasurer, in respect of the lease or the class of leases concerned.\n> \n> > (2) The rate of royalty on the coal in coal reject may be a zero rate or may be any other rate up to, but not exceeding, half the base rate of royalty prescribed from time to time in respect of coal under section 283 (1) (a).\n> \n> > (3) In determining the rate of royalty the Minister is to have regard to—\n> > \n> > > (a) the energy value of the coal reject, and\n> > \n> > > (b) the costs associated with extracting, transporting or processing the coal reject for the purposes of use or disposal, and\n> > \n> > > (c) such other matters as the Minister considers appropriate.\n> \n> > (4) Royalty under this Division is payable on the coal in coal reject at the rate applicable—\n> > \n> > > (a) at the time the coal reject is used by the holder of the relevant mining lease in producing energy, or\n> > \n> > > (b) at the time the coal reject is disposed of by that holder for use in producing energy.\n> \n> > (5) Royalty required to be calculated on the basis of the weight of coal is to be calculated by reference to dry weight.\n> \n> > (6) If no rate has been determined by the Minister for royalty payable on the coal in coal reject recovered under a mining lease, the rate of royalty payable under this section is the rate of royalty that would otherwise be applicable if Division 1 applied in the circumstances.\n> \n> **s 286C:** Ins 1996 No 137, Sch 1 \\[13\\]. Am 2025 No 37, Sch 3\\[7\\].","sortOrder":548},{"sectionNumber":"286D","sectionType":"section","heading":"Evidentiary matters","content":"#### 286D Evidentiary matters\n\n286D Evidentiary matters\n\n> > (1) The energy value and ash content of the by-product of the mining or processing of coal recovered under a particular mining lease is to be determined, in the manner directed by the Minister, on the basis of the average energy value and average ash content of that by-product.\n> \n> > (2) The Minister may by determination in writing determine any of the following—\n> > \n> > > (a) that the by-product, or any identifiable quantity of the by-product, of the mining or processing of coal recovered under a particular mining lease is coal reject,\n> > \n> > > (b) the amount of coal in the coal reject recovered under a particular mining lease or the amount of coal in any identifiable quantity of that coal reject,\n> > \n> > > (c) that the coal reject, or any identifiable quantity of the coal reject, recovered under a particular mining lease and used or disposed of by the holder of the lease has been used by the holder in producing energy or disposed of by the holder for use in producing energy.\n> \n> > (3) The Minister’s determination is evidence of the matter determined.\n> \n> > (4) A determination under subsection (2) (a) or (b) is not open to dispute or challenge on the basis that the determination is not correct or accurate for any particular sample or quantity of the material concerned.\n> \n> **s 286D:** Ins 1996 No 137, Sch 1 \\[13\\].","sortOrder":549},{"sectionNumber":"287","sectionType":"section","heading":"Exemption from royalty","content":"#### 287 Exemption from royalty\n\n287 Exemption from royalty\n\n> > (1) If the Minister, on application by the holder of a mining lease, is satisfied that the value of publicly owned minerals recovered as a result of mining operations carried on during a royalty period was less than the appropriate amount, no royalty is payable to the Crown under this Act in respect of those minerals.\n> \n> > (1A) The Chief Commissioner is to remit the interest or penalty tax on any royalty that ceases to be payable because of a decision of the Minister under this section.\n> \n> > (2) In this section—\n> > \n> > appropriate amount, in relation to a royalty period, means—\n> > \n> > > (a) if the royalty period is 12 months—$2,000, and\n> > \n> > > (b) if the royalty period is less than 12 months—such amount as bears to $2,000 the same proportion as the number of days in the royalty period bears to 365.\n> > \n> > mining operations means mining operations carried on—\n> > \n> > > (a) on a parcel of land subject to a mining lease held by a person who is not the holder of any other mining lease, or\n> > \n> > > (b) on 2 or more parcels of land subject to 2 or more mining leases, if the holder of each parcel is the same person and if each parcel adjoins the other or another of those parcels.\n> > \n> > royalty period, in relation to a mineral recovered by a person under a mining lease, means—\n> > \n> > > (a) the period commencing on the day on which the person first became entitled, under the mining lease, to mine the mineral, and ending on the last day of the first period in respect of which the person is required by this Act to pay royalty in respect of the mineral, or\n> > \n> > > (b) the period commencing on the day after the last day of any period in respect of which the person is required by this Act to pay royalty in respect of the mineral and ending on the last day of the next such period, or\n> > \n> > > (c) if, during a period referred to in paragraph (b), the person ceases to be entitled to mine the mineral on the land the subject of the mining lease—the period commencing on the day after the last day of the previous royalty period and ending on the day on which the person ceases to be so entitled.\n> \n> **s 287:** Am 2014 No 37, Sch 4.1 \\[1\\] \\[6\\].","sortOrder":551},{"sectionNumber":"287A","sectionType":"section","heading":"Waiver of payment of additional royalty for coal","content":"#### 287A Waiver of payment of additional royalty for coal\n\n287A Waiver of payment of additional royalty for coal\n\n> > (1) The Minister may, by order in writing made with the concurrence of the Treasurer, waive all or part of the payment by the holder of a mining lease of royalty at the additional rate prescribed in respect of coal under section 283 (1) (b).\n> \n> > (2) The order may be made only if the Minister is satisfied that it is necessary for the financial viability of the mine, or mines, to which the mining lease relates, having regard to such matters as the Minister considers appropriate.\n> \n> > (3) The power of the Minister to make an order under this section cannot be delegated, despite section 363.\n> \n> > (4) The Chief Commissioner is to remit the interest or penalty tax on any royalty the payment of which is waived under this section.\n> \n> **s 287A:** Ins 1996 No 137, Sch 1 \\[14\\]. Am 2014 No 37, Sch 4.1 \\[7\\].","sortOrder":552},{"sectionNumber":"288","sectionType":"section","heading":"Trust fund","content":"#### 288 Trust fund\n\n288 Trust fund\n\n> > (1) The Minister may, by written notice served on the holder of a mining lease, require the holder to establish a trust fund, in the manner specified in the notice, and to pay into the trust fund (at the time or times so specified) a specified proportion of the money accruing from the sale of minerals (being a proportion that will, in the opinion of the Minister, be sufficient to meet royalty payable to the Crown under this Act in respect of those minerals).\n> \n> > (2) A holder of the mining lease who fails to comply with such a notice is guilty of an offence.\n> > \n> > Maximum penalty—100 penalty units and, in the case of a continuing offence, 10 penalty units for each day that the offence continues.\n> \n> **s 288:** Subst 2008 No 19, Sch 1 \\[244\\]. Am 2014 No 37, Sch 4.1 \\[1\\].","sortOrder":553},{"sectionNumber":"289","sectionType":"section","heading":"Returns","content":"#### 289 Returns\n\n289 Returns\n\n> > (1) The holder of a mining lease is required to lodge returns with the Chief Commissioner, at such times, and in respect of such periods, as may be prescribed by the regulations.\n> \n> > (2) A return is to include—\n> > \n> > > (a) the information prescribed by the regulations, and\n> > \n> > > (b) any other information the Chief Commissioner requires for the purposes of the assessment and recovery of royalty under this Act.\n> \n> > (3) The Chief Commissioner is to give a copy to the Minister of each return lodged with the Chief Commissioner.\n> \n> > (4) In this section, a reference to a holder of a mining lease includes a reference to a holder of a mining sublease.\n> \n> Note.\n> \n> The Chief Commissioner is responsible for the assessment and recovery of royalties under the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097). That Act requires returns to be in an approved form. The Chief Commissioner can also approve special arrangements for the lodging of returns under that Act.\n> \n> **s 289:** Am 2000 No 90, Sch 1.1 \\[5\\]. Subst 2014 No 37, Sch 4.1 \\[8\\]. Am 2025 No 37, Sch 3\\[8\\].","sortOrder":554},{"sectionNumber":"290","sectionType":"section","heading":null,"content":"#### 290\n\n290 (Repealed)","sortOrder":555},{"sectionNumber":"291","sectionType":"section","heading":"Payment of royalty","content":"#### 291 Payment of royalty\n\n291 Payment of royalty\n\n> > (1) Royalty payable to the Crown under this Act is payable—\n> > \n> > > (a) except to the extent a deferral approval or determination under paragraph (b) or (c) has effect—at the times, and for the periods, specified in, or determined in accordance with, the regulations, or\n> > \n> > > (b) except to the extent a determination under paragraph (c) has effect—at the times, and for the periods, specified in a deferral approval, or\n> > \n> > > (c) on demand by the Minister for the period determined by the Minister.\n> \n> > (1A) If a person who is liable to pay royalty fails to pay it as required by subsection (1), the person is guilty of an offence.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of a corporation—10,000 penalty units, and, in the case of a continuing offence, a further penalty of 1,000 penalty units for each day that the offence continues, or\n> > \n> > > (b) in the case of a natural person—2,000 penalty units or imprisonment for 12 months, or both, and, in the case of a continuing offence, a further penalty of 200 penalty units for each day that the offence continues.\n> \n> > (2) A tax default occurs for the purposes of the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097) if royalty payable to the Crown—\n> > \n> > > (a) is not paid by the time that it becomes payable in accordance with the regulations unless paragraph (a1) or (b) applies, or\n> > \n> > > (a1) for royalty payable in accordance with a deferral approval—is not paid within 28 days after the day on which the royalty becomes payable in accordance with the deferral approval, or\n> > \n> > > (a2) for interest payable in relation to a deferral approval under section 291AB—is not paid within 28 days after the day on which the interest becomes payable in accordance with section 291AB, or\n> > \n> > > (b) in the case of royalty payable on demand by the Minister—is not paid within 28 days of the demand for its payment.\n> \n> > (3) The regulations may require the payment of any royalty to accompany a return made under this Part.\n> \n> **s 291:** Am 2008 No 19, Sch 1 \\[246\\]; 2012 No 84, Sch 2.2 \\[9\\]; 2014 No 37, Sch 4.1 \\[1\\] \\[9\\]; 2025 No 37, Sch 3\\[9\\]–\\[11\\].","sortOrder":557},{"sectionNumber":"291AA","sectionType":"section","heading":"Deferral approvals for critical minerals","content":"#### 291AA Deferral approvals for critical minerals\n\n291AA Deferral approvals for critical minerals\n\n> > (1) A holder of a mining lease may apply for a deferral approval.\n> \n> > (2) An application for a deferral approval must be lodged with the Secretary.\n> \n> > (3) The Minister may, on application—\n> > \n> > > (a) grant a deferral approval, or\n> > \n> > > (b) refuse to grant a deferral approval.\n> \n> > (4) The Minister must not grant a deferral approval unless the Minister is satisfied the application meets the eligibility criteria prescribed by the regulations.\n> \n> > (5) In considering whether to grant a deferral approval, the Minister may have regard to guidelines issued and made publicly available by the Minister for the purposes of this section.\n> \n> > (6) A deferral approval must specify a deferred time on which royalty for a specified period is payable on one or more critical minerals.\n> \n> > (7) However, a deferral approval must not specify a deferred time that is greater than a deferred period of time prescribed by the regulations.\n> \n> > (8) A deferral approval cannot apply to a mineral other than a critical mineral.\n> \n> > (9) A deferral approval is subject to conditions imposed by the regulations.\n> \n> > (10) The Minister may revoke a deferral approval in the circumstances prescribed by the regulations.\n> \n> > (11) No compensation is payable for the revocation of a deferral approval.\n> \n> > (12) The regulations may further provide for matters in connection with the revocation of a deferral approval, including the payment of royalties payable under a deferral approval on revocation.\n> \n> > (13) In this section—\n> > \n> > critical mineral means a mineral prescribed by the regulations for this section.\n> \n> **s 291AA:** Ins 2025 No 37, Sch 3\\[12\\].","sortOrder":558},{"sectionNumber":"291AB","sectionType":"section","heading":"Interest on deferred royalty","content":"#### 291AB Interest on deferred royalty\n\n291AB Interest on deferred royalty\n\n> > (1) Interest must be calculated on deferred royalty in accordance with this section.\n> \n> > (2) The interest calculated in accordance with this section on deferred royalty is payable to the Crown when the deferred royalty is payable.\n> \n> > (3) Interest on the amount of deferred royalty must be calculated on a quarterly basis for each quarterly period ending on 31 March, 30 June 30 September and 31 December from the day following the day on which the deferred royalty would be payable if not deferred under the deferral approval until the day the deferred royalty is paid at the long term bond rate.\n> \n> > (4) The interest may be calculated on a pro-rata basis if the deferred royalty is paid before the day on which the royalty becomes payable under a deferral approval.\n> \n> > (5) The long term bond rate is rounded to the second decimal place, rounding 0.005 upwards, at the time interest is calculated.\n> \n> > (6) For subsection (3), the long term bond rate for the quarterly period ending on the day specified in Column 1 of the table to this subsection is the average of the monthly Australian Government 10-year bond yields for the 3 months of the quarterly period specified opposite in Column 2.\n> > \n> > | Table |\n> > | Column 1 | Column 2 |\n> > | Quarterly period end date | 3 months |\n> > | 31 March | 1 January to 31 March |\n> > | 30 June | 1 April to 30 June |\n> > | 30 September | 1 July to 30 September |\n> > | 31 December | 1 October to 31 December |\n> \n> > (7) If a yield for the 3 months is not published by the Reserve Bank, the long term bond rate for the quarterly period is taken to be the long term bond rate for the preceding quarter.\n> \n> > (8) For section 291(1A)—\n> > \n> > > (a) liability to pay royalty includes the liability to pay the interest calculated in accordance with this section on the royalty, and\n> > \n> > > (b) the person is guilty of the offence under the subsection if the person fails to pay the interest as required by this section.\n> \n> > (9) The regulations may further provide for matters in connection with interest on deferred royalty.\n> \n> > (10) In this section—\n> > \n> > Australian Government 10-year bond yields means the Australian Government bond capital market yields for the 10-year bonds published monthly by the Reserve Bank.\n> > \n> > deferred royalty means royalty payable for which payment is deferred under a deferral approval.\n> \n> **s 291AB:** Ins 2025 No 37, Sch 3\\[12\\].","sortOrder":559},{"sectionNumber":"291A","sectionType":"section","heading":"Assessment and recovery of royalties","content":"#### 291A Assessment and recovery of royalties\n\n291A Assessment and recovery of royalties\n\n> > (1) Royalty payable under this Act is a tax for the purposes of the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097).\n> > \n> > Note.\n> > \n> > The [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097) applies to the assessment and recovery of royalty.\n> \n> > (2) The royalty is payable to the Chief Commissioner in accordance with that Act.\n> \n> > (3) The Minister is to provide the Chief Commissioner with any information necessary to enable the Chief Commissioner to exercise the Chief Commissioner’s functions with respect to royalties under this Act and the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097).\n> \n> > (4) A certificate that is signed by the Minister and that states that, on a specified date, the Minister made a determination, or did anything else, under any of the following provisions, is admissible in evidence in any proceedings and is evidence of the fact or facts so certified—\n> > \n> > > (a) section 283 (3) (c) or (5),\n> > \n> > > (b) section 286C (1),\n> > \n> > > (c) section 286D,\n> > \n> > > (d) section 291 (1) (b),\n> > \n> > > (e) any other provision of this Act relating to royalties that is prescribed by the regulations.\n> \n> > (5) The Chief Commissioner may request a certificate under this section and a certificate is to be provided in accordance with that request.\n> \n> **s 291A:** Ins 2014 No 37, Sch 4.1 \\[10\\].","sortOrder":560},{"sectionNumber":"291B","sectionType":"section","heading":"Chief Commissioner to refer objections","content":"#### 291B Chief Commissioner to refer objections\n\n291B Chief Commissioner to refer objections\n\n> > (1) The Chief Commissioner must refer an objection lodged under the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097), Part 10 about one or more of the following matters for determination by the Minister—\n> > \n> > > (a) the quantity of minerals disposed of or held by the holder of a mining lease,\n> > \n> > > (b) the quantity of coal disposed of by the holder of a mining lease,\n> > \n> > > (c) whether, and the extent to which, coal was recovered by—\n> > > \n> > > > (i) open cut mining, or\n> > > \n> > > > (ii) underground mining, or\n> > > \n> > > > (iii) deep underground mining.\n> \n> > (2) The Minister must determine a matter referred by the Chief Commissioner.\n> \n> > (3) The Chief Commissioner must adopt the Minister’s determination of a matter in the Chief Commissioner’s determination of the objection under the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097), Part 10.\n> \n> > (4) A non-reviewable matter is not reviewable by a court or tribunal, including in a review by a court or tribunal of a decision by the Chief Commissioner under the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097), Part 10.\n> \n> > (5) However, subsection (4) does not limit the inherent jurisdiction of a court.\n> \n> > (6) A certificate signed by the Minister that states that, on a specified date, the Minister made a determination under this section is—\n> > \n> > > (a) admissible in evidence in proceedings, and\n> > \n> > > (b) evidence of the fact or facts certified.\n> \n> > (7) In this section—\n> > \n> > deep underground mining means mining carried out at a mine in which coal situated at a depth of 400m or more is extracted other than by open cut methods.\n> > \n> > non-reviewable matter means the following—\n> > \n> > > (a) a matter referred to in subsection (1)(a)–(c),\n> > \n> > > (b) a determination by the Minister under subsection (2),\n> > \n> > > (c) an adoption by the Chief Commissioner under subsection (3) of the Minister’s determination.\n> > \n> > open cut mining means mining carried out at a mine in which coal is extracted by open cut methods.\n> > \n> > underground mining means mining, other than deep underground mining, carried out at a mine in which coal is extracted other than by open cut methods.\n> \n> **s 291B:** Ins 2025 No 37, Sch 3\\[13\\].","sortOrder":561},{"sectionNumber":"292","sectionType":"section","heading":"Disclosure of royalty information","content":"#### 292 Disclosure of royalty information\n\n292 Disclosure of royalty information\n\n> > (1) The Minister, or any other person engaged in the administration of this Act, may disclose royalty information obtained from a tax officer under this Act or the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097) in connection with the administration or execution of this Act.\n> \n> > (2) This section applies despite section 84 of the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097) but subject to any restrictions in this Act.\n> > \n> > Note.\n> > \n> > See section 365 of this Act.\n> \n> > (3) In this section—\n> > \n> > royalty information means information in a return lodged with the Chief Commissioner under this Act or any other information relating to the assessment or recovery of royalty.\n> > \n> > tax officer has the same meaning as it has in the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097).\n> \n> **s 292:** Subst 2014 No 37, Sch 4.1 \\[10\\].","sortOrder":562},{"sectionNumber":"292AA","sectionType":"section","heading":"Information sharing by the Chief Commissioner","content":"#### 292AA Information sharing by the Chief Commissioner\n\n292AA Information sharing by the Chief Commissioner\n\n> > (1) The Chief Commissioner must give the Minister information (royalty information) held by the Chief Commissioner about the following—\n> > \n> > > (a) royalty due and payable under the Act that remains unpaid for 30 days or more after the payment was due,\n> > \n> > > (b) extensions of time given by the Chief Commissioner for the payment of royalty,\n> > \n> > > (c) the payment of royalty by instalments in accordance with the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097), section 47.\n> \n> > (2) The Chief Commissioner and Minister may enter into an arrangement for the purposes of the Chief Commissioner sharing the royalty information with the Minister.\n> \n> > (3) The Chief Commissioner is permitted to disclose the royalty information to the Minister in accordance with the arrangement.\n> \n> **s 292AA:** Ins 2025 No 37, Sch 3\\[14\\].","sortOrder":563},{"sectionNumber":"Part 14A","sectionType":"part","heading":"Fees","content":"# Part 14A Fees\n\nPart 14A Fees\n\n**pt 14A:** Ins 2012 No 46, Sch 5.2 \\[40\\].","sortOrder":564},{"sectionNumber":"292A","sectionType":"section","heading":"Interpretation","content":"#### 292A Interpretation\n\n292A Interpretation\n\n> > (1) In this Part—\n> > \n> > authorisation fee means an annual rental fee or administrative levy payable under this Part.\n> \n> > (2) A reference in this Part to when an authorisation is granted or renewed is taken, in relation to a grant or renewal of an authorisation that takes effect under this Act after the date on which it is granted or renewed, to be a reference to when the grant or renewal takes effect.\n> \n> > (3) To avoid doubt, if an authorisation fee is payable during the term of an authorisation, the term of the authorisation includes the period occurring after the term for which the authorisation as granted or renewed was due to expire but continues to have effect under section 117.\n> > \n> > Note—\n> > \n> > Section 117 provides for the continuation of an authorisation if an application is made for renewal of the authorisation and it is not finally disposed of before the date on which the authorisation would otherwise cease to have effect.\n> \n> **s 292A:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Subst 2022 No 21, Sch 1\\[111\\].","sortOrder":566},{"sectionNumber":"292B","sectionType":"section","heading":null,"content":"#### 292B\n\n292B (Repealed)","sortOrder":567},{"sectionNumber":"292C","sectionType":"section","heading":"Fees payable in respect of authorisation","content":"#### 292C Fees payable in respect of authorisation\n\n292C Fees payable in respect of authorisation\n\n> > (1) The following fees are payable under this Part to the Secretary, on behalf of the Crown, for the privilege of being the holder of an authorisation—\n> > \n> > > (a) an annual rental fee,\n> > \n> > > (b) an administrative levy.\n> \n> > (2) The authorisation fees are payable in addition to any royalty payable under Part 14 and any other fees payable under this Act.\n> \n> > (3) The holder of an authorisation must not fail to pay any annual rental fee or annual administrative levy payable under this Part for the authorisation.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of a corporation—100 penalty units, or\n> > \n> > > (b) in the case of a natural person—50 penalty units.\n> \n> **s 292C:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Am 2015 No 40, Sch 1 \\[102\\].","sortOrder":570},{"sectionNumber":"292D","sectionType":"section","heading":"Authorisation fees payable by holder of authorisation","content":"#### 292D Authorisation fees payable by holder of authorisation\n\n292D Authorisation fees payable by holder of authorisation\n\n> > (1) An authorisation fee is payable by a person who is, or will be, a holder of the authorisation at the time liability for the fee arises.\n> \n> > (2) If there is more than one holder of an authorisation, each of the holders is jointly and severally liable for payment of an authorisation fee.\n> \n> **s 292D:** Ins 2012 No 46, Sch 5.2 \\[40\\].","sortOrder":571},{"sectionNumber":"292E","sectionType":"section","heading":"Payment of annual rental fee","content":"#### 292E Payment of annual rental fee\n\n292E Payment of annual rental fee\n\n> > (1) An annual rental fee must be paid for each year the authorisation continues in force.\n> \n> > (2) An annual rental fee must be paid before the grant of an authorisation.\n> \n> > (3) Subsequent annual rental fees must be paid by—\n> > \n> > > (a) the date specified by the Secretary by written notice given to the person liable to pay the fee, or\n> > \n> > > (b) if no date is specified—the date prescribed by, or determined in accordance with, the regulations for the purposes of this section.\n> \n> > (4) In subsection (2), a reference to the grant of an authorisation includes a reference to the taking of action under this Act as a result of which an authorisation is taken to have been granted under this Act.\n> > \n> > Note—\n> > \n> > For example, a partial transfer of an authorisation cannot be registered under section 122(5) until the annual rental fee is paid.\n> \n> **s 292E:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Subst 2022 No 21, Sch 1\\[113\\].","sortOrder":573},{"sectionNumber":"292F","sectionType":"section","heading":"Amount of annual rental fee","content":"#### 292F Amount of annual rental fee\n\n292F Amount of annual rental fee\n\n> > (1) The amount of the annual rental fee is the amount provided for by, or calculated in accordance with, the regulations.\n> \n> > (2) The regulations may provide that no annual rental fee is payable in respect of any specified period.\n> \n> **s 292F:** Ins 2012 No 46, Sch 5.2 \\[40\\].","sortOrder":574},{"sectionNumber":"292G","sectionType":"section","heading":"Exemptions","content":"#### 292G Exemptions\n\n292G Exemptions\n\n> The following authorisations are exempt from the requirement to pay an annual rental fee—\n> \n> > (a) an exploration licence held by the Secretary,\n> \n> > (b) a small-scale title,\n> \n> > (c) an environmental assessment permit,\n> \n> > (d) any authorisation, or authorisation of a class, exempted by the regulations.\n> \n> **s 292G:** Ins 2012 No 46, Sch 5.2 \\[40\\].","sortOrder":575},{"sectionNumber":"292H","sectionType":"section","heading":"Definitions","content":"#### 292H Definitions\n\n292H Definitions\n\n> In this Division—\n> \n> annual administrative levy—see section 292I.\n> \n> term administrative levy—see section 292J.\n> \n> **s 292H:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Am 2022 No 21, Sch 1\\[114\\].","sortOrder":577},{"sectionNumber":"292I","sectionType":"section","heading":"Payment of annual administrative levy","content":"#### 292I Payment of annual administrative levy\n\n292I Payment of annual administrative levy\n\n> > (1) The administrative levy payable under this Part for an authorisation, other than a small-scale title, is an annual administrative levy.\n> \n> > (2) An annual administrative levy must be paid for each year the authorisation continues in force.\n> \n> > (3) An annual administrative levy must be paid before the grant of an authorisation.\n> \n> > (4) Subsequent annual administrative levies must be paid by—\n> > \n> > > (a) the date specified by the Secretary by written notice given to the person liable to pay the fee, or\n> > \n> > > (b) if no date is specified—the date prescribed by, or determined in accordance with, the regulations for the purposes of this section.\n> \n> > (5) In subsection (3), a reference to the granting of an authorisation includes a reference to the taking of action under this Act as a result of which an authorisation is taken to have been granted under this Act.\n> > \n> > Note—\n> > \n> > For example, a partial transfer of an authorisation cannot be registered under section 122(5) until the administrative levy is paid.\n> \n> **s 292I:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Subst 2022 No 21, Sch 1\\[115\\].","sortOrder":578},{"sectionNumber":"292J","sectionType":"section","heading":"Liability for term administrative levy (small-scale titles)","content":"#### 292J Liability for term administrative levy (small-scale titles)\n\n292J Liability for term administrative levy (small-scale titles)\n\n> > (1) The administrative levy payable under this Part for a small-scale title is a term administrative levy.\n> \n> > (2) Liability for a term administrative levy arises on the grant of a small-scale title and, in the case of a mineral claim, on renewal of the mineral claim.\n> \n> > (3) A term administrative levy must be paid, in advance, before a small-scale title is granted and, in the case of a mineral claim, before the claim is renewed.\n> \n> > (4) A small-scale title for which a term administrative levy is payable must not be granted or renewed until the term administrative levy is paid.\n> \n> > (5) In subsection (4), a reference to the granting of a small-scale title includes a reference to the taking of any action under this Act as a result of which a small-scale title is taken to have been granted under this Act.\n> \n> **s 292J:** Ins 2012 No 46, Sch 5.2 \\[40\\].","sortOrder":579},{"sectionNumber":"292K","sectionType":"section","heading":"Amount of annual administrative levy","content":"#### 292K Amount of annual administrative levy\n\n292K Amount of annual administrative levy\n\n> The amount of an annual administrative levy is the amount calculated in accordance with the regulations.\n> \n> **s 292K:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Subst 2022 No 21, Sch 1\\[116\\].","sortOrder":580},{"sectionNumber":"292L","sectionType":"section","heading":null,"content":"#### 292L\n\n292L (Repealed)","sortOrder":581},{"sectionNumber":"292M","sectionType":"section","heading":"Amount of term administrative levy","content":"#### 292M Amount of term administrative levy\n\n292M Amount of term administrative levy\n\n> The amount of a term administrative levy is the amount calculated in accordance with the regulations.\n> \n> **s 292M:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Am 2012 No 95, Sch 2.22 \\[1\\]. Subst 2022 No 21, Sch 1\\[118\\].","sortOrder":583},{"sectionNumber":"292N","sectionType":"section","heading":"Exemptions","content":"#### 292N Exemptions\n\n292N Exemptions\n\n> The following authorisations are exempt from the requirement to pay an administrative levy—\n> \n> > (a) an exploration licence held by the Secretary,\n> \n> > (b) any authorisation, or authorisation of a class, exempted by the regulations.\n> \n> **s 292N:** Ins 2012 No 46, Sch 5.2 \\[40\\].","sortOrder":584},{"sectionNumber":"292O","sectionType":"section","heading":"Assessment of liability","content":"#### 292O Assessment of liability\n\n292O Assessment of liability\n\n> > (1) The Secretary is to assess the liability of a person for an authorisation fee.\n> \n> > (2) The Secretary may reassess the liability of a person for an authorisation fee if—\n> > \n> > > (a) it appears that a previous assessment was incorrect, or\n> > \n> > > (b) a reassessment is otherwise authorised or required by this Act or the regulations.\n> \n> **s 292O:** Ins 2012 No 46, Sch 5.2 \\[40\\].","sortOrder":586},{"sectionNumber":"292P","sectionType":"section","heading":"Recovery of fees","content":"#### 292P Recovery of fees\n\n292P Recovery of fees\n\n> Any authorisation fee payable under this Part is a debt due by the holder of the authorisation concerned to the Crown and is recoverable in a court of competent jurisdiction.\n> \n> **s 292P:** Ins 2012 No 46, Sch 5.2 \\[40\\].","sortOrder":587},{"sectionNumber":"292Q","sectionType":"section","heading":null,"content":"#### 292Q\n\n292Q (Repealed)","sortOrder":588},{"sectionNumber":"292R","sectionType":"section","heading":"Late payment fee","content":"#### 292R Late payment fee\n\n292R Late payment fee\n\n> > (1) If an authorisation fee is not paid within the period required under this Part, the Secretary may charge a late payment fee calculated in accordance with the regulations.\n> \n> > (2) A late payment fee may be charged for any days in the period starting at the end of the day the authorisation fee was required to be paid and ending on (and excluding) the day the authorisation fee is paid.\n> \n> > (3) A late payment fee is taken to form part of, and is recoverable in the same way as, the authorisation fee.\n> \n> **s 292R:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Am 2022 No 21, Sch 1\\[119\\].","sortOrder":590},{"sectionNumber":"292RA","sectionType":"section","heading":"Consultation before regulations regarding fees are made","content":"#### 292RA Consultation before regulations regarding fees are made\n\n292RA Consultation before regulations regarding fees are made\n\n> Before recommending the making of a regulation that specifies or varies a method of calculation of a levy or fee under section 292K, 292M or 292R(1), the Minister must ensure that—\n> \n> > (a) a notice is published in the way specified by the regulations to bring it to the attention of the public—\n> > \n> > > (i) stating the objects of the proposed regulation, and\n> > \n> > > (ii) advising where a copy of the regulation may be obtained or inspected, and\n> > \n> > > (iii) inviting comments and submissions within a specified period, but not less than 28 days from publication of the notice, and\n> \n> > (b) comments and submissions received within the period specified by the notice are considered.\n> \n> **s 292RA:** Ins 2015 No 40, Sch 1 \\[104\\]. Rep 2019 No 1, Sch 1.12. Ins 2022 No 21, Sch 1\\[120\\].","sortOrder":591},{"sectionNumber":"292S","sectionType":"section","heading":"Effect of cancellation or suspension","content":"#### 292S Effect of cancellation or suspension\n\n292S Effect of cancellation or suspension\n\n> > (1) The cancellation of an authorisation does not affect any liability for an authorisation fee that arose on a date that occurred before that cancellation.\n> \n> > (2) Subject to the regulations, an authorisation fee does not cease to be payable, or become refundable, because the Secretary directs a person to suspend operations under the authorisation or suspends an activity approval.\n> \n> Note.\n> \n> Section 382A gives the Secretary power to waive or refund fees payable under this Act in appropriate cases.\n> \n> **s 292S:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Am 2022 No 21, Sch 1\\[121\\].","sortOrder":592},{"sectionNumber":"Part 14AA","sectionType":"part","heading":"Small-scale title levies","content":"# Part 14AA Small-scale title levies\n\nPart 14AA Small-scale title levies\n\n**pt 14AA:** Ins 2014 No 53, Sch 1 \\[8\\].","sortOrder":593},{"sectionNumber":"292SA","sectionType":"section","heading":"Levy may be imposed by Minister","content":"#### 292SA Levy may be imposed by Minister\n\n292SA Levy may be imposed by Minister\n\n> > (1) The Minister may, by order published in the Gazette, impose a levy on small-scale titles for any one or more of the following purposes—\n> > \n> > > (a) the provision and maintenance of roads servicing small-scale titles and road related infrastructure (including gates, grids and signs),\n> > \n> > > (b) rehabilitation or environmental maintenance work on land not held under a small-scale title but affected by work relating to small-scale titles,\n> > \n> > > (c) rehabilitation or environmental maintenance work on stockpiles of mullock,\n> > \n> > > (d) any purpose prescribed by the regulations,\n> > \n> > > (e) any purpose ancillary to a purpose set out in paragraphs (a)–(d).\n> \n> > (2) The amount of the levy is the amount specified in the order.\n> \n> **ss 292SA–292SC:** Ins 2014 No 53, Sch 1 \\[8\\].","sortOrder":594},{"sectionNumber":"292SB","sectionType":"section","heading":"Orders imposing levy","content":"#### 292SB Orders imposing levy\n\n292SB Orders imposing levy\n\n> > (1) An order of the Minister under section 292SA (a levy order) is to set out the purpose for which the levy is being imposed.\n> \n> > (2) A levy order may impose a levy that is payable once only or may impose a levy that is payable on a recurrent basis as specified in the order.\n> \n> > (3) A levy order may apply to all small-scale titles or be limited to small-scale titles of a specified class.\n> \n> > (4) More than one levy order may be made under this Part and more than one levy may be imposed on a particular small-scale title.\n> \n> **ss 292SA–292SC:** Ins 2014 No 53, Sch 1 \\[8\\].","sortOrder":595},{"sectionNumber":"292SC","sectionType":"section","heading":"Holder of small-scale title required to pay levy","content":"#### 292SC Holder of small-scale title required to pay levy\n\n292SC Holder of small-scale title required to pay levy\n\n> > (1) The holder of a small-scale title is required to pay to the Secretary the amount of any levy imposed on the small-scale title under this Part at such times as may be required by the order imposing the levy.\n> \n> > (2) The Secretary may recover the amount of any such levy from the holder of a small-scale title as a debt in any court of competent jurisdiction.\n> \n> **ss 292SA–292SC:** Ins 2014 No 53, Sch 1 \\[8\\].","sortOrder":596},{"sectionNumber":"292SD","sectionType":"section","heading":"Use of money raised through levy","content":"#### 292SD Use of money raised through levy\n\n292SD Use of money raised through levy\n\n> The Secretary may, on the application of a person, allocate any money collected by way of a levy under this Part for any purpose if the Secretary is satisfied that the reasons for which the application was made are consistent with the purposes for which the levy was imposed and the allocation is appropriate and reasonable for achieving those purposes.\n> \n> **s 292SD:** Ins 2014 No 53, Sch 1 \\[8\\]. Subst 2015 No 40, Sch 1 \\[105\\].","sortOrder":597},{"sectionNumber":"Part 14B","sectionType":"part","heading":"Finance","content":"# Part 14B Finance\n\nPart 14B Finance\n\n**pt 14B:** Ins 2012 No 46, Sch 5.2 \\[40\\].","sortOrder":598},{"sectionNumber":"292T","sectionType":"section","heading":"Minerals and Petroleum Investment Fund","content":"#### 292T Minerals and Petroleum Investment Fund\n\n292T Minerals and Petroleum Investment Fund\n\n> > (1) There is to be established in the Special Deposits Account a fund called the Minerals and Petroleum Investment Fund (the Investment Fund).\n> \n> > (2) The Investment Fund is to be administered by the Secretary.\n> \n> > (3) There is payable into the Investment Fund—\n> > \n> > > (a) annual rental fees payable under Part 14A of this Act or under Part 7A of the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084), and\n> > \n> > > (b) all money directed or authorised to be paid into the Investment Fund by or under this or any other Act, and\n> > \n> > > (c) the proceeds from the investment of money in the Investment Fund.\n> \n> > (4) There is payable from the Investment Fund—\n> > \n> > > (a) such amounts as the Secretary authorises for the purpose of funding any authorised investment program (including any associated administrative expenses), and\n> > \n> > > (b) administrative expenses incurred in relation to the Investment Fund, and\n> > \n> > > (c) administrative expenses incurred in relation to the collection and recovery of amounts payable into the Investment Fund, and\n> > \n> > > (d) any refund required under this Act or the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084) of an amount paid as an annual rental fee.\n> \n> > (5) The Secretary may invest money in the Investment Fund—\n> > \n> > > (a) if the Department is a GSF agency for the purposes of Part 6 of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055)—in any way that the Department is permitted to invest money under that Part, or\n> > \n> > > (b) if the Department is not a GSF agency for the purposes of Part 6 of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055)—in any way approved by the Treasurer.\n> \n> > (6) The annual report of the Department is to include details of the amounts paid from the Investment Fund during the financial year to which the report relates and the purposes for which those payments were made.\n> \n> > (7) In this section—\n> > \n> > authorised investment program means any Government program or initiative the object of which is to promote investment in State minerals or petroleum (or both), including—\n> > \n> > > (a) the program administered by the Department known as the *New Frontiers minerals and energy exploration initiative* (or *New Frontiers*), and\n> > \n> > > (b) any other program or initiative that provides for, or improves, the geoscience information available in respect of State minerals or petroleum (or both), and\n> > \n> > > (c) any other program or initiative declared by the regulations under this Act or under the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084) to be an authorised investment program.\n> > \n> > petroleum has the same meaning as it has in the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084).\n> \n> **s 292T:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Am 2018 No 70, Sch 3.41 \\[1\\].","sortOrder":600},{"sectionNumber":"292U","sectionType":"section","heading":"Minerals and Petroleum Administrative Fund","content":"#### 292U Minerals and Petroleum Administrative Fund\n\n292U Minerals and Petroleum Administrative Fund\n\n> > (1) There is to be established in the Special Deposits Account a fund called the Minerals and Petroleum Administrative Fund (the Administrative Fund).\n> \n> > (2) The Administrative Fund is to be administered by the Secretary.\n> \n> > (3) There is payable into the Administrative Fund—\n> > \n> > > (a) administrative levies payable under Part 14A of this Act or under Part 7A of the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084), and\n> > \n> > > (b) all money directed or authorised to be paid into the Administrative Fund by or under this or any other Act, and\n> > \n> > > (c) the proceeds from the investment of money in the Administrative Fund.\n> \n> > (4) There is payable from the Administrative Fund—\n> > \n> > > (a) such amounts as the Secretary authorises for the purpose of funding minerals and petroleum administrative costs, and\n> > \n> > > (b) administrative expenses incurred in relation to the Administrative Fund, and\n> > \n> > > (c) administrative expenses incurred in relation to the collection and recovery of amounts payable into the Administrative Fund, and\n> > \n> > > (d) any refund required under this Act or the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084) of an amount paid as an administrative levy, and\n> > \n> > > (e) such amounts as the Secretary authorises for payment into the Derelict Mine Sites Fund.\n> \n> > (5) The Secretary may invest money in the Administrative Fund—\n> > \n> > > (a) if the Department is a GSF agency for the purposes of Part 6 of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055)—in any way that the Department is permitted to invest money under that Part, or\n> > \n> > > (b) if the Department is not a GSF agency for the purposes of Part 6 of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055)—in any way approved by the Treasurer.\n> \n> > (6) The annual report of the Department is to include details of the amounts paid from the Administrative Fund during the financial year to which the report relates and the purposes for which those payments were made.\n> \n> > (7) In this section—\n> > \n> > minerals and petroleum administrative costs means the costs associated with the following—\n> > \n> > > (a) the administration and enforcement of this Act and the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084),\n> > \n> > > (b) community and industry liaison carried out in connection with this Act or the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084) (including the provision of information about activities carried out under this Act and the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084)),\n> > \n> > > (c) rehabilitation of land or water disturbed by activities carried out under this Act, the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084) or former legislation relating to mining,\n> > \n> > > (d) any other costs declared by the regulations to be minerals and petroleum administrative costs.\n> > \n> > petroleum has the same meaning as it has in the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084).\n> \n> **s 292U:** Ins 2012 No 46, Sch 5.2 \\[40\\]. Am 2018 No 70, Sch 3.41 \\[2\\].","sortOrder":601},{"sectionNumber":"292V","sectionType":"section","heading":"Small-Scale Titles Levy Fund","content":"#### 292V Small-Scale Titles Levy Fund\n\n292V Small-Scale Titles Levy Fund\n\n> > (1) There is to be established in the Special Deposits Account a fund called the Small-Scale Titles Levy Fund.\n> \n> > (2) The Small-Scale Titles Levy Fund is to be administered by the Secretary.\n> \n> > (3) There is payable into the Small-Scale Titles Levy Fund—\n> > \n> > > (a) small-scale title levies payable under Part 14AA of this Act, and\n> > \n> > > (b) all money directed or authorised to be paid into the Small-Scale Titles Levy Fund by or under this or any other Act, and\n> > \n> > > (c) the proceeds from the investment of money in the Small-Scale Titles Levy Fund.\n> \n> > (4) There is payable from the Small-Scale Titles Levy Fund—\n> > \n> > > (a) such amounts as the Secretary allocates under section 292SD, and\n> > \n> > > (b) administrative expenses incurred in relation to the Small-Scale Titles Levy Fund, and\n> > \n> > > (c) administrative expenses incurred in relation to the collection and recovery of amounts payable into the Small-Scale Titles Levy Fund, and\n> > \n> > > (d) any refund required under this Act of an amount paid as a small-scale title levy.\n> \n> > (5) The Small-Scale Titles Levy Fund is to be divided into separate accounts in respect of levies collected for different purposes referred to in section 292SA to ensure that, as far as is practicable, money collected by way of a levy is used for the purposes for which the levy was imposed.\n> \n> > (6) The Secretary may invest money in the Small-Scale Titles Levy Fund—\n> > \n> > > (a) if the Department is a GSF agency for the purposes of Part 6 of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055)—in any way that the Department is permitted to invest money under that Part, or\n> > \n> > > (b) if the Department is not a GSF agency for the purposes of Part 6 of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055)—in any way approved by the Treasurer.\n> \n> > (7) The annual report of the Department is to include details of the amounts paid from the Small-Scale Titles Levy Fund during the financial year to which the report relates and the purposes for which those payments were made.\n> \n> **s 292V:** Ins 2014 No 53, Sch 1 \\[9\\]. Am 2015 No 40, Sch 1 \\[106\\]; 2018 No 70, Sch 3.41 \\[3\\].","sortOrder":602},{"sectionNumber":"292W","sectionType":"section","heading":"Royalties for Rejuvenation Fund","content":"#### 292W Royalties for Rejuvenation Fund\n\n292W Royalties for Rejuvenation Fund\n\n> > (1) There is established in the Special Deposits Account a fund called the Royalties for Rejuvenation Fund (the Rejuvenation Fund).\n> \n> > (2) The object of the Rejuvenation Fund is to alleviate economic impacts in affected coal mining regions caused by a move away from coal mining by supporting other economic diversification in those regions, including by the funding of infrastructure, services, programs and other activities.\n> \n> > (3) The Rejuvenation Fund is to be administered by the Secretary.\n> \n> > (4) There is payable into the Rejuvenation Fund—\n> > \n> > > (a) money advanced, if any, by the Treasurer for the Rejuvenation Fund, and\n> > \n> > > (b) money appropriated, if any, by Parliament for the purposes of the Rejuvenation Fund, and\n> > \n> > > (c) other money directed or authorised to be paid into the Rejuvenation Fund by or under this or another Act or law, and\n> > \n> > > (d) the proceeds from the investment of money in the Rejuvenation Fund.\n> \n> > (5) There is payable from the Rejuvenation Fund—\n> > \n> > > (a) money authorised by the Minister to promote the object of the Rejuvenation Fund, but only if the Minister has considered—\n> > > \n> > > > (i) written advice about the payment given by the Secretary, including advice as to how the payment complies with the eligibility criteria specified under subsection (6), and\n> > > \n> > > > (ii) advice and recommendations given by an Expert Panel, and\n> > > \n> > > > (iii) for a payment that relates to an affected coal mining region—advice and recommendations given by an Expert Panel established for the region, and\n> > > \n> > > > (iv) the public interest, and\n> > > \n> > > > (v) whether the payment would lead to a negative impact on the environment, and\n> > \n> > > (b) money required to meet the administrative expenses related to the Rejuvenation Fund, and\n> > \n> > > (c) money authorised or required to be paid from the Rejuvenation Fund by or under this or another Act or law.\n> \n> > (6) Money must not be paid from the Rejuvenation Fund under subsection (5)(a) unless it is paid in accordance with eligibility criteria issued and made publicly available by the Secretary for the purposes of this section.\n> \n> > (7) The Secretary must—\n> > \n> > > (a) keep a public register on the Department’s website of all programs and projects funded from the Rejuvenation Fund under subsection (5)(a), and\n> > \n> > > (b) update the register, as soon as practicable after the end of each quarter, with details of projects or programs funded or approved for funding from the Rejuvenation Fund.\n> \n> > (8) The Secretary may invest money in the Rejuvenation Fund—\n> > \n> > > (a) if the Department is a GSF agency for the purposes of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055), Part 6—in a way the Department is permitted to invest money under that Part, or\n> > \n> > > (b) if the Department is not a GSF agency for the purposes of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055), Part 6—in a way approved by the Treasurer.\n> \n> > (9) The annual report of the Department must include details of the amounts paid from the Rejuvenation Fund during the financial year to which the report relates and the purposes for which those payments were made.\n> \n> > (10) In this section—\n> > \n> > affected coal mining region means an area of the State prescribed by the regulations for the purposes of this section.\n> \n> > (11) The Minister must not recommend the making of a regulation under subsection (10) unless the Minister is satisfied that the area to be prescribed—\n> > \n> > > (a) relies, or has relied, on coal mining for employment and economic activity, and\n> > \n> > > (b) is, or is likely to be, impacted by a transition away from coal mining.\n> \n> **s 292W:** Ins 2022 No 21, Sch 1\\[123\\].","sortOrder":603},{"sectionNumber":"292X","sectionType":"section","heading":"Royalties for Rejuvenation Expert Panel","content":"#### 292X Royalties for Rejuvenation Expert Panel\n\n292X Royalties for Rejuvenation Expert Panel\n\n> > (1) The Minister must establish at least 1 advisory panel, called a Royalties for Rejuvenation Expert Panel (a Panel).\n> \n> > (2) The Minister must establish a Panel for each affected coal mining region, within the meaning of section 292W.\n> \n> > (3) To avoid doubt, subsection (2) does not prevent the Minister establishing Panels for other areas of the State or other Panels.\n> \n> > (4) A Panel has the following functions—\n> > \n> > > (a) to advise the Minister and make recommendations about payments from the Rejuvenation Fund,\n> > \n> > > (b) to advise the Minister about other matters, if any, prescribed by the regulations.\n> \n> > (5) Advice given by a Panel is non-binding.\n> \n> > (6) The regulations may make provision about the following—\n> > \n> > > (a) the constitution of a Panel, including the appointment and removal of members,\n> > \n> > > (b) the operations of a Panel,\n> > > \n> > > Example—\n> > > \n> > > The regulations may provide that the Expert Panel is to undertake public consultation before giving certain advice or making certain recommendations.\n> > \n> > > (c) the governance of a Panel, including integrity and probity matters,\n> > \n> > > (d) the calling of, and procedure at, meetings of a Panel, including methods of holding meetings.\n> \n> > (7) A Panel is subject to the control and direction of the Minister in the exercise of its functions, except in relation to the contents of any advice given by it.\n> \n> > (8) A Panel member is entitled to be paid travelling and other allowances as the Minister may from time to time determine for the member.\n> \n> > (9) The Secretary must—\n> > \n> > > (a) keep a public register on the Department’s website of the following—\n> > > \n> > > > (i) the membership of each Panel,\n> > > \n> > > > (ii) a summary of the advice and recommendations given to the Minister by Panels under this section, and\n> > \n> > > (b) update the register as soon as practicable after the end of each quarter.\n> \n> > (10) Despite subsection (9)(a)(ii), the Secretary is not required to record information on the public register if, in the opinion of the Secretary, the information is commercial in confidence.\n> \n> **s 292X:** Ins 2022 No 21, Sch 1\\[123\\].","sortOrder":604},{"sectionNumber":"292Y","sectionType":"section","heading":"Coal Authorities Allocations Fund","content":"#### 292Y Coal Authorities Allocations Fund\n\n292Y Coal Authorities Allocations Fund\n\n> > (1) There is established in the Special Deposits Account a fund called the Coal Authorities Allocations Fund.\n> \n> > (2) The Coal Authorities Allocations Fund is to be administered by the Secretary.\n> \n> > (3) There is payable into the Coal Authorities Allocations Fund—\n> > \n> > > (b) mandatory participation charges payable under Schedule 1A, clause 3A, and\n> > \n> > > (c) amounts of consideration paid under Schedule 1A, clause 5, and\n> > \n> > > (e) money advanced, if any, by the Treasurer for the Coal Authorities Allocations Fund, and\n> > \n> > > (f) money appropriated, if any, by Parliament for the purposes of the Coal Authorities Allocations Fund, and\n> > \n> > > (g) other money directed or authorised to be paid into the Coal Authorities Allocations Fund by or under this or another Act, and\n> > \n> > > (h) the proceeds from the investment of money in the Coal Authorities Allocations Fund.\n> \n> > (4) There is payable from the Coal Authorities Allocations Fund—\n> > \n> > > (a) amounts authorised by the Secretary for the purposes of the following—\n> > > \n> > > > (i) acquisition of data related to the State’s coal resources and the analysis and assessment of the data, including drilling, coal quality analysis, geological mapping, surveying and resource modelling,\n> > > \n> > > > (ii) other related activities, if any, prescribed by the regulations related to coal resource data acquisition, analysis and assessment,\n> > > \n> > > > (iii) the administration of Parts 3–8, 11, 12A and 18 and Schedules 1A–2 in relation to coal, and\n> > \n> > > (b) administrative expenses incurred in relation to the Coal Authorities Allocations Fund, including administrative expenses incurred in relation to the collection and recovery of amounts payable into the Coal Authorities Allocations Fund, and\n> > \n> > > (c) other amounts authorised or required by or under this or another Act to be paid from the Coal Authorities Allocations Fund.\n> \n> > (5) The Minister may invest money in the Coal Authorities Allocations Fund—\n> > \n> > > (a) if the Department is a GSF agency for the purposes of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055), Part 6—in a way the Department is permitted to invest money under that Part, or\n> > \n> > > (b) if the Department is not a GSF agency for the purposes of the [Government Sector Finance Act 2018](/view/html/inforce/current/act-2018-055), Part 6—in a way approved by the Treasurer.\n> \n> > (6) The annual report of the Department must include details of the amounts paid from the Coal Authorities Allocations Fund during the financial year to which the report relates and the purposes for which those payments were made.\n> \n> **s 292Y:** Ins 2022 No 21, Sch 1\\[123\\] (am 2022 No 59, Sch 1.25\\[3\\]).","sortOrder":605},{"sectionNumber":"292YA","sectionType":"section","heading":"Orders to declare unpaid royalties and other amounts","content":"#### 292YA Orders to declare unpaid royalties and other amounts\n\n292YA Orders to declare unpaid royalties and other amounts\n\n> > (1) The Minister may, by order, declare a person has not paid a royalty liability payable to the Crown.\n> \n> > (2) The Secretary may, by order, declare a person has not paid a security deposit liability payable to the Crown.\n> \n> > (3) An order under this section may specify one or more mining leases held by the person, whether jointly or not, for which a charge is to be created on by operation of section 292YB to secure payment to the Crown of the liability specified in the order.\n> \n> > (4) The Minister or Secretary must take reasonable steps to notify the person to whom the order relates of the order.\n> \n> > (5) In this section—\n> > \n> > royalty liability means the amount of one or more of the following—\n> > \n> > > (a) royalties payable under this Act,\n> > \n> > > (b) interest, penalty tax and other penalties and costs payable under the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097) in relation to the royalties payable.\n> > \n> > security deposit liability means the amount of a security deposit payable under a security deposit condition for a mining lease.\n> \n> **s 292YA:** Ins 2025 No 37, Sch 3\\[16\\].","sortOrder":607},{"sectionNumber":"292YB","sectionType":"section","heading":"Charges on mining leases to secure unpaid royalties and other amounts","content":"#### 292YB Charges on mining leases to secure unpaid royalties and other amounts\n\n292YB Charges on mining leases to secure unpaid royalties and other amounts\n\n> > (1) On the making of an order under section 292YA, a fixed charge is created on each mining lease specified in the order to secure payment to the Crown of the liability specified in the order.\n> \n> > (2) The fixed charge is an interest registrable in the register of legal and equitable interest in authorities kept under section 161.\n> \n> > (3) The Secretary must, as soon as reasonably practicable after the making of the order, make a record of the fixed charge in the register of legal and equitable interests in authorities.\n> \n> > (4) The fixed charge ceases to have effect when the first of the following occurs—\n> > \n> > > (a) the liability is paid,\n> > \n> > > (b) the mining lease is cancelled,\n> > \n> > > (c) the mining lease otherwise ceases to have effect,\n> > \n> > > (d) for a fixed charge created on the making of an order under section 292YA(1)—the order is revoked by the Minister,\n> > \n> > > (e) for a fixed charge created on the making of an order under section 292YA(2)—the order is revoked by the Secretary.\n> \n> > (5) A change in holder of the mining lease does not affect the fixed charge.\n> \n> > (6) For matters other than legal proceedings, the fixed charge is subject to every other legal or equitable interest to which the mining lease was subject immediately before the fixed charge was created on the mining lease.\n> \n> **s 292YB:** Ins 2025 No 37, Sch 3\\[16\\].","sortOrder":608},{"sectionNumber":"292YC","sectionType":"section","heading":"Caveats","content":"#### 292YC Caveats\n\n292YC Caveats\n\n> > (1) The Secretary may record in a register a caveat to prohibit the transfer of the mining lease on which the fixed charge has been created other than in accordance with the provisions of the caveat.\n> \n> > (2) A caveat remains in force for 3 months after the date on which the caveat is recorded on the register.\n> \n> > (3) The Secretary may withdraw the caveat at any time.\n> \n> > (4) The transfer of the mining lease must not be registered—\n> > \n> > > (a) in contravention of a caveat unless the Secretary is directed by an order of the Supreme Court to register the transfer, or\n> > \n> > > (b) after the caveat has expired or been withdrawn if the Secretary is served during the period of the caveat with an order of the Supreme Court prohibiting the Secretary from registering the transfer.\n> \n> > (5) The Secretary must keep the register for this section.\n> \n> **s 292YC:** Ins 2025 No 37, Sch 3\\[16\\].","sortOrder":609},{"sectionNumber":"292YD","sectionType":"section","heading":"Recovery of costs","content":"#### 292YD Recovery of costs\n\n292YD Recovery of costs\n\n> > (1) This section applies to a person who has failed to pay a liability the subject of an order under this division.\n> \n> > (2) The Secretary may recover from the person, as a debt in a court of competent jurisdiction, any costs or expenses incurred by the Crown arising from the order, including the costs or expenses arising from—\n> > \n> > > (a) the placement of a fixed charge on a mining lease in connection to the order, and\n> > \n> > > (b) the registration of a caveat in connection with the fixed charge.\n> \n> **s 292YD:** Ins 2025 No 37, Sch 3\\[16\\].","sortOrder":610},{"sectionNumber":"Part 15","sectionType":"part","heading":"Land and Environment Court proceedings","content":"# Part 15 Land and Environment Court proceedings\n\nPart 15 Land and Environment Court proceedings\n\n**pt 15:** Subst 2008 No 107, Sch 19 \\[43\\].\n\n**pt 15, div 1:** Rep 2008 No 107, Sch 19 \\[43\\].","sortOrder":611},{"sectionNumber":"293","sectionType":"section","heading":"Jurisdiction of Land and Environment Court","content":"#### 293 Jurisdiction of Land and Environment Court\n\n293 Jurisdiction of Land and Environment Court\n\n> > (1) The Land and Environment Court has jurisdiction to hear and determine proceedings relating to any of the following matters—\n> > \n> > > (a) the area, dimensions or boundaries of land subject to an authority or mineral claim,\n> > \n> > > (b) the right to the possession or occupation of any land by virtue of an authority or mineral claim,\n> > \n> > > (c) any question or dispute arising as to—\n> > > \n> > > > (i) a right of way, right of access to water or right of entry conferred by or under this Act, or\n> > > \n> > > > (ii) any condition imposed by or under this Act (including any condition imposed pursuant to a registered access management plan) on a person’s exercise of any such right of way, right of access to water or right of entry,\n> > \n> > > (d) the right to the use and enjoyment of water for prospecting or mining and any dispute or question relating to such a right,\n> > \n> > > (e) trespass or encroachment on, or injury to, land subject to an authority or mineral claim, or interference with, or injury to, any mining improvement,\n> > \n> > > (f) any demand for debt or damages arising out of prospecting or mining,\n> > \n> > > (g) any demand for specific performance of any contract relating to any authority or mineral claim,\n> > \n> > > (h) the right to any mineral in, or to be recovered from, any land subject to an authority or mineral claim, and the rights under, or arising out of, any contract relating to any such mineral,\n> > \n> > > (i) any transfer or disposition of, or charge on, land subject to an authority or mineral claim,\n> > \n> > > (j) matters concerning—\n> > > \n> > > > (i) any partnership relating to an authority or mineral claim, or to prospecting or mining, or\n> > > \n> > > > (ii) the existence, formation and dissolution of any such partnership, or\n> > > \n> > > > (iii) the taking of accounts in connection with any such partnership, or\n> > > \n> > > > (iv) the contributions of the partners as between themselves, or\n> > > \n> > > > (v) the determination of questions arising between the partners,\n> > \n> > > (k) contributions by or between persons holding joint or several interests in an authority or mineral claim towards rent or other expenses in relation to the authority or claim,\n> > \n> > > (l) trespass or encroachment on, or injury to, land as a result of prospecting or mining,\n> > \n> > > (m) trespass or encroachment on, injury to or any matter affecting, roads, railways or other property of whatever kind constructed, held or occupied under this Act,\n> > \n> > > (n) the partition, sale, disposal or division of any mining improvements, or the proceeds of the sale of any mining improvements, held by 2 or more persons,\n> > \n> > > (o) any question or dispute arising as to the working or management of land subject to an authority or mineral claim,\n> > \n> > > (p) all rights claimed in, under or in relation to an authority or mineral claim or purported authority or mineral claim,\n> > \n> > > (q) any question or dispute as to—\n> > > \n> > > > (i) the validity of an authority, mineral claim or opal prospecting licence, or\n> > > \n> > > > (ii) the decision of a decision-maker in relation to an application for the granting, renewal or transfer of an authority, a mineral claim or opal prospecting licence, or\n> > > \n> > > > (iii) the decision of a decision-maker to cancel an authority, a mineral claim or opal prospecting licence, or\n> > > \n> > > > (iv) the determination of the Secretary in relation to an objection to the granting of a mining lease,\n> > \n> > > (r) any question or dispute in connection with a consolidated mining lease arising under section 109, including any question or dispute concerning the rights and obligations conferred or imposed by an interest referred to in that section or the priority of any such interest,\n> > \n> > > (s) any question or dispute in connection with an interest (whether legal or equitable) in, or affecting, an authority or mineral claim,\n> > \n> > > (t) any question or dispute in connection with an assessment or agreement in respect of compensation under Part 13, arising because of the transfer of an authority or mineral claim or of part of such an authority or claim,\n> > \n> > > (t1) any question or dispute in connection with a compensation agreement under section 266,\n> > \n> > > (u) the review of an arbitrator’s determination under Division 2 of Part 8 or of the Secretary’s decision referred to in section 206,\n> > \n> > > (v) any question or dispute as to the provisions of an access arrangement or as to any matter arising as a consequence of such an arrangement,\n> > \n> > > (w) any question or dispute as to whether section 20 (1), 31 (1), 39 (1), 49 (1), 60 (1), 62 (1) (a) or (b), 185 (1) or 188 (1) applies in a particular case,\n> > \n> > > (x) any other matter in respect of which jurisdiction is conferred on the Court by this Act.\n> \n> > (2) Nothing in this section limits or restricts the jurisdiction conferred on any other court by any other Act or law.\n> \n> **s 293:** Am 1999 No 69, Sch 2.5 \\[1\\]. Subst 2008 No 107, Sch 19 \\[43\\]. Am 2008 No 19, Sch 1 \\[246A\\] (ins 2008 No 107, Sch 20 \\[8\\]) \\[246B\\] (ins 2008 No 107, Sch 20 \\[8\\]); 2009 No 37, Sch 1.9; 2012 No 60, Sch 12; 2014 No 53, Schs 1 \\[10\\], 3 \\[2\\].","sortOrder":612},{"sectionNumber":"294","sectionType":"section","heading":"Land and Environment Court may order deposit of mineral etc","content":"#### 294 Land and Environment Court may order deposit of mineral etc\n\n294 Land and Environment Court may order deposit of mineral etc\n\n> > (1) On application by any party to proceedings in the Land and Environment Court, the Court may order any other party to the proceedings to deposit, pending its decision, any earth, mineral, money or chattels—\n> > \n> > > (a) the right to which will, in the opinion of the Court, be put in issue in the course of those proceedings, and\n> > \n> > > (b) which may then be in, or at any time before the termination of the proceedings may come into, the possession or control of that other party.\n> \n> > (2) Such an order must specify the thing to be so deposited and must direct the deposit to be made, at or before a time specified in the order, with a person or at a place so specified.\n> \n> **s 294:** Subst 2008 No 107, Sch 19 \\[43\\].","sortOrder":613},{"sectionNumber":"295","sectionType":"section","heading":"Land and Environment Court may grant injunction","content":"#### 295 Land and Environment Court may grant injunction\n\n295 Land and Environment Court may grant injunction\n\n> > (1) If an application is made to the Land and Environment Court by a person claiming to hold a legal or equitable interest in any land subject to an authority or mineral claim, or in any property, the Court may, on such terms as to costs or otherwise as it may consider just, grant an injunction restraining any specified person—\n> > \n> > > (a) from encroaching on, occupying, using or working the land or property, or\n> > \n> > > (b) from seeking, washing out, extracting or removing any earth or minerals from the land, or\n> > \n> > > (c) from selling or disposing of or otherwise interfering with the property, or\n> > \n> > > (d) from doing any act that may affect the interest concerned in the whole, or any part, of the land or property.\n> \n> > (2) An injunction remains in force for the period specified in the injunction, unless it is sooner discharged.\n> \n> **s 295:** Subst 2008 No 107, Sch 19 \\[43\\].","sortOrder":614},{"sectionNumber":"296","sectionType":"section","heading":"Granting of injunctions in cases of urgency","content":"#### 296 Granting of injunctions in cases of urgency\n\n296 Granting of injunctions in cases of urgency\n\n> > (1) If an applicant for an injunction satisfies the Land and Environment Court that there are urgent reasons for granting the injunction, the Court may, in any case in which the Court might otherwise grant an injunction, grant an injunction to have effect for a period of not more than 2 months (including the day on which the injunction is made) without notice of the application having been served on any other party.\n> \n> > (2) The Land and Environment Court may not grant a continuance of an injunction granted under this section, and may not grant a further injunction under this section, but application for a further injunction may be made under section 295, either during or after the period of the injunction granted under this section.\n> \n> **s 296:** Am 1996 No 137, Sch 1 \\[89\\]; 1999 No 43, Sch 3 \\[8\\]; 2004 No 75, Sch 1 \\[36\\]; 2008 No 19, Sch 1 \\[247\\] \\[248\\]. Subst 2008 No 107, Sch 19 \\[43\\].","sortOrder":615},{"sectionNumber":"297","sectionType":"section","heading":"Orders protecting adjacent authorities and mineral claims","content":"#### 297 Orders protecting adjacent authorities and mineral claims\n\n297 Orders protecting adjacent authorities and mineral claims\n\n> > (1) The holder of an authority or mineral claim over land which is adjacent to—\n> > \n> > > (a) land that is the subject of an injunction, or\n> > \n> > > (b) land on which is located property that is the subject of an injunction,\n> > \n> > may apply to the Land and Environment Court for an order permitting the land or property under injunction to be worked so as to prevent or minimise damage to or depreciation of the land over which the authority or mineral claim is held.\n> \n> > (2) The Land and Environment Court—\n> > \n> > > (a) may order, on such terms as the Court thinks fit, such working of that land or property as in the Court’s opinion will be sufficient to prevent that damage or depreciation, and\n> > \n> > > (b) may make such further order as to the cost of that working as the Court considers just.\n> \n> > (3) An order may not be made under this section unless the applicant shows to the satisfaction of the Land and Environment Court that the authority or mineral claim concerned will sustain damage or be materially depreciated in value by reason of the non-working of the land or property under injunction.\n> \n> **s 297:** Subst 2008 No 107, Sch 19 \\[43\\].\n> \n> **s 297A:** Ins 2001 No 121, Sch 2.148 \\[2\\]. Rep 2008 No 107, Sch 19 \\[43\\].\n> \n> **pt 15, div 2:** Rep 2008 No 107, Sch 19 \\[43\\].","sortOrder":616},{"sectionNumber":"298","sectionType":"section","heading":"Court may order payment of money or delivery of mineral","content":"#### 298 Court may order payment of money or delivery of mineral\n\n298 Court may order payment of money or delivery of mineral\n\n> > (1) If any money or mineral is claimed in the Land and Environment Court, the Court may order the payment of such money or the delivery of such mineral as it may find to be due or deliverable by one party to another.\n> \n> > (2) If such a claim arises out of a mining partnership, adventure or interest, the Land and Environment Court may take accounts in respect of that partnership, adventure or interest, to the extent to which it may be necessary to ascertain what money or mineral (if any) is so due by one party to the other, and may make such further order as it considers just.\n> \n> > (3) If the Land and Environment Court orders payment of money in respect of any debt, damages, costs or otherwise, the Court may make a further order—\n> > \n> > > (a) that any mineral in the possession, and being the property, of the party directed to make the payment must (to the extent in value of the payment as estimated by the Court) be delivered up to the party entitled to the payment, and\n> > \n> > > (b) that the mineral to that extent be seized and delivered accordingly.\n> \n> > (4) If such a further order is made, the order for payment of money may only be enforced in respect of any balance remaining due after deducting the value of the mineral so delivered to the party entitled to payment.\n> \n> **s 298:** Subst 2008 No 107, Sch 19 \\[43\\].","sortOrder":617},{"sectionNumber":"299","sectionType":"section","heading":null,"content":"#### 299\n\n299–340 (Repealed)","sortOrder":618},{"sectionNumber":"Part 16","sectionType":"part","heading":null,"content":"# Part 16\n\nPart 16\n\n341–358 (Repealed)\n\n**pt 16:** Rep 2000 No 90, Sch 2.1 \\[36\\]. Ins 2002 No 50, Sch 3. Rep 2013 No 54, Sch 3.7 \\[3\\].\n\n**pt 16, div 1:** Rep 2000 No 90, Sch 2.1 \\[36\\].\n\n**s 341:** Rep 2000 No 90, Sch 2.1 \\[36\\]. Ins 2002 No 50, Sch 3. Am 2011 No 67, Sch 4.21 \\[1\\]. Rep 2013 No 54, Sch 3.7 \\[3\\].\n\n**pt 16, divs 2–4 (ss 342–350):** Rep 2000 No 90, Sch 2.1 \\[36\\].\n\n**pt 16, div 5:** Rep 2000 No 90, Sch 2.1 \\[36\\].\n\n**s 351:** Rep 2000 No 90, Sch 2.1 \\[36\\].\n\n**s 352:** Am 1996 No 24, Sch 1. Rep 2000 No 90, Sch 2.1 \\[36\\].\n\n**ss 353–355:** Rep 2000 No 90, Sch 2.1 \\[36\\].\n\n**pt 16, div 6 (ss 356–358):** Rep 2000 No 90, Sch 2.1 \\[36\\].","sortOrder":620},{"sectionNumber":"Part 17","sectionType":"part","heading":"Administration","content":"# Part 17 Administration\n\nPart 17 Administration","sortOrder":621},{"sectionNumber":"359","sectionType":"section","heading":"Boards of management","content":"#### 359 Boards of management\n\n359 Boards of management\n\n> > (1) The Minister may constitute a board of management for the whole or any part of New South Wales.\n> \n> > (2) A board of management may exercise, in respect of the area for which it is constituted, such of the functions of the Minister or of the Secretary as are delegated to it under this Act.\n> \n> > (3) The regulations may provide for the constitution of a board of management and may regulate, or provide for the regulation of, its procedure.","sortOrder":623},{"sectionNumber":"360","sectionType":"section","heading":null,"content":"#### 360\n\n360 (Repealed)","sortOrder":624},{"sectionNumber":"361","sectionType":"section","heading":"Appointment of inspectors","content":"#### 361 Appointment of inspectors\n\n361 Appointment of inspectors\n\n> > (1) The Secretary may appoint any person (including a member of a class of persons) as an inspector for the purposes of this Act.\n> \n> > (2) An appointment may (but does not have to) be subject to conditions, limitations or restrictions or only for limited purposes.\n> \n> > (3) If an appointment is subject to conditions, limitations or restrictions or only for limited purposes, nothing in this Act authorises or requires the inspector to act in contravention of the conditions, limitations or restrictions or for other purposes.\n> \n> > (4) The Secretary must publish the following matters in the Gazette—\n> > \n> > > (a) the classes of persons appointed as inspectors under subsection (1),\n> > \n> > > (b) any conditions, limitations or restrictions, or limitation on purposes, imposed by the Secretary on the appointment of persons under this section.\n> \n> **s 361:** Subst 2008 No 19, Sch 1 \\[253\\]. Am 2015 No 40, Sch 1 \\[107\\].","sortOrder":626},{"sectionNumber":"361A","sectionType":"section","heading":"Identification","content":"#### 361A Identification\n\n361A Identification\n\n> > (1) Every inspector is to be provided with a card identifying him or her as an inspector.\n> \n> > (2) In the course of exercising the functions of an inspector under this Act, the inspector must, if requested to do so by any person affected by the exercise of any such function, produce his or her identification card to the person.\n> \n> **s 361A:** Ins 2008 No 19, Sch 1 \\[253\\].","sortOrder":627},{"sectionNumber":"361B","sectionType":"section","heading":"Extraterritorial exercise of functions","content":"#### 361B Extraterritorial exercise of functions\n\n361B Extraterritorial exercise of functions\n\n> > (1) The Minister may enter into an arrangement with a Minister of another State or Territory providing for the exercise, in another State or Territory, by officers of that State or Territory of functions under this Act or the regulations.\n> \n> > (2) An officer of another State or Territory may, in accordance with any such arrangement, exercise functions under this Act, but only to the extent that the matters concerned relate to the administration or enforcement of this Act or such other legislation, if any, as may be prescribed.\n> \n> **s 361B:** Ins 2008 No 19, Sch 1 \\[253\\].","sortOrder":628},{"sectionNumber":"362","sectionType":"section","heading":"Exclusion of personal liability","content":"#### 362 Exclusion of personal liability\n\n362 Exclusion of personal liability\n\n> An act or omission of—\n> \n> > (a) the Minister or the Secretary, or\n> \n> > (b) a member of staff of the Department, or\n> \n> > (c) a body constituted under this Act, a member of any such body or a member of staff of any such body, or\n> \n> > (d) an authorised person within the meaning of Division 3 of Part 11, or\n> \n> > (e) a person acting under the direction of a person or body referred to in paragraph (a), (b), (c) or (d),\n> \n> does not subject the Minister, the Secretary, or any such member or member of staff or any person so acting, personally to any action, liability, claim or demand if the act or omission was done or omitted in good faith and for the purpose of executing this Act.\n> \n> **s 362:** Subst 2004 No 75, Sch 1 \\[37\\]. Am 2008 No 19, Sch 1 \\[254\\].","sortOrder":629},{"sectionNumber":"363","sectionType":"section","heading":"Delegation of functions by Minister or Secretary","content":"#### 363 Delegation of functions by Minister or Secretary\n\n363 Delegation of functions by Minister or Secretary\n\n> > (1) The Minister may delegate any of the following functions (except this power of delegation) of the Minister to any person—\n> > \n> > > (a) any function under this Act,\n> > \n> > > (b) any function under the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203).\n> \n> > (2) The Secretary may delegate any function under this Act (except this power of delegation or any function delegated to the Secretary by the Minister) to any person.\n> \n> > (2A) (Repealed)\n> \n> > (3) A reference in this section to a function under this Act includes a reference to a function under the regulations and a function under a condition of an authority, a mineral claim or an opal prospecting licence.\n> \n> **s 363:** Am 1996 No 137, Sch 1 \\[95\\] \\[125\\] \\[126\\]; 2008 No 19, Sch 1 \\[255\\]; 2022 No 21, Sch 1\\[124\\] \\[125\\].","sortOrder":630},{"sectionNumber":"364","sectionType":"section","heading":"Minister or official not to be interested in authority or small-scale title","content":"#### 364 Minister or official not to be interested in authority or small-scale title\n\n364 Minister or official not to be interested in authority or small-scale title\n\n> > (1) A person must not, while holding office in an official capacity for the purposes of this Act and while exercising functions in that capacity, hold either directly or indirectly a beneficial interest in an authority or a small-scale title.\n> \n> > (1A) The following are persons who hold office in an official capacity for the purposes of this Act—\n> > \n> > > (a) the Minister,\n> > \n> > > (b) an inspector,\n> > \n> > > (c) a member of staff of the Department who exercises functions under this Act or the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084),\n> > \n> > > (d) any other person who exercises any judicial or official functions under this Act or the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084).\n> \n> > (2) This section does not prevent the Secretary from being the holder, on behalf of the Crown, of an authorisation.\n> \n> **s 364:** Am 2015 No 39, Sch 1 \\[16\\]; 2015 No 40, Sch 1 \\[108\\]; 2022 No 21, Sch 1\\[126\\].","sortOrder":631},{"sectionNumber":"364A","sectionType":"section","heading":"Documents or information provided under conditions requiring reporting","content":"#### 364A Documents or information provided under conditions requiring reporting\n\n364A Documents or information provided under conditions requiring reporting\n\n> > (1) Any document or information provided under a condition of an authorisation referred to in clause 7 (2) (g) of Schedule 1B may be taken into consideration by the Secretary or the relevant decision-maker and used for the purposes of this Act, including for the purposes of the prosecution of offences under this Act or the regulations.\n> \n> > (2) The Secretary is authorised, despite any other Act or law, to provide a relevant agency with any such document or information.\n> \n> > (3) Any such document or information is required to be provided by the holder of an authorisation, whether or not the document or information might incriminate the holder.\n> \n> > (4) However, information provided by a natural person in compliance with a condition of an authorisation referred to in clause 7 (2) (g) of Schedule 1B is not admissible in evidence against the person in criminal proceedings (other than proceedings for an offence for providing false and misleading information) if the person, when providing the information, objected to the provision of the information on the grounds that it might incriminate him or her.\n> \n> > (5) In this section—\n> > \n> > relevant agency means—\n> > \n> > > (a) the Department, or\n> > \n> > > (b) a public authority engaged in administering or executing the environment protection legislation, the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203) or such other legislation, if any, as may be prescribed by the regulations.\n> \n> **s 364A:** Ins 2015 No 40, Sch 1 \\[109\\].","sortOrder":632},{"sectionNumber":"365","sectionType":"section","heading":"Disclosure of information","content":"#### 365 Disclosure of information\n\n365 Disclosure of information\n\n> > (1) A person must not disclose any information obtained in connection with the administration or execution of this Act, unless the disclosure is made—\n> > \n> > > (a) with the consent of the person from whom the information was obtained, or\n> > \n> > > (b) in connection with the administration or execution of this Act, or\n> > \n> > > (c) for the purposes of any legal proceedings arising out of this Act or of any report of any such proceedings, or\n> > \n> > > (d) (Repealed)\n> > \n> > > (e) with the concurrence of the Minister, or\n> > \n> > > (f) in accordance with a requirement imposed under the [Government Information (Public Access) Act 2009](/view/html/inforce/current/act-2009-052), or\n> > \n> > > (g) by an inspector or a member of staff of the Department to an officer or authority engaged in administering or executing the environment protection legislation, the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203), work health and safety legislation or any other legislation prescribed by the regulations.\n> > \n> > Maximum penalty—100 penalty units\n> \n> > (2) A person employed in the Department must not use for the purposes of personal gain any information obtained in connection with the administration or execution of this Act.\n> > \n> > Maximum penalty—100 penalty units\n> \n> > (3) A reference in this section to information obtained in connection with the administration or execution of this Act includes a reference to a return or other information relating to royalty under this Act that is obtained by the Minister, or a delegate of the Minister, from a tax officer (within the meaning of the [Taxation Administration Act 1996](/view/html/inforce/current/act-1996-097)).\n> \n> **s 365:** Am 2000 No 90, Sch 1.1 \\[5\\]; 2002 No 53, Sch 1.16 \\[1\\]; 2008 No 19, Sch 1 \\[256\\]; 2008 No 107, Sch 19 \\[44\\]; 2009 No 54, Sch 2.30; 2011 No 67, Sch 4.21 \\[2\\]; 2014 No 37, Sch 4.1 \\[11\\]; 2025 No 37, Sch 3\\[17\\] \\[18\\].","sortOrder":633},{"sectionNumber":"365A","sectionType":"section","heading":"Exchange of information","content":"#### 365A Exchange of information\n\n365A Exchange of information\n\n> > (1) The regulator may enter into an arrangement (an information sharing arrangement) with a relevant agency for the purposes of sharing or exchanging any information that is held by the regulator or the agency.\n> \n> > (2) The information to which an information sharing arrangement may relate is limited to information that assists the regulator or relevant agency—\n> > \n> > > (a) to determine applications made under the resources legislation or legislation made under the corresponding law of another jurisdiction, or\n> > \n> > > (b) to determine whether to cancel, revoke or vary an authorisation that is granted, made or given under that legislation, or\n> > \n> > > (b1) to determine whether to suspend a condition of, or operations under, an authorisation that is granted, made or given under that legislation, or\n> > \n> > > (b2) to determine whether to cancel, revoke, suspend or vary an activity approval or other approval, or an exemption or declaration, that is granted, made or given under that legislation, or\n> > \n> > > (b3) to determine whether to make a decision under Part 18, Division 2, or\n> > \n> > > (c) to facilitate the carrying out of inspections, probity checks or other enforcement action under that legislation.\n> \n> > (3) Under an information sharing arrangement, the regulator and the relevant agency are, despite any other Act or law of the State, authorised—\n> > \n> > > (a) to request and receive information that is held by the other party to the arrangement, and\n> > \n> > > (b) to disclose that information to the other party.\n> \n> > (4) In this section—\n> > \n> > regulator means the Minister or the Secretary.\n> > \n> > relevant agency means any of the following—\n> > \n> > > (a) a government agency or holder of a statutory office with any functions similar to or related to those imposed on the regulator by or under the resources legislation,\n> > \n> > > (b) any government agency of the Commonwealth or another State or Territory with functions similar to or related to those imposed on the regulator under any of the resources legislation,\n> > \n> > > (c) any other person or body, or person or body of a class, prescribed by the regulations.\n> \n> **s 365A:** Ins 2015 No 40, Sch 1 \\[110\\]. Am 2022 No 21, Sch 1\\[127\\].","sortOrder":634},{"sectionNumber":"366","sectionType":"section","heading":"Mining divisions","content":"#### 366 Mining divisions\n\n366 Mining divisions\n\n> > (1) The Governor may, by order published in the Gazette, constitute any land as a mining division and may, by the same or a subsequent order so published, name the division and fix its boundaries.\n> \n> > (2) (Repealed)\n> \n> **s 366:** Am 2022 No 21, Sch 1\\[128\\].","sortOrder":636},{"sectionNumber":"367","sectionType":"section","heading":"Reserves","content":"#### 367 Reserves\n\n367 Reserves\n\n> > (1) The Governor may, by order published in the Gazette, constitute any land as a reserve and may, by the same or a subsequent order so published, name the reserve and fix its boundaries.\n> \n> > (2) The Governor may, by an order under this section, give any one or more of the following directions—\n> > \n> > > (a) that no exploration licence is to be granted over land in the reserve,\n> > \n> > > (b) that no assessment lease is to be granted over land in the reserve,\n> > \n> > > (c) that no mining lease is to be granted over land in the reserve,\n> > \n> > > (d) that no mineral claim is to be granted over land in the reserve.\n> \n> > (3) In an order constituting land as a reserve, the Governor may stipulate that the reserve is to extend only to the surface of the land, to the surface of the land and the subsoil below the surface, to the surface of the land and the subsoil to a specified depth below the surface, or to the subsoil below or between any specified depth or depths below the surface of the land.\n> \n> > (4) If—\n> > \n> > > (a) an application for an exploration licence is made or pending in respect of land that is the subject of a direction under subsection (2) (a), or\n> > \n> > > (b) an application for an assessment lease is made or pending in respect of land that is the subject of a direction under subsection (2) (b), or\n> > \n> > > (c) an application for a mining lease is made or pending in respect of land that is the subject of a direction under subsection (2) (c), or\n> > \n> > > (d) an application for a mineral claim is made or pending in respect of land that is the subject of a direction under subsection (2) (d),\n> > \n> > the application is a nullity to the extent to which it is made in respect of the land the subject of the direction, but, if the application is also made in respect of other land, the application is taken to have been made in respect of that other land.","sortOrder":637},{"sectionNumber":"368","sectionType":"section","heading":"Mineral allocation areas","content":"#### 368 Mineral allocation areas\n\n368 Mineral allocation areas\n\n> > (1) The Governor may, by order published in the Gazette, constitute any land as a mineral allocation area and may, by the same or a subsequent order so published, name the area and fix its boundaries.\n> > \n> > Editorial note.\n> > \n> > For orders under this subsection see Gazettes No 101 of 20.8.1992, p 5946; No 127 of 19.11.1993, p 6850; No 35 of 11.2.1994, p 630; No 102 of 3.7.1998, p 5258; No 81 of 16.7.1999, p 5023; No 57 of 23.3.2001, p 1494; No 100 of 22.6.2001, p 4276; No 124 of 8.8.2003, p 7884; No 37 of 24.3.2006, p 1571; No 182 of 14.12.2007, p 9633; No 92 of 14.9.2012, p 3937; No 113 of 26.10.2012, p 4479; No 106 of 27.11.2015, p 3812; No 23 of 1.4.2016, p 559; No 77 of 10.8.2018, pp 5157, 5162; No 179 of 20.12.2019, n2019-3958 and No 16 of 24.1.2020, n2020-130. From April 2021, PCO is no longer updating notes in provisions of in force titles about related gazette notices. To search for related gazette notices, please use the Gazette Search functionality.\n> \n> > (2) A mineral allocation area may be constituted for all minerals, for specified minerals or groups of minerals or for all minerals other than specified minerals or groups of minerals.\n> \n> > (3) More than one mineral allocation area may be constituted in respect of any land.\n> \n> > (4) A mineral is not an allocated mineral in an area while the mineral is a controlled release mineral in that area.\n> \n> **s 368:** Am 2015 No 39, Sch 1 \\[17\\].","sortOrder":638},{"sectionNumber":"368A","sectionType":"section","heading":"Controlled release areas","content":"#### 368A Controlled release areas\n\n368A Controlled release areas\n\n> > (1) The Minister may, by order published in the Gazette, constitute any land as a controlled release area and may, by the same or a subsequent order so published, name the area and fix its boundaries.\n> \n> > (2) A controlled release area may be constituted for all minerals, for specified minerals or groups of minerals or for all minerals other than specified minerals or groups of minerals.\n> \n> > (3) The whole State is constituted as a controlled release area for coal.\n> \n> > (4) More than one controlled release area may be constituted in respect of any area.\n> \n> **s 368A:** Ins 2015 No 39, Sch 1 \\[18\\].","sortOrder":639},{"sectionNumber":"369","sectionType":"section","heading":null,"content":"#### 369\n\n369 (Repealed)","sortOrder":640},{"sectionNumber":"369A","sectionType":"section","heading":"Fossicking districts","content":"#### 369A Fossicking districts\n\n369A Fossicking districts\n\n> The Minister may, by order published in the Gazette, constitute any land as a fossicking district and may, by the same or a subsequent order so published, name the district and fix its boundaries.\n> \n> **s 369A:** Ins 1996 No 137, Sch 1 \\[8\\].","sortOrder":642},{"sectionNumber":"370","sectionType":"section","heading":null,"content":"#### 370\n\n370 (Repealed)","sortOrder":643},{"sectionNumber":"371","sectionType":"section","heading":"Points to be ascertained by reference to Geocentric Datum of Australia","content":"#### 371 Points to be ascertained by reference to Geocentric Datum of Australia\n\n371 Points to be ascertained by reference to Geocentric Datum of Australia\n\n> The position on the surface of the Earth of a point, line or area that is necessary to be determined for the purposes of this Act, or of any order, instrument or notification under this Act, is to be determined by reference to the Geocentric Datum of Australia within the meaning of the [Surveying and Spatial Information Act 2002](/view/html/inforce/current/act-2002-083).\n> \n> **s 371:** Subst 1999 No 30, Sch 2.1 \\[1\\]. Am 2002 No 83, Sch 2.13 \\[3\\]; 2009 No 119, Sch 2.14.","sortOrder":645},{"sectionNumber":"376","sectionType":"section","heading":"Crown authorisations","content":"#### 376 Crown authorisations\n\n376 Crown authorisations\n\n> > (1) The Secretary may apply on behalf of the Crown for an authorisation (a Crown authorisation).\n> \n> > (2) The regulations may make provision for or about the following—\n> > \n> > > (a) requirements about applications made by the Secretary for Crown authorisations,\n> > \n> > > (b) requirements for prospecting, mining and other activities conducted under a Crown authorisation,\n> > \n> > > (c) rights conferred on the holder of the Crown authorisation.\n> \n> > (3) The rights conferred under other provisions of this Act on the holder of a Crown authorisation are subject to the requirements of the regulations under this section.\n> \n> **s 376:** Rep 2008 No 19, Sch 1 \\[258\\]. Ins 2022 No 21, Sch 1\\[129\\].","sortOrder":648},{"sectionNumber":"377","sectionType":"section","heading":"Museums and laboratories","content":"#### 377 Museums and laboratories\n\n377 Museums and laboratories\n\n> The Minister may establish and maintain in connection with the Department—\n> \n> > (a) museums for the purpose of providing instruction, by means of displays, classes, lectures or other methods, in geology, mineralogy, chemistry and engineering in their scientific and practical application to mining pursuits, and\n> \n> > (b) laboratories for the assaying and testing of mineral products or for other analytical determination.","sortOrder":649},{"sectionNumber":"378","sectionType":"section","heading":"Purchase of coal bearing land","content":"#### 378 Purchase of coal bearing land\n\n378 Purchase of coal bearing land\n\n> The Minister may, from funds appropriated by Parliament, purchase on behalf of the Crown land containing seams of coal.","sortOrder":650},{"sectionNumber":"Part 17A","sectionType":"part","heading":"Offences, enforcement and undertakings about contraventions","content":"# Part 17A Offences, enforcement and undertakings about contraventions\n\nPart 17A Offences, enforcement and undertakings about contraventions\n\n**pt 17A:** Ins 2008 No 19, Sch 1 \\[258\\].\n\n**pt 17A, hdg:** Ins 2008 No 19, Sch 1 \\[258\\]. Subst 2015 No 40, Sch 1 \\[111\\].","sortOrder":651},{"sectionNumber":"378A","sectionType":"section","heading":"Obstruction","content":"#### 378A Obstruction\n\n378A Obstruction\n\n> A person must not, without reasonable excuse, obstruct, hinder, assault, threaten, intimidate or resist any of the following persons in the exercise of a function under this Act—\n> \n> > (a) an inspector,\n> \n> > (b) an authorised person within the meaning of Division 3 of Part 11,\n> \n> > (c) a member of staff of the Department who exercises functions under this Act or the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084),\n> \n> > (d) any other person who exercises any judicial or official functions under this Act or the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084).\n> \n> Maximum penalty—\n> \n> > (a) in the case of a corporation—10,000 penalty units, or\n> \n> > (b) in the case of a natural person—2,000 penalty units.\n> \n> **s 378A:** Ins 2008 No 19, Sch 1 \\[258\\] (subst 2008 No 107, Sch 20 \\[11\\]). Am 2012 No 84, Sch 2.2 \\[10\\]. Subst 2015 No 40, Sch 1 \\[112\\]. Am 2022 No 21, Sch 1\\[130\\].","sortOrder":653},{"sectionNumber":"378B","sectionType":"section","heading":"Obstruction of holder of authorisation","content":"#### 378B Obstruction of holder of authorisation\n\n378B Obstruction of holder of authorisation\n\n> A person must not, without reasonable excuse, obstruct or hinder the holder of an authorisation from doing any act that the holder is authorised by this Act to do.\n> \n> Maximum penalty—100 penalty units.\n> \n> **s 378B:** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":654},{"sectionNumber":"378C","sectionType":"section","heading":"Providing false or misleading information","content":"#### 378C Providing false or misleading information\n\n378C Providing false or misleading information\n\n> > (1) A person must not provide any information, record or return in purported compliance with any requirement by or under this Act—\n> > \n> > > (a) knowing that the information, record or return is false or misleading in a material particular, or\n> > \n> > > (b) being reckless as to whether the information, record or return is false or misleading in a material particular.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of a corporation—10,000 penalty units, or\n> > \n> > > (b) in the case of a natural person—2,000 penalty units.\n> \n> > (2) A holder of an authorisation must ensure that an agent, employee or any other person acting on behalf of the holder does not provide any information, record or return in purported compliance with any requirement by or under this Act in connection with the holder’s authorisation in contravention of subsection (1).\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of a corporation—10,000 penalty units, or\n> > \n> > > (b) in the case of a natural person—2,000 penalty units.\n> \n> > (3) It is a defence to a prosecution of the holder of an authorisation for an offence against subsection (2) if the holder establishes that the holder took all reasonable steps to prevent the contravention of the subsection.\n> \n> > (4) A holder of an authorisation may be proceeded against and convicted under subsection (2) whether or not the agent, employee or other person has been proceeded against or been convicted for the offence against subsection (1).\n> \n> **s 378C:** Ins 2008 No 19, Sch 1 \\[258\\]. Subst 2015 No 40, Sch 1 \\[113\\]. Am 2017 No 27, Sch 1 \\[12\\] \\[13\\].","sortOrder":655},{"sectionNumber":"378D","sectionType":"section","heading":"Contravention of condition of authorisation—offence by holder","content":"#### 378D Contravention of condition of authorisation—offence by holder\n\n378D Contravention of condition of authorisation—offence by holder\n\n> > (1) If a condition of an authorisation is contravened by any person, each holder of the authorisation is guilty of an offence.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of a corporation—10,000 penalty units, and, in the case of a continuing offence, a further penalty of 1,000 penalty units for each day that the offence continues, or\n> > \n> > > (b) in the case of a natural person—2,000 penalty units, and, in the case of a continuing offence, a further penalty of 200 penalty units for each day that the offence continues.\n> > \n> > Note.\n> > \n> > An offence against subsection (1) committed by a corporation is an executive liability offence attracting executive liability for a director or other person involved in the management of the corporation—see section 378F.\n> \n> > (2) If a condition of a mining lease, in its application to or in respect of a mining sublease area, is contravened by any person, the holder of the sublease is guilty of an offence.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of a corporation—10,000 penalty units, and, in the case of a continuing offence, a further penalty of 1,000 penalty units for each day that the offence continues, or\n> > \n> > > (b) in the case of a natural person—2,000 penalty units, and, in the case of a continuing offence, a further penalty of 200 penalty units for each day that the offence continues.\n> \n> > (3) In imposing a penalty under this section for a contravention of a condition, the court is to take into consideration the following (so far as they are relevant)—\n> > \n> > > (a) the extent of the harm caused or likely to be caused to the environment by the commission of the offence,\n> > \n> > > (b) the practical measures that may be taken to prevent, control, abate or mitigate that harm,\n> > \n> > > (c) the extent to which the person who committed the offence could reasonably have foreseen the harm caused or likely to be caused to the environment by the commission of the offence,\n> > \n> > > (d) the extent to which the person who committed the offence had control over the causes that gave rise to the offence,\n> > \n> > > (e) any other matters the court considers relevant.\n> \n> **s 378D:** Ins 2008 No 19, Sch 1 \\[258\\]. Am 2012 No 84, Sch 2.2 \\[11\\]–\\[13\\]; 2012 No 97, Sch 1.25 \\[2\\]; 2015 No 40, Sch 1 \\[114\\]–\\[116\\].","sortOrder":656},{"sectionNumber":"378E","sectionType":"section","heading":"Defences","content":"#### 378E Defences\n\n378E Defences\n\n> > (1) It is a defence to a prosecution of the holder of an authorisation for an offence against section 378D if the holder establishes that—\n> > \n> > > (a) the contravention of the condition was by, or caused by, another person, and\n> > \n> > > (b) the other person was not associated with the holder at the time the condition was contravened, and\n> > \n> > > (c) the holder took all reasonable steps to prevent the contravention of the condition.\n> \n> > (2) A person is associated with the holder for the purposes of subsection (1) (b) (but without limiting any other circumstances of association) if the person is an employee, agent, licensee, contractor or subcontractor of the holder, or if the person holds a mining sublease granted by the holder under section 83A.\n> \n> > (3) It is a defence to a prosecution for an offence against section 378D if the defendant satisfies the court that the act or omission constituting the contravention was reasonably necessary in order for the defendant to comply with—\n> > \n> > > (a) an order or direction (of which the Secretary was given notice before the acts or omissions occurred) issued under the mine safety legislation, the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203) or the [Protection of the Environment Operations Act 1997](/view/html/inforce/current/act-1997-156), or\n> > \n> > > (b) a condition of an authorisation, or\n> > \n> > > (c) a direction under this Act.\n> \n> > (4) In this section—\n> > \n> > mine safety legislation means the [Work Health and Safety (Mines and Petroleum Sites) Act 2013](/view/html/inforce/current/act-2013-054), [Work Health and Safety Act 2011](/view/html/inforce/current/act-2011-010) and any other legislation that is prescribed by the regulations.\n> \n> **s 378E:** Ins 2008 No 19, Sch 1 \\[258\\]. Am 2011 No 67, Sch 4.21 \\[3\\]; 2013 No 54, Sch 3.7 \\[4\\].","sortOrder":657},{"sectionNumber":"378EA","sectionType":"section","heading":"Aiding and abetting commission of offence","content":"#### 378EA Aiding and abetting commission of offence\n\n378EA Aiding and abetting commission of offence\n\n> A person who—\n> \n> > (a) causes or permits the commission of an offence against this Act or the regulations, or\n> \n> > (b) aids, abets, counsels or procures another person to commit an offence against this Act or the regulations, or\n> \n> > (c) attempts to commit an offence against this Act or the regulations, or\n> \n> > (d) conspires to commit an offence against this Act or the regulations,\n> \n> is guilty of that offence and liable to the penalty prescribed by this Act or the regulations in relation to that offence.\n> \n> **s 378EA:** Ins 2015 No 40, Sch 1 \\[117\\].","sortOrder":658},{"sectionNumber":"378F","sectionType":"section","heading":"Liability of directors etc for offences by corporation—offences attracting executive liability","content":"#### 378F Liability of directors etc for offences by corporation—offences attracting executive liability\n\n378F Liability of directors etc for offences by corporation—offences attracting executive liability\n\n> > (1) For the purposes of this section, an executive liability offence is an offence against section 5, 240C or 378D that is committed by a corporation.\n> \n> > (2) A person commits an offence against this section if—\n> > \n> > > (a) a corporation commits an executive liability offence, and\n> > \n> > > (b) the person is—\n> > > \n> > > > (i) a director of the corporation, or\n> > > \n> > > > (ii) an individual who is involved in the management of the corporation and who is in a position to influence the conduct of the corporation in relation to the commission of the executive liability offence, and\n> > \n> > > (c) the person—\n> > > \n> > > > (i) knows or ought reasonably to know that the executive liability offence (or an offence of the same type) would be or is being committed, and\n> > > \n> > > > (ii) fails to take all reasonable steps to prevent or stop the commission of that offence.\n> > \n> > Maximum penalty—The maximum penalty for the executive liability offence if committed by an individual.\n> \n> > (3) The prosecution bears the legal burden of proving the elements of the offence against this section.\n> \n> > (4) The offence against this section can only be prosecuted by a person who can bring a prosecution for the executive liability offence.\n> \n> > (5) This section does not affect the liability of the corporation for the executive liability offence, and applies whether or not the corporation is prosecuted for, or convicted of, the executive liability offence.\n> \n> > (6) This section does not affect the application of any other law relating to the criminal liability of any persons (whether or not directors or other managers of the corporation) who are accessories to the commission of the executive liability offence or are otherwise concerned in, or party to, the commission of the executive liability offence.\n> \n> > (7) In this section—\n> > \n> > director has the same meaning it has in the [Corporations Act 2001](http://www.legislation.gov.au/) of the Commonwealth.\n> > \n> > reasonable steps, in relation to the commission of an executive liability offence, includes, but is not limited to, such action (if any) of the following kinds as is reasonable in all the circumstances—\n> > \n> > > (a) action towards—\n> > > \n> > > > (i) assessing the corporation’s compliance with the provision creating the executive liability offence, and\n> > > \n> > > > (ii) ensuring that the corporation arranged regular professional assessments of its compliance with the provision,\n> > \n> > > (b) action towards ensuring that the corporation’s employees, agents and contractors are provided with information, training, instruction and supervision appropriate to them to enable them to comply with the provision creating the executive liability offence so far as the provision is relevant to them,\n> > \n> > > (c) action towards ensuring that—\n> > > \n> > > > (i) the plant, equipment and other resources, and\n> > > \n> > > > (ii) the structures, work systems and other processes,\n> > > \n> > > relevant to compliance with the provision creating the executive liability offence are appropriate in all the circumstances,\n> > \n> > > (d) action towards creating and maintaining a corporate culture that does not direct, encourage, tolerate or lead to non-compliance with the provision creating the executive liability offence.\n> \n> **s 378F:** Ins 2008 No 19, Sch 1 \\[258\\]. Am 2011 No 2, Sch 1.18. Subst 2012 No 97, Sch 1.25 \\[3\\]. Am 2015 No 40, Sch 1 \\[118\\].","sortOrder":659},{"sectionNumber":"378FA","sectionType":"section","heading":"Liability of directors etc for offences by corporation—accessory to the commission of the offences","content":"#### 378FA Liability of directors etc for offences by corporation—accessory to the commission of the offences\n\n378FA Liability of directors etc for offences by corporation—accessory to the commission of the offences\n\n> > (1) For the purposes of this section, a corporate offence is an offence against this Act or the regulations that is capable of being committed by a corporation, whether or not it is an executive liability offence referred to in section 378F.\n> \n> > (2) A person commits an offence against this section if—\n> > \n> > > (a) a corporation commits a corporate offence, and\n> > \n> > > (b) the person is—\n> > > \n> > > > (i) a director of the corporation, or\n> > > \n> > > > (ii) an individual who is involved in the management of the corporation and who is in a position to influence the conduct of the corporation in relation to the commission of the corporate offence, and\n> > \n> > > (c) the person—\n> > > \n> > > > (i) aids, abets, counsels or procures the commission of the corporate offence, or\n> > > \n> > > > (ii) induces, whether by threats or promises or otherwise, the commission of the corporate offence, or\n> > > \n> > > > (iii) conspires with others to effect the commission of the corporate offence, or\n> > > \n> > > > (iv) is in any other way, whether by act or omission, knowingly concerned in, or party to, the commission of the corporate offence.\n> > \n> > Maximum penalty—The maximum penalty for the corporate offence if committed by an individual.\n> \n> > (3) The prosecution bears the legal burden of proving the elements of the offence against this section.\n> \n> > (4) The offence against this section can only be prosecuted by a person who can bring a prosecution for the corporate offence.\n> \n> > (5) This section does not affect the liability of the corporation for the corporate offence, and applies whether or not the corporation is prosecuted for, or convicted of, the corporate offence.\n> \n> > (6) This section does not affect the application of any other law relating to the criminal liability of any persons (whether or not directors or other managers of the corporation) who are concerned in, or party to, the commission of the corporate offence.\n> \n> **s 378FA:** Ins 2012 No 97, Sch 1.25 \\[3\\].","sortOrder":660},{"sectionNumber":"378G","sectionType":"section","heading":"Continuing offences","content":"#### 378G Continuing offences\n\n378G Continuing offences\n\n> > (1) If an offence against a provision of this Act is committed by a person by reason of a continuing act or omission—\n> > \n> > > (a) the person is liable, in addition to the penalty otherwise applicable to the offence, to a penalty for each day during which the act or omission continues of not more than an amount specified for that offence, and\n> > \n> > > (b) if the act or omission continues after the person is convicted of the offence, the person is guilty of a further offence against that provision and liable, in addition to the penalty otherwise applicable to the further offence, to a penalty for each day during which the act or omission continues after that conviction of not more than an amount specified for that offence.\n> \n> > (2) An obligation to do something is to be regarded as continuing until the act is done despite the fact that a period within which, or time before which, the act is required to be done has expired or passed.\n> \n> > (3) An omission is to be regarded as continuing for as long as the thing required to be done remains undone after the end of the period for compliance with the requirement.\n> \n> > (4) However, this section does not apply to an offence if the relevant provision of this Act or the regulations does not provide for a penalty for a continuing offence.\n> \n> **s 378G:** Ins 2008 No 19, Sch 1 \\[258\\]. Subst 2015 No 40, Sch 1 \\[119\\].","sortOrder":661},{"sectionNumber":"378H","sectionType":"section","heading":"Proceedings for offences","content":"#### 378H Proceedings for offences\n\n378H Proceedings for offences\n\n> > (1) Proceedings for an offence against this Act or the regulations are, except as provided by this section, to be dealt with summarily before—\n> > \n> > > (a) the Land and Environment Court, in the case of an offence under Division 1 or 2 of Part 2, section 163C, or section 291 (committed by a corporation), section 240C, 246R, 248S, 378A, 378C, 378D, 378ZF or 378ZFE, or\n> > \n> > > (b) the Local Court, in the case of any offence.\n> \n> > (2) If proceedings for an offence under this Act or the regulations are brought in the Local Court—\n> > \n> > > (a) the maximum period of imprisonment that the Court may impose for the offence is 12 months, and\n> > \n> > > (b) the maximum monetary penalty that the Court may impose is 2,000 penalty units.\n> \n> > (3) Proceedings for an offence under section 5, 6, 12B, 12C, 12D or 291 are to be dealt with on indictment.\n> > \n> > Note.\n> > \n> > Chapter 5 of the [Criminal Procedure Act 1986](/view/html/inforce/current/act-1986-209) provides an alternative procedure for dealing with these offences summarily following an election by the prosecutor or defendant.\n> \n> > (4) (Repealed)\n> \n> **s 378H:** Ins 2008 No 19, Sch 1 \\[258\\] (am 2008 No 107, Sch 20 \\[12\\] \\[13\\]). Am 2012 No 84, Sch 2.2 \\[14\\] \\[15\\]; 2014 No 1, Sch 2 \\[3\\]; 2015 No 40, Sch 1 \\[120\\]–\\[122\\]; 2017 No 27, Sch 1 \\[14\\] \\[15\\] .","sortOrder":663},{"sectionNumber":"378I","sectionType":"section","heading":"Time within which summary proceedings may be commenced","content":"#### 378I Time within which summary proceedings may be commenced\n\n378I Time within which summary proceedings may be commenced\n\n> > (1) Proceedings for an offence under this Act or the regulations may be commenced—\n> > \n> > > (a) in the case of an offence under section 5, 6, 12B, 12C, 12D, 240C, 246R, 248S, 291, 378A, 378D, 378F or 378FA—within but not later than 3 years after the date on which the offence is alleged to have been committed, or\n> > \n> > > (a1) in the case of an offence under section 378C—within but not later than 2 years after the date on which the offence is alleged to have been committed, or\n> > \n> > > (b) in any other case—within but not later than 12 months after that date.\n> \n> > (2) Proceedings for an offence under this Act or the regulations may also be commenced—\n> > \n> > > (a) in the case of an offence under section 5, 6, 12B, 12C, 12D, 240C, 246R, 248S, 291, 378A, 378D, 378F or 378FA—within but not later than 3 years after the date on which evidence of the alleged offence first came to the attention of an inspector, or\n> > \n> > > (a1) in the case of an offence under section 378C—within but not later than 2 years after the date on which evidence of the alleged offence first came to the attention of an inspector, or\n> > \n> > > (b) in any other case—within but not later than 12 months after that date.\n> \n> > (3) If subsection (2) is relied on for the purpose of commencing proceedings for an offence, the court attendance notice or application must contain particulars of the date on which evidence of the offence first came to the attention of an inspector and need not contain particulars of the date on which the offence was committed.\n> \n> > (4) The date on which evidence first came to the attention of an inspector is the date specified in the court attendance notice or application, unless the contrary is established.\n> \n> > (5) This section applies only to proceedings that are to be dealt with summarily.\n> \n> > (6) This section applies despite anything in the [Criminal Procedure Act 1986](/view/html/inforce/current/act-1986-209) or any other Act.\n> \n> > (7) In this section—\n> > \n> > evidence of an offence means evidence of any act or omission constituting the offence.\n> \n> **s 378I:** Ins 2008 No 19, Sch 1 \\[258\\]. Am 2015 No 40, Sch 1 \\[123\\]; 2017 No 27, Sch 1 \\[15\\]; 2022 No 21, Sch 1\\[131\\]–\\[133\\].","sortOrder":664},{"sectionNumber":"378K","sectionType":"section","heading":"Penalty notices for offences","content":"#### 378K Penalty notices for offences\n\n378K Penalty notices for offences\n\n> > (1) A penalty notice officer may serve a penalty notice on a person if it appears to the officer that the person has committed an offence under this Act or the regulations, being an offence prescribed by the regulations.\n> \n> > (2) A penalty notice is a notice to the effect that, if the person served does not wish to have the matter determined by a court, the person may pay, within the time and to the person specified in the notice, the penalty prescribed by the regulations for the offence if dealt with under this section.\n> \n> > (3) A penalty notice may be served personally or by post.\n> \n> > (4) The regulations may authorise a penalty notice also to be served by leaving the notice at premises in respect of which the offence was committed.\n> \n> > (5) If the amount of the penalty prescribed for an alleged offence is paid under this section, no person is liable to any further proceedings for the alleged offence.\n> \n> > (6) Payment under this section is not an admission of liability for the purposes of, and does not affect or prejudice, any civil claim, action or proceeding arising out of the same occurrence.\n> \n> > (7) The regulations may—\n> > \n> > > (a) prescribe an offence for the purposes of this section by specifying the offence or by referring to the provision creating the offence, and\n> > \n> > > (b) prescribe the amount of penalty payable for the offence if dealt with under this section, and\n> > \n> > > (c) prescribe different amounts of penalties for different offences or classes of offences, and\n> > \n> > > (d) prescribe different amounts of penalties for the same offence, including, in the case of a continuing offence, different amounts of penalties for different periods during which the offence continues.\n> \n> > (8) This section does not limit the operation of any provision of, or made under, this or any other Act relating to proceedings that may be taken in respect of offences.\n> \n> > (9) In this section, penalty notice officer means a person who is declared by the regulations to be a penalty notice officer for the purpose of this section or belongs to a class of persons so declared.\n> \n> **s 378K:** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":665},{"sectionNumber":"378L","sectionType":"section","heading":"Application of Division","content":"#### 378L Application of Division\n\n378L Application of Division\n\n> > (1) This Division applies where—\n> > \n> > > (a) proceedings have been commenced against a person for an offence against this Act or the regulations and, as a result of those proceedings, the person may be required to pay an amount referred to in section 378ZA, or\n> > \n> > > (b) proceedings have been commenced against a person under section 378ZA.\n> \n> > (2) In this Division—\n> > \n> > the defendant means the person referred to in subsection (1) (a) or (b).\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":667},{"sectionNumber":"378M","sectionType":"section","heading":"Nature of restraining order","content":"#### 378M Nature of restraining order\n\n378M Nature of restraining order\n\n> A restraining order is an order of a court directing that any property of the defendant is not to be disposed of, or otherwise dealt with, by the defendant or by any other person, except in such manner and in such circumstances (if any) as are specified in the order.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":668},{"sectionNumber":"378N","sectionType":"section","heading":"Application for restraining order","content":"#### 378N Application for restraining order\n\n378N Application for restraining order\n\n> > (1) A person bringing proceedings (as referred to in section 378L) may apply for a restraining order in relation to property of the defendant.\n> \n> > (2) An application under this section may be made to the Land and Environment Court.\n> \n> > (3) On an application under this section—\n> > \n> > > (a) the court may, if it thinks fit, require the person making the application to give notice of the application to a person who the court has reason to believe has an interest in the property or part of the property, and\n> > \n> > > (b) a person to whom the court requires notice be given under paragraph (a) is entitled to appear and to adduce evidence at the hearing of the application.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":669},{"sectionNumber":"378O","sectionType":"section","heading":"Making of restraining order","content":"#### 378O Making of restraining order\n\n378O Making of restraining order\n\n> On an application under section 378N, the court may make a restraining order in relation to the defendant’s property, if it is satisfied (on the information contained in or accompanying the application) that—\n> \n> > (a) the defendant has committed the relevant offence, and\n> \n> > (b) amounts are or are likely to be payable under section 378ZA or 378ZB, and\n> \n> > (c) it is appropriate to make an order under this section in the circumstances of the case.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":670},{"sectionNumber":"378P","sectionType":"section","heading":"Undertakings","content":"#### 378P Undertakings\n\n378P Undertakings\n\n> The court may refuse to make a restraining order if the person making the application refuses or fails to give to the court such undertakings as the court considers appropriate with respect to the payment of damages or costs, or both, in relation to the making or operation of the order.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":671},{"sectionNumber":"378Q","sectionType":"section","heading":"Ancillary orders","content":"#### 378Q Ancillary orders\n\n378Q Ancillary orders\n\n> > (1) A court that makes a restraining order may make any ancillary orders that the court considers appropriate.\n> \n> > (2) Without limiting the generality of subsection (1), ancillary orders may include any one or more of the following—\n> > \n> > > (a) an order for the examination on oath of—\n> > > \n> > > > (i) the defendant, or\n> > > \n> > > > (ii) another person,\n> > > \n> > > before the court, or an officer of the court prescribed by rules of court, concerning the affairs of the defendant, including the nature and location of any property of the defendant,\n> > \n> > > (b) an order varying the restraining order in respect of the property to which it relates,\n> > \n> > > (c) an order varying any conditions to which the restraining order was subject.\n> \n> > (3) An ancillary order may be made on application—\n> > \n> > > (a) by the applicant for the restraining order, or\n> > \n> > > (b) by the defendant, or\n> > \n> > > (c) with the leave of the court, by any other person.\n> \n> > (4) Ancillary orders may be made when or at any time after the restraining order is made. An ancillary order referred to in subsection (2) (a) may be made in advance of the restraining order.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":672},{"sectionNumber":"378R","sectionType":"section","heading":"Charge on property subject to restraining orders","content":"#### 378R Charge on property subject to restraining orders\n\n378R Charge on property subject to restraining orders\n\n> > (1) If—\n> > \n> > > (a) a court has made a restraining order in respect of particular property or all of the property of the defendant, and\n> > \n> > > (b) the court orders the payment of an amount referred to in section 378ZA or 378ZB,\n> > \n> > there is created by force of this section, on the making of the order referred to in paragraph (b), a charge on all the property to which the restraining order applies to secure the payment to a public authority or person (which extends, for the purposes of this Division, to the Crown) of the amount referred to in section 378ZA or 378ZB.\n> \n> > (2) Such a charge ceases to have effect in respect of the property—\n> > \n> > > (a) on payment by the defendant to the public authority or person of the amount concerned, or\n> > \n> > > (b) on the sale or other disposition of the property with the consent of the court, or\n> > \n> > > (c) on the sale of the property to a purchaser in good faith for value who, at the time of the sale, has no notice of the charge,\n> > \n> > whichever occurs first.\n> \n> > (3) Such a charge is subject to every charge or encumbrance to which the property was subject immediately before the order referred to in subsection (1) (b) was made and, in the case of land under the provisions of the [Real Property Act 1900](/view/html/inforce/current/act-1900-025), is subject to every mortgage, lease or other interest recorded in the Register kept under that Act.\n> \n> > (4) Such a charge is not affected by any change of ownership of the property, except as provided by subsection (2).\n> \n> > (5) If—\n> > \n> > > (a) such a charge is created on property of a particular kind and the provisions of any law of the State provide for the registration of title to, or charges over, property of that kind, and\n> > \n> > > (b) the charge is so registered,\n> > \n> > a person who purchases or otherwise acquires the property after the registration of the charge is, for the purposes of subsection (2), taken to have notice of the charge.\n> \n> > (6) If such a charge relates to land under the provisions of the [Real Property Act 1900](/view/html/inforce/current/act-1900-025), the charge has no effect until it is registered under that Act.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":673},{"sectionNumber":"378S","sectionType":"section","heading":"Registration of restraining orders","content":"#### 378S Registration of restraining orders\n\n378S Registration of restraining orders\n\n> > (1) If a restraining order applies to property of a particular kind and the provisions of any law of the State provide for the registration of title to, or charges over, property of that kind, the authority responsible for administering the provisions is required, on application by any person, to record the particulars of the order in the register kept under those provisions.\n> \n> > (2) If the particulars of a restraining order are so recorded, a person who afterwards deals with the property is, for the purposes of section 378R (2), taken to have notice of the charge created by this Act on the making of the order.\n> \n> > (3) If a restraining order applies to land under the provisions of the [Real Property Act 1900](/view/html/inforce/current/act-1900-025), a caveat may be lodged under that Act in relation to the order.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":674},{"sectionNumber":"378T","sectionType":"section","heading":"Recovery of costs of registering charge on land","content":"#### 378T Recovery of costs of registering charge on land\n\n378T Recovery of costs of registering charge on land\n\n> > (1) A person or public authority who registers a charge on land to which a restraining order applies under section 378R may, by written notice, require the defendant to pay all or any of the reasonable costs and expenses incurred by the person or authority in respect of the lodgment and registration of the charge (including the costs of discharging the charge).\n> \n> > (2) The person or public authority may recover from the defendant any unpaid amounts specified in the notice as a debt in a court of competent jurisdiction.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":675},{"sectionNumber":"378U","sectionType":"section","heading":"Recovery of costs of lodging caveat","content":"#### 378U Recovery of costs of lodging caveat\n\n378U Recovery of costs of lodging caveat\n\n> > (1) A person or public authority who lodges a caveat in respect of land to which a restraining order applies under section 378S may, by written notice, require the defendant to pay all or any of the reasonable costs and expenses incurred by the person or authority in respect of the lodgment and registration of the caveat (including the costs of withdrawal of the caveat).\n> \n> > (2) The person or public authority may recover from the defendant any unpaid amounts specified in the notice as a debt in a court of competent jurisdiction.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":676},{"sectionNumber":"378V","sectionType":"section","heading":"Contravention of restraining orders","content":"#### 378V Contravention of restraining orders\n\n378V Contravention of restraining orders\n\n> > (1) A person who knowingly contravenes a restraining order by disposing of, or otherwise dealing with, property that is subject to the order is guilty of an offence.\n> > \n> > Maximum penalty—A fine equivalent to the value of the property (as determined by the court) or imprisonment for 12 months, or both.\n> \n> > (2) If—\n> > \n> > > (a) a restraining order is made against property, and\n> > \n> > > (b) the property is disposed of, or otherwise dealt with, in contravention of the restraining order, and\n> > \n> > > (c) the disposition or dealing was either not for sufficient consideration or not in favour of a person who acted in good faith,\n> > \n> > the person who applied for the restraining order may apply to the court that made the restraining order for an order that the disposition or dealing with the property be set aside.\n> \n> > (3) If an application is made under subsection (2), the court may make an order—\n> > \n> > > (a) setting aside the disposition or dealing as from the day on which the disposition or dealing took place or as from the day of the order under this subsection, and\n> > \n> > > (b) (if appropriate) declaring the respective rights of any persons who acquired interests in the property on or after the day on which the disposition or dealing took place and before the day of the order.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":677},{"sectionNumber":"378W","sectionType":"section","heading":"Court may revoke restraining order","content":"#### 378W Court may revoke restraining order\n\n378W Court may revoke restraining order\n\n> > (1) The court that made a restraining order may revoke the order, on application made to it by the person in relation to whose property it was made.\n> \n> > (2) The court may refuse to revoke the order if the person does not—\n> > \n> > > (a) give security satisfactory to the court for the payment of any amount referred to in section 378ZA or 378ZB that may be imposed on or ordered to be paid by the person under this Act in respect of the person’s conviction for the offence, or\n> > \n> > > (b) give undertakings satisfactory to the court concerning the person’s property.\n> \n> > (3) Subsection (2) does not limit the discretion of the court to revoke or refuse to revoke a restraining order.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":678},{"sectionNumber":"378X","sectionType":"section","heading":"Time when restraining order ceases to be in force","content":"#### 378X Time when restraining order ceases to be in force\n\n378X Time when restraining order ceases to be in force\n\n> If, after a restraining order was made in reliance on the charging of a person with an offence against this Act or the regulations—\n> \n> > (a) the charge is withdrawn and the person is not charged with a related offence by the time of the withdrawal—the restraining order ceases to be in force when the charge is withdrawn, or\n> \n> > (b) the person is acquitted of the charge and the person is not charged with a related offence by the time of the acquittal—the restraining order ceases to be in force when the acquittal occurs.\n> \n> **pt 17A, div 3 (ss 378L–378X):** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":679},{"sectionNumber":"378Y","sectionType":"section","heading":"Operation of Division","content":"#### 378Y Operation of Division\n\n378Y Operation of Division\n\n> > (1) This Division applies where a court finds an offence against this Act or the regulations proved.\n> \n> > (2) Without limiting the generality of subsection (1), a court finds an offence proved if—\n> > \n> > > (a) the court convicts the offender of the offence, or\n> > \n> > > (b) the court makes an order under section 10 of the [Crimes (Sentencing Procedure) Act 1999](/view/html/inforce/current/act-1999-092) against the offender in relation to the offence (in which case the order is not a punishment for the purposes of that section).\n> \n> > (3) In this Division—\n> > \n> > the court means the court that finds the offence proved.\n> > \n> > the offender means the person who is found to have committed the offence.\n> \n> **s 378Y:** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":681},{"sectionNumber":"378Z","sectionType":"section","heading":"Orders generally","content":"#### 378Z Orders generally\n\n378Z Orders generally\n\n> > (1) One or more orders may be made under this Division against the offender.\n> \n> > (2) Orders may be made under this Division in addition to any penalty that may be imposed or any other action that may be taken in relation to the offence.\n> \n> > (3) Orders may be made under this Division regardless of whether any penalty is imposed, or other action taken, in relation to the offence.\n> \n> **s 378Z:** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":682},{"sectionNumber":"378ZA","sectionType":"section","heading":"Orders for costs, expenses and compensation at time offence proved","content":"#### 378ZA Orders for costs, expenses and compensation at time offence proved\n\n378ZA Orders for costs, expenses and compensation at time offence proved\n\n> > (1) The court may, if it appears to the court that—\n> > \n> > > (a) the Crown or a public authority has incurred costs and expenses in connection with—\n> > > \n> > > > (i) the prevention, control, abatement or mitigation of any harm to the environment caused by the commission of the offence, or\n> > > \n> > > > (ii) making good any resulting environmental damage, or\n> > \n> > > (b) the Crown or another person or a public authority has, because of the commission of the offence, suffered loss of or damage to property or has incurred costs and expenses in preventing or mitigating, or in attempting to prevent or mitigate, any such loss or damage,\n> > \n> > order the offender to pay to the Crown, public authority or person the costs and expenses so incurred, or compensation for the loss or damage so suffered, as the case may be, in such amount as is fixed by the order.\n> \n> > (2) However, a court is not to make an order for payment to a person under subsection (1) to the extent that the payment would represent the value of minerals owned by that person that the offender had obtained by fossicking, prospecting operations or mining operations carried out with the consent of that person and in or in connection with the offence.\n> \n> > (3) An order made by the Local Court under subsection (1) is enforceable as if it were an order made by the court when exercising jurisdiction under the [Civil Procedure Act 2005](/view/html/inforce/current/act-2005-028).\n> \n> > (4) An order made by the Land and Environment Court under subsection (1) is enforceable as if it were an order made by the Court in Class 4 proceedings under the [Land and Environment Court Act 1979](/view/html/inforce/current/act-1979-204).\n> \n> > (5) The Local Court is not to make an order under subsection (1) for the payment of an amount that exceeds the amount for which an order may be made by the court when exercising jurisdiction under the [Civil Procedure Act 2005](/view/html/inforce/current/act-2005-028).\n> \n> **s 378ZA:** Ins 2008 No 19, Sch 1 \\[258\\] (am 2008 No 107, Sch 20 \\[14\\]).","sortOrder":683},{"sectionNumber":"378ZB","sectionType":"section","heading":"Recovery of costs, expenses and compensation after offence proved","content":"#### 378ZB Recovery of costs, expenses and compensation after offence proved\n\n378ZB Recovery of costs, expenses and compensation after offence proved\n\n> > (1) If, after the court finds the offence proved—\n> > \n> > > (a) the Crown or a public authority has incurred costs and expenses in connection with—\n> > > \n> > > > (i) the prevention, control, abatement or mitigation of any harm to the environment caused by the commission of the offence, or\n> > > \n> > > > (ii) making good any resulting environmental damage, or\n> > \n> > > (b) a person (including the Crown and a public authority) has, because of the commission of the offence, suffered loss of or damage to property or has incurred costs and expenses in preventing or mitigating, or in attempting to prevent or mitigate, any such loss or damage,\n> > \n> > the Crown, public authority or person may recover from the offender the costs and expenses incurred or the amount of the loss or damage in the Land and Environment Court.\n> \n> > (2) The amount of any such costs and expenses (but not the amount of any such loss or damage) may be recovered as a debt in a court of competent jurisdiction.\n> \n> > (3) However, a person may not recover an amount that would represent the value of minerals owned by that person that the offender had obtained by fossicking, prospecting operations or mining operations carried out with the consent of that person and in or in connection with the offence.\n> \n> **s 378ZB:** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":684},{"sectionNumber":"378ZC","sectionType":"section","heading":"Orders regarding costs and expenses of investigation","content":"#### 378ZC Orders regarding costs and expenses of investigation\n\n378ZC Orders regarding costs and expenses of investigation\n\n> > (1) The court may, if it appears to the court that the Crown or a public authority has reasonably incurred costs and expenses during the investigation of the offence, order the offender to pay to the Crown or the authority the costs and expenses so incurred in such amount as is fixed by the order.\n> \n> > (2) An order made by the Land and Environment Court under subsection (1) is enforceable as if it were an order made by the Court in Class 4 proceedings under the [Land and Environment Court Act 1979](/view/html/inforce/current/act-1979-204).\n> \n> > (3) An order made by the Local Court under subsection (1) is enforceable as if it were an order made by the court when exercising jurisdiction under the [Civil Procedure Act 2005](/view/html/inforce/current/act-2005-028).\n> \n> > (4) In this section—\n> > \n> > costs and expenses, in relation to the investigation of an offence, means the costs and expenses—\n> > \n> > > (a) in taking any sample or conducting any inspection, test, measurement or analysis, or\n> > \n> > > (b) of transporting, storing or disposing of evidence,\n> > \n> > during the investigation of the offence.\n> \n> **ss 378ZC–378ZE:** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":685},{"sectionNumber":"378ZD","sectionType":"section","heading":"Orders regarding other monetary benefits","content":"#### 378ZD Orders regarding other monetary benefits\n\n378ZD Orders regarding other monetary benefits\n\n> > (1) The court may order the offender to pay, as an additional penalty for committing the offence, an amount that the court is satisfied, on the balance of probabilities, represents the amount of any monetary benefits acquired by the offender, or accrued or accruing to the offender, as a result of the commission of the offence.\n> \n> > (2) However, in calculating the amount of these monetary benefits, the court is to exclude any monetary benefits acquired in connection with the fossicking or prospecting for, or the mining of, privately owned minerals.\n> \n> > (3) The amount of an additional penalty for an offence is not subject to any maximum amount of penalty provided elsewhere by or under this Act.\n> \n> > (4) In this section—\n> > \n> > monetary benefits means monetary, financial or economic benefits.\n> > \n> > the court does not include the Local Court.\n> \n> **ss 378ZC–378ZE:** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":686},{"sectionNumber":"378ZE","sectionType":"section","heading":"Additional orders","content":"#### 378ZE Additional orders\n\n378ZE Additional orders\n\n> > (1) The court may do any one or more of the following—\n> > \n> > > (a) order the offender to take specified action to publicise the offence (including the circumstances of the offence) and its consequences and any other orders made against the person,\n> > \n> > > (b) order the offender to take specified action to notify specified persons or classes of persons of the offence (including the circumstances of the offence) and its consequences and of any orders made against the person (including, for example, the publication in an annual report or any other notice to shareholders of a company or the notification of persons aggrieved or affected by the offender’s conduct),\n> > \n> > > (c) order the offender to carry out a specified project for the rehabilitation of a current or former authorisation area,\n> > \n> > > (d) order the offender to carry out an audit of activities carried on by the offender,\n> > \n> > > (e) order the offender to pay a specified amount to the Derelict Mine Sites Fund for the purposes of a specified project for the rehabilitation of a current or former authorisation area,\n> > \n> > > (f) order the offender to attend, or to cause an employee or employees or a contractor or contractors of the offender to attend, a training or other course specified by the court,\n> > \n> > > (g) order the offender to establish, for employees or contractors of the offender, a training course of a kind specified by the court,\n> > \n> > > (h) order the offender to pay any royalty that is due and payable by the offender under this Act,\n> > \n> > > (i) if the Secretary is a party to proceedings, order the offender to provide to the Secretary and maintain a security deposit, in a form and amount, and on such terms (if any), specified by the court, if the court orders the offender to carry out a specified work or program for the restoration or enhancement of the environment.\n> > \n> > However, the Local Court is not authorised to make an order referred to in paragraph (c), (d), (e) or (i).\n> \n> > (2) The court may, in an order under this section, fix a period for compliance and impose any other requirements the court considers necessary or expedient for enforcement of the order.\n> \n> > (3) If the offender contravenes an order under subsection (1) (a) or (b), the prosecutor or a person authorised by the prosecutor may take action to carry out the order as far as may be practicable, including action to publicise or notify—\n> > \n> > > (a) the original contravention, its environmental and other consequences, and any other penalties imposed on the offender, and\n> > \n> > > (b) the contravention of the order.\n> \n> > (4) The reasonable cost of taking action referred to in subsection (3) is recoverable by the prosecutor or person taking the action, in a court of competent jurisdiction, as a debt from the offender.\n> \n> > (5) Sections 242C, 261F and 261G apply with respect to a security deposit provided under an order referred to in subsection (1) (i) as if it were provided under a security deposit condition.\n> \n> **ss 378ZC–378ZE:** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":687},{"sectionNumber":"378ZF","sectionType":"section","heading":"Offence","content":"#### 378ZF Offence\n\n378ZF Offence\n\n> A person who fails to comply with an order under this Division (except an order under section 378ZA, 378ZB or 378ZC) is guilty of an offence.\n> \n> Maximum penalty—\n> \n> > (a) in the case of a corporation—1,000 penalty units for each day the offence continues, or\n> \n> > (b) in the case of a natural person—500 penalty units for each day the offence continues.\n> \n> **s 378ZF:** Ins 2008 No 19, Sch 1 \\[258\\].","sortOrder":688},{"sectionNumber":"Division 4A","sectionType":"division","heading":"Court orders in connection with suspected contravention","content":"## Division 4A Court orders in connection with suspected contravention\n\nDivision 4A Court orders in connection with suspected contravention\n\n**pt 17A, div 4A (s 378ZFA):** Ins 2015 No 40, Sch 1 \\[124\\].","sortOrder":689},{"sectionNumber":"378ZFA","sectionType":"section","heading":"Order for recovery of costs related to prospecting or mining without authorisation","content":"#### 378ZFA Order for recovery of costs related to prospecting or mining without authorisation\n\n378ZFA Order for recovery of costs related to prospecting or mining without authorisation\n\n> > (1) The Land and Environment Court or the Local Court may make an order under this section if the court is satisfied, on the balance of probabilities, that a person has prospected for or mined for a mineral otherwise than in accordance with an authorisation.\n> \n> > (2) The Land and Environment Court or the Local Court may order a person to pay to a government agency or person costs and expenses incurred, or compensation for loss or damage suffered, as the case may be, in such amount as is fixed by the order, if it appears to the court that—\n> > \n> > > (a) a government agency has incurred costs and expenses in connection with—\n> > > \n> > > > (i) the prevention, control, mitigation or management of any environmental impact caused by the prospecting or mining, or\n> > > \n> > > > (ii) rehabilitating land or water damaged or affected by the prospecting or mining, or\n> > \n> > > (b) a person (including a government agency) has, by reason of the prospecting or mining, suffered loss of or damage to property or has incurred costs and expenses in preventing, controlling, mitigating or managing any such loss or damage, or attempting to do so.\n> \n> > (3) However, the court is not to make an order for payment to a person under the section to the extent that the payment would represent the value of minerals extracted by that person without title that the person who carried out the suspected unlawful prospecting or mining had obtained by fossicking, prospecting operations or mining operations carried out with the consent of that person and in connection with the suspected contravention.\n> \n> > (4) An order made by the Local Court under this section is enforceable as if it were an order made by the court when exercising jurisdiction under the [Civil Procedure Act 2005](/view/html/inforce/current/act-2005-028).\n> \n> > (5) An order made by the Land and Environment Court under this section is enforceable as if it were an order made by the Court in Class 4 proceedings under the [Land and Environment Court Act 1979](/view/html/inforce/current/act-1979-204).\n> \n> > (6) The Local Court may not make an order under this section for the payment of an amount that exceeds the jurisdictional limit of the Local Court under the [Civil Procedure Act 2005](/view/html/inforce/current/act-2005-028).\n> \n> > (7) The court may make an order under this section whether or not the person against whom the order is made—\n> > \n> > > (a) has been convicted of an offence under this Act in relation to the prospecting or mining, or\n> > \n> > > (b) has been issued with a penalty notice under this Act in relation to the prospecting or mining, and whether or not the amount of penalty prescribed for the offence has been paid under any such penalty notice, or\n> > \n> > > (c) has had any other action taken against the person in respect of an offence under this Act in relation to the prospecting or mining.\n> \n> > (8) This section does not prevent the taking of proceedings for an offence of prospecting or mining for a mineral except in accordance with an authorisation.\n> \n> **pt 17A, div 4A (s 378ZFA):** Ins 2015 No 40, Sch 1 \\[124\\].","sortOrder":690},{"sectionNumber":"Division 4B","sectionType":"division","heading":"Enforceable undertakings","content":"## Division 4B Enforceable undertakings\n\nDivision 4B Enforceable undertakings\n\n**pt 17A, div 4B:** Ins 2015 No 40, Sch 1 \\[124\\].","sortOrder":691},{"sectionNumber":"378ZFB","sectionType":"section","heading":"Secretary may accept enforceable undertakings","content":"#### 378ZFB Secretary may accept enforceable undertakings\n\n378ZFB Secretary may accept enforceable undertakings\n\n> > (1) The Secretary may accept a written undertaking (an enforceable undertaking) given by a person in connection with a matter relating to a contravention or alleged contravention by the person of this Act.\n> \n> > (2) The giving of an enforceable undertaking does not constitute an admission of guilt by the person giving it in relation to the contravention or alleged contravention to which the undertaking relates.\n> \n> > (3) The Secretary must issue, and make public, general guidelines for or in relation to the acceptance of enforceable undertakings under this Act.\n> \n> > (4) The Secretary must publish, and make public, a copy of each enforceable undertaking accepted by the Secretary under this section.\n> \n> **s 378ZFB:** Ins 2015 No 40, Sch 1 \\[124\\]. Am 2017 No 27, Sch 1 \\[16\\].","sortOrder":692},{"sectionNumber":"378ZFC","sectionType":"section","heading":"Notice of decision and reasons for decision","content":"#### 378ZFC Notice of decision and reasons for decision\n\n378ZFC Notice of decision and reasons for decision\n\n> > (1) The Secretary must give the person seeking to make an enforceable undertaking written notice of the Secretary’s decision to accept or reject the enforceable undertaking and of the reasons for the decision.\n> \n> > (2) The Secretary must publish, and make public, notice of a decision to accept an enforceable undertaking and the reasons for that decision.\n> \n> **ss 378ZFC–378ZFE):** Ins 2015 No 40, Sch 1 \\[124\\].","sortOrder":693},{"sectionNumber":"378ZFD","sectionType":"section","heading":"When an enforceable undertaking is enforceable","content":"#### 378ZFD When an enforceable undertaking is enforceable\n\n378ZFD When an enforceable undertaking is enforceable\n\n> An enforceable undertaking takes effect and becomes enforceable when the Secretary’s decision to accept the undertaking is given to the person who made the undertaking or at any later date specified by the Secretary.\n> \n> **ss 378ZFC–378ZFE):** Ins 2015 No 40, Sch 1 \\[124\\].","sortOrder":694},{"sectionNumber":"378ZFE","sectionType":"section","heading":"Compliance with enforceable undertaking","content":"#### 378ZFE Compliance with enforceable undertaking\n\n378ZFE Compliance with enforceable undertaking\n\n> A person must not contravene an enforceable undertaking made by that person that is in effect.\n> \n> Maximum penalty—\n> \n> > (a) in the case of a corporation—10,000 penalty units, or\n> \n> > (b) in the case of a natural person—2,000 penalty units.\n> \n> **ss 378ZFC–378ZFE):** Ins 2015 No 40, Sch 1 \\[124\\].","sortOrder":695},{"sectionNumber":"378ZFF","sectionType":"section","heading":"Contravention of enforceable undertaking","content":"#### 378ZFF Contravention of enforceable undertaking\n\n378ZFF Contravention of enforceable undertaking\n\n> > (1) The Secretary may apply to the Land and Environment Court for an order if a person contravenes an enforceable undertaking.\n> \n> > (2) If the Court is satisfied that the person who made the enforceable undertaking has contravened the undertaking, the Court may make one or both of the following orders—\n> > \n> > > (a) an order directing the person to comply with the undertaking,\n> > \n> > > (b) an order discharging the undertaking.\n> \n> > (2A) The Court may make an order under this section whether or not proceedings have been instituted for an offence against section 378ZFE for the contravention of the enforceable undertaking.\n> \n> > (3) In addition to the orders referred to in subsection (2), the Court may make any other order that the Court considers appropriate in the circumstances, including orders directing the person to pay to the State—\n> > \n> > > (a) the costs of the proceedings, and\n> > \n> > > (b) the reasonable costs of the Secretary in monitoring compliance with the enforceable undertaking in the future.\n> \n> Note.\n> \n> Section 378ZFH specifies circumstances affecting proceedings for a contravention for which an enforceable undertaking has been given.\n> \n> **s 378ZFF:** Ins 2015 No 40, Sch 1 \\[124\\]. Am 2017 No 27, Sch 1 \\[17\\]–\\[19\\].","sortOrder":696},{"sectionNumber":"378ZFG","sectionType":"section","heading":"Withdrawal or variation of enforceable undertaking","content":"#### 378ZFG Withdrawal or variation of enforceable undertaking\n\n378ZFG Withdrawal or variation of enforceable undertaking\n\n> > (1) A person who has made an enforceable undertaking may at any time, with the written agreement of the Secretary—\n> > \n> > > (a) withdraw the undertaking, or\n> > \n> > > (b) vary the undertaking.\n> \n> > (2) However, the provisions of the undertaking cannot be varied to provide for a different alleged contravention of the Act.\n> \n> > (3) The Secretary must publish, and make public, the following—\n> > \n> > > (a) notice of the withdrawal of an enforceable undertaking,\n> > \n> > > (b) notice and a copy of the variation of an enforceable undertaking.\n> \n> **s 378ZFG:** Ins 2015 No 40, Sch 1 \\[124\\]. Am 2017 No 27, Sch 1 \\[20\\].","sortOrder":697},{"sectionNumber":"378ZFH","sectionType":"section","heading":"Proceeding for alleged contravention","content":"#### 378ZFH Proceeding for alleged contravention\n\n378ZFH Proceeding for alleged contravention\n\n> > (1) Subject to this section, no proceedings for a contravention or alleged contravention of this Act may be brought against a person if the person has made an enforceable undertaking in relation to that contravention and the enforceable undertaking is in effect.\n> \n> > (2) No proceedings may be brought for a contravention or alleged contravention of this Act against a person who has made an enforceable undertaking in relation to that contravention and has completely discharged the enforceable undertaking.\n> \n> > (3) The Secretary may accept an enforceable undertaking in relation to a contravention or alleged contravention before proceedings in relation to that contravention have been finalised.\n> \n> > (4) If the Secretary accepts an enforceable undertaking before the proceedings are finalised, the Secretary must take all reasonable steps to have the proceedings discontinued as soon as possible.\n> \n> **s 378ZFH:** Ins 2015 No 40, Sch 1 \\[124\\]. Am 2017 No 27, Sch 1 \\[21\\].","sortOrder":698},{"sectionNumber":"378ZG","sectionType":"section","heading":"Certificate evidence of certain matters","content":"#### 378ZG Certificate evidence of certain matters\n\n378ZG Certificate evidence of certain matters\n\n> > (1) A document signed by the Secretary, or by an officer designated by the Secretary for the purposes of this section, and certifying any one or more of the matters specified in subsection (2) is admissible in any proceedings under this Act and is prima facie evidence of the matters so certified.\n> \n> > (2) The following matters are specified for the purposes of subsection (1)—\n> > \n> > > (a) that an instrument, a copy of which is set out in or annexed to the document, being an instrument purporting—\n> > > \n> > > > (i) to be issued, made or given for the purposes of this Act, and\n> > > \n> > > > (ii) to have been signed by the person authorised to issue, make or give the instrument, or by another person acting as delegate or on behalf of the person,\n> > > \n> > > was issued, made or given on a specified day,\n> > \n> > > (b) that a person was or was not, at a specified time or during a specified period, the holder of a specified authorisation or an authorisation of a specified kind,\n> > \n> > > (c) that specified land was or was not, at a specified time or during a specified period, the subject of a specified authorisation or an authorisation of a specified kind,\n> > \n> > > (d) that specified land was or was not, at a specified time or during a specified period, a specified authorisation area or part of a specified authorisation area,\n> > \n> > > (e) that an authorisation was or was not, at a specified time or during a specified period, subject to specified conditions,\n> > \n> > > (f) that an authorisation was, at a specified time, cancelled or suspended for a specified period or was cancelled or suspended subject to specified conditions,\n> > \n> > > (g) that a condition was, at a specified time, revoked or varied in a specified manner or that a new condition was, at a specified time, imposed on an authorisation or on the suspension of an authorisation,\n> > \n> > > (h) that a person was or was not, at a specified time or during a specified period, an inspector or a royalty officer,\n> > \n> > > (i) that a person was or was not, at a specified time or during a specified period, a member of staff of the Department or a council,\n> > \n> > > (j) that information required to be furnished pursuant to this Act or the regulations was or was not received,\n> > \n> > > (k) that a document is a copy of part of, or an extract from, a register kept under this Act,\n> > \n> > > (l) that a specified amount is payable under this Act or the regulations by a specified person and has not been paid,\n> > \n> > > (m) that minerals of a specified value were recovered by a specified person or from specified land, at a specified time or during a specified period,\n> > \n> > > (n) that a specified legal or equitable interest (being a legal or equitable interest of a kind referred to in section 161), mining sublease or colliery holding was or was not registered under this Act,\n> > \n> > > (o) that the Crown or a public authority has incurred costs or expenses of a specified amount under section 241 or 242B,\n> > \n> > > (p) that the Crown or a public authority has incurred costs or expenses of a specified amount in connection with the investigation of a specified offence under this Act,\n> > \n> > > (q) that a specified function under this Act was delegated to a specified person under section 363 during a specified period.\n> \n> > (3) For the purposes of the certification of a matter referred to in subsection (2) (h), the person who appointed the inspector or royalty officer concerned is taken to be an officer designated by the Secretary (as referred to in subsection (1)).\n> \n> > (4) In the absence of information that would enable the accurate determination of an amount payable, as referred to in subsection (2) (l), or the value of minerals, as referred to in subsection (2) (m), the following provisions have effect—\n> > \n> > > (a) the amount or value certified may be an estimate of that amount or value (based on the information available to the person making the certification),\n> > \n> > > (b) the estimate is presumed to be accurate and cannot be challenged on the basis that insufficient information was available to enable the making of an accurate determination, but can be challenged by the provision of information that enables a more accurate estimate to be made,\n> > \n> > > (c) if the estimate is successfully challenged and as a result a more accurate estimate is substituted, no proceedings are open to challenge merely because of the less accurate estimate and proceedings may continue to be heard and be determined on the basis of the substituted estimate.\n> \n> **s 378ZG:** Ins 2008 No 19, Sch 1 \\[258\\] (am 2008 No 107, Sch 20 \\[15\\] \\[16\\]).","sortOrder":700},{"sectionNumber":"Part 18","sectionType":"part","heading":"Supplementary","content":"# Part 18 Supplementary\n\nPart 18 Supplementary","sortOrder":701},{"sectionNumber":"379","sectionType":"section","heading":"Saving of royal prerogative","content":"#### 379 Saving of royal prerogative\n\n379 Saving of royal prerogative\n\n> Except as expressly provided by this Act, this Act does not affect any prerogative of the Crown in respect of gold mines and silver mines.","sortOrder":703},{"sectionNumber":"379AA","sectionType":"section","heading":"Uranium the property of the Crown","content":"#### 379AA Uranium the property of the Crown\n\n379AA Uranium the property of the Crown\n\n> > (1) All uranium existing in a natural state on or below the surface of any land in the State is the property of the Crown, and is taken to have been so always.\n> \n> > (2) All Crown grants and leases and every licence and other instrument of title or tenure under any Act relating to lands of the Crown, whether granted before or after the commencement of this section, are taken to contain a reservation to the Crown of all uranium existing in a natural state on or below the surface of the land comprised in the instrument concerned.\n> \n> > (3) No compensation is payable by the Crown for—\n> > \n> > > (a) any uranium that was at any time vested in any person other than the Crown, or\n> > \n> > > (b) any rights or interests in any uranium of any person other than the Crown that are affected by the operation of this section.\n> \n> > (4) The provisions of this section have effect despite anything contained in section 42 of the [Real Property Act 1900](/view/html/inforce/current/act-1900-025).\n> \n> > (5) In this section—\n> > \n> > compensation includes damages or any other form of monetary compensation.\n> \n> **s 379AA:** Ins 2012 No 16, Sch 1 \\[2\\].","sortOrder":704},{"sectionNumber":"379AB","sectionType":"section","heading":"Coal the property of the Crown","content":"#### 379AB Coal the property of the Crown\n\n379AB Coal the property of the Crown\n\n> > (1) All coal that, but for the [Coal Acquisition Act 1981](/view/html/inforce/current/act-1981-109), would be vested in—\n> > \n> > > (a) an instrumentality or agency of the Crown, or\n> > \n> > > (b) any person other than the Crown,\n> > \n> > is vested in the Crown freed and discharged from all trusts, leases, licences, obligations, estates, interests and contracts.\n> \n> > (2) This clause does not apply to coal granted under the [Coal Ownership (Restitution) Act 1990](/view/html/inforce/current/act-1990-019).\n> \n> > (3) The reference in subsection (1) to leases does not include, and is to be taken never to have included, a reference to coal leases within the meaning of the [Coal Mining Act 1973](/view/pdf/asmade/act-1973-81).\n> \n> > (4) The provisions of this clause have effect despite anything contained in the [Real Property Act 1900](/view/html/inforce/current/act-1900-025), section 42.\n> \n> > (5) Subclauses (1)–(4) re-enact, with minor modifications, the [Coal Acquisition Act 1981](/view/html/inforce/current/act-1981-109), section 5 and are transferred provisions to which the [Interpretation Act 1987](/view/html/inforce/current/act-1987-015), section 30A applies.\n> \n> **s 379AB:** Ins 2022 No 21, Sch 1\\[135\\].","sortOrder":705},{"sectionNumber":"379A","sectionType":"section","heading":"Certain licences and leases not personal property under Personal Property Securities Act 2009 (Cth)","content":"#### 379A Certain licences and leases not personal property under Personal Property Securities Act 2009 (Cth)\n\n379A Certain licences and leases not personal property under [Personal Property Securities Act 2009](http://www.legislation.gov.au/) (Cth)\n\n> Each of the following is declared not to be personal property for the purposes of the [Personal Property Securities Act 2009](http://www.legislation.gov.au/) of the Commonwealth—\n> \n> > (a) an exploration licence,\n> \n> > (b) an assessment lease,\n> \n> > (c) a mineral claim,\n> \n> > (d) a mining lease,\n> \n> > (e) an opal prospecting licence.\n> \n> Note.\n> \n> The [Personal Property Securities Act 2009](http://www.legislation.gov.au/) of the Commonwealth does not apply in relation to a right, licence or authority granted by or under a law of a State that is declared by the law not to be personal property for the purposes of that Act.\n> \n> **s 379A:** Ins 2010 No 57, Sch 1.15 \\[3\\].","sortOrder":706},{"sectionNumber":"380","sectionType":"section","heading":"Saving of other Acts etc","content":"#### 380 Saving of other Acts etc\n\n380 Saving of other Acts etc\n\n> Except as expressly provided by this Act, this Act does not affect any other Act or law that prohibits, regulates or restricts, or that has the effect of prohibiting, regulating or restricting—\n> \n> > (a) the grant, renewal or transfer of an authority, a mineral claim or an opal prospecting licence, or\n> \n> > (b) the exercise of any right conferred by or under this Act in respect of an authority, a mineral claim or an opal prospecting licence.","sortOrder":707},{"sectionNumber":"380AA","sectionType":"section","heading":"Restrictions on planning applications for coal mining","content":"#### 380AA Restrictions on planning applications for coal mining\n\n380AA Restrictions on planning applications for coal mining\n\n> > (1) An application for development consent, or for the modification of a development consent, to mine for coal cannot be made or determined unless (at the time it is made or determined) the applicant is the holder of an authority that is in force in respect of coal and the land where mining for coal is proposed to be carried out, or the applicant has the written consent of the holder of such an authority to make the application.\n> > \n> > Note—\n> > \n> > In this Act, development consent means a development consent under the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203), Part 4 or an approval under that Act, Part 3A or Division 5.2.\n> \n> > (2) For that purpose, an authority in respect of coal need not be in force in respect of the whole of the land to which the application for development consent relates but must be in force for the land where mining for coal is proposed.\n> \n> > (3) For the purposes of this section, an authority that is a mining lease is considered to be in force in respect of the land on which it authorises prospecting or mining for coal, and not in respect of land on which it only authorises the carrying out of ancillary mining activities (and not prospecting or mining for coal). A mining lease is not an authority for the purposes of this section if it is for ancillary mining activities only.\n> \n> > (4) The Secretary must notify the appropriate planning authority of any decision under this Act to cancel or refuse to renew an authority in respect of coal if the Secretary is aware that an application for development consent, or for the modification of a development consent, to mine for coal on the land concerned has been made but not determined.\n> \n> > (5) In this section—\n> > \n> > application includes request.\n> > \n> > appropriate planning authority means—\n> > \n> > > (a) the Planning Secretary in the case of an application for development consent for State significant development, State significant infrastructure or a transitional Part 3A project under the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203), or\n> > \n> > > (b) the consent authority under that Act in relation to any other application.\n> > \n> > mine for coal means to extract coal from land.\n> \n> **s 380AA:** Ins 2014 No 10, Sch 1 \\[23\\]. Am 2022 No 21, Sch 1\\[136\\].","sortOrder":708},{"sectionNumber":"380A","sectionType":"section","heading":null,"content":"#### 380A\n\n380A (Repealed)","sortOrder":709},{"sectionNumber":"381","sectionType":"section","heading":"Prospecting unaffected by environmental planning instruments","content":"#### 381 Prospecting unaffected by environmental planning instruments\n\n381 Prospecting unaffected by environmental planning instruments\n\n> > (1) If a person is authorised under this Act to prospect on any land—\n> > \n> > > (a) nothing in, or done under, an environmental planning instrument operates so as to prevent the person from carrying on prospecting operations on that land, and\n> > \n> > > (b) to the extent to which anything in, or done under, any such instrument would so operate, it is of no effect in relation to the person.\n> \n> > (2) A reference in this section to an environmental planning instrument does not include a reference to a State environmental planning policy made on or after the commencement of this subsection.\n> \n> **s 381:** Am 2005 No 43, Sch 7.11 \\[6\\] \\[7\\]; 2022 No 21, Sch 1\\[138\\].","sortOrder":711},{"sectionNumber":"381A","sectionType":"section","heading":"Biobank sites","content":"#### 381A Biobank sites\n\n381A Biobank sites\n\n> The Minister is to notify the Minister administering the [Threatened Species Conservation Act 1995](/view/html/repealed/current/act-1995-101) of the grant of any authority, mineral claim or opal prospecting licence in relation to land that is a biobank site (within the meaning of Part 7A of that Act).\n> \n> **s 381A:** Ins 2006 No 125, Sch 2.5.","sortOrder":712},{"sectionNumber":"381B","sectionType":"section","heading":"Incomplete applications","content":"#### 381B Incomplete applications\n\n381B Incomplete applications\n\n> > (1) A decision-maker may reject an application under this Act on either or both of the following grounds—\n> > \n> > > (a) the applicant has not paid a fee or levy payable in connection with the application within the period, if any, prescribed by the regulations,\n> > \n> > > (b) the applicant has not lodged information required by the regulations to accompany the application within the period, if any, prescribed by the regulations or a longer period specified by the decision-maker.\n> \n> > (2) To avoid doubt—\n> > \n> > > (a) an application rejected under this section is taken never to have been made, and\n> > \n> > > (b) the decision-maker is not required to notify the applicant before the rejection.\n> \n> **s 381B:** Ins 2022 No 21, Sch 1\\[139\\].","sortOrder":713},{"sectionNumber":"382","sectionType":"section","heading":"Applications, tenders and giving of documents and information generally","content":"#### 382 Applications, tenders and giving of documents and information generally\n\n382 Applications, tenders and giving of documents and information generally\n\n> > (1) An application or tender under this Act must be made in an approved form.\n> \n> > (2) If an approved form is required to be completed in a specified way, the form is not completed unless the form is completed in the specified way.\n> \n> > (3) If an approved form requires specified information to be included in or submitted with the form, the form is not completed unless the specified information is included in or submitted with the form.\n> \n> > (4) An application, tender or prescribed document, thing or information, required or authorised under this Act to be given to a person, must be given in the way, and within the periods, prescribed by the regulations, if any.\n> \n> > (5) In this section—\n> > \n> > prescribed document, thing or information means a document, thing or information prescribed by the regulations for the purposes of this section.\n> \n> **s 382:** Am 1992 No 111, Sch 1. Subst 2022 No 21, Sch 1\\[140\\].","sortOrder":714},{"sectionNumber":"382A","sectionType":"section","heading":"Waiver or refund of fees and charges","content":"#### 382A Waiver or refund of fees and charges\n\n382A Waiver or refund of fees and charges\n\n> > (1) The Secretary may refund or waive payment of the whole or any part of a fee or charge that this Act requires to be paid, on his or her own initiative or on the application of the person who is required to pay the fee or charge, if the Secretary is satisfied that there is good cause for doing so.\n> \n> > (2) The regulations may make further provision for the waiver or refund of fees and charges payable under this Act.\n> \n> **s 382A:** Ins 1996 No 137, Sch 1 \\[18\\]. Subst 2008 No 19, Sch 1 \\[259\\]. Am 2012 No 46, Sch 5.2 \\[41\\]; 2022 No 21, Sch 1\\[141\\]–\\[143\\].","sortOrder":715},{"sectionNumber":"382B","sectionType":"section","heading":"Amendment of applications","content":"#### 382B Amendment of applications\n\n382B Amendment of applications\n\n> > (1) The following applications, and information or documents accompanying applications, may, with the consent of the decision-maker, be amended by the applicant at any time before the decision-maker decides the relevant application—\n> > \n> > > (a) an application for an authorisation,\n> > \n> > > (b) an application for the renewal of an authorisation,\n> > \n> > > (c) an application for approval of the transfer of an authorisation,\n> > \n> > > (d) an application for the registration of a sublease or the renewal or variation of the registration,\n> > \n> > > (e) an application prescribed by the regulations,\n> > \n> > > (f) information or a document accompanying an application referred to in paragraphs (a)–(e), including a proposed work program required to accompany an application.\n> \n> > (2) An application under this section must be made in a way approved by the Secretary.\n> \n> > (3) The decision-maker must give written notice to the applicant confirming the amendment of an application, information or document and the date on which it was amended.\n> \n> > (4) The amendment of an application, information or document does not entitle the applicant to a refund or reduction of an application fee.\n> \n> **s 382B:** Ins 2022 No 21, Sch 1\\[144\\].","sortOrder":716},{"sectionNumber":"383","sectionType":"section","heading":"Service of documents","content":"#### 383 Service of documents\n\n383 Service of documents\n\n> > (1) For the purposes of this Act, any notice or other document may be served on a person—\n> > \n> > > (a) in the case of a natural person—\n> > > \n> > > > (i) by delivering it personally to the person, or\n> > > \n> > > > (ii) by delivering it to the place of residence, or a place of business, of the person and by leaving it there for the person with some other person apparently of or above the age of 16 years, or\n> > > \n> > > > (iii) by posting it duly stamped and addressed to the person at the place last shown in the records of the Department as the person’s place of residence or business, or\n> > \n> > > (b) in the case of a body corporate—by leaving it with a person apparently of or above the age of 16 years at, or by sending it by post to, a registered office of the body corporate, or\n> > \n> > > (c) by posting it duly stamped and addressed to the person at the place indicated by the person as an address to which correspondence may be posted (including for example a post office box), or\n> > \n> > > (d) by sending it by email to an email address specified by the person for the service of notices or documents of that kind, or\n> > \n> > > (e) by leaving it addressed to the person at a document exchange or other place (in accordance with usual arrangements for the exchange or other place) indicated by the person as an exchange or place through which correspondence may be forwarded to the person, or\n> > \n> > > (f) by another method of electronic communication if the person has consented to the service of documents by the method, or\n> > \n> > > (g) by another method authorised by the regulations for the service of documents of that kind.\n> \n> > (2) If a landholder on whom a document is authorised or required under this Act to be served is absent from the State or cannot, after diligent inquiry, be found or identified, and that person’s place of residence or business cannot, after diligent inquiry, be ascertained, the document may be served by affixing it on some conspicuous part of the land.\n> \n> > (3) If under this Act a document is authorised or required to be served on the holder of an authority or a mineral claim and there is more than one such holder, service on any one such holder of the document, together with copies of the document addressed to the other holders, is taken to be service on all of the holders.\n> \n> > (4) If a person has more than one place of business, service may be effected under this section at any of those places.\n> \n> > (5) (Repealed)\n> \n> > (6) A requirement of this Act to serve a document on a landholder is, if the landholder is the Crown, a requirement to serve it in the manner prescribed by the regulations.\n> \n> > (7) The regulations may, in a particular case or class of cases, dispense with service on the Crown pursuant to a requirement referred to in subsection (6).\n> \n> > (8) Nothing in this section affects the operation of a law or of the rules of a court authorising a document to be served on a person by another method.\n> \n> > (9) In this section, serve includes issue, give or send.\n> \n> **s 383:** Am 1994 No 45, Sch 1; 1999 No 43, Sch 1 \\[81\\] \\[82\\]; 2008 No 19, Sch 1 \\[260\\]–\\[262\\]; 2017 No 27, Sch 1 \\[22\\]; 2022 No 21, Sch 1\\[145\\]–\\[147\\].","sortOrder":717},{"sectionNumber":"383A","sectionType":"section","heading":"Service of documents on native title holders","content":"#### 383A Service of documents on native title holders\n\n383A Service of documents on native title holders\n\n> > (1) If a document is authorised or required under this Act to be served on a landholder who is a native title holder, service of the document is taken to be effected in accordance with section 383 if the document is served on a registered native title body corporate in relation to the land concerned.\n> \n> > (2) If no approved determination of native title (within the meaning of the Commonwealth Native Title Act) exists in relation to the land concerned—\n> > \n> > > (a) a document authorised or required under this Act to be served on a landholder cannot, for the purposes of serving it on a landholder who is a native title holder who cannot be identified, be served in the manner prescribed by section 383 (2), and\n> > \n> > > (b) such a document may, however, be served on any such landholder by serving it, in a manner authorised by section 383 (1) and (4), on—\n> > > \n> > > > (i) any representative Aboriginal/Torres Strait Islander bodies for an area that includes the land concerned, and\n> > > \n> > > > (ii) any registered native title claimants in relation to the land concerned.\n> \n> > (3)–(5) (Repealed)\n> \n> **s 383A:** Ins 1994 No 45, Sch 1. Am 1998 No 88, Sch 5 \\[10\\]; 1999 No 43, Sch 1 \\[83\\] \\[84\\]; 2000 No 90, Sch 3.1 \\[4\\].","sortOrder":718},{"sectionNumber":"383B","sectionType":"section","heading":"Consent of landholders and others","content":"#### 383B Consent of landholders and others\n\n383B Consent of landholders and others\n\n> > (1) This section applies in relation to—\n> > \n> > > (a) the requirements of sections 31, 49, 62 and 188 that certain rights cannot be exercised or leases or mineral claims cannot be granted except with the written consent of a person or persons specified in the relevant section, and\n> > \n> > > (b) the provision in section 81 that certain activities may be carried out with the consent of the landholder, and\n> > \n> > > (c) the requirement of section 140 that certain operations may not be carried out otherwise than in accordance with an access arrangement agreed with each landholder or determined by an arbitrator as referred to in section 140 (1) (b), and\n> > \n> > > (d) the requirements of any regulations made under section 164 (6) or 211 (6) that restrict the exercise of a right of way otherwise than in accordance with the consent of the landholder, and\n> > \n> > > (e) the requirements of sections 166 and 213 that certain resources cannot be utilised otherwise than in accordance with the consent of the landholder, and\n> > \n> > > (f), (g) (Repealed)\n> > \n> > > (h) the requirement of section 265 (4) that rights cannot be exercised unless the amount of compensation payable to a landholder in respect of a mining area is the subject of a valid agreement or of an assessment.\n> \n> > (2) If a landholder or other person whose consent or agreement must or may be obtained for a purpose mentioned in subsection (1) (a)–(e) or in relation to whom compensation must be agreed on or assessed for the purpose mentioned in subsection (1) (h) cannot, after diligent inquiry, be found or identified—\n> > \n> > > (a) the rights may be exercised or the lease or mineral claim may be granted without the written consent of the landholder or person concerned, or\n> > \n> > > (b) the operations may be carried out without the consent of the landholder, or\n> > \n> > > (c) the operations may be carried out in accordance with any access arrangement made with, or determined in respect of, those landholders (if any) who have been found or identified without the agreement of a landholder who has not been found or identified, or\n> > \n> > > (d) the right of way may be exercised without the consent of the landholder, or\n> > \n> > > (e) the resources may be utilised without the consent of the landholder, or\n> > \n> > > (f) (Repealed)\n> > \n> > > (g) the rights under the mining lease may be exercised without the agreement as to, or the assessment of, the compensation.\n> \n> > (3) For the purposes of subsection (2), a landholder who is a native title holder is taken to have been unable, after diligent inquiry, to be identified if—\n> > \n> > > (a) where the purpose for which the landholder’s consent or agreement is required to be obtained is an act to which Subdivision P of Division 3 of Part 2 of the Commonwealth Native Title Act applies—\n> > > \n> > > > (i) notice of an intention to carry out that purpose is given by the Government party under section 29 of that Act, and\n> > > \n> > > > (ii) at the expiration of the prescribed period, the landholder is neither a registered native title claimant nor a registered native title body corporate in relation to the land concerned, or\n> > \n> > > (b) where the purpose for which the landholder’s consent or agreement is required to be obtained is not such an act—\n> > > \n> > > > (i) notice of an intention to carry out that purpose is served in the manner authorised by section 383 (1) and (4), on any representative Aboriginal/Torres Strait Islander bodies for an area that includes the land concerned, and\n> > > \n> > > > (ii) at the expiration of the prescribed period, the landholder is neither a registered native title claimant nor a registered native title body corporate in relation to the land concerned.\n> \n> > (4) In this section—\n> > \n> > Government party has the same meaning as it has in the Commonwealth Native Title Act.\n> > \n> > prescribed period means—\n> > \n> > > (a) in relation to a notice referred to in subsection (3) (a)—the period of 4 months referred to in section 30 of the Commonwealth Native Title Act, or\n> > \n> > > (b) in relation to a notice referred to in subsection (3) (b)—the period of 4 months commencing on service of the notice.\n> \n> **s 383B:** Ins 1994 No 45, Sch 1. Am 1998 No 88, Sch 5 \\[11\\]; 1999 No 43, Sch 1 \\[85\\]–\\[100\\]; 2000 No 90, Sch 3.1 \\[5\\]; 2008 No 19, Sch 1 \\[263\\]–\\[265\\].","sortOrder":719},{"sectionNumber":"383C","sectionType":"section","heading":"General immunity of landholders","content":"#### 383C General immunity of landholders\n\n383C General immunity of landholders\n\n> > (1) The landholder of land within which any person (other than the landholder) is authorised to exercise any power or right—\n> > \n> > > (a) by or under this Act, or\n> > \n> > > (a1) by or under any other Act in connection with any activity under an authority, mineral claim, opal prospecting licence or permit under this Act, or\n> > \n> > > (b) by any authority, mineral claim, opal prospecting licence or permit under this Act,\n> > \n> > is not subject to any action, liability, claim or demand arising as a consequence of that person’s acts or omissions in the exercise, or purported exercise, of any such power or right.\n> \n> > (1A) For the avoidance of doubt, subsection (1) does not apply to the extent that the action, liability, claim or demand arose from anything done by the landholder—\n> > \n> > > (a) with the intention to cause harm, or\n> > \n> > > (b) recklessly.\n> \n> > (2) In this section, landholder includes a secondary landholder.\n> \n> **s 383C:** Ins 2004 No 75, Sch 1 \\[39\\]. Am 2010 No 29, Sch 1 \\[14\\]; 2015 No 41, Sch 1 \\[23\\] \\[24\\].","sortOrder":720},{"sectionNumber":"384","sectionType":"section","heading":"Defence in proceedings for defamation","content":"#### 384 Defence in proceedings for defamation\n\n384 Defence in proceedings for defamation\n\n> > (1) A person has qualified privilege in any proceedings for defamation arising out of an objection lodged under this Act.\n> \n> > (2) This section does not limit any other right, privilege or immunity that a person has as a defendant in any such proceedings.","sortOrder":721},{"sectionNumber":"385","sectionType":"section","heading":"Payment of compensation","content":"#### 385 Payment of compensation\n\n385 Payment of compensation\n\n> Any amount payable under this Act by way of compensation (other than compensation payable under an access arrangement or compensation payable under Part 13) is to be paid out of money appropriated by Parliament.\n> \n> **s 385:** Am 1992 No 111, Sch 1.","sortOrder":722},{"sectionNumber":"386","sectionType":"section","heading":"Recovery of unpaid fees etc","content":"#### 386 Recovery of unpaid fees etc\n\n386 Recovery of unpaid fees etc\n\n> Any fee or charge imposed by or under this Act may be recovered, as a debt, in any court of competent jurisdiction.","sortOrder":723},{"sectionNumber":"387","sectionType":"section","heading":"Government agencies","content":"#### 387 Government agencies\n\n387 Government agencies\n\n> > (1) The Minister may, by order published in the Gazette, designate a corporation established by an Act as a Government agency for the purposes of the definition of Government agency in the Dictionary of words and expressions at the end of this Act.\n> > \n> > Editorial note.\n> > \n> > For orders under this subsection see Gazette No 101 of 20.8.1992, p 5947. From April 2021, PCO is no longer updating notes in provisions of in force titles about related gazette notices. To search for related gazette notices, please use the Gazette Search functionality.\n> \n> > (2) For the purposes of this section, a State owned corporation (and any of its subsidiaries) within the meaning of the [State Owned Corporations Act 1989](/view/html/inforce/current/act-1989-134) is taken to be a corporation established by an Act.\n> \n> **s 387:** Am 1996 No 137, Sch 1 \\[127\\].","sortOrder":724},{"sectionNumber":"387A","sectionType":"section","heading":"Application of Act to former minerals","content":"#### 387A Application of Act to former minerals\n\n387A Application of Act to former minerals\n\n> > (1) This section applies to a substance that, having been prescribed by the regulations as a mineral for the purposes of the definition of mineral in the Dictionary at the end of this Act, ceases to be so prescribed.\n> \n> > (2) This Act continues to apply to a substance to which this section applies as if it were a mineral and any mining lease or mineral claim in respect of the substance continues in force, subject to this Act.\n> \n> > (2A) The holder of any such lease or claim remains bound by the conditions of the lease or claim (including conditions requiring payment of royalty) in accordance with this Act.\n> \n> > (3) This section does not operate so as to allow the renewal or consolidation of a mining lease or mineral claim that relates only to a substance to which this section applies.\n> \n> **s 387A:** Ins 1996 No 137, Sch 1 \\[128\\]. Am 2008 No 19, Sch 1 \\[266\\].","sortOrder":725},{"sectionNumber":"387B","sectionType":"section","heading":"Extraterritorial application","content":"#### 387B Extraterritorial application\n\n387B Extraterritorial application\n\n> A direction or notice may be given under this Act to a person in respect of a matter even though the person is outside the State or the matter occurs or is located outside the State, so long as the matter relates to the administration of this Act (including, but not limited to investigation of, or enforcement action relating to, offences against this Act).\n> \n> **s 387B:** Ins 2015 No 40, Sch 1 \\[125\\]. Am 2022 No 21, Sch 1\\[148\\].","sortOrder":726},{"sectionNumber":"387C","sectionType":"section","heading":"Waiver of procedural matters","content":"#### 387C Waiver of procedural matters\n\n387C Waiver of procedural matters\n\n> > (1) The Minister may waive any requirement of this Act or the regulations—\n> > \n> > > (a) as to the time within which anything is required to be done (but not the time for lodging any application for renewal of an authorisation after the date of expiry), or\n> > \n> > > (b) as to the details to be contained in any notice to be served, lodged or caused to be published by the applicant, or\n> > \n> > > (c) as to the documents or particulars to accompany the application, or\n> > \n> > > (d) as to the furnishing of information by the applicant, or\n> > \n> > > (e) that is specified by the regulations.\n> \n> > (2) This section does not authorise the Minister to waive a requirement unless the Minister is satisfied that the waiver is unlikely—\n> > \n> > > (a) to adversely affect any person’s rights under this Act or the regulations, or\n> > \n> > > (b) to result in any person being deprived of information necessary for the effective exercise of those rights.\n> \n> **s 387C:** Ins 2015 No 40, Sch 1 \\[125\\]. Am 2022 No 21, Sch 1\\[149\\] \\[150\\].","sortOrder":727},{"sectionNumber":"388","sectionType":"section","heading":"Regulations","content":"#### 388 Regulations\n\n388 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 and, in particular, for or with respect to any matter referred to in Schedule 4.\n> \n> > (1A) The regulations may adopt or provide for the adoption of any document (including, for example, a code of practice or set of standards published by any person or body) and for the application of the provisions of that document, as in force for the time being, for any of the purposes of this Act or the regulations.\n> \n> > (2) A regulation may create an offence punishable by a penalty not exceeding—\n> > \n> > > (a) 100 penalty units, in the case of an offence committed by a corporation, or\n> > \n> > > (b) 50 penalty units, in the case of an offence committed by an individual.\n> \n> **s 388:** Am 2000 No 90, Sch 1.1 \\[20\\]; 2015 No 40, Sch 1 \\[126\\].","sortOrder":728},{"sectionNumber":"389","sectionType":"section","heading":"Repeals","content":"#### 389 Repeals\n\n389 Repeals\n\n> > (1) The Mining Act 1973 and the [Coal Mining Act 1973](/view/pdf/asmade/act-1973-81) are repealed.\n> \n> > (2) The Mining Regulations 1974 and the Coal Mining Regulations 1974 are repealed.","sortOrder":729},{"sectionNumber":"389A","sectionType":"section","heading":"Review of Royalties for Rejuvenation Fund","content":"#### 389A Review of Royalties for Rejuvenation Fund\n\n389A Review of Royalties for Rejuvenation Fund\n\n> > (1) The Secretary is to review sections 292W and 292X to determine whether the policy objectives of the provisions remain valid and whether the terms of the provisions remain appropriate for securing the objectives.\n> \n> > (2) The review is to be undertaken as soon as possible after the period of 3 years from the commencement of the provisions.\n> \n> > (3) A report on the outcome of the review is to be provided to the Minister as soon as practicable after the review is undertaken.\n> \n> **s 389A:** Ins 2022 No 21, Sch 1\\[151\\].","sortOrder":730},{"sectionNumber":"390","sectionType":"section","heading":"References to certain officers in mining titles","content":"#### 390 References to certain officers in mining titles\n\n390 References to certain officers in mining titles\n\n> > (1) The regulations may provide that a reference in any authority, mineral claim or opal prospecting licence to the holder of a specified office within the Department is, for the purposes of the performance of any specified function in connection with the authority, claim or licence, to be read as a reference to the Minister, and the authority, claim or licence is to be construed accordingly.\n> \n> > (2) Nothing in this section affects the Minister’s power of delegation under section 363.\n> \n> **s 390:** Rep 1999 No 85, Sch 4. Ins 2000 No 90, Sch 2.1 \\[37\\].","sortOrder":731},{"sectionNumber":"391","sectionType":"section","heading":"Savings, transitional and other provisions","content":"#### 391 Savings, transitional and other provisions\n\n391 Savings, transitional and other provisions\n\n> Schedule 6 has effect.","sortOrder":732},{"sectionNumber":"392","sectionType":"section","heading":"Interpretation","content":"#### 392 Interpretation\n\n392 Interpretation\n\n> > (1) In this Division—\n> > \n> > authorisation does not include an environmental assessment permit under section 252.\n> > \n> > decision includes declaration.\n> > \n> > decision-maker, for a decision under this Division, means the decision-maker in relation to the authorisation that makes the person concerned a relevant person.\n> > \n> > declared person—see section 393.\n> > \n> > relevant person means the following—\n> > \n> > > (a) a person who is or was a holder of an authorisation,\n> > \n> > > (b) a person who is or was an applicant for an authorisation,\n> > \n> > > (c) a person who is a proposed transferee under an application to transfer an authorisation,\n> > \n> > > (d) a person who is or was associated with an authorisation or activity approval.\n> > \n> > specified decision, in relation to an authorisation, means the following—\n> > \n> > > (a) a decision to reject an application to grant or renew the authorisation to a declared person,\n> > \n> > > (b) a decision to reject an application to transfer the authorisation to a declared person,\n> > \n> > > (c) a decision to cancel the authorisation or to suspend a condition of, or operations under, the authorisation, in whole or in part, if held by a declared person,\n> > \n> > > (d) a decision to suspend an activity approval related to an authorisation held by a declared person,\n> > \n> > > (e) a decision to restrict operations under an authorisation held by a declared person by the imposition or variation of conditions of an authorisation.\n> \n> > (2) In this Division, a person is associated with an authorisation or activity approval if, in the opinion of the decision-maker, the person—\n> > \n> > > (a) has or had an arrangement, whether formal or informal, that gives or gave the person the capacity to determine the outcome of financial or operating decisions about activities under the authorisation or activity approval, or\n> > \n> > > (b) holds or has held office as a director of a body corporate that gives or gave the person the capacity to determine the outcome of financial or operating decisions about activities under the authorisation or activity approval.\n> > > \n> > > Note—\n> > > \n> > > A director of a body corporate includes any person involved in the management of the affairs of the body corporate—see the Dictionary.\n> \n> **s 392:** Ins 2022 No 21, Sch 1\\[152\\].","sortOrder":734},{"sectionNumber":"393","sectionType":"section","heading":"Declarations that certain persons are not fit and proper persons for authorisations","content":"#### 393 Declarations that certain persons are not fit and proper persons for authorisations\n\n393 Declarations that certain persons are not fit and proper persons for authorisations\n\n> > (1) If the decision-maker is satisfied that a relevant person is not a fit and proper person, the decision-maker may, by written order given to the person, declare that the person is not a fit and proper person (a declared person).\n> \n> > (2) The decision-maker may make a declaration at any time, including at the request of the Minister or on the decision-maker’s own initiative.\n> \n> > (3) The decision-maker may, without limiting other matters that can be taken into consideration, take into consideration matters specified by the regulations for the following purposes—\n> > \n> > > (a) deciding whether a person is or is not a fit and proper person,\n> > \n> > > (b) deciding whether to make a declaration.\n> \n> **s 393:** Ins 2022 No 21, Sch 1\\[152\\].","sortOrder":735},{"sectionNumber":"394","sectionType":"section","heading":"Decisions about declared persons and associated authorisations","content":"#### 394 Decisions about declared persons and associated authorisations\n\n394 Decisions about declared persons and associated authorisations\n\n> > (1) The decision-maker, in relation to an authorisation for which the declared person is the holder, applicant or proposed transferee, may make a specified decision in relation to the authorisation.\n> \n> > (2) The decision-maker may, by order given to a declared person, at the time the decision-maker makes a declaration, or within 6 months after making a declaration or a longer period as agreed between the decision-maker and the declared person, do 1 or more of the following—\n> > \n> > > (a) caution or reprimand the declared person,\n> > \n> > > (b) disqualify the declared person from making applications for the grant, renewal or transfer of authorisations for a specified period or an indefinite period,\n> > \n> > > (c) impose or vary a condition of an authorisation or an activity approval, but only if the declared person is associated with the authorisation or activity approval,\n> > \n> > > (d) direct the declared person to do or refrain from doing a thing specified in the direction in relation to the following—\n> > > \n> > > > (i) authorisations and applications for or in relation to authorisations,\n> > > \n> > > > (ii) mining and prospecting,\n> > \n> > > (e) take another action specified by the regulations.\n> \n> > (3) An application made by a person disqualified under subsection (2)(b) is invalid and must be rejected by a decision-maker.\n> \n> > (4) A condition imposed or varied under subsection (2)(c) is taken to have been imposed or varied by the relevant decision-maker.\n> \n> > (5) A person must not contravene a direction under subsection (2)(d).\n> > \n> > Maximum penalty—\n> > \n> > > (a) for a corporation—10,000 penalty units, and, for a continuing offence, a further penalty of 1,000 penalty units for each day the offence continues, or\n> > \n> > > (b) for an individual—2,000 penalty units, and, for a continuing offence, a further penalty of 200 penalty units for each day the offence continues.\n> \n> **s 394:** Ins 2022 No 21, Sch 1\\[152\\].","sortOrder":736},{"sectionNumber":"395","sectionType":"section","heading":"Review of decisions","content":"#### 395 Review of decisions\n\n395 Review of decisions\n\n> > (1) A declared person who is aggrieved by a decision under this Division may apply to the Land and Environment Court for a review of the decision.\n> \n> > (2) A review by the Land and Environment Court is to be a redetermination of the decision, and the Court may consider fresh material or material in addition to, or in substitution for, the material considered by the decision-maker in the determination of the question.\n> \n> > (3) An application under subsection (1)—\n> > \n> > > (a) must be made within 30 days of the declared person being given the decision or a longer period allowed by the Court, and\n> > \n> > > (b) does not stay the operation of a decision, unless the Court otherwise orders.\n> \n> **s 395:** Ins 2022 No 21, Sch 1\\[152\\].","sortOrder":737},{"sectionNumber":"396","sectionType":"section","heading":"Miscellaneous","content":"#### 396 Miscellaneous\n\n396 Miscellaneous\n\n> > (1) The grant, renewal or transfer of a mining lease may be rejected under this Division even if—\n> > \n> > > (a) the mining lease is necessary for the carrying out of State significant development authorised by a development consent, despite the Planning Act, section 4.42, or\n> > \n> > > (b) the mining lease is necessary for the carrying out of approved State significant infrastructure under the Planning Act, Division 5.2 despite the Planning Act, section 5.24, or\n> > \n> > > (c) the mining lease is necessary for the carrying out of a transitional Part 3A project under the [Environmental Planning and Assessment (Savings, Transitional and Other Provisions) Regulation 2017](/view/html/inforce/current/sl-2018-0067), Schedule 2, despite the Planning Act, section 75V as continued and modified by that Schedule, or\n> > \n> > > (d) the Planning Act, section 4.47 or 4.50 would otherwise prevent that rejection.\n> \n> > (2) The regulations may extend the application of a provision of this Act to a decision under this Division, with or without modification.\n> \n> > (3) Without limiting subsection (2)—\n> > \n> > > (a) sections 126 and 127(1) extend to a specified decision under this Division to cancel an authorisation, and\n> > \n> > > (b) sections 136 and 137 extend to a specified decision under this Division to cancel, or reject an application for the grant, renewal or transfer of, an authority, and\n> > \n> > > (c) section 190(5) extends to a specified decision under this Division to reject an application for the grant of a mineral claim, and\n> > \n> > > (d) section 204 extends to a specified decision under this Division to cancel a mineral claim, and\n> > \n> > > (e) section 205(1) extends to a specified decision under this Division to cancel a mineral claim, and\n> > \n> > > (f) section 210B extends to a specified decision under this Division to cancel, or reject an application for the grant, renewal or transfer of, a mineral claim, and\n> > \n> > > (g) section 228(3) extends to a specified decision under this Division to reject an application for the grant of an opal prospecting licence, and\n> > \n> > > (h) section 234 extends to a specified decision under this Division to cancel an opal prospecting licence, and\n> > \n> > > (i) section 234A extends to a specified decision under this Division to cancel, or reject an application for the grant of an opal prospecting licence.\n> \n> > (4) The regulations may make provision for the application of this Division to authorisations jointly held by, and applications jointly made by, more than 1 person, including dealing with the following—\n> > \n> > > (a) a decision regarding an authorisation if 1 or more holders, but not all the holders, are declared persons,\n> > \n> > > (b) the transfer of a declared person’s holding to another person.\n> \n> > (5) In this section—\n> > \n> > Planning Act means the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203).\n> \n> **s 396:** Ins 2022 No 21, Sch 1\\[152\\].","sortOrder":738},{"sectionNumber":"Schedule 1A","sectionType":"schedule","heading":"Competitive selection process for controlled release prospecting titles","content":"# Schedule 1A Competitive selection process for controlled release prospecting titles\n\nSchedule 1A Competitive selection process for controlled release prospecting titles\n\n(Sections 13 and 33)\n\n**sch 1A:** Ins 2015 No 39, Sch 1 \\[19\\]. Am 2022 No 21, Sch 1\\[154\\].","sortOrder":739},{"sectionNumber":"Schedule 1B","sectionType":"schedule","heading":"Further provisions relating to authorisations generally","content":"# Schedule 1B Further provisions relating to authorisations generally\n\nSchedule 1B Further provisions relating to authorisations generally\n\n**sch 1B:** Ins 2015 No 40, Sch 1 \\[127\\]. Am 2016 No 27, Sch 1.16 \\[5\\]–\\[7\\]; 2016 No 55, Sch 1.17; 2017 No 27, Sch 1 \\[5\\] \\[23\\]–\\[27\\]; 2022 No 21, Sch 1\\[2\\] \\[155\\] \\[157\\] \\[160\\]–\\[162\\].","sortOrder":747},{"sectionNumber":"7A","sectionType":"section","heading":"Additional conditions of mining leases","content":"#### 7A Additional conditions of mining leases\n\n7A Additional conditions of mining leases\n\n> > (1) A mining lease is subject to a condition that the holder of the lease may suspend mining operations in the mining area only if the operations are suspended in accordance with the written consent of the decision-maker.\n> \n> > (2) However, a mining lease that is granted in relation to an ancillary mining activity or activities only is not subject to such a condition.\n> \n> > (3) A mining lease granted on the basis of a tender lodged under section 53 is taken to include a condition in the terms specified in the tender for the purposes of section 53 (3).\n> \n> > (4) The conditions referred to in this clause apply in addition to the conditions referred to in clause 7.","sortOrder":758},{"sectionNumber":"7B","sectionType":"section","heading":"Conditions of mining leases relating to ancillary mining activities","content":"#### 7B Conditions of mining leases relating to ancillary mining activities\n\n7B Conditions of mining leases relating to ancillary mining activities\n\n> > (1) Without limiting clause 7 (1) and (2), a condition imposed by the relevant decision-maker or prescribed by the regulations under that clause in the case of a mining lease may regulate the carrying out of one or more ancillary mining activities.\n> > \n> > Note.\n> > \n> > Section 65 (2) provides that nothing in this Act permits an activity, for which development consent is required, to be carried out without the consent being obtained in accordance with the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203).\n> \n> > (2) Without limiting subclause (1), a condition of a mining lease that regulates the carrying out of an ancillary mining activity may require any one or more of the following—\n> > \n> > > (a) that the ancillary mining activity be carried out in a specified manner in order to protect or prevent, control or mitigate harm to the environment,\n> > \n> > > (b) that, in specified circumstances, the ancillary mining activity not be carried out in order to protect or prevent, control or mitigate harm to the environment,\n> > \n> > > (c) that the holder of the mining lease rehabilitate land or water that is or may be affected by the carrying out of the ancillary mining activity,\n> > \n> > > (d) that the holder of the mining lease provide the Minister with reports detailing any non-compliance with the conditions of the mining lease, or any requirements of this Act or the regulations relating to activities under the authorisation, and any action taken, or to be taken, to prevent any recurrence, or to mitigate the effects of that non-compliance,\n> > \n> > > (e) that the holder of the mining lease provide reports regarding the carrying out of the ancillary mining activity (including compliance with conditions of the mining lease regarding the ancillary mining activity).\n> \n> > (3) A condition may regulate the carrying out of an ancillary mining activity on land that is not within the mining area that is the subject of the mining lease only if—\n> > \n> > > (a) the mining lease is a mining lease in respect of a mineral or minerals, and\n> > \n> > > (b) the ancillary mining activity is to be carried out in the vicinity of and to directly facilitate the mining lease concerned.\n> \n> > (4) Nothing in a condition referred to in subclause (3) authorises the carrying out of an ancillary mining activity (or the exercise of any power or right in connection with an ancillary mining activity) that is not authorised to be carried out (or exercised) under another Act or law.\n> \n> > (5) However, a reference to the following—\n> > \n> > > (a) an exercise of rights conferred by a lease in section 265 (Compensation arising under mining lease),\n> > \n> > > (b) an exercise of a right or power in section 383C (General immunity of landholders),\n> > \n> > includes a reference to the carrying out of the following activities—\n> > \n> > > (c) an activity required by a condition referred to in subclause (3), but not the carrying out of the ancillary mining activity itself,\n> > \n> > > (d) an activity consisting of the environmental management, protection or rehabilitation of land on which an ancillary mining activity is being or has been carried out in accordance with a condition referred to in subclause (3).\n> \n> > (6) A decision-maker, in deciding whether to impose a condition relating to an ancillary mining activity, is to have regard to guidelines issued (and made publicly available) by the Secretary for the purposes of this clause.\n> \n> > (7) A reference in this Act or the regulations to the carrying out of an activity under an authorisation (however expressed) is taken to include a reference to the carrying out of an ancillary mining activity that is regulated by a condition of a mining lease as referred to in this clause.\n> \n> > (8) For the avoidance of doubt, section 62 (Dwelling-houses, gardens and significant improvements) applies to the imposition of a condition referred to in this clause in the same way that it applies to the grant of a mining lease.","sortOrder":759},{"sectionNumber":"8","sectionType":"section","heading":"Additional conditions of mineral claims","content":"#### 8 Additional conditions of mineral claims\n\n8 Additional conditions of mineral claims\n\n> > (1) In addition to the conditions referred to in clause 7, a mineral claim is subject to—\n> > \n> > > (a) any special conditions that apply to the land, and\n> > \n> > > (b) the conditions imposed on the holder of the claim under section 211 as to his or her exercise of any right of way under that section in respect of the claim area, and\n> > \n> > > (c) the conditions to which the holder of the claim is subject pursuant to any registered access management plan in force in respect of that land, and\n> > \n> > > (d) any other conditions (not inconsistent with any other condition referred to in this subclause) that the Secretary imposes when the claim is granted, or at any other time under a power conferred by this Act.\n> \n> > (2) Without limiting the generality of subclause (1), a condition may be imposed on a mineral claim requiring the holder of the claim to pay royalty to the Crown on any minerals recovered under the claim.\n> \n> > (3), (4) (Repealed)","sortOrder":760},{"sectionNumber":"9","sectionType":"section","heading":"Additional conditions of opal prospecting licence","content":"#### 9 Additional conditions of opal prospecting licence\n\n9 Additional conditions of opal prospecting licence\n\n> In addition to the conditions referred to in clause 7, an opal prospecting licence is subject to—\n> \n> > (a) any special conditions that apply, pursuant to section 223A, to the opal prospecting block over which the licence is granted, and\n> \n> > (b) the conditions imposed on the holder of the licence, pursuant to section 235C, as to his or her exercise of any right of way under that section in respect of the opal prospecting block over which the licence is granted, and\n> \n> > (b1) the conditions to which the holder of the licence is subject under a registered access management plan in force for the opal prospecting block over which the licence is granted, and\n> \n> > (c) any other conditions (not inconsistent with any other condition referred to in this section) that the Secretary imposes when the licence is granted, or at any other time under a power conferred by this Act.","sortOrder":761},{"sectionNumber":"Schedule 1","sectionType":"schedule","heading":"Public consultation with respect to the granting of assessment leases and mining leases","content":"# Schedule 1 Public consultation with respect to the granting of assessment leases and mining leases\n\nSchedule 1 Public consultation with respect to the granting of assessment leases and mining leases\n\n(Sections 41, 52, 63 and 64)\n\n**sch 1:** Am 1994 No 45, Sch 1; 1996 No 137, Sch 1 \\[50\\]–\\[52\\] \\[75\\]–\\[77\\] \\[105\\] \\[129\\]–\\[134\\]; 1999 No 43, Schs 1 \\[101\\]–\\[106\\], 3 \\[11\\]; 2000 No 90, Sch 2.1 \\[38\\]–\\[40\\]; 2005 No 43, Sch 7.11 \\[8\\]–\\[11\\]; 2005 No 64, Sch 1.20 \\[6\\]; 2008 No 19, Sch 1 \\[268\\]–\\[270\\]; 2008 No 68, Sch 1 \\[9\\]–\\[11\\]; 2008 No 107, Sch 19 \\[48\\]–\\[50\\]; 2010 No 135, Sch 16 \\[3\\] \\[4\\]; 2011 No 22, Sch 2.16 \\[2\\]; 2015 No 26, Sch 3.6\\[5\\]–\\[7\\]; 2015 No 40, Sch 1 \\[128\\]; 2017 No 27, Sch 1 \\[5\\] \\[28\\]; 2022 No 21, Sch 1\\[163\\]–\\[168\\].","sortOrder":768},{"sectionNumber":"21","sectionType":"section","heading":"Notification of landholders","content":"#### 21 Notification of landholders\n\n21 Notification of landholders\n\n> > (1) Before inviting tenders for a mining lease to which this Division applies, the Minister must cause notice of the proposal to be served on any landholder of the land concerned.\n> \n> > (2) Such a notice—\n> > \n> > > (a) must state that the Minister intends to invite tenders, and\n> > \n> > > (b) must describe the land to which the invitation will relate, and\n> > \n> > > (c) must state that objections to the granting of the lease on the grounds that the land is agricultural land, and claims with respect to significant improvements on the land, may be made to the Minister within 28 days after the date on which the notice is served.\n> \n> > (3) An applicant for a mining lease to which this Division applies must (within 21 days after lodging the application or, in a case to which section 383A (2) (b) applies, within 21 days after the expiration of the period referred to in that paragraph) cause notice of the application to be served on any landholder of the land concerned (except where the landholder is the applicant or is, in relation to the applicant, a related corporation).\n> \n> > (4) Such a notice—\n> > \n> > > (a) must state that an application for the lease has been lodged, and\n> > \n> > > (b) must contain a description, prepared in the approved manner, of the land over which the lease is sought, and\n> > \n> > > (c) must state that objections to the granting of the lease on the grounds that the land is agricultural land, and claims with respect to significant improvements on the land, may be made to the Minister within 28 days after the date on which the notice is served.\n> \n> > (5) A copy of every notice served in accordance with subclause (3) must be lodged with the Secretary within 21 days after the date on which the notice was served, together with a statement by the applicant to the effect that each such notice was served and setting out the name and address of each landholder on whom it was served.","sortOrder":796},{"sectionNumber":"23B","sectionType":"section","heading":null,"content":"#### 23B\n\n23B (Repealed)","sortOrder":800},{"sectionNumber":"Schedule 2","sectionType":"schedule","heading":"Agricultural land","content":"# Schedule 2 Agricultural land\n\nSchedule 2 Agricultural land\n\n(Sections 179 and 222 and cl 22, Sch 1)\n\n**sch 2:** Am 1996 No 137, Sch 1 \\[135\\]–\\[138\\]; 2010 No 59, Sch 2.61 \\[2\\]; 2022 No 21, Sch 1\\[169\\]–\\[173\\].","sortOrder":807},{"sectionNumber":"2A","sectionType":"section","heading":"Objections","content":"#### 2A Objections\n\n2A Objections\n\n> > (1) An objection must be—\n> > \n> > > (a) lodged with the Secretary—\n> > > \n> > > > (i) for an objection under section 179 or 222—within 28 days after the date the notice under section 177 or 221, as the case requires, is served, or\n> > > \n> > > > (ii) for an objection under Schedule 1, clause 22—on or before the date specified in the relevant notice under Schedule 1, clause 21, and\n> > \n> > > (b) made in a way prescribed by the regulations.\n> \n> > (2) An objector must lodge with the Secretary information to support the objection in the way and within the period specified by the Secretary by written notice given to the objector, being a period of at least 28 days.\n> \n> > (3) The Secretary may require an objector to provide further information to support the objection.\n> \n> > (4) The further information must be provided in the way and within the period specified by the Secretary, being a period of at least 28 days.\n> \n> > (5) If the further information is not provided within the specified period, the Secretary may reject the objection.\n> \n> > (6) An objection may be withdrawn by written notice given to the Secretary.\n> \n> > (7) The withdrawal of an objection is irrevocable.","sortOrder":810},{"sectionNumber":"2B","sectionType":"section","heading":"Transfer of land if objection pending","content":"#### 2B Transfer of land if objection pending\n\n2B Transfer of land if objection pending\n\n> > (1) If, before an objection has been determined, the landholder who made the objection transfers the land concerned to a new landholder—\n> > \n> > > (a) the landholder who made the objection must give the Secretary written notice of the transfer, and\n> > \n> > > (b) the objection continues in force as if made by the new landholder, subject to subclauses (2) and (3).\n> \n> > (2) If, before an objection has been determined, the Secretary becomes aware that land to which the objection relates has been transferred to a new landholder, the Secretary may, by written notice given to the new landholder, request the new landholder notify the Secretary, within 28 days, whether the new landholder wishes the objection to proceed.\n> \n> > (3) If, at the expiry of the 28-day period, the new landholder has not notified the Secretary that the new landholder wishes the objection to proceed, the objection is taken to have been withdrawn.\n> \n> > (4) To avoid doubt, a withdrawal of an objection under subclause (3) is irrevocable.","sortOrder":811},{"sectionNumber":"Schedule 3","sectionType":"schedule","heading":null,"content":"# Schedule 3\n\nSchedule 3 (Repealed)\n\n**sch 3:** Am 1999 No 94, sec 7 (2) and Sch 5, Part 2. Rep 2001 No 56, Sch 2.31.","sortOrder":816},{"sectionNumber":"Schedule 4","sectionType":"schedule","heading":"Regulation making powers","content":"# Schedule 4 Regulation making powers\n\nSchedule 4 Regulation making powers\n\n(Section 388)\n\n**sch 4:** Am 1992 No 111, Sch 1; 2001 No 112, Sch 1.20 \\[1\\]; 2002 No 83, Sch 2.13 \\[4\\]; 2008 No 19, Sch 1 \\[271\\]; 2008 No 107, Sch 19 \\[51\\] \\[52\\]; 2010 No 29, Sch 1 \\[15\\]; 2014 No 53, Sch 1 \\[11\\]; 2015 No 40, Sch 1 \\[129\\]; 2017 No 27, Sch 1 \\[29\\]; 2022 No 21, Sch 1\\[2\\] \\[174\\] \\[175\\].","sortOrder":817},{"sectionNumber":"9A","sectionType":"section","heading":"Aggregation of conditions of mining leases","content":"#### 9A Aggregation of conditions of mining leases\n\n9A Aggregation of conditions of mining leases\n\n> Providing for the aggregation of the labour or expenditure conditions of mining leases and the cancellation or variation of any such aggregation.","sortOrder":827},{"sectionNumber":"Schedule 5","sectionType":"schedule","heading":null,"content":"# Schedule 5\n\nSchedule 5 (Repealed)\n\n**sch 5:** Rep 1999 No 85, Sch 4.","sortOrder":832},{"sectionNumber":"Schedule 6","sectionType":"schedule","heading":"Savings, transitional and other provisions","content":"# Schedule 6 Savings, transitional and other provisions\n\nSchedule 6 Savings, transitional and other provisions\n\n(Section 391)\n\n**sch 6:** Am 1996 No 137, Sch 1 \\[140\\]–\\[142\\]; 1998 No 88, Sch 5 \\[12\\] \\[13\\]; 1999 No 30, Sch 2.1 \\[2\\]–\\[5\\]; 1999 No 42, Sch 3.11 \\[5\\]; 1999 No 43, Sch 3 \\[12\\] \\[13\\]; 1999 No 69, Sch 2.5 \\[2\\]; 2000 No 90, Sch 2.1 \\[41\\] \\[42\\]; 2001 No 112, Sch 1.20 \\[2\\]; 2002 No 53, Sch 1.16 \\[2\\]; 2004 No 75, Sch 1 \\[40\\] \\[41\\]; 2007 No 62, Sch 2.3 \\[1\\] \\[2\\]; 2008 No 19, Sch 1 \\[272\\] \\[273\\]; 2008 No 68, Sch 1 \\[12\\] \\[13\\]; 2008 No 107, Sch 19 \\[53\\] \\[54\\]; 2010 No 29, Sch 1 \\[16\\] \\[17\\]; 2010 No 57, Sch 1.15 \\[4\\]; 2010 No 135, Sch 16 \\[5\\] \\[6\\]; 2012 No 16, Sch 1 \\[3\\]; 2012 No 46, Sch 5.2 \\[42\\] \\[43\\]; 2013 No 88, Sch 1 \\[2\\]; 2014 No 1, Sch 2 \\[4\\]; 2014 No 10, Sch 1 \\[25\\]; 2014 No 37, Sch 4.1 \\[12\\]; 2014 No 53, Sch 1 \\[12\\]; 2015 No 26, Sch 3.6\\[8\\]; 2015 No 39, Sch 1 \\[20\\]; 2015 No 40, Sch 1 \\[130\\] \\[131\\]; 2015 No 41, Sch 1 \\[25\\] \\[26\\]; 2016 (102), Sch 1 \\[1\\] \\[2\\]; 2016 (187), cl 3 (1), (2); 2016 (719), Sch 1; 2017 No 27, Sch 1 \\[30\\]; 2022 No 21, Sch 1\\[176\\] \\[177\\] \\[178\\] (am 2022 No 59, Sch 1.25\\[4\\] \\[5\\]); 2023 No 29, Sch 1; 2025 No 37, Sch 3\\[19\\].","sortOrder":833},{"sectionNumber":"40","sectionType":"section","heading":null,"content":"#### 40\n\n40, 41 (Repealed)","sortOrder":875},{"sectionNumber":"61","sectionType":"section","heading":"Lodgment fees","content":"#### 61 Lodgment fees\n\n61 Lodgment fees\n\n> A fee that, immediately before the commencement of section 382A, was prescribed by the regulations for the purposes of this Act or the regulations is taken to be an appropriate lodgment fee determined in accordance with that section.","sortOrder":896},{"sectionNumber":"80","sectionType":"section","heading":"Mineral claims close to dwelling-houses","content":"#### 80 Mineral claims close to dwelling-houses\n\n80 Mineral claims close to dwelling-houses\n\n> > (1) The amendments made by the 2004 Act to section 188 do not affect any mineral claim that was in force before those amendments commenced.\n> \n> > (2) Subclause (1) does not apply to any mineral claim that is renewed after the commencement of the amendments referred to in that subclause.","sortOrder":920},{"sectionNumber":"105","sectionType":"section","heading":"Mining subleases","content":"#### 105 Mining subleases\n\n105 Mining subleases\n\n> > (1) A mining sublease that was registered, or taken to be registered, under section 161 of this Act, and in force, immediately before the commencement of section 163A of this Act must be registered by the sublessee under section 163A not later than 3 months after the commencement of that section.\n> \n> > (2) A mining sublease referred to in subclause (1) ceases to be registered under section 161 on being registered under section 163A or 3 months after the commencement of that section, whichever is the earlier.","sortOrder":947},{"sectionNumber":"106","sectionType":"section","heading":"Existing mineral claims outside mineral claims districts","content":"#### 106 Existing mineral claims outside mineral claims districts\n\n106 Existing mineral claims outside mineral claims districts\n\n> > (1) A mineral claim over land that is outside a mineral claims district, and that was in force immediately before the commencement of this clause, is taken to be a mining lease over that land.\n> \n> > (2) An application for a mineral claim over land that is outside a mineral claims district that was not determined before the commencement of this clause is taken to be an application for a mining lease under this Act.\n> \n> > (3) The regulations may make provision for or with respect to the application of this Act to a mining lease referred to in subclause (1), and may, for that purpose, modify the application of this Act or the regulations.","sortOrder":948},{"sectionNumber":"107","sectionType":"section","heading":"Restrictions on grant of opal prospecting licence","content":"#### 107 Restrictions on grant of opal prospecting licence\n\n107 Restrictions on grant of opal prospecting licence\n\n> Section 227, as amended by the 2008 Act, applies to and in respect of an application for an opal prospecting licence made before the commencement of that amendment in the same way as it applies to and in respect of an application for an opal prospecting licence made on or after that commencement.","sortOrder":949},{"sectionNumber":"118A","sectionType":"section","heading":"Delegations of functions under Environmental Planning and Assessment Act 1979","content":"#### 118A Delegations of functions under Environmental Planning and Assessment Act 1979\n\n118A Delegations of functions under [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203)\n\n> > (1) This clause applies to the exercise of a function purported to be delegated by the Minister under section 153A of the [Environmental Planning and Assessment Act 1979](/view/html/inforce/current/act-1979-203) before the substitution of section 363 (1) of this Act by the 2008 Act, whether the delegation was for the purposes associated with functions under this Act or any other Act administered by the Minister.\n> \n> > (2) The delegation of any such function is taken to have been validly done on and from the date of the delegation if the delegation could have been made had section 363 (1), as so substituted been in force when the delegation was made.","sortOrder":960},{"sectionNumber":"Part 19","sectionType":"part","heading":"Provisions consequent on enactment of Mining and Petroleum Legislation Amendment Act 2014","content":"# Part 19 Provisions consequent on enactment of Mining and Petroleum Legislation Amendment Act 2014\n\nPart 19 Provisions consequent on enactment of [Mining and Petroleum Legislation Amendment Act 2014](/view/html/repealed/current/act-2014-010)","sortOrder":990},{"sectionNumber":"Part 20","sectionType":"part","heading":"Provisions consequent on enactment of State Revenue and Other Legislation Amendment (Budget Measures) Act 2014","content":"# Part 20 Provisions consequent on enactment of State Revenue and Other Legislation Amendment (Budget Measures) Act 2014\n\nPart 20 Provisions consequent on enactment of [State Revenue and Other Legislation Amendment (Budget Measures) Act 2014](/view/html/repealed/current/act-2014-037)","sortOrder":994},{"sectionNumber":"Part 21","sectionType":"part","heading":"Provisions consequent on enactment of Mining Amendment (Small-Scale Title Compensation) Act 2014","content":"# Part 21 Provisions consequent on enactment of Mining Amendment (Small-Scale Title Compensation) Act 2014\n\nPart 21 Provisions consequent on enactment of [Mining Amendment (Small-Scale Title Compensation) Act 2014](/view/html/repealed/current/act-2014-053)","sortOrder":999},{"sectionNumber":"Part 22","sectionType":"part","heading":"Provisions consequent on enactment of Mining and Petroleum Legislation Amendment (Grant of Coal and Petroleum Prospecting Titles) Act 2015","content":"# Part 22 Provisions consequent on enactment of Mining and Petroleum Legislation Amendment (Grant of Coal and Petroleum Prospecting Titles) Act 2015\n\nPart 22 Provisions consequent on enactment of [Mining and Petroleum Legislation Amendment (Grant of Coal and Petroleum Prospecting Titles) Act 2015](/view/html/repealed/current/act-2015-039)","sortOrder":1003},{"sectionNumber":"Part 23","sectionType":"part","heading":"Provisions consequent on enactment of Mining and Petroleum Legislation Amendment (Harmonisation) Act 2015","content":"# Part 23 Provisions consequent on enactment of Mining and Petroleum Legislation Amendment (Harmonisation) Act 2015\n\nPart 23 Provisions consequent on enactment of [Mining and Petroleum Legislation Amendment (Harmonisation) Act 2015](/view/html/repealed/current/act-2015-040)","sortOrder":1006},{"sectionNumber":"Part 24","sectionType":"part","heading":"Provisions consequent on enactment of Mining and Petroleum Legislation Amendment (Land Access Arbitration) Act 2015","content":"# Part 24 Provisions consequent on enactment of Mining and Petroleum Legislation Amendment (Land Access Arbitration) Act 2015\n\nPart 24 Provisions consequent on enactment of [Mining and Petroleum Legislation Amendment (Land Access Arbitration) Act 2015](/view/html/repealed/current/act-2015-041)","sortOrder":1016},{"sectionNumber":"169","sectionType":"section","heading":"Application of amendments relating to costs in Land and Environment Court","content":"#### 169 Application of amendments relating to costs in Land and Environment Court\n\n169 Application of amendments relating to costs in Land and Environment Court\n\n> Sections 31 (6), 49 (6), 62 (6B) and 155 (8) and (9), as inserted by the 2015 amending Act, do not apply to proceedings in the Land and Environment Court commenced, but not finally determined, before the commencement of this clause.","sortOrder":1020},{"sectionNumber":"Part 25","sectionType":"part","heading":"Provisions consequent on enactment of Mining and Petroleum Legislation Amendment Act 2017","content":"# Part 25 Provisions consequent on enactment of Mining and Petroleum Legislation Amendment Act 2017\n\nPart 25 Provisions consequent on enactment of [Mining and Petroleum Legislation Amendment Act 2017](/view/html/repealed/current/act-2017-027)","sortOrder":1022},{"sectionNumber":"Part 26","sectionType":"part","heading":"Provisions consequent on enactment of Dams Safety Act 2015","content":"# Part 26 Provisions consequent on enactment of Dams Safety Act 2015\n\nPart 26 Provisions consequent on enactment of [Dams Safety Act 2015](/view/html/inforce/current/act-2015-026)","sortOrder":1032},{"sectionNumber":"Part 27","sectionType":"part","heading":"Provisions consequent on enactment of Mining and Petroleum Legislation Amendment Act 2022","content":"# Part 27 Provisions consequent on enactment of Mining and Petroleum Legislation Amendment Act 2022\n\nPart 27 Provisions consequent on enactment of [Mining and Petroleum Legislation Amendment Act 2022](/view/pdf/asmade/act-2022-21)","sortOrder":1034},{"sectionNumber":"186","sectionType":"section","heading":"Directions—section 240(1A)","content":"#### 186 Directions—section 240(1A)\n\n186 Directions—section 240(1A)\n\n> Section 240(1A) extends to prospecting, mining or other activities carried out before the subsection commenced.","sortOrder":1038},{"sectionNumber":"Part 28","sectionType":"part","heading":"Validation of certain mineral claims by Mining Amendment (Mineral Claims—Opal) Act 2023 and related matters","content":"# Part 28 Validation of certain mineral claims by Mining Amendment (Mineral Claims—Opal) Act 2023 and related matters\n\nPart 28 Validation of certain mineral claims by [Mining Amendment (Mineral Claims—Opal) Act 2023](/view/pdf/asmade/act-2023-29) and related matters","sortOrder":1045},{"sectionNumber":"Part 29","sectionType":"part","heading":"Provisions consequent on enactment of Revenue and Other Legislation Amendment Act 2025","content":"# Part 29 Provisions consequent on enactment of Revenue and Other Legislation Amendment Act 2025\n\nPart 29 Provisions consequent on enactment of [Revenue and Other Legislation Amendment Act 2025](/view/pdf/asmade/act-2025-37)","sortOrder":1061},{"sectionNumber":"216","sectionType":"section","heading":"Issue of notices of unpaid amounts for approved transfer applications","content":"#### 216 Issue of notices of unpaid amounts for approved transfer applications\n\n216 Issue of notices of unpaid amounts for approved transfer applications\n\n> > (1) This clause applies to an application approved under section 121 for the transfer of an authority if the application was approved before the commencement of the amending Act.\n> \n> > (2) The decision-maker may give a notice under section 121(7A) in relation to the approved application on or after the commencement of the amending Act, including before registration of the transfer of the authority.\n> \n> > (3) To avoid doubt, a notice given under section 121(7A) referred to in section 122(6)(b) includes a notice given under section 121(7A) in accordance with subclause (2).","sortOrder":1067},{"sectionNumber":"Schedule 6A","sectionType":"schedule","heading":"Cancellation of certain authorities","content":"# Schedule 6A Cancellation of certain authorities\n\nSchedule 6A Cancellation of certain authorities\n\n**sch 6A:** Ins 2014 No 1, Sch 1. Am 2014 No 10, Sch 1 \\[26\\] \\[27\\].","sortOrder":1069},{"sectionNumber":"Schedule 7","sectionType":"schedule","heading":null,"content":"# Schedule 7\n\nSchedule 7 (Repealed)\n\n**sch 7:** Ins 2008 No 19, Sch 1 \\[274\\]. Am 2012 No 84, Sch 2.2 \\[16\\]; 2012 No 95, Sch 2.22 \\[2\\]. Rep 2015 No 40, Sch 1 \\[132\\].","sortOrder":1090}],"analysis":{"summary":{"complexity_score":9,"scope_assessment":{"changed":true,"description":"The Act's scope has expanded significantly from its original 1992 framework. It has grown to cover increasingly detailed rehabilitation obligations, community consultation requirements, Aboriginal land rights considerations, environmental impact assessments, and financial assurance schemes. The 2017 terminological change from 'mining purposes' to 'ancillary mining activities' reflects a broadening of what activities fall within the regulated framework. Pending but uncommenced 2022 amendments would expand the scope further, particularly around planning integration and new licence categories."},"complexity_factors":["Extremely long legislative history with over 80 distinct point-in-time versions since 2000, requiring careful tracking of which rules applied when","Multiple partially-commenced amendments — significant sections of the Mining and Petroleum Legislation Amendment Act 2022 are still not in force, creating a two-track legal reality","Dual ministerial responsibility (Attorney General AND Minister for Natural Resources) creating potential for jurisdictional overlap","Interaction with numerous other Acts including work health and safety legislation, planning laws, and environmental legislation","Whole-of-Act terminological substitutions across multiple amendments (e.g., 'mining purposes' replaced with 'ancillary mining activities') which alter interpretation of every provision","Complex licence and permit system with multiple instrument types, conditions, and transfer rules","Land access and compensation framework balancing private property rights against resource extraction rights","Pending repeal bills (Uranium Mining and Nuclear Facilities Prohibitions Repeal Bill 2025) creating uncertainty about future scope","Crown ownership of minerals adds a constitutional and property law dimension unfamiliar to most people","Rehabilitation and financial assurance (security deposit) obligations create long-tail legal exposure for mining companies"],"plain_english_summary":"## NSW Mining Act 1992 — What Is It?\n\nThe **Mining Act 1992** is New South Wales's main law governing how mining is done in the state. It sets the rules for:\n\n- **Who can mine and where** — you need a licence or permit (an official government approval) to explore for or extract minerals from the ground\n- **How to get a licence** — there's a formal application process managed by government officials\n- **What conditions apply** — licence holders must follow rules about how they operate, what land they can access, and what they must do when they're done\n- **Landowner and community rights** — farmers, homeowners, and Aboriginal communities have rights when mining companies want access to their land\n- **Rehabilitation** — mining companies are legally required to clean up and restore land after they're finished\n- **Enforcement** — inspectors can check compliance and penalties apply for breaking the rules\n\n## Who Does It Affect?\n\n- **Mining companies and explorers** seeking to find or extract coal, gold, and other minerals in NSW\n- **Landowners and farmers** whose property may be accessed by miners\n- **Local communities** near mining operations\n- **The NSW government** which oversees approvals and compliance\n\n## Why Does It Matter?\n\nThis law is the legal foundation for the entire NSW mining industry. If you own land in a mining region, this Act determines what rights a mining company has to access your property — and what compensation you're entitled to. If you're in the mining business, it controls every step from exploration to closure.\n\nThe law has been **heavily amended over 30+ years** (with over 80 updates since 2000 alone), meaning it has grown considerably more complex over time. Some significant amendments passed in 2022 have not yet come into force, so parts of the law are still in transition."},"issue_detection":{"absurdities":[],"contradictions":[]},"kimi_summary":{"_metrics":{"completionTokens":768},"content_quality":"ok","complexity_score":9,"scope_assessment":{"changed":true,"description":"The legislation has expanded significantly from its original 1992 scope. Major additions include: native title compliance (1998), low-impact exploration licences (1998), security deposit and rehabilitation frameworks (2008), derelict mine sites fund (2008), access management plans (2004), competitive tender processes for coal (2015), and extensive environmental audit provisions. The Act now functions as much as an environmental and land-use management statute as a traditional mining promotion law."},"complexity_factors":["Multiple overlapping authorisation types with different rules, durations and renewal procedures","Extensive cross-referencing to other legislation (Environmental Planning and Assessment Act, Native Title Act, Crown Land Management Act, etc.)","Detailed native title and Aboriginal heritage provisions requiring compliance with Commonwealth law","Complex access arrangement and arbitration procedures for landholder negotiations","Numerous defined terms scattered throughout (some in a Dictionary not shown in this excerpt)","Nested conditions, exceptions and exemptions (e.g., low-impact exploration licences, mineral owner authorities)","Security deposit calculations and rehabilitation obligations with multiple triggering events","Transition provisions and savings clauses for amendments over 30+ years","Detailed offence provisions with tiered penalties for corporations vs individuals","Competing jurisdictional boundaries (onshore/offshore, coastal waters changes)","Subleasing, consolidation and transfer provisions with registration requirements"],"plain_english_summary":"This is the **Mining Act 1992** (NSW), the primary law governing mineral exploration and mining in New South Wales.\n\n**What it does:**\nThe Act creates a comprehensive system for regulating who can search for and extract minerals, under what conditions, and with what environmental safeguards. It establishes several types of **authorisations** (legal permissions):\n\n- **Exploration licences** – allow prospecting for minerals (up to 6 years)\n- **Assessment leases** – let holders retain rights over land where minerals are found but not yet commercially viable to mine (up to 6 years)  \n- **Mining leases** – permit actual mining operations (up to 21 years)\n- **Mineral claims** – for small-scale mining in designated districts (up to 5 years, max 2 hectares)\n- **Opal prospecting licences** – specific to opal mining in designated areas\n\n**Key protections for landholders:**\n- Mining companies generally **cannot** operate within 200 metres of someone's home or 50 metres of gardens without written consent\n- Landholders are entitled to **compensation** for damage or disturbance\n- **Access arrangements** must be negotiated (or arbitrated) before prospecting on private land\n- Special rules apply for **native title** holders and Aboriginal land\n\n**Environmental safeguards:**\n- **Security deposits** must be paid to ensure mine rehabilitation\n- The Minister can issue **directions** to stop operations or repair environmental damage\n- **Derelict mine sites** can be declared and rehabilitated using a dedicated fund\n- **Mandatory audits** may be required to check compliance\n\n**Who it affects:**\n- Mining companies and prospectors seeking to explore or extract minerals\n- Landholders (farmers, pastoralists, private landowners) whose land may be affected\n- The Crown (State), which owns most minerals in NSW\n- Native title holders and Aboriginal communities\n\n**Important restrictions:**\n- **Uranium** – exploration licences only; no mining leases allowed\n- **Mercury** – mining leases prohibited\n- **Coal** – special rules apply, including registration of \"colliery holdings\"\n- Certain protected areas (national parks, reserves) are off-limits or require special consent"}},"importantCases":[],"_links":{"self":"/api/acts/mining-act-1992","history":"/api/acts/mining-act-1992/history","analysis":"/api/acts/mining-act-1992/analysis","conflicts":"/api/acts/mining-act-1992/conflicts","importantCases":"/api/acts/mining-act-1992/important-cases","documents":"/api/acts/mining-act-1992/documents"}}