{"id":"prevention-cruelty-animals-act-1986","name":"Prevention of Cruelty to Animals Act 1986","slug":"prevention-of-cruelty-to-animals-act-1986","collection":"act","jurisdiction":"vic","status":"in_force","isInForce":true,"actNumber":null,"makingDate":null,"administeringDepartment":null,"currentVersion":{"id":174459,"registerId":"vic-prevention-cruelty-animals-act-1986-current","compilationNumber":null,"startDate":"2026-04-05","status":"InForce","reasons":null,"registeredAt":null},"sections":[{"sectionNumber":"Div 7","sectionType":"division","heading":"Duties and powers as to seized things (that are not animals) 89","content":"Division 7—Duties and powers as to seized things (that are not animals) 89\n\n24ZE Definition 89\n\n24ZF Receipt must be given for any thing seized 89\n\n24ZG Copies of certain seized things to be given 89\n\n24ZH Access to seized things 90\n\n24ZI Return of seized thing before commencement of proceedings 91\n\n24ZJ Return of seized things 92\n\n24ZK Magistrates' Court may extend retention period 92\n\n24ZL Dispute as to person entitled to return of seized thing 93\n\n24ZM Unclaimed seized thing may be sold or destroyed 94\n\n24ZN Forfeiture of seized things 95\n\n","sortOrder":0},{"sectionNumber":"Div 8","sectionType":"division","heading":"Samples 95","content":"Division 8—Samples 95\n\n24ZO Provisions relating to the taking and keeping of samples 95\n\n","sortOrder":1},{"sectionNumber":"Div 9","sectionType":"division","heading":"Further miscellaneous powers, duties and offences 96","content":"Division 9—Further miscellaneous powers, duties and offences 96\n\n24ZP Notice to comply 96\n\n24ZQ Requirement to give information to inspector during entry 97\n\n24ZQA Requirement to muster, yard or secure animals 98\n\n24ZR Offences as to inspectors 98\n\n24ZS Offences as to veterinary practitioners etc. 98\n\n24ZT Offence to fail to provide name and address 99\n\n24ZTA Requirement to make documents available for inspection 100\n\n24ZU POCTA inspectors must identify themselves 101\n\n24ZV Protection against self-incrimination 101\n\n24ZW Power to file charges 102\n\n24ZX Conduct of proceedings 103\n\n24ZY Court to take judicial notice 103\n\nPart 3—Scientific procedures 104\n\nDivision 1—Preliminary 104\n\n25 Definitions 104\n\nDivision 2—Offences 106\n\n26 Offences relating to scientific procedures carried out at scientific premises 106\n\n27 Offences relating to scientific procedures carried out outside scientific premises 107\n\n28 Offences relating to breeding of specified animals for use in scientific procedures 110\n\nDivision 3—Scientific procedures premises licences 112\n\n29 Grant of a scientific procedures premises licence 112\n\n29A Considerations for grant of scientific procedures premises licence 112\n\n30 Application for a scientific procedures licence 113\n\n31 Duration of scientific procedures premises licences 113\n\n32 Conditions on scientific procedures premises licences 113\n\nDivision 4—Scientific procedures field work licences 114\n\n32A Grant of a scientific procedures field work licence 114\n\n32AB Considerations for grant of scientific procedures field work licence 115\n\n32B Application for a scientific procedures field work licence 115\n\n32C Duration of scientific procedures field work licences 116\n\n32D Conditions on scientific procedures field work licences 116\n\nDivision 5—Specified animals breeding licences 117\n\n32E Grant of a specified animals breeding licence 117\n\n32EA Considerations for grant of specified animals breeding licence 117\n\n32F Application for a specified animals breeding licence 118\n\n32G Duration of specified animals breeding licence 118\n\n32H Conditions on specified animals breeding licence 118\n\nDivision 6—General licensing provisions 119\n\n32I Power of Department Head to renew licences 119\n\n32IA Considerations for renewal of licence 119\n\n32J Application to renew a licence 120\n\n32K Power of the Department Head to vary licences 121\n\n32L Variation of licence on the motion of the Department Head 121\n\n32LA Considerations for variation of a licence on the motion of the Department Head 122\n\n32M Application to vary a licence 122\n\n32N Suspension of licence and notice of proposal to cancel 123\n\n32O Making of submissions on suspension 124\n\n32P Power of the Department Head to cancel a licence 124\n\n32Q Notice of Department Head's decision 125\n\n32R Coming into effect of cancellation 125\n\nDivision 7—Miscellaneous 125\n\n33 Review by Victorian Civil and Administrative Tribunal 125\n\n34 Peer Review Committees 126\n\n35 Authorised officers 127\n\n35A Offences as to authorised officers 128\n\n36 Offences 129\n\nPart 3AA—Enforcement for Part 3 131\n\n36A Entry to monitor compliance 131\n\n36B Application for search warrant 133\n\n36C Search warrant 134\n\n36D Seizure and samples of things not mentioned in the warrant 135\n\n36E Requirements for search warrants 136\n\n36F Requirements for seizure of things and taking samples 137\n\n36G Notice to comply 137\n\n36H Notice as to treatment, destruction etc. of animal 139\n\n36I Commencement of proceeding not prevented 140\n\n36J Department Head may take action where notice not complied with 140\n\n36K Court may make adverse publicity order 140\n\n36L Action Department Head may take on finding of contempt 142\n\n36M Department Head may give notice of intent to act on failure to comply with order 142\n\n36N Action to be taken if response to notice not satisfactory 143\n\n36O Action for contempt 143\n\n36P Recovery of costs 143\n\n36Q Requirement to give information to authorised officer during entry 144\n\n36R Protection against self-incrimination 144\n\n36S Power to file charges 145\n\n36T Power to prepare compliance report 145\n\n36U Imposing fees for compliance reports 145\n\n36V Payment of fee 146\n\nPart 3A—Infringement notices 147\n\n37A Power to serve a notice 147\n\n37B Form of notice 148\n\nPart 3B—Animals in Research and Teaching Welfare Fund 149\n\n37C Animals in Research and Teaching Welfare Fund 149\n\n37D Payments into the Fund 149\n\n37E Investment of money in the Fund 149\n\n37F Payment of money out of the Fund 149\n\nPart 4—Miscellaneous 150\n\n38 Delegation 150\n\n39 Evidence 150\n\n40 Neglect to prosecute 151\n\n41 Liability for offences 151\n\n41AA Offences by bodies corporate 152\n\n41AB Conduct by officers, employees or agents 152\n\n41AC Time for charging certain offences under this Act 154\n\n41A Council employees etc. not subject to offence for giving information 155\n\n42 Regulations 155\n\nPart 5—Transitionals 162\n\n43 Prevention of Cruelty to Animals (Amendment) Act 2000 162\n\n44 Primary Industries and Food Legislation Amendment Act 2012 162\n\n45 Prevention of Cruelty to Animals Amendment Act 2015—Transitional provisions 162\n\n46 Primary Industries Legislation Amendment Act 2016—Transitional provisions 163\n\nSchedule 165\n\nEndnotes 166\n\n1 General information 166\n\n2 Table of Amendments 168\n\n3 Explanatory details 175\n\n**Version** **097**\n\n**Prevention of Cruelty to Animals Act 1986**\n\n**No. 46 of 1986**\n\nVersion incorporating amendments as at  \n\n**The Parliament of Victoria enacts as follows:**\n\n","sortOrder":2},{"sectionNumber":"Part 1","sectionType":"part","heading":"Preliminary","content":"Part 1—Preliminary\n\n","sortOrder":3},{"sectionNumber":"1","sectionType":"section","heading":"Purpose","content":"\t1 Purpose\n\nThe purpose of this Act is to—\n\n(a) prevent cruelty to animals; and\n\n(b) to encourage the considerate treatment of animals; and\n\n(c) to improve the level of community awareness about the prevention of cruelty to animals.\n\n","sortOrder":4},{"sectionNumber":"2","sectionType":"section","heading":"Commencement","content":"\t2 Commencement\n\nThis Act comes into operation on a day or days to be proclaimed.\n\nS. 3  \namended by No. 77/1995 s. 4(1)(a).\n\n","sortOrder":5},{"sectionNumber":"3","sectionType":"section","heading":"Definitions","content":"\t3 Definitions\n\n(1) In this Act—\n\nS. 3(1) def. of *adverse publicity order* inserted by No. 60/2015 s. 4(2).\n\n***adverse publicity order*** means an order under section 36K;\n\nS. 3(1) def. of *animal* substituted by No. 77/1995 s. 4(1)(b), repealed by No. 65/2007 s. 77(1)(b).\n\nS. 3(1) def. of *animal ethics committee* inserted by No. 103/2003 s. 31.\n\n***animal ethics committee*** means a committee, the principal function of which is to determine the ethical practices that are to apply to the carrying out of scientific procedures;\n\nS. 3(1) def. of *Code of Practice* amended by No. 11/2000 s. 4(1).\n\n***Code of Practice*** means a Code of Practice made and published and as varied from time to time under section 7;\n\nS. 3(1) def. of *Chief General Manager* repealed by No. 77/1995 s. 4(1)(c).\n\nS. 3(1) def. of *compliance report* inserted by No. 60/2015 s. 4(2).\n\n***compliance report*** means a report required to be prepared by or under a licence under Part 3 or regulations made under Part 3 as to compliance by the holder of a licence under Part 3 with all or any of the following—\n\n(a) the licence; or\n\n(b) Part 3; or\n\n(c) regulations made under Part 3;\n\nS. 3(1) def. of *control order* inserted by No. 60/2015 s. 4(2).\n\n***control order*** means an order under section 12;\n\nS. 3(1) def. of *Department* inserted by No. 77/1995 s. 4(1)(e), amended by Nos 46/1998  \ns. 7(Sch. 1), 56/2003 s. 11(Sch. item 17.1), 70/2013 s. 4(Sch. 2 item 39.1), 41/2025 s. 4(Sch. 2 item 23.1).\n\n***Department*** means the Department of Energy, Environment and Climate Action;\n\nS. 3(1) def. of *Department Head* inserted by No. 76/1998  \ns. 27(a)(ii), amended by No. 108/2004 s. 117(1) (Sch. 3 item 160.1).\n\n***Department Head*** means the Department Head (within the meaning of the **Public Administration Act 2004**) of the Department;\n\nS. 3(1) def.  \nof *dock* inserted by No. 65/2007 s. 77(1)(a).\n\n***dock***, in relation to the tail of a dog or a horse, means the amputation, removal or shortening of the tail of the animal, other than the shortening of the tail hairs of the animal;\n\nS. 3(1) def. of *farm animal* amended by No. 71/2014 s. 3(a).\n\n***farm animal*** means—\n\n(a) if kept for or used in connection with primary production—cattle, sheep, pigs, poultry, goats and deer; and\n\n(b) horses other than horses kept for or used in connection with sporting events, equestrian competitions, pony clubs, riding schools, circuses or rodeos;\n\nS. 3(1) def. of *general inspector* inserted by No. 65/2007 s. 77(1)(a).\n\n***general inspector*** means a person who is a general inspector under section 18;\n\nS. 3(1) def. of *identification certificate* inserted by No. 60/2015 s. 4(2).\n\n***identification certificate***—\n\n(a) in relation to a POCTA inspector, means an identification certificate issued to the inspector under section 19(1); and\n\n(b) in relation to an authorised officer, means an identification certificate issued to the officer under section 35(4);\n\nS. 3(1) def. of *interstate control order* inserted by No. 60/2015 s. 4(2).\n\n***interstate control order*** means an interstate order, within the meaning of section 12A, that is registered under section 12A;\n\nS. 3(1) def. of *municipality* repealed by No. 77/1995 s. 4(1)(c).\n\nS. 3(1) def. of *person in charge of* inserted by No. 76/2005 s. 26.\n\n***person in charge of*** in relation to an animal or thing, includes—\n\n(a) a person who has the animal or thing in the person's possession or custody, or under the person's care, control or supervision; and\n\n(b) any employee or agent of the owner of the animal or thing if a person referred to in paragraph (a) is bound to comply with the directions of that employee or agent in respect of the animal  or thing;\n\nS. 3(1) def. of *POCTA inspector* inserted by No. 65/2007 s. 77(1)(a).\n\n***POCTA inspector*** means a general inspector or a specialist inspector;\n\nS. 3(1) def. of *police officer* inserted by No. 37/2014 s. 10(Sch. item 129.1).\n\n***police officer*** has the same meaning as in the **Victoria Police Act 2013**;\n\nS. 3(1) def. of *premises* amended by No. 77/1995 s. 4(1)(d).\n\n***premises*** includes—\n\n(a) a building or part of a building; and\n\n(b) a tent, stall or other structure, whether permanent or temporary; and\n\n(c) land, whether or not appurtenant to a building; and\n\n(ca) a vehicle, vessel or aircraft; and\n\n(d) any other place;\n\n***prescribed*** means prescribed by the regulations;\n\nS. 3(1) def. of *prohibited procedure* inserted by No. 65/2007 s. 77(1)(a), amended by Nos 65/2007 s. 77(2), 60/2015 s. 4(1).\n\n***prohibited procedure*** means any of the following—\n\n(a) the procedure of cropping the ears of a dog, unless the procedure is done by a veterinary practitioner for the purpose of having a therapeutic effect on the dog; or\n\n(b) the procedure of debarking a dog, unless the procedure is done by a veterinary practitioner and in accordance with the Code of Practice as to the debarking of dogs; or\n\n(c) the procedure of docking the tail of a dog or horse, unless the procedure is done by a veterinary practitioner for the purpose of having a therapeutic effect on the dog or horse; or\n\n(d) the procedure of grinding, clipping or trimming the teeth of a sheep using an electrical or motorised device, unless the procedure is done by a veterinary practitioner for the purpose of having a therapeutic effect on the sheep; or\n\n(e) the procedure of removing the claws of a cat, unless the procedure is done by a veterinary practitioner for the purpose of having a therapeutic effect on the cat; or\n\n(f) the procedure of removing the venom sacs of a reptile, unless the procedure is done by a veterinary practitioner for the purpose of having a therapeutic effect on the reptile; or;\n\n(g) the procedure of thermocautery or firing of a horse; or\n\n(h) the procedure of spaying an animal unless the procedure is done by a veterinary practitioner;\n\n***regulations*** means regulations made under this Act;\n\nS. 3(1) def. of *rodeo licence* inserted by No. 65/2007 s. 77(3).\n\n***rodeo licence*** means a licence granted under section 17;\n\nS. 3(1) def. of *rodeo permit* inserted by No. 65/2007 s. 77(3).\n\n***rodeo permit*** means a permit issued under section 17B(1);\n\nS. 3(1) def. of *rodeo school permit* inserted by No. 65/2007 s. 77(3).\n\n***rodeo school permit*** means a permit issued under section 17B(2);\n\nS. 3(1) def. of *scientific premises* inserted by No. 103/2003 s. 31.\n\n***scientific premises*** means a premises ordinarily used for scientific research, teaching or testing;\n\nS. 3(1) def. of *scientific procedure* inserted by No. 103/2003 s. 31, amended by No. 71/2014 s. 3(b).\n\n***scientific procedure*** means any procedure, test, experiment, inquiry, investigation or study which is carried out on or in connection with an animal in the course of which—\n\n(a) an animal is subjected to—\n\n(i) surgical, medical, psychological, biological, chemical or physical treatment; or\n\n(ii) conditions of heat, cold, light, dark, confinement, noise, isolation or overcrowding to which an animal of that species is not accustomed; or\n\n(iii) abnormal dietary conditions; or\n\n(iv) electric shock or radiation treatment; or\n\n(b) any tissue, material or substance is extracted or derived from the body of an animal—\n\nand which is for—\n\n(c) the purpose of acquiring, demonstrating or developing knowledge in the field of medical, dental, veterinary, agricultural, behavioural or biological science or in any other field of science; or\n\n(d) the purpose of acquiring, demonstrating, exercising or developing techniques used in the practice of medical, dental, veterinary, agricultural, behavioural or biological science or in any other field of science; or\n\n(e) the purpose of developing or testing the use, hazards, safety or efficiency of vaccines, substances, drugs, materials or appliances intended for use in, on or in connection with human beings or animals; or\n\n(f) any other purpose prescribed for the purposes of this paragraph—\n\nbut does not include—\n\n(g) the treatment of an animal for the purpose of promoting its health or welfare by or in accordance with the instructions of a veterinary practitioner; or\n\n(h) the conduct of animal husbandry carried out in accordance with a Code of Practice; or\n\n(i) the collection, taking, banding and marking of wildlife within the meaning of and in accordance with the **Wildlife Act 1975**; or\n\n(j) any or any type of procedure, test, experiment, inquiry, investigation or study prescribed for the purposes of this paragraph;\n\nS. 3(1) def. of *scientific procedures field work licence* inserted by No. 103/2003 s. 31, amended by No. 60/2015 s. 4(3).\n\n***scientific procedures field work licence*** means a licence granted under section 32A;\n\nS. 3(1) def. of *scientific procedures premises licence* inserted by No. 103/2003 s. 31, amended by No. 60/2015 s. 4(3).\n\n***scientific procedures premises licence*** means a licence granted under section 29;\n\nS. 3(1) def. of *Secretary* inserted by No. 77/1995 s. 4(1)(e), repealed by No. 76/1998  \ns. 27(a)(i).\n\nS. 3(1) def. of *spaying* inserted by No. 60/2015 s. 4(2).\n\n***spaying*** in relation to an animal, means the procedure of surgically interfering with the anatomical integrity of the ovaries, fallopian tubes or uterus of the animal;\n\nS. 3(1) def. of *specialist inspector* inserted by No. 65/2007 s. 77(1)(a).\n\n***specialist inspector*** means a person appointed as a specialist inspector under section 18A;\n\nS. 3(1) def. of *specified animals breeding licence* inserted by No. 103/2003 s. 31, amended by No. 60/2015 s. 4(3).\n\n***specified animals breeding licence*** means a licence granted under section 32E;\n\nS. 3(1) def. of *veterinary practitioner* inserted by No. 58/1997  \ns. 96(Sch. item 7.1).\n\n***veterinary practitioner*** means a veterinary practitioner registered under the **Veterinary Practice Act 1997**;\n\nS. 3(1) def. of *veterinary surgeon* repealed by No. 58/1997  \ns. 96(Sch. item 7.1).\n\nS. 3(1A) inserted by No. 60/2015 s. 4(4).\n\n(1A) In Parts 1, 3, 3AA, 3B and 4—\n\n***authorised officer*** means a person appointed to be an authorised officer under section 35.\n\nS. 3(2) inserted by No. 77/1995 s. 4(2), amended by Nos 46/1998  \ns. 7(Sch. 1), 56/2003 s. 11(Sch. item 17.2), 108/2004 s. 117(1) (Sch. 3 item 160.2), 70/2013 s. 4(Sch. 2 item 39.2), repealed by No. 41/2025 s. 4(Sch. 2 item 23.2).\n\nS. 3(3) inserted by No. 65/2007 s. 77(4).\n\n(3) In this Act, other than Part 3, ***animal*** means—\n\n(a) a live member of a vertebrate species including any—\n\nS. 3(3)(a)(i) amended by No. 60/2015 s. 4(5).\n\n(i) fish or amphibian that is capable of self‑feeding; or\n\n(ii) reptile, bird or mammal, other than any human being or any reptile, bird or other mammal that is below the normal mid-point of gestation or incubation for the particular class of reptile, bird or mammal; or\n\n(b) a live adult decapod crustacean, that is—\n\n(i) a lobster; or\n\n(ii) a crab; or\n\n(iii) a crayfish.\n\n","sortOrder":6},{"sectionNumber":"4","sectionType":"section","heading":"Binding of Crown","content":"\t4 Binding of Crown\n\nThis Act binds the Crown, not only in right of the State of Victoria but also, so far as the legislative power of Parliament permits, the Crown in all its other capacities.\n\nS. 5  \nrepealed by No. 65/2007 s. 78(1).\n\nS. 6  \namended by No. 77/1995 s. 5(1).\n\n","sortOrder":7},{"sectionNumber":"6","sectionType":"section","heading":"Application of Act","content":"\t6 Application of Act\n\n(1) This Act does not apply to—\n\nS. 6(1)(a) amended by No. 77/1995 s. 5(2)(3).\n\n(a) the slaughter of animals in accordance with the **Meat Industry Act 1993** or any Commonwealth Act[[1]](#endnote-2); or\n\nS. 6(1)(b) amended by No. 60/2012 s. 31.\n\n(b) except to the extent that it is necessary to rely upon a Code of Practice as a defence to an offence under this Act, the keeping, treatment, handling, transportation, sale, killing, hunting, shooting, catching, trapping, netting, marking, care, use, husbandry or management of any animal or class of animals (other than a farm animal or class of farm animals) which is carried out in accordance with a Code of Practice; or\n\n(c) any act or practice with respect to the farming, transport, sale or killing of any farm animal which is carried out in accordance with a Code of Practice; or\n\nS. 6(1)(d) amended by Nos 52/1994 s. 97(Sch. 3 item 23.1), 69/2004 s. 48(1).\n\n(d) anything done in accordance with the **Catchment and Land Protection Act 1994**; or\n\nS. 6(1)(e) amended by Nos 77/1995 s. 5(4), 58/1997 s. 96(Sch. item 7.2).\n\n(e) the treatment of any animal for the purpose of promoting its health or welfare by or in accordance with the instructions of a veterinary practitioner; or\n\nS. 6(1)(f) inserted by No. 77/1995 s. 5(4), amended by No. 77/1995 s. 5(5).\n\n(f) the slaughter of a farm animal on a farm if—\n\n(i) it is slaughtered for consumption on that farm; and\n\n(ii) it is slaughtered in a humane manner; and\n\n(iii) it is not slaughtered for sale; and\n\n(iv) it is not slaughtered for use in the preparation of food for sale; and\n\n(v) it is not removed from that farm; or\n\nS. 6(1)(g) inserted by No. 77/1995 s. 5(5), substituted by No. 26/1998  \ns. 8.\n\n(g) any fishing activities authorised by and conducted in accordance with the **Fisheries Act 1995**.\n\nS. 6(1)(h) inserted by No. 77/1995 s. 5(5), repealed by No. 26/1998  \ns. 8.\n\nS. 6(1A) inserted by No. 103/2003 s. 32, amended by No. 65/2007 s. 78(2), repealed by No. 35/2009 s. 106(1).\n\nS. 6(1B) inserted by No. 69/2004 s. 48(2).\n\n(1B) This Act, except Part 3, does not apply to anything done in accordance with the **Wildlife Act 1975**.\n\nS. 6(1C) inserted by No. 67/2016 s. 34.\n\n(1C) If a traditional owner group entity has an agreement under Part 6 of the **Traditional Owner Settlement Act 2010**, nothing in this Act prevents any member of the traditional owner group who is bound by the agreement from carrying out an agreed activity in accordance with the agreement and on land to which the agreement applies.\n\nS. 6(2) inserted by No. 77/1995 s. 5(7).\n\n(2) In subsection 6(1)(f) ***farm*** has the same meaning as in the **Meat Industry Act 1993**.\n\nS. 6(3) inserted by No. 35/2009 s. 106(2).\n\n(3) For the purpose of determining whether or not subsection (1) or (1B) applies to a particular case, a specialist inspector may exercise a power set out in Part 2A.\n\n","sortOrder":8},{"sectionNumber":"7","sectionType":"section","heading":"Codes of Practice","content":"\t7 Codes of Practice\n\nS. 7(1) amended by No. 11/2000 s. 4(2).\n\n(1) The Governor in Council, on the recommendation of the Minister, may make, vary or revoke Codes of Practice—\n\n(a) specifying procedures for the keeping, treatment, handling, transportation, sale, killing, hunting, shooting, catching, trapping, netting, marking, care, use, husbandry or management of any animal or class of animals; or\n\nS. 7(1)(b) substituted by No. 103/2003 s. 33.\n\n(b) about the premises, facilities, equipment or conditions at any premises to which licences granted under Part 3 apply; or\n\nS. 7(1)(c) inserted by No. 103/2003 s. 33.\n\n(c) the constitution, procedures and processes of animal ethics committees.\n\n(2) A Code of Practice may apply, adopt or incorporate (with or without modification) any matter contained in any document, code, standard, rule, specification or method issued, formulated, prescribed, adopted or published by any authority or body as issued, formulated, prescribed, adopted or published at the time the Code is made or at any time before then.\n\nS. 7(3) amended by No. 11/2000 s. 4(3), repealed by No. 60/2012 s. 32(1).\n\nS. 7(4) repealed by No. 60/2012 s. 32(1).\n\n(5) A Code of Practice or a variation or revocation of a Code of Practice takes effect on the date of its publication in the Government Gazette or such later date as is specified in the Code, variation or revocation.\n\nS. 7(5A) inserted by No. 60/2012 s. 32(2).\n\n(5A) The power to make, vary or revoke a Code of Practice under subsection (1) is subject to the Code of Practice or the variation or revocation of a Code of Practice being disallowed by either House of the Parliament.\n\n(6) If any Code of Practice applies, adopts or incorporates matter under subsection (2) or a variation of a Code of Practice varies a Code so as to apply, adopt or incorporate such matter in the Code—\n\n(a) that Code or variation must specify a place at which copies of that matter may be obtained; and\n\n(b) the Minister must lay or cause to be laid a copy of that matter before the Legislative Council and the Legislative Assembly as soon as is practicable after the Code or variation is published in the Government Gazette.\n\n","sortOrder":9},{"sectionNumber":"Part 2","sectionType":"part","heading":"Protection of animals","content":"Part 2—Protection of animals\n\n","sortOrder":10},{"sectionNumber":"Div 1","sectionType":"division","heading":"Cruelty","content":"Division 1—Cruelty\n\nS. 8 amended by No. 103/2003 s. 34 (ILA s. 39B(1)).\n\n","sortOrder":11},{"sectionNumber":"8","sectionType":"section","heading":"Definitions","content":"\t8 Definitions\n\n(1) In this Part—\n\n***baiting*** means encouraging an animal to fight another animal;\n\nS. 8(1) def. of *inspector* repealed by No. 65/2007 s. 79(2).\n\nS. 8(1) def. of *permit* amended by No. 69/2004 s. 49(1), repealed by No. 65/2007 s. 79(2).\n\n***rodeo*** means an event which includes any exhibition of or competition in buck‑jumping, rough-riding, animal dogging, roping or tying;\n\nS. 8(1) def. of *rodeo school* substituted by No. 65/2007 s. 79(1).\n\n***rodeo school*** means the activity of training or schooling persons in buck-jumping, rough-riding, animal dogging, roping or tying;\n\nS. 8(1) def. of *specialist inspector* inserted by No. 77/1995 s. 6,  \nrepealed by No. 65/2007 s. 79(2).\n\n***trap-shooting*** means shooting at a bird—\n\n(a) which is released or projected from a box, trap, cage or other contrivance used for holding the bird; or\n\n(b) which is released or projected after being held in captivity whether held by mechanical means or by hand.\n\nS. 8(2) inserted by No. 103/2003 s. 34,  \nrepealed by No. 65/2007 s. 79(3).\n\nS. 9  \namended by No. 77/1995 s. 7(1)(a)(f).\n\n","sortOrder":12},{"sectionNumber":"9","sectionType":"section","heading":"Cruelty","content":"\t9 Cruelty\n\nS. 9(1) amended by Nos. 65/2007 s. 80(b)(c), 75/2011 s. 25, 60/2015 s. 5(2).\n\n(1) A person who—\n\n(a) wounds, mutilates, tortures, overrides, overdrives, overworks, abuses, beats, worries, torments or terrifies an animal; or\n\nS. 9(1)(b) amended by No. 77/1995 s. 7(1)(b), substituted by No. 76/2005 s. 27(a).\n\n(b) loads, crowds or confines an animal where the loading, crowding or confinement of the animal causes*,* or is likely to cause*,* unreasonable pain or suffering to the animal; or\n\nS. 9(1)(c) substituted by No. 76/2005 s. 27(b).\n\n(c) does or omits to do an act with the result that unreasonable pain or suffering is caused, or is likely to be caused, to an animal; or\n\nS. 9(1)(d) amended by No. 77/1995 s. 7(1)(c).\n\n(d) drives, conveys, carries or packs an animal in a manner or position or in circumstances which subjects or subject, or is likely to subject, it to unnecessary pain or suffering; or\n\nS. 9(1)(e) substituted by No. 76/2005 s. 27(c).\n\n(e) works, rides, drives or uses an animal when it is unfit for the purpose with the result that unreasonable pain or suffering is caused to an animal; or\n\nS. 9(1)(f) amended by No. 77/1995 s. 7(1)(d), substituted by No. 76/2005 s. 27(d).\n\n(f) is the owner or the person in charge of an animal which is confined or otherwise unable to provide for itself and fails to provide the animal with proper and sufficient food, drink or shelter; or\n\nS. 9(1)(g) substituted by No. 60/2015 s. 5(1).\n\n(g) sells, offers for sale, purchases, drives or conveys an animal that appears to be unfit (because of weakness, emaciation, injury or disease) to be sold, purchased, driven or conveyed; or\n\n(h) abandons an animal of a species usually kept in a state of confinement or for a domestic purpose; or\n\nS. 9(1)(i) amended by No. 77/1995 s. 7(1)(e), substituted by No. 76/2005 s. 27(e).\n\n(i) is the owner or the person in charge of a sick or injured animal and unreasonably fails to provide veterinary or other appropriate attention or treatment for the animal; or\n\nS. 9(1)(j) amended by Nos 52/1994 s. 97(Sch. 3 item 23.2), 20/2016 s. 151, 34/2019 s. 53.\n\n(j) other than in accordance with the **Catchment and Land Protection Act 1994**, the **Wildlife Act 1975** or the **Drugs, Poisons and Controlled Substances Act 1981**, intentionally administers to an animal or lays a bait for the animal containing—\n\n(i) a poison; or\n\n(ii) any other substance which, when administered to that type of animal, has a harmful effect on the animal; or\n\n(k) uses spurs with sharpened rowels on an animal; or\n\nS. 9(1)(l) amended by Nos 68/1987 s. 26(a), 74/2000 s. 3(Sch. 1 item 101), substituted by No. 65/2007 s. 80(a).\n\n(l) carries out a prohibited procedure on an animal—\n\nS. 9(1)(la) inserted by No. 68/1987 s. 26(b), amended by No. 11/2002 s. 3(Sch. 1 item 54), repealed by No. 65/2007 s. 80(a).\n\nS. 9(1)(m) amended by No. 74/2000 s. 3(Sch. 1 item 101), repealed by No. 65/2007 s. 80(a).\n\ncommits an act of cruelty upon that animal and is guilty of an offence and is liable to a penalty of not more than, in the case of a natural person, 250 penalty units or imprisonment for 12 months or, in the case of a body corporate, 600 penalty units.\n\nS. 9(2) inserted by No. 77/1995 s. 7(2).\n\n(2) It is a defence to a charge under subsection (1) against an owner of an animal to prove that, at the time of the alleged offence, the owner had entered into an agreement with another person by which the other person agreed to care for the animal.\n\n","sortOrder":13},{"sectionNumber":"10","sectionType":"section","heading":"Aggravated cruelty","content":"\t10 Aggravated cruelty\n\nS. 10(1) amended by Nos 77/1995 s. 8, 65/2007 s. 81, 75/2011 s. 26, substituted by No. 60/2015 s. 6.\n\n(1) A person who commits an act or acts of cruelty on any animal, which result in the death or serious disablement of the animal, commits aggravated cruelty on that animal and is guilty of an offence and is liable to a penalty of not more than, in the case of a natural person, 500 penalty units or imprisonment for 2 years or, in the case of a body corporate, 1200 penalty units.\n\n(2) A person who is guilty of an offence under subsection (1) may be liable to the penalty for that offence in addition to or instead of any other penalty to which the person is liable under section 9.\n\nS. 11 (Heading) inserted by No. 60/2012 s. 33(1).\n\nS. 11 amended by No. 60/2012 s. 33(2) (ILA s. 39B(1)).\n\n","sortOrder":14},{"sectionNumber":"11","sectionType":"section","heading":"Defences to cruelty or aggravated cruelty","content":"\t11 Defences to cruelty or aggravated cruelty\n\n(1) In any proceedings against a person in relation to an act of cruelty under section 9, or an act of aggravated cruelty under section 10, it is a defence if the person—\n\n(a) acted reasonably; or\n\n(b) reasonably omitted to do an act—\n\nin defending himself or herself or any other person against an animal or against any threat of attack by an animal.\n\nS. 11(2) inserted by No. 60/2012 s. 33(2).\n\n(2) It is a defence to a prosecution for an offence under section 9 or 10 in relation to an activity if the person charged was carrying out the activity in accordance with a code of practice prescribed for the purposes of this subsection (other than a Code of Practice made under section 7) that regulates that activity.\n\nS. 11A inserted by No. 65/2007 s. 82.\n\n","sortOrder":15},{"sectionNumber":"11A","sectionType":"section","heading":"Further prohibited procedure offences","content":"\t11A Further prohibited procedure offences\n\nS. 11A(1) amended by No. 60/2015 s. 7.\n\n(1) The owner or person in charge of an animal must not allow a prohibited procedure to be carried out on the animal.\n\n1. 250 penalty units or imprisonment for 12 months, in the case of a natural person.\n\n(2) The owner or person in charge of an animal on which a prohibited procedure has been carried out must not—\n\n(a) show or exhibit the animal; or\n\n(b) allow another person to show or exhibit the animal—\n\nunless the prohibited procedure was carried out—\n\n(c) before the commencement of section 80 of the **Animals Legislation Amendment (Animal Care) Act 2007**; or\n\n(d) in a jurisdiction other than Victoria, in accordance with the law of that jurisdiction, and the animal was not, at any time on or before the procedure was carried out, resident in Victoria.\n\n1. 20 penalty units.\n\n(3) In this section—\n\n***exhibit***, in relation to an animal, means the general or public display of the animal (whether or not for sale purposes);\n\n***show***, in relation to an animal, means causing the animal to participate in any competition, performance or entertainment.\n\nS. 12 amended by Nos 77/1995 s. 9, 76/2005 s. 28, 65/2007 s. 83, 60/2012 s. 34, substituted by No. 60/2015 s. 8.\n\n","sortOrder":16},{"sectionNumber":"12","sectionType":"section","heading":"Court orders for disqualification from or conditions on ownership etc. of animal","content":"\t12 Court orders for disqualification from or conditions on ownership etc. of animal\n\n(1) If, in a proceeding in a court, a person is convicted, found guilty or found not guilty because of mental impairment of an offence under this Act, the court, if it thinks fit, may by order—\n\n(a) disqualify the person from owning or being in charge of an animal of a kind or class specified in the order for—\n\n(i) if subparagraph (ii) does not apply to the person, up to 10 years; or\n\n(ii) if the person is or has previously been subject to an order under this section or an interstate control order, permanently or for any period (including a period of more than 10 years); or\n\n(b) apply conditions that the person must comply with, whenever the person owns or is in charge of an animal of a kind or class specified in the order, permanently or for any period (including a period of more than 10 years).\n\n(2) An order under subsection (1) may be made in addition to or instead of any other penalty.\n\n(3) The court, in making an order under this section, must consider whether or not to authorise the monitoring of compliance with the order under section 21A.\n\n**Note**\n\nAfter an order is made under subsection (1), a POCTA inspector may apply under Division 1A of Part 2A to a court in certain circumstances for an order authorising the monitoring of a person's compliance with an order made under subsection (1).\n\nS. 12AA inserted by No. 60/2015 s. 8, amended by No. 6/2018 s. 68(Sch. 2 item 100.1).\n\n\t12AA Court may authorise seizure and disposal of animal kept in contravention of order\n\n(1) If a court making a control order is satisfied by the evidence, on oath or by affirmation or affidavit, of a POCTA inspector that there are reasonable grounds to believe that the person in respect of whom the control order is being made is holding an animal on premises, including a dwelling, in circumstances that would be in contravention of the proposed order, the court may, by order, authorise the inspector—\n\n(a) to enter the premises; and\n\n(b) to search for and seize the animal; and\n\n(c) to dispose of the animal in accordance with Division 6 of Part 2A.\n\n(2) Part 2A applies to an order under subsection (1) as if it were a search warrant for the animal issued under section 24G.\n\nS. 12AB inserted by No. 60/2015 s. 8.\n\n\t12AB Orders must not be made in relation to certain persons\n\n(1) A court must not make a control order in a proceeding in relation to an offender who is not the owner of an animal concerned in the proceeding if the offender proves—\n\n(a) that, as to the conduct constituting the offence, the offender acted both on the instructions and in the presence or under the supervision of—\n\n(i) the owner or the person in charge of the animal; or\n\n(ii) a person who was the employer of the offender or who had engaged the offender to do work; and\n\n(b) if the offence was a continuing one, that the offender had no reasonable opportunity in the circumstances of preventing the offence from continuing.\n\n(2) In this section—\n\n***offender*** in relation to a proceeding in a court, means a person who has been convicted, found guilty or found not guilty because of mental impairment of an offence in the proceeding.\n\nS. 12AC inserted by No. 60/2015 s. 8.\n\n\t12AC Order may be suspended\n\nA court which has made a control order may suspend the order—\n\n(a) for any period which the court considers necessary to make arrangements for the custody of any animal of a kind or class specified in the order; or\n\n(b) pending the determination of an appeal against the order.\n\nS. 12AD inserted by No. 60/2015 s. 8.\n\n\t12AD Person subject to order may apply for variation etc.\n\n(1) A person who is the subject of a control order may, after 12 months after the date of the order, apply to the court that made the order for the variation, suspension or revocation of the order.\n\n(2) A court to which an application is made under subsection (1) may—\n\n(a) direct that from a specified date the control order—\n\n(i) be varied as to the kind or class of animal to which it applies; or\n\n(ii) be varied in any other way as specified in the direction; or\n\n(iii) be suspended as specified in the direction; or\n\n(iv) be revoked as specified in the direction; or\n\n(b) refuse the application.\n\n(3) In deciding an application under subsection (2), the court may have regard to the following—\n\n(a) the applicant's character;\n\n(b) the applicant's conduct since the making of the order;\n\n(c) the nature of the offence or offences under this Act on which the order was based;\n\n(d) any other relevant circumstances.\n\n(4) If a court under subsection (2)(a) directs that a control order be varied or refuses an application under subsection (2)(b), the applicant must not make another application under subsection (1) until 12 months after that direction or refusal.\n\nS. 12AE inserted by No. 60/2015 s. 8.\n\n\t12AE Control orders to operate consecutively\n\nIf a person is disqualified under a control order from owning or being in charge of an animal and, during the period of disqualification, a court makes a further control order disqualifying the person from owning or being in charge of an animal, the further order takes effect immediately after the end of the period of disqualification fixed by the initial order.\n\nS. 12AF inserted by No. 60/2015 s. 8.\n\n\t12AF Person must comply with control order\n\nA person who is subject to a control order must comply with the order.\n\nPenalty: 500 penalty units or imprisonment for 2 years.\n\nS. 12A inserted by No. 50/2005 s. 3.\n\n","sortOrder":17},{"sectionNumber":"12A","sectionType":"section","heading":"Registration of interstate orders","content":"\t12A Registration of interstate orders\n\n(1) In this section—\n\n***corresponding law*** means a provision of a law of another State or Territory declared by an Order of the Governor in Council under section 12B to be a corresponding law for the purposes of this section;\n\n***interstate minister*** means the minister responsible for administering a corresponding law;\n\n***interstate order*** means a court order made under a corresponding law;\n\n***register*** means a register kept for the purposes of this section.\n\n(2) On the written request of an interstate minister, the Minister may register an interstate order.\n\n(3) The Minister must not register an interstate order under this section unless the interstate minister has provided the Minister with a copy, or an extract of the operative provisions, of the order.\n\n(4) On registering an interstate order under this section, the Minister must ensure that any details specified in the regulations relating to the registration of interstate orders under this section are recorded on the copy or extract of the order and in the register (as the case requires).\n\n(5) As soon as possible after registering an interstate order, the Minister must ensure that a notice is served on the person who is the subject of the order either personally or by registered post at the last known address of that person.\n\n(6) The notice must inform the person—\n\n(a) that the relevant interstate order has been registered under this section; and\n\n(b) that the registration of the order does not take effect until 14 days after the notice is served on the person; and\n\n(c) that from the time the registration takes effect, a contravention of the order in Victoria is an offence under subsection (8).\n\n(7) The registration of an interstate order registered under this section takes effect 14 days after notice is served in accordance with subsection (5) on the person who is the subject of the order.\n\nS. 12A(8) substituted by No. 65/2007 s. 84, amended by No. 60/2015 s. 9(1).\n\n(8) A person who is the subject of an interstate order, that is registered under this section, must comply with the order.\n\n1. 500 penalty units or imprisonment for 2 years.\n\nNote to s. 12A(8) inserted by No. 60/2015 s. 9(2).\n\n**Note**\n\nA POCTA inspector may apply under Division 1A of Part 2A to a court in certain circumstances for an order authorising the monitoring of a person's compliance with an order registered under this section.\n\n(9) Subsection (8) applies even if the order is varied after it is registered.\n\n(10) However, if an interstate order is varied after it is registered to create a new obligation on the person to whom the order relates, proceedings against the person in respect of a contravention of that obligation must not be started unless the person had notice of the obligation before the contravention occurred.\n\n(11) In proceedings for an alleged offence against subsection (8)—\n\n(a) production of a certificate signed by the Minister stating that an interstate order was registered on a specified date is prima facie evidence of the registration under this section of the order; and\n\n(b) production of a certificate signed by the interstate minister setting out the terms of the interstate order at a particular date is prima facie evidence of the terms of the order on that date.\n\n(12) All courts and tribunals, and any person acting judicially, must take judicial notice of—\n\n(a) the signature of the person who is or was the Minister, and of the fact that the person is or was the Minister; and\n\n(b) the signature of the person who is or was the interstate minister, and of the fact that the person is or was the interstate minister.\n\nS. 12B inserted by No. 50/2005 s. 3.\n\n","sortOrder":18},{"sectionNumber":"12B","sectionType":"section","heading":"Governor in Council may declare corresponding law","content":"\t12B Governor in Council may declare corresponding law\n\n(1) The Governor in Council may, by Order published in the Government Gazette, declare a provision of a law of another State or a Territory to be a corresponding law for the purposes of section 12A if that provision substantially corresponds with section 12.\n\n(2) An Order under subsection (1) has effect as from the date the Order is published or from any later date specified in the Order.\n\n","sortOrder":19},{"sectionNumber":"13","sectionType":"section","heading":"Baiting and luring","content":"\t13 Baiting and luring\n\nS. 13(1) amended by Nos 77/1995 s. 10(1), 65/2007 s. 85(1), 71/2014 s. 4, substituted by No. 60/2015 s. 10(1).\n\n(1) A person must not keep, use or assist in the management of premises for the purpose of causing an animal to fight or for the baiting or maltreating of an animal.\n\nS. 13(1A) inserted by No. 60/2015 s. 10(1).\n\n(1A) A person must not allow or encourage an animal to fight with another animal whether or not of the same species.\n\nS. 13(1B) inserted by No. 60/2015 s. 10(1).\n\n(1B) A person must not cause or procure the release of an animal in circumstances where it will or is likely to be pursued, injured or killed by a dog.\n\nS. 13(1C) inserted by No. 60/2015 s. 10(1).\n\n(1C) A person must not cause, procure or permit an animal in captivity to be injured or killed by a dog.\n\nS. 13(1D) inserted by No. 60/2015 s. 10(1).\n\n(1D) A person must not use an animal as a lure or kill—\n\nS. 13(1E) inserted by No. 60/2015 s. 10(1).\n\n(1E) A person must not keep or have the custody, care or control of an animal for use as a lure or kill—\n\nS. 13(1F) inserted by No. 60/2015 s. 10(1).\n\n(1F) A person must not attend an event at which an animal is allowed or encouraged to fight with another animal, whether or not of the same species.\n\nPenalty: 120 penalty units.\n\nS. 13(1G) inserted by No. 60/2015 s. 10(1).\n\n(1G) A person, without reasonable excuse, must not attend an event or place where a person is using an animal as a lure or kill—\n\nPenalty: 120 penalty units.\n\nS. 13(2) amended by Nos 77/1995 s. 10(2), 74/2000 s. 3(Sch. 1 item 101), 103/2003 s. 35, 60/2015 s. 10(2).\n\n(2) In any prosecution under subsection (1), (1A), (1B), (1C), (1D) or (1E), evidence in writing by a veterinary practitioner who is employed, or who practises on his or her own behalf, as a veterinary pathologist that an animal was alive at the time of its attack by a dog is prima facie evidence that the animal was alive at the time of that attack.\n\nS. 13(3) amended by No. 60/2015 s. 10(3).\n\n(3) In any prosecution under subsection (1D)—\n\nS. 13(3)(a) amended by Nos 68/2009 s. 97(Sch. item 95.1), 60/2015 s. 10(3).\n\n(a) evidence that the accused had the custody, care or control of an animal which appeared to have been used as a lure or kill in the manner referred to in subsection (1D) is prima facie evidence that the accused used the animal as a lure or kill in that manner; and\n\n(b) it is a defence if the person charged proves that—\n\nS. 13(3)(b)(i) amended by No. 60/2015 s. 10(3).\n\n(i) the animal was used as a lure or kill in the manner referred to in subsection (1D) without that person's knowledge or consent; or\n\nS. 13(3)(b)(ii) amended by No. 60/2015 s. 10(3).\n\n(ii) that person took all reasonable steps to prevent the animal being used as a lure or kill in the manner referred to in subsection (1D).\n\nS. 13(4) inserted by No. 83/2001 s. 3, amended by No. 65/2007 s. 85(2), substituted by No. 60/2015 s. 10(4).\n\n(4) In any prosecution under subsection (1E), evidence that the accused kept or had the custody, care or control of a prohibited animal (either alive or dead) at a place used for training or racing of any coursing dog is evidence, in the absence of evidence to the contrary, that the accused kept or had the custody, care or control of the animal for use as a lure or kill—\n\nS. 13(5) inserted by No. 60/2015 s. 10(4).\n\n(5) In subsection (4) ***prohibited animal*** means an animal of one of the following kinds—\n\n(a) rabbits;\n\n(b) possums;\n\n(c) piglets;\n\n(d) cats (other than a cat registered under the **Domestic Animals Act 1994** by the person who is being prosecuted or by the owner of the place used for training or racing of any coursing dog);\n\n(e) any other prescribed kind or class of animal.\n\nS. 14 amended by Nos 77/1995 s. 11, 65/2007 s. 86.\n\n","sortOrder":20},{"sectionNumber":"14","sectionType":"section","heading":"Trap-shooting","content":"\t14 Trap-shooting\n\nA person who—\n\n(a) engages in; or\n\n(b) keeps or uses any premises for the purposes of—\n\nthe trap-shooting of birds is guilty of an offence and is liable to a penalty of not more than, in the case of a natural person, 240 penalty units or imprisonment for 2 years or, in the case of a body corporate, 1200 penalty units.\n\nS. 15 amended by Nos 35/1988 s. 24, 77/1995 s. 12, substituted by No. 65/2007 s. 87.\n\n","sortOrder":21},{"sectionNumber":"15","sectionType":"section","heading":"Selling traps","content":"\t15 Selling traps\n\n(1) A person must not sell a trap that is not of a kind prescribed by regulations under this Act.\n\n(2) A person who sells a trap of a kind prescribed by regulations under this Act must do so in accordance with those regulations.\n\n2. 1200 penalty units, in the case of a body corporate.\n\n(3) Subsections (1) and (2) do not apply to the sale of traps to a museum or collector of traps.\n\nS. 15AB inserted by No. 65/2007 s. 87.\n\n\t15AB Setting or using traps\n\n(1) A person must not set or use a trap that is not of a kind prescribed by regulations under this Act.\n\n(2) A person who sets or uses a trap that is of a kind prescribed by regulations under this Act must do so in accordance with those regulations.\n\nS. 15AB(3) amended by No. 35/2009 s. 107.\n\n(3) A person must not set or use a large leghold trap of a prescribed kind in Victoria unless the person does so in an area that is declared by the Minister to be an area in which the setting or using of large leghold traps of that kind is permitted.\n\n(4) A declaration of the Minister under subsection (3)—\n\n(a) must be made by instrument published in the Government Gazette; and\n\n(b) may identify an area by reference to a map, plan or diagram; and\n\n(c) may be revoked in the same manner as that in which it is made.\n\nS. 15A inserted by No. 77/1995 s. 13.\n\n","sortOrder":22},{"sectionNumber":"15A","sectionType":"section","heading":"Dogs on moving vehicles","content":"\t15A Dogs on moving vehicles\n\n(1) In this section—\n\n***highway*** has the same meaning as in the **Road Safety Act 1986**;\n\nS. 15A(1)  \ndef. of  \n*motor vehicle* inserted by No. 11/2000 s. 5(1).\n\n***motor vehicle*** has the same meaning as in the **Road Safety Act 1986**;\n\n***trailer*** has the same meaning as in the **Road Safety Act 1986**;\n\nS. 15A(1) def. of  \n*tray*  \ninserted by No. 11/2000 s. 5(1).\n\n***tray*** means a part of a motor vehicle behind the cabin that is an open compartment and is principally constructed to carry a load.\n\nS. 15A(2) amended by Nos 11/2000 s. 5(2)(b), 65/2007 s. 88.\n\n(2) Subject to subsection (3), a person must not drive on a highway—\n\nS. 15A(2)(a) substituted by No. 11/2000 s. 5(2)(a).\n\n(a) a motor vehicle with a tray; or\n\n(b) a motor vehicle to which a trailer is attached—\n\nif a dog is in or on the tray or trailer (as the case requires) and the dog is not secured in such a way as to prevent it from—\n\nS. 15A(2)(c) substituted by No. 11/2000 s. 5(2)(c).\n\n(c) falling off or out of, or from, or moving off, the tray or trailer (as the case requires); or\n\nS. 15A(2)(d) amended by No. 11/2000 s. 5(2)(d).\n\n(d) being injured from the movement of the motor vehicle or trailer.\n\n(3) Subsection (2) does not apply to a dog which is being used to assist in the movement of livestock.\n\nS. 15B inserted by No. 65/2007 s. 89.\n\n","sortOrder":23},{"sectionNumber":"15B","sectionType":"section","heading":"Offence under section 15A to be operator onus offence","content":"\t15B Offence under section 15A to be operator onus offence\n\nAn offence under section 15A is an operator onus offence for the purposes of Part 6AA of the **Road Safety Act 1986**.\n\nS. 15C inserted by No. 65/2007 s. 89.\n\n","sortOrder":24},{"sectionNumber":"15C","sectionType":"section","heading":"Breeding of animals with heritable defects","content":"\t15C Breeding of animals with heritable defects\n\n(1) A person must not, intentionally or recklessly, allow an animal with a heritable defect to breed.\n\n1. 60 penalty units, in the case of a natural person.\n\n300 penalty units, in the case of a body corporate.\n\n(2) A person must not sell or dispose of an animal with a heritable defect, if the person knows or is reckless as to whether the animal has a heritable defect, unless the person who sells or disposes of the animal advises the person to whom the animal is sold or disposed of (before the sale or disposal) that the animal has the heritable defect.\n\n1. 60 penalty units, in the case of a natural person.\n\n300 penalty units, in the case of a body corporate.\n\n(3) In this section—\n\n***heritable defect***, in relation to a species of animal set out in Column 1 of the Table in the Schedule, means a heritable defect that is known to cause the disease set out opposite the species of animal in Column 2 of the Table in the Schedule.\n\nPt 2 Div. 2 (Heading and ss 16, 17) amended by Nos 77/1995  \nss 14, 15, 76/1998 s. 27(b), 69/2004 s. 49(2)–(4), 76/2005 s. 29, substituted as Pt 2 Div. 2 (Heading and ss 16–17I) by No. 65/2007 s. 90.\n\n","sortOrder":25},{"sectionNumber":"Div 2","sectionType":"division","heading":"Rodeos","content":"Division 2—Rodeos\n\nS. 16 substituted by No. 65/2007 s. 90.\n\n","sortOrder":26},{"sectionNumber":"16","sectionType":"section","heading":"Offence to operate rodeos without a licence or permit","content":"\t16 Offence to operate rodeos without a licence or permit\n\n(1) A person must not operate a rodeo unless the person is the holder of a rodeo licence or a rodeo permit.\n\n(2) A person must not operate a rodeo school unless the person is the holder of a rodeo school permit.\n\nS. 17 substituted by No. 65/2007 s. 90.\n\n","sortOrder":27},{"sectionNumber":"17","sectionType":"section","heading":"Grant of rodeo licences","content":"\t17 Grant of rodeo licences\n\nThe Department Head may license a person to operate rodeos.\n\nS. 17A  \n\n","sortOrder":28},{"sectionNumber":"17A","sectionType":"section","heading":"Duration of licences","content":"\t17A Duration of licences\n\nA rodeo licence remains in force for the period specified in the licence, which must not be more than 12 months.\n\nS. 17B  \n\n","sortOrder":29},{"sectionNumber":"17B","sectionType":"section","heading":"Issue of rodeo permits and rodeo school permits","content":"\t17B Issue of rodeo permits and rodeo school permits\n\n(1) The Department Head may issue a permit to a person to operate the rodeo specified in the permit.\n\n(2) The Department Head may issue a permit to a person to operate the rodeo school specified in the permit.\n\nS. 17C  \n\n","sortOrder":30},{"sectionNumber":"17C","sectionType":"section","heading":"Application for a rodeo licence, a rodeo permit or a rodeo school permit","content":"\t17C Application for a rodeo licence, a rodeo permit or a rodeo school permit\n\n(1) A person may apply to the Department Head for the grant of a rodeo licence or the issue of a rodeo permit or a rodeo school permit.\n\n(3) An applicant must give the Department Head any further information relating to the application that the Department Head requests.\n\nS. 17D  \n\n","sortOrder":31},{"sectionNumber":"17D","sectionType":"section","heading":"Grounds on which Department Head may refuse to grant or issue licence or permit","content":"\t17D Grounds on which Department Head may refuse to grant or issue licence or permit\n\nThe Department Head may refuse to grant or issue a licence or permit under this Division if—\n\n(a) he or she is not satisfied that the applicant is the person who intends to supply the stock to be used at any rodeo or rodeo school authorised under the licence or permit; or\n\n(b) in the case of an application for a rodeo licence, the application is not lodged at least 28 days before the day on which the first rodeo to which the licence is to relate is to be held; or\n\n(c) in the case of an application for a rodeo permit or rodeo school permit, the application is not lodged at least 28 days before the day that the rodeo or rodeo school to which the permit relates is to be held; or\n\n(d) the application for the licence or permit does not include the prescribed particulars for that licence or permit; or\n\n(e) the applicant has been found guilty of—\n\n(i) an offence against section 9, 10(1) or 11A; or\n\n(ii) any other offence under this Act or regulations under this Act in connection with the operation of a rodeo or a rodeo school; or\n\n(f) the applicant has been served with an infringement notice in respect of an offence against this Act or regulations under this Act—\n\n(i) that has not been withdrawn in accordance with the **Infringements Act 2006**; and\n\n(ii) in respect of which the applicant has paid the penalty in accordance with the **Infringements Act 2006**; or\n\n(g) the applicant does not agree to operate the rodeo or the rodeo school in accordance with the conditions for the proposed licence or permit; or\n\n(h) the animals and the facilities and conditions to be provided for animals at the rodeo or rodeo school do not conform to the prescribed minimum requirements.\n\nS. 17E  \n\n","sortOrder":32},{"sectionNumber":"17E","sectionType":"section","heading":"Conditions on licences and permits","content":"\t17E Conditions on licences and permits\n\n(1) Each licence and permit under this Division is subject to any conditions that the Department Head imposes on the licence or permit or the class of licence or permit.\n\n(2) The holder of a licence under this Division must comply with the conditions on the licence imposed by the Department Head under subsection (1).\n\n(3) The holder of a permit under this Division must comply with the conditions on the permit imposed by the Department Head under subsection (1).\n\n(4) Each licence and permit under this Division is subject to any conditions prescribed by regulations under this Act for the licence or permit or the class of licence or permit to which the licence or permit belongs.\n\nS. 17F  \n\n","sortOrder":33},{"sectionNumber":"17F","sectionType":"section","heading":"Variation of licences and permits","content":"\t17F Variation of licences and permits\n\n(1) The Department Head may, by instrument, vary a licence or permit under this Division.\n\n(2) An instrument under subsection (1) must be served on the holder of the licence or permit, either personally or by post.\n\nS. 17G  \n\n","sortOrder":34},{"sectionNumber":"17G","sectionType":"section","heading":"Notice of proposal to cancel a rodeo licence or permit or rodeo school licence","content":"\t17G Notice of proposal to cancel a rodeo licence or permit or rodeo school licence\n\n(1) If the Department Head is satisfied that there may be grounds under section 17I for cancelling a rodeo licence, a rodeo permit or rodeo school permit, the Department Head must serve notice that he or she proposes to cancel the licence or permit on the licence or permit holder either personally or by post.\n\n(a) state that the Department Head is satisfied that there may be grounds for the cancellation of the licence or permit; and\n\n(b) set out those grounds; and\n\n(c) set out the time within which written submissions on the proposed cancellation of the licence or permit must be made to the Department Head.\n\nS. 17H  \n\n","sortOrder":35},{"sectionNumber":"17H","sectionType":"section","heading":"Making of submissions on proposal to cancel","content":"\t17H Making of submissions on proposal to cancel\n\n(1) The holder of a rodeo licence, a rodeo permit or rodeo school permit who has been given a notice under section 17G may make written submissions on the proposal to cancel the licence or permit.\n\n(2) Submissions made under subsection (1) must be made within the time fixed by the Department Head under section 17G(2)(c).\n\nS. 17I  \n\n","sortOrder":36},{"sectionNumber":"17I","sectionType":"section","heading":"Cancellation of a rodeo licence, a rodeo permit or rodeo school permit","content":"\t17I Cancellation of a rodeo licence, a rodeo permit or rodeo school permit\n\n(1) If, after considering any submissions made within the time fixed for making submissions under section 17G(2)(c), the Department Head is satisfied that—\n\n(a) the licence or permit holder has failed to comply with a condition of the licence or permit; or\n\n(b) the licence or permit holder has been found guilty of an offence against this Act or regulations under this Act; or\n\n(c) that the licence or permit holder has been served with an infringement notice in respect of an offence against this Act or regulations under this Act—\n\n(i) that has not been withdrawn in accordance with the **Infringements Act 2006**; and\n\n(ii) in respect of which the licence or permit holder has paid the penalty in accordance with the **Infringements Act 2006**—\n\nthe Department Head may—\n\n(d) cancel the licence or permit; or\n\n(e) require the licence holder or permit holder to take the action specified by the Department Head.\n\n(2) The Department Head must give notice to the licence holder or permit holder of his or her decision under subsection (1) and set out reasons for that decision in the notice.\n\n(3) A notice under subsection (2) must be served on the licence holder or permit holder within 28 days after the expiry of the date for the making of submissions under section 17G(2)(c).\n\n(4) Cancellation of a rodeo licence, a rodeo permit or rodeo school permit by the Department Head has effect from the date on which notice of the cancellation is served on the holder of the licence or permit.\n\nPt 2 Div. 3 (Heading) substituted by No. 65/2007 s. 91.\n\n","sortOrder":37},{"sectionNumber":"Div 3","sectionType":"division","heading":"POCTA inspectors","content":"Division 3—POCTA inspectors\n\nS. 18 (Heading) inserted by No. 65/2007 s. 92(1).\n\n","sortOrder":38},{"sectionNumber":"18","sectionType":"section","heading":"General inspectors","content":"\t18 General inspectors\n\nS. 18(1) amended by No. 65/2007 s. 92(2).\n\n(1) The following persons are general inspectors—\n\nS. 18(1)(a) amended by No. 37/2014 s. 10(Sch. item 129.2).\n\n(a) any police officer; and\n\n(b) any person who is—\n\nS. 18(1)(b)(i) amended by No. 68/1987 s. 27, substituted by Nos 115/1994 s. 142(Sch. 2 item 6), 60/2012 s. 35(1).\n\n(i) employed under Part 3 of the **Public Administration Act 2004**; or\n\nS. 18(1)(b)(ii) amended by No. 69/2004 s. 50.\n\n(ii) a full-time or part-time officer of the Royal Society for the Prevention of Cruelty to Animals—\n\nand who is approved as a general inspector by the Minister in writing; and\n\nS. 18(1)(c) amended by Nos 77/1995 s. 16, 22/1996 s. 18(a)(b), 65/2007 s. 92(3)(4), 60/2012 s. 35(2).\n\n(c) any person who is an authorised officer under section 72 of the **Domestic Animals Act 1994** and who is approved as a general inspector by the Minister in writing, but only in respect of an alleged offence committed or a circumstance occurring in the municipal district for which that person is an authorised officer; and\n\nS. 18(1)(d) inserted by No. 60/2012 s. 35(3).\n\n(d) any person appointed as a general inspector under a declaration made under section 20A.\n\nS. 18(2) amended by No. 65/2007 s. 92(5).\n\n(2) An approval as a general inspector remains in force for a period—\n\n(a) specified in the approval; and\n\n(b) of not more than three years expiring on 30 June in the year that it ceases to have force.\n\nS. 18(3) amended by No. 65/2007 s. 92(5).\n\n(3) The Minister may cancel an approval as a general inspector.\n\nS. 18A inserted by No. 77/1995 s. 17.\n\n","sortOrder":39},{"sectionNumber":"18A","sectionType":"section","heading":"Specialist inspectors","content":"\t18A Specialist inspectors\n\nS. 18A(1) amended by No. 60/2012 s. 36.\n\n(1) The Minister may, by instrument in writing, appoint any person whom the Minister considers to have appropriate qualifications to be a specialist inspector for the purposes of this Act.\n\n(2) The appointment of a specialist inspector remains in force for a period not exceeding 3 years specified in the instrument of appointment and expiring on 30 June.\n\n(3) The Minister may cancel the appointment of a specialist inspector.\n\nS. 19 (Heading) inserted by No. 65/2007 s. 93(1).\n\n","sortOrder":40},{"sectionNumber":"19","sectionType":"section","heading":"Identification certificates of POCTA inspectors","content":"\t19 Identification certificates of POCTA inspectors\n\nS. 19(1) amended by Nos 77/1995 s. 18, 65/2007 s. 93(2), 37/2014 s. 10(Sch. item 129.2).\n\n(1) The Minister must issue every POCTA inspector (other than a police officer) with an identification certificate in the prescribed form.\n\nS. 19(2) amended by Nos 77/1995 s. 18, 65/2007 s. 93(3), 37/2014 s. 10(Sch. item 129.2).\n\n(2) When on duty a POCTA inspector (other than a police officer) must on demand produce that certificate.\n\nS. 20 (Heading) inserted by No. 65/2007 s. 94(1).\n\nS. 20 amended by Nos 77/1995 s. 19, 65/2007 s. 94(2).\n\n","sortOrder":41},{"sectionNumber":"20","sectionType":"section","heading":"Offence to impersonate etc. POCTA inspectors","content":"\t20 Offence to impersonate etc. POCTA inspectors\n\nA person who impersonates a POCTA inspector named in an identification certificate or falsely pretends to be a POCTA inspector is guilty of an offence.\n\n1. 20 penalty units.\n\nS. 20A inserted by No. 60/2012 s. 37.\n\n","sortOrder":42},{"sectionNumber":"20A","sectionType":"section","heading":"Department Head may declare animals at risk due to an emergency","content":"\t20A Department Head may declare animals at risk due to an emergency\n\n(1) The Department Head may, by notice published in the Government Gazette, declare that the welfare of any class or classes of animal is at risk due to an existing emergency.\n\n(2) The declaration must state when it ceases to have effect and the nature of the emergency.\n\n(3) The Department Head must revoke the declaration by a notice published in the Government Gazette as soon as possible after being satisfied that the emergency no longer exists.\n\n(4) The declaration ceases to have effect 30 days after the notice is published under subsection (1), unless earlier revoked under subsection (3).\n\n(5) If a declaration is made under this section, the Department Head may, by instrument in writing, appoint any person whom the Department Head considers to have the appropriate qualifications to be a general inspector for the purposes of any provision or provisions of this Act.\n\n(6) The Department Head may appoint a general inspector for the period specified in the instrument, which must not exceed the duration of the declaration.\n\n(7) The appointment of a general inspector remains in force until the earlier of the following—\n\n(a) the declaration ceases to have effect or is revoked under subsection (3);\n\n(b) the appointment is revoked by the Department Head.\n\nS. 20A(8) amended by No. 73/2013 s. 100.\n\n(8) In this section ***emergency*** has the same meaning as in section 3 of the **Emergency Management Act 2013**.\n\nSs 21–24Q amended by Nos 77/1995  \nss 20–25, 58/1997 s. 96(Sch. items 7.3–7.6), 46/1998 s. 7(Sch. 1), 83/2001 ss 4–6, 103/2003 s. 36, 69/2004  \nss 51–53, 50/2005 ss 4–9, 76/2005  \nss 30–37, substituted as Pt 2A  \n(Headings and ss 21–24ZW) by No. 65/2007 s. 95.\n\n","sortOrder":43},{"sectionNumber":"Part 2A","sectionType":"part","heading":"Enforcement","content":"Part 2A—Enforcement\n\nDivision 1—Preliminary\n\nS. 21 substituted by No. 65/2007 s. 95.\n\n","sortOrder":44},{"sectionNumber":"21","sectionType":"section","heading":"Definitions","content":"\t21 Definitions\n\nIn this Part—\n\n***ruminant*** means any animal which is capable of chewing its cud;\n\n***sample***, in relation to a dead animal, includes the whole of the carcass of the animal.\n\nPt 2A Div. 1A (Heading and ss 21A–21C) inserted by No. 60/2015 s. 11.\n\n","sortOrder":45},{"sectionNumber":"Div 1A","sectionType":"division","heading":"Monitoring of persons subject to control orders or interstate control orders","content":"Division 1A—Monitoring of persons subject to control orders or interstate control orders\n\nS. 21A inserted by No. 60/2015 s. 11.\n\n","sortOrder":46},{"sectionNumber":"21A","sectionType":"section","heading":"Court may authorise monitoring of person when making control order","content":"\t21A Court may authorise monitoring of person when making control order\n\n(1) The court, in making a control order, may authorise any POCTA inspector to monitor compliance with the order by any person subject to the order.\n\n(2) The court, when deciding whether to authorise monitoring of compliance with a control order under subsection (1) may have regard to the following—\n\n(a) the nature of the offence on which the order is based;\n\n(b) whether the person is or has been the subject of another control order or an interstate control order;\n\n(c) whether the person has previously been convicted, found guilty or found not guilty because of mental impairment of any other offence under this Act;\n\n(d) any other factor the court considers relevant.\n\n(3) If the court authorises the monitoring of compliance under subsection (1), the court must specify in the control order—\n\n(a) the period for which the monitoring may be carried out, which may be for the length of the control order; and\n\n(b) any other conditions of the monitoring.\n\nS. 21B inserted by No. 60/2015 s. 11.\n\n","sortOrder":47},{"sectionNumber":"21B","sectionType":"section","heading":"POCTA inspector may apply for order to monitor compliance with control orders or interstate control orders","content":"\t21B POCTA inspector may apply for order to monitor compliance with control orders or interstate control orders\n\n(1) A POCTA inspector may apply to a court for an order authorising the monitoring of the compliance of a person with a control order or an interstate control order if the inspector believes on reasonable grounds that the person is not complying with the order or is not likely to comply with the order.\n\n(2) If the court is satisfied that there are reasonable grounds to believe that a person subject to a control order or an interstate control order is not complying with the order or is not likely to comply with the order, the court may by order authorise the monitoring of the person's compliance with the order.\n\n(3) In deciding whether to authorise the monitoring of compliance under subsection (2), the court may have regard to the following—\n\n(a) the nature of the offence or offences on which the control order was based;\n\n(b) whether the person is or has been the subject of another control order or an interstate control order;\n\n(c) whether the person has previously been convicted, found guilty or found not guilty because of mental impairment of any other offence under this Act;\n\n(d) any other factor the court considers relevant.\n\n(4) If the court authorises the monitoring of compliance under subsection (2), the court must specify in the order authorising the monitoring—\n\n(a) the period for which the monitoring may be carried out, which may be for the length of the control order or interstate control order; and\n\n(b) any other conditions of the monitoring.\n\nS. 21C inserted by No. 60/2015 s. 11.\n\n","sortOrder":48},{"sectionNumber":"21C","sectionType":"section","heading":"Powers to enter premises and monitor compliance with control orders or interstate control orders","content":"\t21C Powers to enter premises and monitor compliance with control orders or interstate control orders\n\n(1) If a POCTA inspector has been authorised under section 21A or 21B to monitor a person's compliance with a control order or an interstate control order, a POCTA inspector may, with any assistance that is necessary—\n\n(a) enter premises (other than any part of the premises that is a person's dwelling); and\n\n(b) search for an animal of a kind or class specified in the order; and\n\n(c) seize an animal in or on the premises of a kind or class specified in the order; and\n\n(d) retain possession of an animal seized under paragraph (c); and\n\n(e) examine an animal in or on the premises of a kind or class specified in the order; and\n\n(f) take samples from an animal in or on the premises of a kind or class specified in the order or any thing in or on the premises relating to a condition specified in the order; and\n\n(g) take and keep photographs or digital recordings of an animal in or on the premises of a kind or class specified in the order.\n\n(2) A POCTA inspector may not exercise a power under subsection (1) that is contrary to an order of a court.\n\n(3) If an occupier is present at premises where a power of entry is exercised by a POCTA inspector under this section, the inspector must—\n\n(a) give identification to the occupier by producing the inspector's identification certificate; and\n\n(b) inform the occupier of the purpose of the entry.\n\n(4) If a POCTA inspector exercises a power of entry under this section without the occupier being present, the officer must—\n\n(a) on leaving the premises, leave a notice setting out the following matters—\n\n(i) the time of entry;\n\n(ii) the purpose of entry;\n\n(iii) a description of all things done while on the premises;\n\n(iv) the time of departure;\n\n(v) the procedure for contacting the inspector for further details of the entry; and\n\n(b) post a copy of that notice—\n\n(i) to the owner of the premises, if the identity and address of the owner are known to the inspector; and\n\n(ii) to the occupier of the premises, if the identity and address of the occupier are known to the inspector.\n\nDivision 2—Emergency powers to deal with animals\n\nS. 22 substituted by No. 65/2007 s. 95.\n\n","sortOrder":49},{"sectionNumber":"22","sectionType":"section","heading":"Power to seize abandoned animals in public places","content":"\t22 Power to seize abandoned animals in public places\n\nIf a POCTA inspector finds an animal in a public place and the inspector reasonably believes that the animal is abandoned the inspector may seize the animal.\n\nS. 23 substituted by No. 65/2007 s. 95.\n\n","sortOrder":50},{"sectionNumber":"23","sectionType":"section","heading":"Emergency powers of entry in relation to animals","content":"\t23 Emergency powers of entry in relation to animals\n\n(1) If a POCTA inspector suspects on reasonable grounds that on any premises (that is not a person's dwelling)  baiting, trap-shooting or the use of animals as lures is occurring, the inspector may, with any assistance that is necessary—\n\n(b) inspect and examine any animals, plant, equipment or facility that the inspector reasonably believes is being used for baiting, trap-shooting or luring.\n\n(2) If a POCTA inspector suspects on reasonable grounds that there is on any premises (that is  \nnot a person's dwelling)—\n\n(a) any animals that are ruminants that have been confined without food or water for more than 36 hours; or\n\n(b) any animals, being mammals (other than ruminants) or birds that have been confined without food or water for more than 24 hours—\n\nthe inspector may, with any assistance that is necessary, enter the premises and may feed and water the animals.\n\n(3) If a POCTA inspector suspects on reasonable grounds that there is on any premises (that is not a person's dwelling) an animal that is in an entanglement, tether or bog or that is showing signs of pain or suffering as a result of any injury or disease, the inspector may, with any assistance that is necessary enter the premises and—\n\n(a) free any animal on the premises that is in an entanglement, tether or bog, from the entanglement, tether or bog, without removing it from its housing or the premises on which it is located; or\n\n(b) if any animal on the premises is showing signs of pain or suffering as a result of injury or disease, inspect the animal in order to determine whether the animal requires treatment by a veterinary practitioner.\n\n(4) If a POCTA inspector suspects on reasonable grounds that there is on any premises (that is not a person's dwelling) an animal that is behaving in such a manner and there are such circumstances that it is likely that the animal will cause death or serious injury to any person or another animal, the inspector may, with any assistance that is necessary enter the premises and—\n\n(a) contain any animal in or on the premises; or\n\n(b) destroy any animal in or on the premises—\n\nthat is behaving in such a manner and there are such circumstances that it is likely that the animal will cause death or serious injury to any person or other animal.\n\nS. 24 (Heading) amended by No. 60/2015 s. 12.\n\nS. 24 substituted by No. 65/2007 s. 95.\n\n","sortOrder":51},{"sectionNumber":"24","sectionType":"section","heading":"Emergency power to enter and seize or destroy abandoned, distressed or disabled animals","content":"\t24 Emergency power to enter and seize or destroy abandoned, distressed or disabled animals\n\n(1) If a POCTA inspector suspects on reasonable grounds that there is on any premises (that is not a person's dwelling) an animal that is abandoned, distressed or disabled the inspector may, with any assistance that is necessary—\n\n(b) if the inspector finds any animal on the premises that the inspector reasonably believes is abandoned, distressed or disabled—\n\n(i) destroy the animal, if the inspector reasonably believes that the animal's condition is such that it would continue to suffer if it remained alive; or\n\n(ii) immediately seize the animal, if the inspector reasonably believes that the animal's welfare is at risk; or\n\n(iii) leave notice at the premises that the inspector intends to seize the animal at the end of two days after the giving of the notice, if the inspector is not contacted by the owner or person in charge of the animal within that period.\n\n(2) If an inspector has left a notice at premises under subsection (1)(b)(iii), and if, on the expiry of the two day period specified in the notice, the inspector has not been contacted by the owner or person in charge of the animal the inspector may, with any assistance that is necessary—\n\n(b) search for and seize the animal.\n\nS. 24AA inserted by No. 60/2015 s. 13.\n\n\t24AA Emergency power to enter and seize animals used for fighting, blooding or as a lure or kill\n\nIf a POCTA inspector suspects on reasonable grounds that there is on any premises (that is not a person's dwelling) any animal in respect of which a contravention of section 13(1A), (1D) or (1E) is likely to occur, is occurring or has occurred (***relevant*** ***animal***), the inspector may, with any assistance that is necessary—\n\n(a) enter the premises; and\n\n(b) search for any relevant animal; and\n\n(c) examine or inspect any relevant animal; and\n\n(d) as to any relevant animal on the premises—\n\n(i) destroy the animal, if the inspector reasonably believes that the animal's condition is such that it would continue to suffer if it remained alive; or\n\n(ii) immediately seize the animal; and\n\n(e) retain possession of any animal that is seized under paragraph (d)(ii), either at the premises where the animal is seized or elsewhere; and\n\n(f) feed, water and otherwise care for any animal that is seized under paragraph (d)(ii), if the animal remains on the premises, and for this purpose may use any equipment on the premises.\n\nS. 24A substituted by No. 65/2007 s. 95.\n\n","sortOrder":52},{"sectionNumber":"24A","sectionType":"section","heading":"Additional powers that may be exercised on emergency entry","content":"\t24A Additional powers that may be exercised on emergency entry\n\nA POCTA inspector who enters premises under this Division may—\n\n(a) inspect and take photographs (including video recordings), or make sketches of the premises or any animal or thing in or on the premises;\n\n(b) take and keep samples of or from any animal or thing in or on the premises;\n\n(c) open any container at the premises for the purpose of inspecting, or taking a sample of, its contents but must reseal the container after the inspection is made or the sample is taken.\n\nS. 24B substituted by No. 65/2007 s. 95.\n\n","sortOrder":53},{"sectionNumber":"24B","sectionType":"section","heading":"Powers to recover certain costs","content":"\t24B Powers to recover certain costs\n\nA POCTA inspector may, on behalf of a person who provided food or water to an animal by or under the authority of a POCTA inspector under section 23(2), recover from the owner of the animal the reasonable costs of the food and water in any court of competent jurisdiction as a civil debt recoverable summarily.\n\nS. 24C substituted by No. 65/2007 s. 95.\n\n","sortOrder":54},{"sectionNumber":"24C","sectionType":"section","heading":"Obtaining veterinary treatment","content":"\t24C Obtaining veterinary treatment\n\n(1) If a POCTA inspector reasonably believes that treatment by a veterinary practitioner is necessary for the welfare of an animal, subject to subsection (2), the inspector may arrange for a veterinary practitioner to treat the animal.\n\n(2) If a POCTA inspector has formed a belief under subsection (1) that an animal requires treatment by a veterinary practitioner and the owner or person in charge of the animal can be contacted, after reasonable enquiry, the inspector must, before arranging veterinary treatment under subsection (1), give the owner or person an opportunity to arrange for a veterinary practitioner of his or her choice to undertake the required treatment.\n\n(3) The inspector may recover the costs of veterinary treatment of an animal arranged under subsection (1) from the owner or the person in charge of the animal treated in a court of competent jurisdiction as a civil debt recoverable summarily.\n\nS. 24D substituted by No. 65/2007 s. 95.\n\n","sortOrder":55},{"sectionNumber":"24D","sectionType":"section","heading":"Emergency powers of veterinary practitioners and superintendents of saleyards","content":"\t24D Emergency powers of veterinary practitioners and superintendents of saleyards\n\n(1) A veterinary practitioner may, with any assistance that is necessary, destroy any animal—\n\n(a) that is behaving in such a manner and there are such circumstances that the veterinary practitioner reasonably believes that the animal is likely to cause death or serious injury to any person or another animal; or\n\n(b) that is abandoned, distressed or disabled if the veterinary practitioner reasonably believes that the animal's condition is such that it would continue to suffer if it remained alive.\n\n(2) A superintendent of a saleyard may, with any assistance that is necessary, destroy any animal in any saleyard in the municipal district in respect of which the superintendent is appointed—\n\n(a) that is behaving in such a manner and  \nthere are such circumstances that the superintendent reasonably believes that the animal is likely to cause death or serious injury to any person or another animal; or\n\n(b) that is abandoned, distressed or disabled if the superintendent reasonably believes that the animal's condition is such that it would continue to suffer if it remained alive.\n\n(3) In this section, ***superintendent of a saleyard*** means the person in charge of a livestock saleyard.\n\nDivision 3—Search for and seizure of animals, warrants and authorisations\n\nS. 24E (Heading) substituted by No. 60/2015 s. 14.\n\nS. 24E substituted by No. 65/2007 s. 95.\n\n","sortOrder":56},{"sectionNumber":"24E","sectionType":"section","heading":"Notice of intent to seize distressed etc. animals","content":"\t24E Notice of intent to seize distressed etc. animals\n\n(1) If the Minister believes on reasonable grounds that an animal is in such a condition, or, in such circumstances, that the animal is likely to become distressed or disabled, the Minister may serve notice that the Minister intends to authorise seizure of the animal.\n\n(b) be served by—\n\n(i) giving it personally to the owner of the animal; or\n\n(ii) if the identity of the owner cannot be readily established or the owner cannot be readily contacted, giving it personally to the person in charge of the animal; or\n\n(iii) leaving it or sending it by post to the last known residential or business address of the owner or the person in charge of the animal; and\n\n(c) set out the action that may be taken under section 24F.\n\nS. 24F (Heading) substituted by No. 60/2015 s. 15(1).\n\nS. 24F substituted by No. 65/2007 s. 95, amended by No. 60/2015 s. 15(2)(4) (ILA s. 39B(1)).\n\n","sortOrder":57},{"sectionNumber":"24F","sectionType":"section","heading":"Seizure of distressed etc. animals after service of notice of intent to seize","content":"\t24F Seizure of distressed etc. animals after service of notice of intent to seize\n\n(1) If, on the expiration of 7 days after the service of a notice under section 24E, the Minister is not satisfied that action has been or is being taken to remove the likelihood of the animal becoming distressed or disabled, the Minister may authorise a specialist inspector, with any assistance that is necessary—\n\nS. 24F(1)(a) substituted by No. 60/2015 s. 15(3).\n\n(a) enter the premises at which the animal is kept (other than any part of the premises that is a person's dwelling) and seize the animal; and\n\n(b) to dispose of the animal in the manner determined by the Minister, or otherwise in accordance with Division 6.\n\nS. 24F(2) inserted by No. 60/2015 s. 15(4).\n\n(2) A specialist inspector who seizes an animal under subsection (1) may—\n\n(a) retain possession of the animal, either at the premises where the animal is seized or elsewhere, until the animal is disposed of; and\n\n(b) feed, water and otherwise care for the animal if the animal remains on the premises and for this purpose—\n\n(i) may use any equipment on the premises; and\n\n(ii) obtain any necessary assistance from another person.\n\nS. 24FA inserted by No. 60/2015 s. 16.\n\n\t24FA Seizure and disposal of distressed etc. animals without notice of intent to seize\n\n(1) The Minister may issue to a specialist inspector an authorisation to seize and dispose of any animal on a premises if the Minister believes on reasonable grounds that—\n\n(a) the animal is in such a condition, or, in such circumstances, that it is likely to become distressed or disabled; and\n\n(b) any action required to remove the likelihood of the animal becoming distressed or disabled is unlikely to occur because of one or more of the circumstances set out in subsection (4); and\n\n(c) it is reasonable to dispose of the animal having regard to all the factors set out in subsection (5).\n\n(2) An animal must not be seized under an authorisation under this section unless the notice under section 24FB has been served in accordance with that section.\n\n(3) An animal may be seized under an authorisation under this section—\n\n(a) immediately after service of the notice under section 24FB; or\n\n(b) during any period after service of the notice under section 24FB that is specified in that notice.\n\n(4) For the purpose of subsection (1)(b), the circumstances are the following—\n\n(a) a significant interruption to the provision of food or water to the animal has occurred or is likely to occur;\n\n(b) there is likely to be a welfare risk to the animal because—\n\n(i) there is a failure of environmental systems relating to the animal; or\n\n(ii) there is a failure or imminent failure to appropriately manage or treat the animal;\n\n(c) the animal cannot be transported to normal slaughter or market because of an extreme climate event, emergency event or market failure;\n\n(d) the animal has been abandoned;\n\n(e) the owner or person in charge of the animal is unable or unwilling to care for the animal or act to resolve a welfare risk to the animal because of a physical, financial or mental incapacity.\n\n(5) For the purposes of subsection (1)(c), the factors are the following—\n\n(a) there are a number of animals at the premises that are likely to become distressed or disabled;\n\n(b) the likely cost of holding and caring for the animal;\n\n(c) the physical state of the animal or the stage of production of the animal;\n\n(d) whether it is reasonable or practicable for the Department Head or any other person or body to retain possession of the animal.\n\n(6) In this section—\n\n***environmental system*** means a system that regulates the conditions under which animals are housed or confined, including regulation of temperature, light, ventilation, provision of water or feed, accommodation or barriers and any other environment or climatic factor on which animals are dependent for their survival and welfare;\n\n***market failure*** means the inability to access an appropriate market for the sale or processing of livestock or livestock products and includes supply chain interruptions and suspensions to market access;\n\n***stage of production***,  in relation to an animal, includes whether the animal is lactating, pregnant, at a particular stage of growth or in some other stage of production.\n\nS. 24FB inserted by No. 60/2015 s. 16.\n\n\t24FB Notice to seize and dispose of animal\n\n(1) If the Minister authorises a specialist inspector  \nto seize and dispose of an animal under section 24FA, the Minister must serve written notice of the seizure and disposal.\n\n(2) A notice under subsection (1) must be served by—\n\n(a) giving it personally to the owner of the animal; or\n\n(b) if the identity of the owner cannot be readily established or the owner cannot be readily contacted, giving it personally to the person in charge of the animal; or\n\n(c) leaving it or sending it by post to the last known residential or business address of the owner or the person in charge of the animal.\n\n(3) A notice under subsection (1) must state—\n\n(a) that a specialist inspector has been authorised by the Minister under section 24FA to enter the premises and to seize and dispose of the animal; and\n\n(b) when seizure is to occur.\n\nS. 24FC inserted by No. 60/2015 s. 16.\n\n\t24FC Actions that may be taken under authorisation under section 24FA\n\nAn authorisation under section 24FA authorises the specialist inspector named in the authorisation, with any assistance that is necessary—\n\n(a) to enter any premises at which the animal is kept (other than any part of the premises that is a person's dwelling); and\n\n(b) to seize the animal; and\n\n(c) to dispose of the animal; and\n\n(d) to retain possession of the animal, either on the premises where the animal is seized or elsewhere, until the animal is disposed of; and\n\n(e) to feed, water and otherwise care for the animal while the animal remains on the premises, and for this purpose to use any equipment on the premises.\n\nS. 24FD inserted by No. 60/2015 s. 16.\n\n\t24FD Method of disposal of animal seized under authorisation under section 24FA\n\nAny animal seized under an authorisation under section 24FA may be disposed of—\n\n(a) in the manner determined by the Minister; or\n\n(b) otherwise in accordance with Division 6.\n\nS. 24G (Heading) amended by No. 60/2015 s. 17(1).\n\nS. 24G substituted by No. 65/2007 s. 95.\n\n","sortOrder":58},{"sectionNumber":"24G","sectionType":"section","heading":"Search warrants for at risk animals on premises","content":"\t24G Search warrants for at risk animals on premises\n\n(1) A POCTA inspector, with the written approval of the Department Head, may apply to a magistrate for the issue of a search warrant in relation to premises (including residential premises), if the inspector believes on reasonable grounds that there is in or on the premises—\n\n(a) an abandoned, diseased, distressed or disabled animal; or\n\n(b) an animal, the welfare of which the inspector believes on reasonable grounds is at risk; or\n\n(c) an animal, in respect of which a contravention of section 9, 10(1), 11A, 13(1) or regulations under this Act is occurring or has occurred; or\n\n(d) an animal, in respect of which the person in charge is in contravention of an order under section 12(1) or an interstate order within the meaning of section 12A, that is registered under that section.\n\nS. 24G(2) amended by No. 6/2018 s. 68(Sch. 2 item 100.2).\n\n(2) If a magistrate is satisfied, by the evidence, on oath or by affirmation or by affidavit, of the POCTA inspector that there are reasonable grounds to believe that there is in or on the premises—\n\n(a) an abandoned, diseased, distressed or disabled animal; or\n\n(b) an animal, the welfare of which the inspector believes on reasonable grounds is at risk; or\n\n(c) an animal, in respect of which a contravention of section 9, 10(1), 11A, 13(1) or regulations under this Act is occurring or has occurred; or\n\n(d) an animal, in respect of which the person in charge is in contravention of an order under section 12(1) or an interstate order within the meaning of section 12A, that is registered under that section—\n\nthe magistrate may issue a search warrant in accordance with the **Magistrates' Court Act 1989**.\n\nS. 24G(3) amended by Nos 37/2014 s. 10(Sch. item 129.2), 60/2015 s. 17(2).\n\n(3) A search warrant issued under this section may authorise a POCTA inspector named in the warrant, or another POCTA inspector who is acting on behalf of that inspector, together with any police officer or any other person or persons named or otherwise identified in the warrant and with any necessary equipment—\n\n(b) to search for an animal, or an animal of a particular kind, named or referred to in the warrant; and\n\n(c) to seize an animal, or an animal of a particular kind, named or referred to in the warrant, and to take the animal to any place that the inspector thinks fit; and\n\n(d) to retain possession of any animal seized for the time specified in the warrant; and\n\n(e) to examine or inspect an animal, or an animal of a particular kind, named or referred to in the warrant, that is found in or on the premises, to determine if the animal requires treatment by a veterinary practitioner; and\n\n(f) to feed and water an animal, or an animal of a particular kind, named or referred to in the warrant, that is found in or on the premises; and\n\n(g) to free an animal, or an animal of a particular kind, named or referred to in the warrant, from an entanglement, tether or bog in or on the premises; and\n\n(h) to take and keep samples of or from an animal, or an animal of a particular kind, named or referred to in the warrant; and\n\n(i) to take photographs (including video recordings) or make sketches of an animal, or an animal of a particular kind, named or referred to in the warrant, or other thing on the premises; and\n\n(j) to open any container at the premises for the purpose of inspecting, or taking a sample of, its contents, but must reseal the container after the inspection is made or the sample is taken.\n\nS. 24H substituted by No. 65/2007 s. 95.\n\n","sortOrder":59},{"sectionNumber":"24H","sectionType":"section","heading":"Magistrates' Court may extend period of warrant under section 24G","content":"\t24H Magistrates' Court may extend period of warrant under section 24G\n\n(1) A POCTA inspector to whom a warrant under section 24G has been issued may apply to the Magistrates' Court, before the expiration of the time specified in the warrant for which possession of the animal may be retained, for an extension of that period.\n\n(2) The Magistrates' Court may order such an extension if it is satisfied that the retention of the animal is necessary for its welfare.\n\n(3) The Magistrates' Court may adjourn an application to enable notice of the application to be given to any person.\n\n","sortOrder":60},{"sectionNumber":"Div 4","sectionType":"division","heading":"Search for and seizure of things","content":"Division 4—Search for and seizure of things\n\nS. 24I substituted by No. 65/2007 s. 95.\n\n","sortOrder":61},{"sectionNumber":"24I","sectionType":"section","heading":"Definition","content":"\t24I Definition\n\nIn this Division ***thing*** includes animal.\n\nS. 24J substituted by No. 65/2007 s. 95.\n\n","sortOrder":62},{"sectionNumber":"24J","sectionType":"section","heading":"Seizure of things","content":"\t24J Seizure of things\n\nIf a POCTA inspector finds—\n\n(a) in a public place; or\n\n(b) on premises that the inspector is otherwise authorised to enter under this Part—\n\na thing that he or she reasonably believes has been used in connection with the commission of an offence against this Act or regulations under this Act, the inspector may do one or more of the following—\n\n(c) seize the thing;\n\n(d) inspect or examine the thing;\n\n(e) measure the thing;\n\n(f) take photographs (including video recordings) of the thing.\n\nS. 24K substituted by No. 65/2007 s. 95.\n\n","sortOrder":63},{"sectionNumber":"24K","sectionType":"section","heading":"Search warrants for premises","content":"\t24K Search warrants for premises\n\n(1) A POCTA inspector, with the written approval of the Department Head, may apply to a magistrate for the issue of a search warrant in relation to premises (including residential premises), if the inspector believes on reasonable grounds that there is in or on the premises a thing or things of a particular kind connected with a contravention of this Act or regulations under this Act.\n\nS. 24K(2) amended by Nos 60/2015 s. 18, 6/2018 s. 68(Sch. 2 item 100.2).\n\n(2) If a magistrate is satisfied, by the evidence, on oath or by affirmation or by affidavit, of the inspector that there are reasonable grounds to believe that there is a thing or things of a particular kind connected with a contravention of this Act or regulations under this Act in or on any premises, the magistrate may issue a search warrant, in accordance with the **Magistrates' Court Act 1989**, authorising a POCTA inspector named in the warrant, or another POCTA inspector who is acting on behalf of that inspector, together with any other person or persons named or otherwise identified in the warrant and with any necessary equipment—\n\n(b) to do all or any of the following—\n\n(i) search for;\n\n(ii) seize;\n\n(iii) secure against interference;\n\n(iv) examine, inspect and take and keep samples of or from;\n\n(v) take photographs (including video recordings) of—\n\na thing or things of a particular kind named or described in the warrant and which the inspector believes, on reasonable grounds, to be connected with the alleged contravention.\n\nS. 24KA inserted by No. 60/2012 s. 38.\n\n\t24KA Search warrant for premises if non-compliance with section 24ZTA\n\n(1) A POCTA inspector, with the written approval of the Department Head, may apply to a magistrate for the issue of a search warrant in relation to premises (including residential premises), if—\n\n(a) a person at the premises has not complied with a notice under section 24ZTA to produce or make a document available within the time specified in the notice; and\n\n(b) the inspector believes on reasonable grounds that the document is in or on the premises and that it is relevant to determining whether another person has committed an offence against the Act or the regulations.\n\nS. 24KA(2) amended by Nos 60/2015 s. 19, 6/2018 s. 68(Sch. 2 item 100.2).\n\n(2) If a magistrate is satisfied, by the evidence, on oath or by affirmation or by affidavit, of the inspector that there are reasonable grounds to believe that there is a document in or on the premises that is relevant to determining whether a person has committed an offence against the Act or the regulations, the magistrate may issue a search warrant, in accordance with the **Magistrates' Court Act 1989**, authorising a POCTA inspector named in the warrant, or another POCTA inspector who is acting on behalf of that inspector, together with any other person or persons named or otherwise identified in the warrant and with any necessary equipment—\n\n(b) to do all or any of the following—\n\n(i) search for;\n\n(ii) secure against interference;\n\n(iii) examine, inspect and take a copy or make an extract of—\n\nthe document named or described in the warrant and which the inspector believes, on reasonable grounds, to be relevant to determining whether a person has committed an offence against the Act or the regulations.\n\nS. 24L substituted by No. 65/2007 s. 95.\n\n","sortOrder":64},{"sectionNumber":"24L","sectionType":"section","heading":"Additional power of entry for specialist inspectors","content":"\t24L Additional power of entry for specialist inspectors\n\nA specialist inspector may, for the purposes of Part 2, this Part or regulations under this Act, and with the prior written authority of the Minister—\n\n(a) enter premises (that is not a person's dwelling), in or on which an animal or animals are housed or grouped for any purpose; and\n\n(b) inspect any animal, plant, equipment or structure on the premises; and\n\n(c) observe any practice being conducted in connection with the management of an animal or animals on the premises.\n\n","sortOrder":65},{"sectionNumber":"Div 5","sectionType":"division","heading":"General provisions as to search warrants","content":"Division 5—General provisions as to search warrants\n\nS. 24M substituted by No. 65/2007 s. 95.\n\n","sortOrder":66},{"sectionNumber":"24M","sectionType":"section","heading":"Provisions as to search warrants","content":"\t24M Provisions as to search warrants\n\nA search warrant issued under this Part must state—\n\n(a) the purpose for which the warrant is required and, in the case of a warrant under Division 4, the nature of any alleged contravention; and\n\n(b) any conditions to which the warrant is subject; and\n\n(c) whether entry is authorised to be made at any time of the day or night or during stated hours of the day or night; and\n\n(d) a day, not later than 28 days after the issue of the warrant, on which the warrant ceases to have effect.\n\nS. 24N substituted by No. 65/2007 s. 95.\n\n","sortOrder":67},{"sectionNumber":"24N","sectionType":"section","heading":"Application of Magistrates' Court Act 1989","content":"\t24N Application of Magistrates' Court Act 1989\n\n(1) Despite section 79 of the **Magistrates' Court Act 1989**, a search warrant under this Part must not authorise an inspector to arrest a person.\n\n(2) Except as provided by this Part, the rules to be observed with respect to search warrants under the **Magistrates' Court Act 1989** extend and apply to warrants under this Part.\n\nS. 24O substituted by No. 65/2007 s. 95.\n\n","sortOrder":68},{"sectionNumber":"24O","sectionType":"section","heading":"Announcement before entry","content":"\t24O Announcement before entry\n\n(1) On executing a search warrant issued under this Part the inspector executing the warrant—\n\n(a) must announce that he or she is authorised by the warrant to enter the premises; and\n\n(b) if the inspector has been unable to obtain unforced entry, must give any person at the premises or, if the premises is a vehicle, vessel or aircraft, in or in charge of the vehicle, vessel or aircraft an opportunity to allow entry to the premises, vehicle, vessel or aircraft.\n\n(2) An inspector need not comply with subsection (1) if he or she believes on reasonable grounds that immediate entry to the premises is required to ensure—\n\n(a) the safety of any person; or\n\n(b) that the effective execution of the search warrant is not frustrated.\n\nS. 24P substituted by No. 65/2007 s. 95.\n\n","sortOrder":69},{"sectionNumber":"24P","sectionType":"section","heading":"Details of warrant to be given to occupier","content":"\t24P Details of warrant to be given to occupier\n\n(1) If the occupier is present at the premises or, if the premises is a vehicle, vessel or aircraft, a person is in or in charge of the vehicle, vessel or aircraft when a search warrant issued under this Part is being executed, the inspector must—\n\n(a) identify himself or herself to the occupier or person; and\n\n(b) give to the occupier or person a copy of the warrant.\n\n(2) If the occupier is not present at the premises when a search warrant issued under this Part is being executed, the inspector must, if there is a person present at the premises, identify himself or herself to the person and give the person a copy of the warrant.\n\nS. 24Q substituted by No. 65/2007 s. 95.\n\n","sortOrder":70},{"sectionNumber":"24Q","sectionType":"section","heading":"Seizure of things not mentioned in the warrant and taking of samples","content":"\t24Q Seizure of things not mentioned in the warrant and taking of samples\n\nS. 24Q(1) amended by No. 60/2012 s. 39.\n\n(1) A search warrant issued under this Part other than under section 24KA authorises an inspector executing the warrant, in addition to the seizure of any animal or other thing of the kind described in the warrant, to seize—\n\n(a) any animal that is not described in the warrant or that is not of a kind described in the warrant, if the inspector believes, on reasonable grounds—\n\n(i) that the welfare of the animal is at risk; or\n\n(ii) that the person in charge of the animal is in contravention of an order under section 12(1) or an interstate order within the meaning of section 12A, that is registered under that section; or\n\n(iii) that the animal is of a kind that could have been included in a search warrant issued under this Part and that will afford evidence of a contravention of this Act or regulations made under this Act; or\n\n(iv) that it is necessary to seize the animal in order to prevent its concealment, loss or destruction or the contravention of this Act or regulations under this Act;\n\n(b) any thing (that is not an animal) which is not of the kind described in the warrant if the inspector believes, on reasonable grounds—\n\n(i) that the thing is of a kind that could have been included in a search warrant issued under this Part and that will afford evidence about the contravention of this Act or regulations under this Act; and\n\n(ii) that it is necessary to seize that thing in order to prevent its concealment, loss or destruction or its use in the contravention of this Act or regulations under this Act.\n\n(2) A search warrant issued under this Part authorises an inspector executing the warrant, in addition to seizing a thing of the kind described in the warrant, to take a sample of or from any thing that is not of the kind described in the warrant if the inspector believes, on reasonable grounds, that the thing is of a kind—\n\n(a) that could have been included in a search warrant issued under this Part; and\n\n(b) that will afford evidence about the contravention of this Act or regulations under this Act.\n\n","sortOrder":71},{"sectionNumber":"Div 6","sectionType":"division","heading":"Duties and powers as to seized animals","content":"Division 6—Duties and powers as to seized animals\n\nS. 24R inserted by No. 65/2007 s. 95.\n\n","sortOrder":72},{"sectionNumber":"24R","sectionType":"section","heading":"Duty to take steps to identify owner","content":"\t24R Duty to take steps to identify owner\n\nIf an animal has been seized under this Part and the identity of both the owner and the person in charge of the animal are not known to the person who seized the animal, the person who seized the animal must take reasonable steps to identify and contact the owner or person in charge of the animal.\n\nS. 24S inserted by No. 65/2007 s. 95.\n\n","sortOrder":73},{"sectionNumber":"24S","sectionType":"section","heading":"Steps to be taken where welfare of animal not at risk","content":"\t24S Steps to be taken where welfare of animal not at risk\n\n(a) if after taking all reasonable steps under section 24R, either the owner or the person in charge of the animal is able to be contacted; and\n\n(b) neither the owner nor person in charge of the animal is suspected of committing an offence against this Act or regulations under this Act; and\n\nS. 24S(1)(c) amended by No. 60/2015 s. 20(a).\n\n(c) the person who seized the animal reasonably believes that the welfare of the animal would not be at risk if the animal were returned to the owner or person in charge of the animal; and\n\n(d) application has not been made and is not proposed to be made under section 24X*—*\n\nthe inspector who seized the animal must serve a notice of seizure under this section on the person who is able to be contacted, or cause such a notice to be served in accordance with subsection (2).\n\n(2) For the purposes of subsection (1) the notice must—\n\n(a) be served either personally or by post; and\n\n(b) if the animal has been seized under a warrant issued under section 24G, be served on or before the expiry of the time for which possession of the animal may be retained under the warrant.\n\n(3) If an animal has been seized under this Part and—\n\n(a) if, after taking all reasonable steps under section 24R, both the owner and person in charge of the animal are not able to be contacted (whether or not the identity of the owner and person in charge are known); and\n\n(b) neither the owner nor person in charge of the animal is suspected of committing an offence against this Act or regulations under this Act; and\n\nS. 24S(3)(c) amended by No. 60/2015 s. 20(b).\n\n(c) the person who seized the animal reasonably believes that the welfare of the animal would not be at risk if the animal were returned to the owner or person in charge of the animal; and\n\n(d) application has not been made and is not proposed to be made under section 24X*—*\n\nthe person who seized the animal must serve a notice of seizure in accordance with subsection (4).\n\n(4) For the purposes of subsection (3), the notice must—\n\n(a) if an animal has been seized from premises, be left at the premises from which the animal has been seized or sent by post to those premises; and\n\n(b) (whether the animal has been seized from premises or in a public place) be sent by post to any last known address of the owner and of the person in charge of the animal; and\n\n(c) if the animal has been seized under a warrant under section 24G, be sent on or before the expiry of the time for which possession of the animal may be retained under the warrant.\n\n(5) For the purposes of this section, a notice of seizure is a notice in writing that sets out—\n\n(a) a description of the animal; and\n\n(b) the name of the inspector who seized the animal, the inspector's contact details and the reason why the animal has been seized; and\n\n(c) if the notice is served under subsections (1) and (2)—\n\n(i) that the animal may be recovered within 7 days after service of the notice; and\n\n(ii) that, if the animal is not recovered within 7 days after service of the notice, the animal may be disposed of in accordance with this Division; and\n\n(d) if the notice is left at or sent to premises under subsections (3) and (4)—\n\n(i) that the animal may be recovered within 14 days after the leaving or sending of the notice and the place where the animal may be recovered; and\n\n(ii) that, if the animal is not recovered within 14 days after the leaving or sending of the notice, the animal may be disposed of in accordance with this Division.\n\nS. 24T inserted by No. 65/2007 s. 95.\n\n","sortOrder":74},{"sectionNumber":"24T","sectionType":"section","heading":"Provision for recovery or disposal of animals that are not at risk","content":"\t24T Provision for recovery or disposal of animals that are not at risk\n\n(1) The owner or person in charge of an animal on whom a notice of seizure has been served under section 24S(1) and 24S(2) may recover the animal if, within 7 days of service of the notice—\n\n(a) the owner or person in charge pays the amount determined by the person or body that is retaining the animal for the reasonable costs and expenses incurred in seizing and retaining the animal until its recovery; and\n\n(b) the person or body retaining the animal reasonably believes that the animal will not be at risk on being returned to the owner or person in charge.\n\n(2) The owner or person in charge of an animal in respect of which a notice of seizure has been left at or sent to premises under section 24S(3) and 24S(4) may recover the animal if, within 14 days of notice being left at or sent to premises—\n\n(a) the owner or person in charge pays the amount determined by the person or body that is retaining the animal for the reasonable costs and expenses incurred in seizing and retaining the animal until its recovery; and\n\n(b) the person or body retaining the animal reasonably believes that the animal will not be at risk on being returned to the owner or person in charge.\n\n(3) If a notice of seizure has been left at or sent to premises under section 24S and the animal is not recovered under subsection (1) or (2), the animal may be disposed of in accordance with this Division.\n\n(4) If an animal has been seized in a public place, and—\n\n(a) the welfare of the animal is not reasonably believed to be at risk; and\n\n(b) it is not possible to send a notice to the last known address of the owner or person in charge under section 24S because both the owner and person in charge of the animal are not able to be contacted (whether or not the identity of the owner and the person in charge of the animal are known); and\n\n(c) neither the owner nor the person in charge of the animal has recovered the animal within 14 days of the seizure of the animal—\n\nthe animal may be disposed of in accordance with this Division.\n\nS. 24U inserted by No. 65/2007 s. 95.\n\n","sortOrder":75},{"sectionNumber":"24U","sectionType":"section","heading":"Steps to be taken where welfare of animal is at risk","content":"\t24U Steps to be taken where welfare of animal is at risk\n\n(a) if, after taking all reasonable steps under section 24R, either the owner or the person in charge of the animal is able to be contacted; and\n\nS. 24U(1)(b) amended by No. 60/2015 s. 21(a).\n\n(b) the person who seized the animal reasonably believes that the welfare of the animal would be at risk if the animal were returned to the owner or person in charge of the animal; and\n\n(c) application has been or is proposed to be made under section 24X*—*\n\nthe person who seized the animal must serve a notice of seizure under this section on the person who is able to be contacted, or cause such a notice to be served in accordance with subsection (2).\n\n(2) For the purposes of subsection (1), the notice must—\n\n(a) be served either personally or by post; and\n\n(b) if the animal has been seized under a warrant under section 24G, be served on or before the expiry of the time for which possession of the animal may be retained under the warrant.\n\n(3) If an animal has been seized under this Part and—\n\n(a) if, after taking all reasonable steps under section 24R, both the owner and person in charge of the animal are not able to be contacted (whether or not the identity of the owner and person in charge of the animal are known); and\n\nS. 24U(3)(b) amended by No. 60/2015 s. 21(b).\n\n(b) the person who seized the animal reasonably believes that the welfare of the animal would be at risk if the animal were returned to the owner or person in charge of the animal; and\n\n(c) application has been or is proposed to be made under section 24X—\n\nthe person who seized the animal must serve a notice of seizure in accordance with subsection (4).\n\n(4) For the purposes of subsection (3), the notice must—\n\n(a) if the animal has been seized from premises, be left at the premises from which the animal was seized or be sent by post to those premises; and\n\n(b) (whether the animal has been seized from premises or in a public place) be sent by post to any last known address of the owner and of the person in charge of the animal; and\n\n(c) if the animal has been seized under a warrant under section 24G, be sent on or before the expiry of the time for which possession of the animal may be retained under the warrant.\n\n(5) For the purposes of this section, a notice of seizure is a notice in writing that sets out—\n\n(a) a description of the animal; and\n\n(b) the name of the inspector who seized the animal, the inspector's contact details and the reason why the animal has been seized; and\n\n(c) that the animal will be disposed of in accordance with this Division if the owner or person in charge of the animal does not contact the inspector within 14 days after the notice is left at or sent to the premises.\n\nS. 24V inserted by No. 65/2007 s. 95.\n\n","sortOrder":76},{"sectionNumber":"24V","sectionType":"section","heading":"Power to retain animal for purposes of application under section 24X","content":"\t24V Power to retain animal for purposes of application under section 24X\n\nFor the purposes of making an application under section 24X, an animal that has been seized under a warrant under section 24G, may continue to be held under the warrant, despite the expiry of the time for which possession of the animal may be retained under the warrant, if notice has been served, left or sent in accordance with section 24U.\n\nS. 24W inserted by No. 65/2007 s. 95.\n\n","sortOrder":77},{"sectionNumber":"24W","sectionType":"section","heading":"Power to dispose of animal at risk not claimed by owner or person in charge","content":"\t24W Power to dispose of animal at risk not claimed by owner or person in charge\n\n(1) If an animal has been seized from premises, and the welfare of the animal is reasonably believed to be at risk, and if within 14 days of—\n\n(a) a notice being served on the owner or person in charge of the animal under section 24U(1) and 24U(2); or\n\n(b) a notice being—\n\n(i) left at the premises or sent to the premises under section 24U(3) and 24U(4); or\n\n(ii) sent by post to the last known address of the owner or person in charge  \nof the animal under section 24U(3)  \nand 24U(4) (where the address is known)—\n\nwhichever is the later—\n\nthe owner or person in charge of the animal has not contacted the inspector identified in the notice, the animal may be disposed of in accordance with this Division.\n\n(2) If an animal has been seized in a public place, and the welfare of the animal is reasonably believed to be at risk, and—\n\n(a) a notice has been served on the owner of the animal under section 24U(1) and 24U(2) and neither the owner nor person in charge of the animal has contacted the inspector identified in the notice, within 7 days of service of the notice, the animal may be disposed of in accordance with this Division; or\n\n(b) a notice has been sent by post to the last known address of the owner or person in charge of the animal under section 24U(3) and 24U(4), and neither the owner nor person in charge of the animal has contacted the inspector identified in the notice, within 14 days of the sending of the notice, the animal may be disposed of in accordance with this Division.\n\n(3) If an animal has been seized in a public place, and—\n\n(a) the welfare of the animal is reasonably believed to be at risk; and\n\n(b) it is not possible to send a notice to the last known address of the owner or person in charge under section 24U because both the owner and person in charge of the animal are not able to be contacted (whether or not the identity of the owner and the person in charge of the animal are known); and\n\n(c) neither the owner nor the person in charge of the animal has contacted the inspector who seized the animal within 14 days of the seizure—\n\nthe animal may be disposed of in accordance with this Division.\n\nS. 24X inserted by No. 65/2007 s. 95.\n\n","sortOrder":78},{"sectionNumber":"24X","sectionType":"section","heading":"Court orders as to costs and disposal of animals","content":"\t24X Court orders as to costs and disposal of animals\n\n(a) the owner or person in charge of the animal has been charged with an offence against this Act or regulations under this Act in relation to the animal; or\n\n(b) proceedings for an offence against this  \nAct or regulations under this Act have commenced, in relation to the animal, against the owner or person in charge of  \nthe animal; or\n\nS. 24X(1)(c) amended by No. 60/2012 s. 40.\n\n(c) the owner or person in charge of the animal has been found guilty of an offence against this Act or regulations under this Act in relation to any animal within the preceding 10 years; or\n\nS. 24X(1)(d) amended by No. 60/2015 s. 22(a).\n\n(d) the person who seized the animal reasonably believes that the welfare of the animal would be at risk if the animal were returned to the owner or person in charge of the animal—\n\nthe person who seized the animal may apply to the Magistrates' Court, or cause an application to be made to the Magistrates' Court for an order under this section.\n\n(2) On application under subsection (1), the Magistrates' Court may make an order as to one or more of the following—\n\n(a) if the animal is not being returned to the owner or person in charge of the animal because there are proceedings against the owner or person in charge of the animal for an offence against this Act or regulations under this Act in relation to the animal, that—\n\n(i) the owner or person in charge of the animal pay—\n\n(A) a bond or security to the applicant to provide for the care and maintenance of the animal; or\n\n(B) any identified costs for the care and maintenance of the animal—\n\nfor the whole or any part of the period of time during which the proceedings are being prosecuted; and\n\n(ii) any money left over from any payment made under paragraph (a)(i) at the end of the proceedings be repaid to the person who paid the bond or security;\n\n(b) in any case where the Court has ordered a payment under paragraph (a), that the animal be disposed of in accordance with this Division if the payment is not made in accordance with the order;\n\n(c) that the animal be disposed of in accordance with this Division if the owner or person in charge of the animal is or has been found guilty of an offence against this Act or regulations under this Act within the preceding 10 years;\n\nS. 24X(2)(d) amended by No. 60/2015 s. 22(b).\n\n(d) that the animal be disposed of in accordance with this Division if the Court reasonably believes that the welfare of the animal would be at risk if the animal were returned to the owner or person in charge of the animal;\n\n(e)  that the animal be disposed of in accordance with this Division if the Court reasonably believes that the owner or person in charge of the animal is holding the animal in contravention of an order under section 12(1) or an interstate order within the meaning of section 12A, that is registered under that section.\n\n(3) If the Court is not satisfied that an order should be made under subsection (2), the Court may order that the animal be returned to the owner or person in charge of the animal.\n\n(4) If the Court orders that the animal be returned to the owner or person in charge of the animal under subsection (3)—\n\n(a) the owner or person in charge of the animal may recover the animal within 7 days after the making of the order; and\n\n(b) if the animal is not recovered within 7 days after the making of the order, the animal may be disposed of in accordance with this Division.\n\nS. 24Y inserted by No. 65/2007 s. 95.\n\n","sortOrder":79},{"sectionNumber":"24Y","sectionType":"section","heading":"Methods of disposal of animals","content":"\t24Y Methods of disposal of animals\n\n(1) If an animal is authorised to be disposed of under this Part, the animal may be disposed of—\n\n(a) if a court has ordered the manner of disposal of the animal, in that manner; or\n\n(b) if the Minister has authorised the manner of disposal of the animal under this Part, in that manner;\n\n(c) in any case to which paragraph (a) or (b) does not apply—\n\n(i) by being sold; or\n\n(ii) by being destroyed; or\n\nS. 24Y(1)(c)(iii) amended by No. 65/2007 s. 109.\n\n(iii) by being given to a domestic animal business operating from a premises which is registered for the purposes of that business under the **Domestic Animals Act 1994**.\n\n(2) Ownership in any animal given to a domestic animal business under subsection (1)(c) passes to that business when the business takes possession of the animal.\n\nS. 24Z inserted by No. 65/2007 s. 95.\n\n","sortOrder":80},{"sectionNumber":"24Z","sectionType":"section","heading":"Power to destroy diseased or distressed animals","content":"\t24Z Power to destroy diseased or distressed animals\n\nDespite anything to the contrary in this Part, an inspector may destroy an animal seized under this Part at any time after its seizure if—\n\n(a) a veterinary practitioner has certified that the animal should be immediately destroyed on humane grounds; or\n\n(b) an inspector under the **Livestock Disease Control Act 1994** knows or reasonably suspects that the animal is diseased or infected with disease.\n\nS. 24ZAA inserted by No. 60/2015 s. 23.\n\n24ZAA Forfeiture and disposal of animals seized under section 24AA\n\n(1) Despite anything to the contrary in this Division, if a cock or dog is seized under section 24AA because of a suspected contravention of section 13(1A), the Department Head may, in accordance with this section, declare that the  \ncock or dog—\n\n(a) is forfeited to the Crown; and\n\n(b) is to be disposed of—\n\n(i) in the manner determined by the Department Head; or\n\n(ii) in accordance with this Division.\n\n(2) Before making a declaration under subsection (1), the Department Head must have regard to a report prepared by a POCTA inspector.\n\n(3) A POCTA inspector who prepares a report for the purposes of subsection (2), must consider the following—\n\n(a) the nature of the cock or dog;\n\n(b) the condition of the cock or dog;\n\n(c) whether the cock or dog is of a breed or type usually bred or used for fighting;\n\n(d) whether the owner or person in charge of the cock or dog has been identified or is likely to be identified;\n\n(e) any other relevant factor.\n\n(4) If the owner or person in charge of a cock or dog seized under section 24AA has been identified and the cock or dog has been forfeited to the Crown under this section, the Department Head must, as soon as is reasonable, cause written notice of the forfeiture to be served on the owner or person in charge.\n\n(5) A notice under subsection (4) must be served either personally or by post.\n\nS. 24ZA inserted by No. 65/2007 s. 95.\n\n\t24ZA Disposal of animal by sale\n\n(1) An animal that is to be disposed of by sale must be offered for sale by public auction or public tender.\n\n(2) The person who is selling the animal must give public notice that he or she intends to sell the animal by public auction or public tender, at least 14 days before the sale.\n\n(3) A notice under subsection (2) must include—\n\n(a) details of the location where the animal was seized;\n\n(b) the kind of animal;\n\n(c) if the animal is branded, where and how it is branded;\n\n(d) the sex and colour of the animal and any other descriptive marks;\n\n(e) the time and place of the auction, or date and time by which written tenders must be submitted.\n\nS. 24ZB inserted by No. 65/2007 s. 95.\n\n\t24ZB Costs and proceeds of sold animals\n\nS. 24ZB(1), amended by No. 60/2015 s. 24(a).\n\n(1) The proceeds of sale of an animal that is sold under this Division—\n\n(a) must first be applied to the costs incurred in any maintenance, care, removal, transport and sale of the animal; and\n\n(b) if any balance is then remaining, it must be paid—\n\nS. 24ZB  \n(1)(b)(i) amended by No. 60/2015 s. 24(b).\n\n(i) if the animal is not subject to forfeiture to the Crown, to the owner of the animal, if the owner is not a person who is in contravention of an order under section 12(1) or an interstate order within the meaning of section 12A in respect of that animal, that is registered under section 12A; or\n\n(ii) in any other case to the Consolidated Fund.\n\nS. 24ZB(2) amended by No. 35/2009 s. 108.\n\n(2) If the proceeds of the sale of an animal sold under this Division are not enough to satisfy the costs incurred in any maintenance, care, removal, transport and sale of the animal, the outstanding amount may be recovered from the owner of the animal in a court of competent jurisdiction as a civil debt recoverable summarily.\n\nS. 24ZC inserted by No. 65/2007 s. 95.\n\n\t24ZC Costs and proceeds of destroyed animals\n\n(1) Subject to subsection (2), a person who destroys an animal under this Division may recover the costs of any maintenance, care, removal, transport  and destruction of the animal from the owner of the animal in a court of competent jurisdiction as a civil debt recoverable summarily.\n\n(2) Any proceeds derived from the destruction of an animal seized under this Part, that is not subject to forfeiture to the Crown—\n\n(a) must first be applied to the costs incurred in any maintenance, care, removal, transport and destruction of the animal; and\n\n(b) if any balance is then remaining, it must be paid—\n\n(i) to the owner of the animal, if the owner is not a person who is in contravention of an order under section 12(1) or an interstate order within the meaning of section 12A in respect of that animal, that is registered under section 12A; or\n\n(ii) in any other case to the Consolidated Fund.\n\nS. 24ZD inserted by No. 65/2007 s. 95.\n\n\t24ZD Forfeiture of seized animal\n\n(1) If a person is found guilty by a court  of an offence against this Act or regulations under this Act, the court may, in addition to imposing any other penalty, order that any animal seized under this Part in relation to the offence be forfeited to the Crown if the person who has been found guilty of the offence is the owner or person in charge of the animal.\n\n(2) If a forfeited animal is destroyed or sold, the costs associated with any maintenance, care, removal and transport of the animal and the sale or destruction of the animal must be deducted before any amount remaining is paid into the Consolidated Fund.\n\nDivision 7—Duties and powers as to seized things (that are not animals)\n\nS. 24ZE inserted by No. 65/2007 s. 95.\n\n\t24ZE Definition\n\nIn this Division ***thing*** does not include animal.\n\nS. 24ZF inserted by No. 65/2007 s. 95.\n\n\t24ZF Receipt must be given for any thing seized\n\n(1) An inspector may not seize a thing under this Part that is apparently in the possession or custody of a person, unless the inspector makes out and tenders to the person a receipt for the thing seized that—\n\n(a) identifies the thing; and\n\n(b) states the name of the inspector and the reason why the thing is being seized.\n\n(2) If an inspector is unable to discover the identity of the owner or custodian of any thing seized from premises, the inspector must leave the receipt with, or post it to, the owner of the premises from which the thing was seized.\n\nS. 24ZG inserted by No. 65/2007 s. 95.\n\n\t24ZG Copies of certain seized things to be given\n\n(1) If an inspector seizes under this Part—\n\n(a) a document; or\n\n(b) a thing that can be readily copied; or\n\n(c) a storage device that contains information that can be readily copied—\n\nthe inspector must, before finishing the search, give—\n\n(d) a copy of the information, thing or device; and\n\n(e) a receipt for the thing—\n\nto the owner or custodian of the document.\n\n(2) Subsection (1) does not apply if the inspector is unable to discover the identity of the owner or custodian of the document, thing or device.\n\n(3) If it is not practicable to comply with subsection (1)(d) or (1)(e) in respect of a thing before the inspector finishes the search, the inspector must do so as soon as practicable after finishing the search.\n\n(4) In the case of a paper document, the inspector must certify on any copy of the document given to a person under this section that the copy is an accurate copy of the document.\n\n(5) A copy of a document certified under subsection (4) is to be received in all courts and tribunals as evidence of equal validity to the original.\n\nS. 24ZH inserted by No. 65/2007 s. 95.\n\n\t24ZH Access to seized things\n\n(1) If a thing is seized under this Part, the inspector who seized the thing must, if practicable, allow the person who would normally be entitled to possession of the thing reasonable access to it while it remains in the possession, or under the control, of the inspector.\n\n(2) This section does not apply—\n\n(a) if the inspector has given the person an accurate copy of the thing; or\n\n(b) if the possession, use or setting of the thing is an offence against this Act or regulations under this Act.\n\nS. 24ZI inserted by No. 65/2007 s. 95.\n\n\t24ZI Return of seized thing before commencement of proceedings\n\n(1) If a thing has been seized by an inspector under this Part and proceedings have not been commenced against a person for the commission of an offence in relation to which the thing was seized, any person who claims to be entitled to possession of the thing may apply in writing to the Magistrates' Court for an order directing the inspector to return the thing to the person.\n\n(2) If an application is made to the Magistrates' Court the applicant must, as soon as possible after filing the application at the Court, give a copy of the application to the inspector.\n\n(3) After hearing an application, the Magistrates' Court may make an order directing the inspector to return the thing to the applicant—\n\n(a) if the Court is satisfied that the thing is reasonably required by the applicant to carry on the applicant's business or occupation; and\n\n(b) the Court has considered whether the thing is reasonably likely to be tendered as evidence in proceedings for an offence against this Act or regulations under this Act.\n\n(4) The Court may include any conditions in the order that it considers appropriate including that the thing be returned for the purposes of proceedings for an offence against this Act or regulations under this Act.\n\n(5) This section does not apply to a thing, the possession, use, setting or sale of which is an offence against this Act or regulations under this Act.\n\nS. 24ZJ inserted by No. 65/2007 s. 95.\n\n\t24ZJ Return of seized things\n\nIf an inspector seizes a thing under this Part that is not a thing—\n\n(a) the possession, use, setting or sale of which is an offence against this Act or regulations under this Act; or\n\n(b) that is forfeited to the Crown under section 24ZN—\n\nthe inspector must take reasonable steps to return the thing to the person from whom it was seized—\n\n(c) within 60 days after the day on which it was seized; or\n\n(d) when the reason for its seizure no longer exists; or\n\n(e) if proceedings have commenced within 60 days after the day on which the thing was seized or any extended period under section 24ZK, the completion of those proceedings (including any appeal); or\n\n(f) on the expiry of any court order under section 24ZK that has extended the period during which the thing may be retained by the inspector—\n\nwhichever is the later.\n\nS. 24ZK inserted by No. 65/2007 s. 95.\n\n\t24ZK Magistrates' Court may extend retention period\n\n(1) Subject to subsection (2), an inspector may apply to the Magistrates' Court within 60 days after seizing a thing under this Part, or within any period extended by the Court under this section, for an extension of the period during which the inspector may retain the thing.\n\n(2) The Court may order an extension if it is satisfied that retention of the thing is necessary for the purposes of the investigation in relation to which the thing was seized.\n\n(3) The Court may adjourn an application to enable notice of the application to be given to any person.\n\n(4) In ordering an extension the Court must ensure that the period during which a thing may be retained by an inspector does not exceed 12 months after the day that it was seized.\n\nS. 24ZL inserted by No. 65/2007 s. 95.\n\n\t24ZL Dispute as to person entitled to return of seized thing\n\n(1) If a dispute arises as to whom a thing seized by an inspector under this Part should be returned, any person seeking possession of the thing may apply to the Magistrates' Court for an order that the thing be given to that person.\n\n(2) The person making the application must give notice of the application to the inspector and to every other person that the person should reasonably be aware claims, or may have a claim to, possession or ownership of the thing.\n\n(3) On receiving notice of an application relating to a thing, the inspector who seized the thing must retain possession of the thing until the application is determined, abandoned or withdrawn.\n\n(4) After hearing an application, the Magistrates' Court may order the inspector to give the thing to a particular person if it is satisfied—\n\n(a) that at the time of making the order, the person has a better claim to the possession of the thing than any other person; and\n\n(b) that every other person whom the Court reasonably believes may have had a claim for possession or ownership of the thing was given notice of the application.\n\n(5) The inspector must comply with the order.\n\n(6) Subsection (4) applies regardless of whether or not the particular person was the applicant.\n\nS. 24ZM inserted by No. 65/2007 s. 95.\n\n\t24ZM Unclaimed seized thing may be sold or destroyed\n\n(1) Any thing seized under this Part, that is not subject to forfeiture to the Crown, may be destroyed or sold under the following circumstances—\n\n(a) if the identity of the person from whom the thing was seized is known, that person—\n\n(i) has been notified in writing after the end of the period during which the thing may be retained under this Division that the thing may be claimed; and\n\n(ii) has not claimed the thing within 12 months after that notice is given; or\n\n(b) if the identity of the person from whom the thing was seized is not known, reasonable steps to identify that person have been taken and no person entitled to possession of the thing has been located within 12 months after the end of the period during which the thing may be retained under this Division.\n\n(2) The proceeds from any sale of a thing under subsection (1), less the costs associated with any maintenance, care, removal, transport and sale of the thing, are to be paid into the Consolidated Fund.\n\nS. 24ZN inserted by No. 65/2007 s. 95.\n\n\t24ZN Forfeiture of seized things\n\n(1) If a person is found guilty by a court  of an offence against this Act or regulations under this Act, the court may, in addition to imposing any other penalty, order that any thing seized under this Part that was used by the person in connection with the offence be forfeited to the Crown.\n\n(2) If a forfeited thing is sold, the costs associated with any maintenance, care, removal, transport and sale of the thing must be deducted before any amount remaining is paid into the Consolidated Fund.\n\nDivision 8—Samples\n\nS. 24ZO inserted by No. 65/2007 s. 95.\n\n\t24ZO Provisions relating to the taking and keeping of samples\n\n(1) If an inspector proposes to take a sample of or from an animal or a thing under this Part, the inspector must—\n\n(a) advise the owner or person in charge of the animal or thing, if possible before taking the sample—\n\n(i) that the sample is to be taken for the purpose of examination or analysis; and\n\n(ii) that the owner or person in charge of the animal or thing, subject to subsection (2), has a right to be given a part of the sample in accordance with paragraph (b) if the owner or person so requests; and\n\n(b) if the sample is taken for the purpose of analysis and the owner or person in charge of the animal or thing requests to be given a part of the sample, divide the sample into 3 parts and give one part to the owner or person in charge*,* one part to the analyst and keep one part untouched for future comparison.\n\n(2) Despite subsection (1)(b), a sample taken from an animal for analysis must not be divided up into parts if the inspector has been advised by a veterinary practitioner or a pathologist that division of the sample is not practicable or will adversely affect the analysis.\n\nDivision 9—Further miscellaneous powers, duties and offences\n\nS. 24ZP inserted by No. 65/2007 s. 95.\n\n\t24ZP Notice to comply\n\nS. 24ZP(1) substituted by Nos 60/2015 s. 25(1), 48/2016 s. 8.\n\n(1) If a POCTA inspector reasonably believes that a person is committing or is likely to commit an offence under Part 2 or the regulations, the POCTA inspector may issue a notice to the person requiring that person not to commit the offence or to cease committing the offence.\n\n(2) A person to whom a notice has been issued under subsection (1) must comply with the notice.\n\n1. 120 penalty units.\n\n(3) A notice issued under subsection (1) must—\n\n(b) state that it is an offence not to comply with the notice; and\n\n(c) set out the maximum penalty for the offence.\n\nS. 24ZP(4) inserted by No. 60/2015 s. 25(2).\n\n(4) In this section a reference to the regulations under this Act does not include any regulations made under Part 3.\n\nS. 24ZQ inserted by No. 65/2007 s. 95.\n\n\t24ZQ Requirement to give information to inspector during entry\n\n(1) To the extent that is reasonably necessary to determine whether an offence against this Act or regulations under this Act has been or is about to be committed, a POCTA inspector exercising a power of entry under this Part who produces his or her identity card for inspection by the occupier of the premises or an agent or employee of the occupier—\n\n(a) may require that person to give information to the inspector, orally or in writing;\n\n(b) if the power is being exercised under a warrant, may require that person to produce anything named or referred to in the warrant;\n\n(c) if the power is being exercised under section 23(1), may, on production of his or her identity card for inspection to any person in or on the premises, require the person to give such information as the inspector requests in relation to the suspected baiting, trap-shooting or luring and to answer any questions put to that person by the inspector in relation to the suspected baiting, trap-shooting or luring.\n\n(2) A person must not, without reasonable excuse, refuse or fail to comply with a requirement of an inspector under subsection (1).\n\n(3) A person must not, when giving information to a inspector under subsection (1) give information that is false or misleading.\n\nS. 24ZQA inserted by No. 60/2015 s. 26.\n\n\t24ZQA Requirement to muster, yard or secure animals\n\nA POCTA inspector may, for the purposes of exercising any power conferred on the inspector by this Part, require the owner or person in charge of an animal—\n\n(a) to muster, yard or secure that animal; or\n\n(b) to provide adequate facilities and assistance to allow the safe and efficient handling of the animal during seizure, examination or inspection of the animal or the taking of samples from the animal.\n\nS. 24ZR inserted by No. 65/2007 s. 95.\n\n\t24ZR Offences as to inspectors\n\n(1) A person must not assault, obstruct, hinder, threaten, abuse, insult, intimidate or attempt to obstruct or intimidate a POCTA inspector in the discharge of the inspector's powers under this Part.\n\n(2) A person must not refuse admission to a POCTA inspector exercising a power of entry or a person assisting a POCTA inspector in exercising a power of entry under this Part.\n\nS. 24ZR(3) amended by No. 60/2015 s. 27.\n\n(3) A person must not, without reasonable excuse, contravene or fail to comply with any direction or requirement of a POCTA inspector who is acting in the discharge of the inspector's powers under this Part.\n\nS. 24ZS inserted by No. 65/2007 s. 95.\n\n\t24ZS Offences as to veterinary practitioners etc.\n\n(1) A person must not assault, obstruct, hinder, threaten, abuse, insult, intimidate or attempt to obstruct or intimidate a veterinary practitioner  \nor superintendent of a saleyard (within the meaning of section 24D) in the discharge of that practitioner's or superintendent's powers under this Part.\n\n(2) A person must not contravene or fail to comply with any direction or requirement of a veterinary practitioner or superintendent of a saleyard (within the meaning of section 24D) who is  \nacting in the discharge of that practitioner's or superintendent's powers under this Part.\n\nS. 24ZT inserted by No. 65/2007 s. 95.\n\n\t24ZT Offence to fail to provide name and address\n\n(1) If a POCTA inspector believes, on reasonable grounds, that a person has committed an offence against this Part or Part 2, the inspector may ask the person to state his or her name and ordinary place of residence or business.\n\n(2) In making a request under subsection (1), the inspector must inform the person of the grounds for his or her belief that the person has not complied with the requirement.\n\n(3) A person must not—\n\n(a) refuse or fail to comply with a request under subsection (1) without a reasonable excuse for doing so; or\n\n(b) in response to a request under subsection (1)—\n\n(i) state a name that is false in a material particular; or\n\n(ii) state an address that is not the full and correct address of his or her ordinary place of residence or business.\n\n(4) If a person states a name and address in response to a request under subsection (1) and the inspector suspects, on reasonable grounds, that the stated name and address may be false, the inspector may request the person to produce evidence of the correctness of the name and address.\n\n(5) A person to whom a request under subsection (4) is made must comply with the request, unless he or she has a reasonable excuse for not doing so.\n\n(6) It is not an offence for a person to fail to comply with a request under subsection (1) or (4)—\n\n(a) if the inspector did not inform the person, at the time the request was made, that it is an offence to fail to comply with the request; or\n\n(b) if the inspector did not identify himself or herself in accordance with section 24ZU before making the request.\n\nS. 24ZTA inserted by No. 60/2012 s. 41.\n\n\t24ZTA Requirement to make documents available for inspection\n\n(1) A POCTA inspector, with the written approval of the Department Head, may serve a notice on a person requiring the person to produce or make available for inspection a document in the custody or possession of the person which the inspector believes on reasonable grounds to be relevant to determining whether another person has committed an offence against this Act or the regulations.\n\n(a) specify a time within which the person must produce or make the document available for inspection that is not less than 14 days after service of the notice; and\n\n(b) inform the person that it is an offence to fail to comply with the notice unless subsection (4) applies; and\n\n(c) must be served on a person either personally or by registered post at the last known address of that person.\n\n(3) The inspector may inspect, take a copy of, or make an extract of, any document produced or made available under subsection (1).\n\n(4) A person served with a notice under subsection (1) must comply with the notice within the time for compliance specified in the notice unless, in the case of a natural person, compliance with the notice would tend to incriminate the person.\n\nPenalty: 20 penalty units.\n\n(5) Section 24ZV(2) does not apply to the requirement to comply with a notice under subsection (1).\n\nS. 24ZU inserted by No. 65/2007 s. 95.\n\n\t24ZU POCTA inspectors must identify themselves\n\nA POCTA inspector must produce proof of his or her identity and official status—\n\n(a) before exercising a power under section 24ZT; and\n\n(b) at any time during the exercise of a power under section 24ZT, if asked to do so.\n\nS. 24ZV inserted by No. 65/2007 s. 95.\n\n\t24ZV Protection against self-incrimination\n\n(1) It is a reasonable excuse for a natural person to refuse or fail to give information or do any other thing that the person is required to do by or under this Part, if the giving of the information or the doing of that other thing would tend to incriminate the person.\n\n(2) Despite subsection (1), it is not a reasonable excuse for a natural person to refuse or fail to produce a document that the person is required to produce by or under this Part, if the production of the document would tend to incriminate the person.\n\nS. 24ZW inserted by No. 65/2007 s. 95.\n\n\t24ZW Power to file charges\n\nS. 24ZW(1) amended by No. 68/2009 s. 97(Sch. item 95.2).\n\n(1) A charge-sheet charging an offence under this Part or Part 2 or an offence under regulations under this Act relating to this Part or Part 2 may only be filed by—\n\nS. 24ZW(1)(a) amended by No. 37/2014 s. 10(Sch. item 129.2).\n\n(a) a police officer; or\n\n(b) a person who is authorised for that purpose by the Minister in writing and who is—\n\n(i) employed under Part 3 of the **Public Administration Act 2004**; or\n\n(ii) an officer of a council (but only in respect of an alleged offence committed in the municipal district of the council of which that person is an officer); or\n\n(iii) a full-time officer of the Royal Society for the Prevention of Cruelty to Animals.\n\n(2) An authorisation under subsection (1)(b)—\n\n(a) must not be for a period of more than 3 years; and\n\n(b) remains in force until 30 June in the year specified in the authorisation as the year in which it ceases to have effect.\n\n(3) The Minister may cancel an authorisation under subsection (1)(b).\n\nS. 24ZX inserted by No. 60/2012 s. 42.\n\n\t24ZX Conduct of proceedings\n\nIf a charge-sheet charging an offence is  \nfiled by a person authorised to do so under section 24ZW(1)(b), the proceedings for the offence may be conducted before a court by any other person authorised under that section to  \nfile a charge-sheet for such an offence.\n\nS. 24ZY inserted by No. 60/2012 s. 42.\n\n\t24ZY Court to take judicial notice\n\nAll courts must take judicial notice of the fact that a person has valid authority to file a charge-sheet charging an offence under section 24ZW(1) or to conduct proceedings for an offence under section 24ZX.\n\n","sortOrder":81},{"sectionNumber":"Part 3","sectionType":"part","heading":"Scientific procedures","content":"Part 3—Scientific procedures\n\nPt 3 Div. 1 (Heading) inserted by No. 103/2003 s. 37.\n\nDivision 1—Preliminary\n\nS. 25 amended by Nos 65/1994 s. 5(1), 58/1997 s. 96(Sch. item 7.7), 83/2001 s. 7, substituted by No. 103/2003 s. 37.\n\n","sortOrder":82},{"sectionNumber":"25","sectionType":"section","heading":"Definitions","content":"\t25 Definitions\n\nIn this Part—\n\nS. 25 def. of *animal* inserted by No. 65/2007 s. 96, amended by No. 60/2015 s. 28(a).\n\n***animal*** means—\n\n(a) a live member of a vertebrate species including any—\n\n(i) fish or amphibian that is capable of self-feeding; or\n\n(ii) reptile, bird or mammal, other than any human being or any reptile, bird or other mammal that is below the normal mid-point of gestation or incubation for the particular class of reptile, bird or mammal; or\n\n(b) a live adult decapod crustacean, that is—\n\n(i) a lobster; or\n\n(ii) a crab; or\n\n(iii) a crayfish; or\n\n(c) a live adult cephalopod including—\n\n(i) an octopus; or\n\n(ii) a squid; or\n\n(iii) a cuttlefish; or\n\n(iv) a nautilus;\n\nS. 25 def. of *authorised officer* substituted as *authorized officer* by No. 60/2012 s. 72(7), substituted as *authorised officer* by No. 71/2014 s. 5, repealed by No. 60/2015 s. 28(b).\n\n***Peer Review Committee*** means a Peer Review Committee established under section 34;\n\n***program of scientific procedures*** means a series of scientific procedures each of which is being carried out in conjunction with the others;\n\n***specified animal*** means—\n\n(a) guinea pig; and\n\n(b) rat, mouse or rabbit, other than a rat, mouse or rabbit bred in its native habitat; and\n\n(c) non-human primate.\n\nPt 3 Div. 2 (Heading) inserted by No. 103/2003 s. 37.\n\nDivision 2—Offences\n\nS. 26 amended by Nos 68/1987 s. 28, 65/1994 s. 5(2)(3), 77/1995 s. 26, 76/1998 s. 27(b), substituted by No. 103/2003 s. 37.\n\n","sortOrder":83},{"sectionNumber":"26","sectionType":"section","heading":"Offences relating to scientific procedures carried out at scientific premises","content":"\t26 Offences relating to scientific procedures carried out at scientific premises\n\nS. 26(1) amended by No. 65/2007 s. 97.\n\n(1) A person who occupies a scientific premises must not cause or allow scientific procedures to be carried out on those premises unless that person holds a scientific procedures premises licence for that premises that authorises the carrying out of those procedures.\n\nS. 26(2) amended by Nos 65/2007 s. 97, 60/2012 s. 43(1).\n\n(2) A person who occupies a premises at which scientific procedures are carried out or are proposed to be carried out must nominate a natural person to be responsible for any procedures carried out on those premises.\n\nS. 26(3) amended by Nos 65/2007 s. 97, 60/2012 s. 43(2).\n\n(3) A person nominated under subsection (2) must not cause or allow scientific procedures to be carried out at the premises for which he or she has been nominated unless the nominated person reasonably believes that the occupier of the premises is the holder of a scientific procedures premises licence for that premises that authorises the carrying out of those procedures.\n\nS. 26(4) amended by No. 65/2007 s. 97.\n\n(4) A person must not carry out a scientific procedure at a scientific premises unless the person carrying out the procedure reasonably believes that the occupier of the premises is the holder of a scientific procedures premises licence for that premises that authorises the carrying out of those procedures.\n\nS. 27 amended by No. 77/1995 s. 27, substituted by No. 103/2003 s. 37.\n\n","sortOrder":84},{"sectionNumber":"27","sectionType":"section","heading":"Offences relating to scientific procedures carried out outside scientific premises","content":"\t27 Offences relating to scientific procedures carried out outside scientific premises\n\nS. 27(1) amended by No. 65/2007 s. 98.\n\n(1) A person must not—\n\n(b) cause or allow a scientific procedure or program of scientific procedures to be carried out on that person's behalf—\n\nat any place that is not a scientific premises unless the person is—\n\n(c) the holder of a scientific procedures field work licence; or\n\n(d) the holder of a scientific procedures premises licence that authorises the carrying out of that work.\n\nS. 27(1A) inserted by No. 60/2015 s. 29.\n\n(1A) A person who holds a scientific procedures field work licence must not—\n\n(b) cause or allow another to carry out a scientific procedure or a program of scientific procedures on that person's behalf—\n\nat any place that is not a scientific premises unless the person nominates a natural person to be responsible for any procedures carried out under the licence.\n\nPenalty: 120 penalty units or imprisonment for 12 months, in the case of a natural person.\n\nS. 27(1B) inserted by No. 60/2015 s. 29.\n\n(1B) A person nominated under subsection (1A) (***nominee***) must not carry out any scientific procedure or program of scientific procedures or cause or allow any scientific procedure or program of scientific procedures to be carried out at a place that is not a scientific premises unless the nominee reasonably believes the person who nominated the nominee holds a scientific procedures field work licence that authorises the nominating person to—\n\n(a) carry out the scientific procedure or program of scientific procedures at that place; or\n\n(b) cause or allow the scientific procedure or program of scientific procedures to be carried out at that place.\n\nS. 27(2) amended by No. 65/2007 s. 98.\n\n(2) A person must not—\n\n(b) allow a scientific procedure or program of scientific procedures to be carried out—\n\non another person's behalf at any place that is not a scientific premises unless the person who so carries out or allows procedures to be carried out reasonably believes that the person on whose behalf the procedure or program is being carried out is—\n\n(c) the holder of a scientific procedures field work licence; or\n\n(d) the holder of a scientific procedures premises licence that authorises the carrying out of the procedure or program.\n\nS. 28 amended by Nos 77/1995 s. 28, 76/1998 s. 27(b), substituted by No. 103/2003 s. 37.\n\n","sortOrder":85},{"sectionNumber":"28","sectionType":"section","heading":"Offences relating to breeding of specified animals for use in scientific procedures","content":"\t28 Offences relating to breeding of specified animals for use in scientific procedures\n\nS. 28(1) amended by No. 65/2007 s. 99.\n\n(1) A person who occupies premises must not cause or allow specified animals to be bred on the premises for the purposes of use in scientific procedures, unless the person is the holder of a specified animals breeding licence.\n\nS. 28(1A) inserted by No. 60/2015 s. 30.\n\n(1A) A person who occupies premises must not cause or allow specified animals to be bred on the premises for the purposes of use in scientific procedures unless the person nominates a natural person to be responsible for the breeding of those animals.\n\nPenalty: 20 penalty units, in the case of a natural person.\n\nS. 28(1B) inserted by No. 60/2015 s. 30.\n\n(1B) A person nominated under subsection (1A) (***nominee***) must not cause or allow specified animals to be bred for the purpose of use in scientific procedures on the premises for which the nominee has been nominated unless the nominee reasonably believes that the person who nominated the nominee holds a specified animals breeding licence that authorises specified animals to be bred on those premises for the purposes of use in scientific procedures.\n\nPenalty: 20 penalty units.\n\nS. 28(2) amended by No. 65/2007 s. 99.\n\n(2) A person must not breed specified animals on any premises for the purposes of use in scientific procedures unless the person who breeds the animals reasonably believes that the occupier of the premises is the holder of a specified animals breeding licence.\n\n(3) This section does not apply to breeding of specified animals at any scientific premises if the breeding is being carried out for the purposes of scientific procedures being carried out at that premises under a scientific procedures premises licence.\n\nPt 3 Div. 3 (Heading) inserted by No. 103/2003 s. 37.\n\nDivision 3—Scientific procedures premises licences\n\nS. 29 amended by Nos 77/1995 s. 29, 76/1998 s. 27(b), substituted by No. 103/2003 s. 37.\n\n","sortOrder":86},{"sectionNumber":"29","sectionType":"section","heading":"Grant of a scientific procedures premises licence","content":"\t29 Grant of a scientific procedures premises licence\n\nThe Department Head may licence a person who occupies a scientific premises to cause or allow scientific procedures to be carried out—\n\n(a) on those premises; or\n\n(b) on behalf of the holder of the licence, at any other place specified in the licence.\n\nS. 29A inserted by No. 60/2015 s. 31.\n\n","sortOrder":87},{"sectionNumber":"29A","sectionType":"section","heading":"Considerations for grant of scientific procedures premises licence","content":"\t29A Considerations for grant of scientific procedures premises licence\n\nIn granting a scientific procedures premises licence the Department Head may have regard to the following matters—\n\n(b) if the applicant is a body corporate, whether or not each director or officer of the body corporate who does or may exercise control over the activities carried out under the licence is a fit and proper person to be a director or officer of such a licence holder;\n\nS. 30 amended by No. 77/1995  \ns. 30(1)(a)(b), substituted by No. 103/2003 s. 37.\n\n","sortOrder":88},{"sectionNumber":"30","sectionType":"section","heading":"Application for a scientific procedures licence","content":"\t30 Application for a scientific procedures licence\n\n(1) A person who is the occupier of a scientific premises may apply to the Department Head for the grant of a scientific procedures premises licence.\n\n(3) An applicant must give the Department Head any further information relating to the application that the Department Head requests.\n\nS. 31  \nrepealed by No. 65/1994  \ns. 4, new s. 31 inserted by No. 103/2003 s. 37, amended by Nos 60/2015 s. 32(1), 48/2016 s. 9.\n\n","sortOrder":89},{"sectionNumber":"31","sectionType":"section","heading":"Duration of scientific procedures premises licences","content":"\t31 Duration of scientific procedures premises licences\n\nA scientific procedures premises licence remains in force for the period that is specified in the licence, which must not be more than 4 years from the issue or renewal of the licence.\n\nS. 31(2) repealed by No. 60/2015 s. 32(2).\n\nS. 32 amended by Nos 65/1994 s. 5(4), 77/1995 s. 30(2), substituted by No. 103/2003 s. 37.\n\n","sortOrder":90},{"sectionNumber":"32","sectionType":"section","heading":"Conditions on scientific procedures premises licences","content":"\t32 Conditions on scientific procedures premises licences\n\n(1) A scientific procedures premises licence is subject to any conditions—\n\nS. 32(2) amended by No. 65/2007 s. 100.\n\nS. 32(3) amended by No. 65/2007 s. 100.\n\n(3) A person who is carrying out a scientific procedure under a scientific procedures premises licence must comply with the conditions to which the licence is subject.\n\nS. 32(4) inserted by No. 60/2015 s. 33.\n\n(4) A person nominated under section 26(2) in respect of a scientific procedures premises licence must take all reasonable steps to ensure that any scientific procedure that is carried out under the licence is carried out in compliance with the licence conditions.\n\nPt 3 Div. 4 (Heading and ss 32A–32D) inserted by No. 103/2003 s. 37.\n\nDivision 4—Scientific procedures field work licences\n\nS. 32A inserted by No. 103/2003 s. 37.\n\n","sortOrder":91},{"sectionNumber":"32A","sectionType":"section","heading":"Grant of a scientific procedures field work licence","content":"\t32A Grant of a scientific procedures field work licence\n\nThe Department Head may licence a person—\n\n(a) to carry out a scientific procedure or a program of scientific procedures; or\n\n(b) to cause or allow a scientific procedure or a program of scientific procedures to be carried out—\n\noutside scientific premises.\n\nS. 32AB inserted by No. 60/2015 s. 34.\n\n\t32AB Considerations for grant of scientific procedures field work licence\n\nIn granting a scientific procedures field work licence the Department Head may have regard to the following matters—\n\n(b) if the applicant is a body corporate, whether or not each director or officer of the body corporate who does or may exercise control over the activities carried out under the licence is a fit and proper person to be a director or officer of such a licence holder;\n\nS. 32B inserted by No. 103/2003 s. 37.\n\n","sortOrder":92},{"sectionNumber":"32B","sectionType":"section","heading":"Application for a scientific procedures field work licence","content":"\t32B Application for a scientific procedures field work licence\n\n(1) A person may apply to the Department Head for the grant of a scientific procedures field work licence.\n\n(3) An applicant must give the Department Head any further information relating to the application that the Department Head requests.\n\nS. 32C inserted by No. 103/2003 s. 37, amended by Nos 60/2015 s. 35(1), 48/2016 s. 10.\n\n","sortOrder":93},{"sectionNumber":"32C","sectionType":"section","heading":"Duration of scientific procedures field work licences","content":"\t32C Duration of scientific procedures field work licences\n\nA scientific procedures field work licence remains in force for the period that is specified in the licence, which must not be more than 4 years from the issue or renewal of the licence.\n\nS. 32C(2) repealed by No. 60/2015 s. 35(2).\n\nS. 32D inserted by No. 103/2003 s. 37.\n\n","sortOrder":94},{"sectionNumber":"32D","sectionType":"section","heading":"Conditions on scientific procedures field work licences","content":"\t32D Conditions on scientific procedures field work licences\n\n(1) A scientific procedures field work licence is subject to any conditions—\n\nS. 32D(2) amended by No. 65/2007 s. 101.\n\nS. 32D(3) amended by No. 65/2007 s. 101.\n\n(3) A person who is carrying out a scientific procedure under a scientific procedures field work licence must comply with the conditions to which the licence is subject.\n\nS. 32D(4) inserted by No. 60/2015 s. 36.\n\n(4) A person nominated under section 27(1A) in respect of a scientific procedures field work licence must take all reasonable steps to ensure that any scientific procedure that is carried out under the licence is carried out in compliance with the licence conditions.\n\nPt 3 Div. 5 (Heading and ss 32E–32H) inserted by No. 103/2003 s. 37.\n\nDivision 5—Specified animals breeding licences\n\nS. 32E inserted by No. 103/2003 s. 37.\n\n","sortOrder":95},{"sectionNumber":"32E","sectionType":"section","heading":"Grant of a specified animals breeding licence","content":"\t32E Grant of a specified animals breeding licence\n\nThe Department Head may licence a person who occupies premises to cause or allow specified animals to be bred on the premises for the purposes of use in scientific procedures.\n\nS. 32EA inserted by No. 60/2015 s. 37.\n\n\t32EA Considerations for grant of specified animals breeding licence\n\nIn granting a specified animals breeding licence the Department Head may have regard to the following matters—\n\n(b) if the applicant is a body corporate, whether or not each director or officer of the body corporate who does or may exercise control over the activities carried out under the licence is a fit and proper person to be a director or officer of such a licence holder;\n\nS. 32F inserted by No. 103/2003 s. 37.\n\n","sortOrder":96},{"sectionNumber":"32F","sectionType":"section","heading":"Application for a specified animals breeding licence","content":"\t32F Application for a specified animals breeding licence\n\n(1) A person who is the occupier of a premises may apply to the Department Head for the grant of a specified animals breeding licence.\n\n(3) An applicant must give the Department Head any further information relating to the application that the Department Head requests.\n\nS. 32G inserted by No. 103/2003 s. 37, amended by Nos 60/2015 s. 38(1), 48/2016 s. 11.\n\n","sortOrder":97},{"sectionNumber":"32G","sectionType":"section","heading":"Duration of specified animals breeding licence","content":"\t32G Duration of specified animals breeding licence\n\nA specified animals breeding licence remains in force for the period that is specified in the licence, which must not be more than 4 years from the issue or renewal of the licence.\n\nS. 32(G)(2) repealed by No. 60/2015 s. 38(2).\n\nS. 32H inserted by No. 103/2003 s. 37.\n\n","sortOrder":98},{"sectionNumber":"32H","sectionType":"section","heading":"Conditions on specified animals breeding licence","content":"\t32H Conditions on specified animals breeding licence\n\n(1) A specified animals breeding licence is subject to any conditions—\n\nS. 32H(2) amended by No. 65/2007 s. 102.\n\nS. 32H(3) amended by No. 65/2007 s. 102.\n\n(3) A person who is breeding specified animals under a specified animals breeding licence must comply with the conditions to which the licence is subject.\n\nS. 32H(4) inserted by No. 60/2015 s. 39.\n\n(4) A person nominated under section 28(1A) in respect of a specified animals breeding licence must take all reasonable steps to ensure that any breeding of specified animals that is carried out under the licence is carried out in compliance with the licence conditions.\n\nPt 3 Div. 6 (Heading and ss 32I–32R) inserted by No. 103/2003 s. 37.\n\nDivision 6—General licensing provisions\n\nS. 32I inserted by No. 103/2003 s. 37.\n\n","sortOrder":99},{"sectionNumber":"32I","sectionType":"section","heading":"Power of Department Head to renew licences","content":"\t32I Power of Department Head to renew licences\n\nOn the expiration of a licence granted under this Part, the Department Head may renew the licence.\n\nS. 32IA inserted by No. 60/2015 s. 40.\n\n\t32IA Considerations for renewal of licence\n\nIn renewing a licence under this Part the Department Head may have regard to the following matters—\n\n(a) if the licence holder is a natural person, whether or not the licence holder is a fit and proper person to hold the licence;\n\n(b) if the licence holder is a body corporate, whether or not each director or officer of the body corporate who does or may exercise control over the activities carried out under the licence is a fit and proper person to be a director or officer of the body corporate that holds the licence;\n\n(c) whether or not the licence holder has been convicted or found guilty of an offence under this Act or the regulations;\n\n(d) whether or not the licence holder has failed to comply with a licence condition;\n\n(e) any other relevant matter.\n\nS. 32J inserted by No. 103/2003 s. 37.\n\n","sortOrder":100},{"sectionNumber":"32J","sectionType":"section","heading":"Application to renew a licence","content":"\t32J Application to renew a licence\n\n(1) Before a licence granted under this Part expires, the holder may apply to the Department Head for the renewal of the licence.\n\n(3) An applicant under this section must give to the Department Head any further information relating to the application that the Department Head requests.\n\nS. 32J(4) inserted by No. 60/2015 s. 41.\n\n(4) A licence that was in force on the making of an application under this section, but which expires before the Department Head makes the decision as to whether or not to renew the licence, is taken to continue in force, despite that expiry, until the Department Head makes the decision.\n\nS. 32K inserted by No. 103/2003 s. 37.\n\n","sortOrder":101},{"sectionNumber":"32K","sectionType":"section","heading":"Power of the Department Head to vary licences","content":"\t32K Power of the Department Head to vary licences\n\nThe Department Head may, either on the application of the holder of a licence issued under this Part, or on the Department Head's own motion—\n\n(a) vary such a licence; or\n\n(b) vary a condition on such a licence, other than a prescribed condition.\n\nS. 32L inserted by No. 103/2003 s. 37.\n\n","sortOrder":102},{"sectionNumber":"32L","sectionType":"section","heading":"Variation of licence on the motion of the Department Head","content":"\t32L Variation of licence on the motion of the Department Head\n\n(1) Before—\n\n(a) varying a licence issued under this Part; or\n\n(b) varying a condition on such a licence—\n\nof his or her own motion under section 32K, the Department Head must—\n\n(c) notify the holder of the licence; and\n\n(d) allow the holder an opportunity to make written submissions.\n\n(2) Submissions under subsection (1) must be made within the time period specified in the notice.\n\n(3) In making a decision as to whether or not to vary a licence under section 32K, the Department Head must—\n\n(a) have regard to submissions made within the period for making submissions; and\n\n(b) notify the holder of his or her decision.\n\n(4) A variation to which subsection (1) applies has effect from the time specified in the notice under subsection (3).\n\nS. 32LA inserted by No. 60/2015 s. 42.\n\n\t32LA Considerations for variation of a licence on the motion of the Department Head\n\nIn making a decision as to whether or not to vary a licence under section 32K, the Department Head may have regard to the following matters—\n\n(a) if the licence holder is a natural person, whether or not the licence holder is a fit and proper person to hold the licence as unvaried;\n\n(b) if the licence holder is a body corporate, whether or not each director or officer of the body corporate who does or may exercise control over the activities carried out under the licence is a fit and proper person to be a director or officer of the body corporate that holds the licence as unvaried;\n\n(c) whether or not the licence holder has been convicted or found guilty of an offence under this Act or the regulations;\n\n(d) whether or not the licence holder has failed to comply with a licence condition;\n\n(e) any other relevant matter.\n\nS. 32M inserted by No. 103/2003 s. 37.\n\n","sortOrder":103},{"sectionNumber":"32M","sectionType":"section","heading":"Application to vary a licence","content":"\t32M Application to vary a licence\n\n(1) The holder of a licence issued under this Part may apply to the Department Head for—\n\n(a) variation of the licence; or\n\n(b) variation of a condition of the licence.\n\n(3) An applicant under subsection (1) must give to the Department Head any further information relating to the application that the Department Head requests.\n\nS. 32N inserted by No. 103/2003 s. 37.\n\n","sortOrder":104},{"sectionNumber":"32N","sectionType":"section","heading":"Suspension of licence and notice of proposal to cancel","content":"\t32N Suspension of licence and notice of proposal to cancel\n\n(1) If the Department Head is satisfied that there may be grounds for cancelling a licence issued under this Part, the Department Head may suspend that licence.\n\n(2) The Department Head must serve notice of the suspension of the licence on the holder of the licence either personally or by post.\n\n(3) A notice under subsection (2) must—\n\n(a) state that the licence is suspended; and\n\n(b) state that the Department Head is satisfied that there are grounds for the cancellation of the licence; and\n\n(c) set out those grounds; and\n\n(d) set out the time within which written submissions on the proposed cancellation of the licence may be made to the Department Head.\n\n(4) A suspension under this section remains in force until—\n\n(a) if the Department Head decides to cancel the licence, the coming into effect of that cancellation; or\n\n(b) if the Department Head decides not to cancel the licence, the making of that decision.\n\n(5) The holder of a licence whose licence is suspended under this section is deemed not to be the holder of a licence for the period of the suspension.\n\nS. 32O inserted by No. 103/2003 s. 37.\n\n","sortOrder":105},{"sectionNumber":"32O","sectionType":"section","heading":"Making of submissions on suspension","content":"\t32O Making of submissions on suspension\n\n(1) The holder of a licence issued under this Part whose licence has been suspended under section 32N may make written submissions on the proposal to cancel the licence.\n\n(2) Submissions made under subsection (1) must be made within the time fixed by the Department Head under section 32N(3)(d).\n\nS. 32P inserted by No. 103/2003 s. 37.\n\n","sortOrder":106},{"sectionNumber":"32P","sectionType":"section","heading":"Power of the Department Head to cancel a licence","content":"\t32P Power of the Department Head to cancel a licence\n\nIf, after considering any submissions made within the time fixed for making submissions under section 32N(3)(d), the Department Head is satisfied that—\n\n(a) in the case of a licence holder who is a natural person, the licence holder is not a fit and proper person to hold the licence; or\n\nS. 32P(b) amended by No. 60/2015 s. 43.\n\n(b) in the case of a licence holder who is a body corporate, any director or officer of the body corporate who does or may exercise control over the activities carried out under the licence is not a fit and proper person to be a director or officer of such a licence holder; or\n\n(c) the licence holder has failed to comply with a condition of the licence; or\n\n(d) the licence holder has been found guilty of an offence against this Act or the regulations—\n\nthe Department Head may cancel the licence.\n\nS. 32Q inserted by No. 103/2003 s. 37.\n\n","sortOrder":107},{"sectionNumber":"32Q","sectionType":"section","heading":"Notice of Department Head's decision","content":"\t32Q Notice of Department Head's decision\n\n(1) The Department Head must give notice to the holder of a licence that has been suspended under section 32N of the Department Head's decision under section 32P and set out reasons for that decision in the notice.\n\n(2) A notice under subsection (1) must be served on the licence holder within 28 days after the expiry of the date for the making of submissions under section 32N(3)(d).\n\nS. 32R inserted by No. 103/2003 s. 37.\n\n","sortOrder":108},{"sectionNumber":"32R","sectionType":"section","heading":"Coming into effect of cancellation","content":"\t32R Coming into effect of cancellation\n\nCancellation of a licence by the Department Head has effect from the time at which notice of the cancellation is served on the licence holder.\n\nPt 3 Div. 7 (Heading) inserted by No. 103/2003 s. 37.\n\nDivision 7—Miscellaneous\n\nS. 33 amended by Nos 65/1994  \ns. 5(5)(a)(b), 77/1995  \ns. 31, substituted by No. 52/1998  \ns. 311(Sch. 1 item 75).\n\n","sortOrder":109},{"sectionNumber":"33","sectionType":"section","heading":"Review by Victorian Civil and Administrative Tribunal","content":"\t33 Review by Victorian Civil and Administrative Tribunal\n\nS. 33(1) amended by No. 76/1998  \ns. 27(b), substituted by No. 103/2003 s. 38.\n\n(1) A person whose interests are affected by the relevant decision, may apply to the Victorian Civil and Administrative Tribunal for review of—\n\n(a) a decision refusing to grant or renew a scientific procedures premises licence, scientific procedures field work licence or a specified animals breeding licence; or\n\n(b) a decision to impose conditions on such a licence; or\n\n(c) a decision to cancel or suspend such a licence.\n\n(2) An application for review must be made within 28 days after the later of—\n\n(a) the day on which the decision is made;\n\n(b) if, under the **Victorian Civil and Administrative Tribunal Act 1998**, the person requests a statement of reasons for the decision, the day on which the statement of reasons is given to the person or the person is informed under section 46(5) of that Act that a statement of reasons will not be given.\n\nS. 34 amended by No. 103/2003 s. 39, substituted by No. 60/2015 s. 44.\n\n","sortOrder":110},{"sectionNumber":"34","sectionType":"section","heading":"Peer Review Committees","content":"\t34 Peer Review Committees\n\n(1) The Minister may establish and determine terms of reference for a Peer Review Committee to review any aspect of any scientific procedure, scientific research or animal breeding that is being or is proposed to be carried out under a licence under Part 3.\n\n(2) The Minister may appoint not less than 5 persons as members of the Committee of whom—\n\n(a) one must be a person with experience in the area of animal welfare; and\n\n(b) the remainder must be persons, each of whom has expert skill or knowledge in an area which is relevant to the procedure, research or breeding being reviewed.\n\n(3) A person must not obstruct or fail to give any reasonable assistance to—\n\n(a) a Peer Review Committee when the Committee is exercising its functions; or\n\n(b) a member of a Committee when the member is exercising the member's functions as a member of the Committee.\n\nPenalty: 20 penalty units, in the case of a natural person.\n\n100 penalty units, in the case of a body corporate.\n\nS. 35 (Heading) amended by No. 71/2014 s. 6(1).\n\n","sortOrder":111},{"sectionNumber":"35","sectionType":"section","heading":"Authorised officers","content":"\t35 Authorised officers\n\nS. 35(1) amended by No. 71/2014 s. 6(2).\n\n(1) The Minister may in writing appoint any person whom the Minister considers to have appropriate qualifications to be an authorised officer for the purposes of this Part generally or for any specific purpose under this Part specified in the instrument of appointment.\n\nS. 35(2) amended by No. 71/2014 s. 6(2).\n\n(2) The appointment of an authorised officer remains in force for a period—\n\n(a) specified in the instrument of appointment; and\n\n(b) of not more than three years expiring on 30 June in the year that it ceases to have force.\n\nS. 35(3) amended by No. 71/2014 s. 6(2).\n\n(3) The Minister may cancel the appointment of an authorised officer.\n\nS. 35(4) amended by No. 71/2014 s. 6(2).\n\n(4) The Minister must issue every authorised officer with an identification certificate in the prescribed form.\n\nS. 35(5) amended by No. 71/2014 s. 6(2).\n\n(5) When on duty an authorised officer must on demand produce that certificate.\n\nS. 35(6) amended by No. 71/2014 s. 6(3).\n\n(6) A person who impersonates an authorised officer named in an identification certificate or falsely pretends to be an authorised officer is guilty of an offence.\n\nS. 35(7) amended by Nos 57/1989 s. 3(Sch. item 161.1), 103/2003 s. 40, 68/2009 s. 97(Sch. item 95.3), 71/2014 s. 6(4), repealed by No. 60/2015 s. 45.\n\nS. 35(8) amended by Nos 57/1989 s. 3(Sch. item 161.2), 68/2009 s. 97(Sch. item 95.4), 71/2014 s. 6(4), repealed by No. 60/2015 s. 45.\n\nS. 35A (Heading) amended by No. 71/2014 s. 7(1).\n\nS. 35A inserted by No. 60/2012 s. 44.\n\n","sortOrder":112},{"sectionNumber":"35A","sectionType":"section","heading":"Offences as to authorised officers","content":"\t35A Offences as to authorised officers\n\nS. 35A(1) amended by No. 71/2014 s. 7(2).\n\n(1) A person must not, without reasonable excuse, obstruct or hinder or attempt to obstruct or hinder an authorised officer in the discharge of his or her powers, duties or functions under this Part.\n\nS. 35A(2) amended by No. 71/2014 s. 7(3).\n\n(2) For the purposes of subsection (1), a reasonable excuse includes the failure of the authorised officer to inform the person of the existence of the offence before the authorised officer attempted to exercise the power or carry out the duty or function under this Part.\n\nS. 35A(3) amended by No. 71/2014 s. 7(3).\n\n(3) A person must not, without reasonable excuse, refuse admission to an authorised officer exercising a power of entry or a person assisting an authorised officer in exercising a power of entry under this Part.\n\nS. 35A(4) amended by No. 71/2014 s. 7(4).\n\n(4) A person must not, without reasonable excuse, contravene or fail to comply with any direction or requirement of an authorised officer who is acting in the discharge of his or her powers under this Part.\n\n","sortOrder":113},{"sectionNumber":"36","sectionType":"section","heading":"Offences","content":"\t36 Offences\n\nS. 36(1) amended by Nos 77/1995 s. 30(3), 103/2003 s. 41, 65/2007 s. 103(1), 60/2012 s. 45, 60/2015 s. 46(1).\n\n(1) A person who does or omits to do any act with the result that unreasonable pain or suffering is caused to any animal kept at a premises in respect of which a licence has been issued under this Part or used for the purpose of carrying out a scientific procedure, is guilty of an offence and is liable to a penalty of not more than, in the case of a natural person, 240 penalty units or imprisonment for 12 months, or, in the case of a body corporate, 600 penalty units.\n\nS. 36(2) amended by Nos 77/1995 s. 30(3), 65/2007 s. 103(2), 60/2015 s. 46(2).\n\n(2) A person who carries out any surgical operation on an animal unless—\n\n(a) during the entire length of the operation, the animal is under the influence of an anaesthetic so as to be insensible to any pain it might otherwise have suffered; and\n\n(b) the operation is carried out in accordance with any relevant Code of Practice—\n\nis guilty of an offence and is liable to a penalty of not more than, in the case of a natural person, 240 penalty units or imprisonment for 12 months, or, in the case of a body corporate, 600 penalty units.\n\nS. 36(3) amended by Nos 77/1995 s. 30(3), 65/2007 s. 103(3), 60/2015 s. 46(3).\n\n(3) If an animal has been so injured in the course of a scientific procedure that it would seriously suffer if it remained alive, a person who fails to destroy the animal painlessly is guilty of an offence  \nand is liable to a penalty of not more than, in the case of a natural person, 500 penalty units or imprisonment for 2 years, or, in the case of a  \nbody corporate, 1200 penalty units.\n\nS. 37  \nrepealed by No. 65/2007 s. 104.\n\nPt 3AA (Headings and ss 36A–36V) inserted by No. 60/2015 s. 47.\n\nPart 3AA—Enforcement for Part 3\n\nDivision 1—Monitoring compliance\n\nS. 36A inserted by No. 60/2015 s. 47.\n\n","sortOrder":114},{"sectionNumber":"36A","sectionType":"section","heading":"Entry to monitor compliance","content":"\t36A Entry to monitor compliance\n\n(1) For the purpose of monitoring compliance with Part 3, regulations made under Part 3, an order made by a court or tribunal under Part 3 or regulations made under Part 3 or a licence granted under Part 3 an authorised officer may enter and search any premises—\n\n(a) specified in a licence under Part 3 or connected with scientific procedures or programs to which the licence relates; or\n\n(b) at which the authorised officer believes on reasonable grounds that a person is keeping a record or document that—\n\n(i) is required to be kept by Part 3 or regulations made under Part 3; or\n\n(ii) may show whether or not Part 3 or regulations made under Part 3 are being complied with; or\n\n(c) which the authorised officer suspects on reasonable grounds are used—\n\n(i) for the carrying out of any scientific procedure; or\n\n(ii) for the breeding of specified animals.\n\n(2) An authorised officer may enter and search premises under subsection (1) with the assistance of any person necessary to provide assistance to the authorised officer.\n\n(3) An authorised officer who enters and searches premises under subsection (1) may do all or any of the following—\n\n(a) examine and inspect any animal found on the premises;\n\n(b) examine and test the premises and any equipment or any other thing found on the premises that is of a kind used in connection with any activity required to be licensed under Part 3;\n\n(c) observe any practice being conducted in connection with the management of animals on the premises;\n\n(d) seize any thing (that is not an animal) found on the premises or secure any thing found on the premises against interference, if the authorised officer believes on reasonable grounds that the thing is connected with a contravention of Part 3 or regulations made under Part 3;\n\n(e) in the case of any document on the premises, do all or any of the following—\n\n(i) require the document to be produced for examination;\n\n(ii) examine, make copies of or take extracts from the document, or arrange for the making of copies or the taking of extracts;\n\n(iii) remove the document for so long as is reasonably necessary to make copies or take extracts from the document;\n\n(f) make any still or moving image or audio‑visual recording;\n\n(g) take and keep samples of any thing found on the premises, if the authorised officer believes on reasonable grounds that the thing is connected with a contravention of Part 3 or regulations made under Part 3;\n\n(h) bring any equipment onto the premises that the authorised officer believes on reasonable grounds is necessary for the examination or processing of things (including documents) found at the premises in order to determine whether they are things that may be seized under this section.\n\n(4) A power under this section—\n\n(a) must not be exercised on any part of the premises that is a person's dwelling; and\n\n(b) must not be exercised at a time that is unreasonable.\n\n(5) If a power under this section is being exercised for the purpose of preparing a compliance report, the power must not be exercised unless the authorised officer has given the licence holder at least 24 hours written notice of the exercise of the power.\n\nDivision 2—Searches and seizure under warrant\n\nS. 36B inserted by No. 60/2015 s. 47.\n\n","sortOrder":115},{"sectionNumber":"36B","sectionType":"section","heading":"Application for search warrant","content":"\t36B Application for search warrant\n\n(1) An authorised officer may apply to a magistrate for the issue of a search warrant in relation to premises if the authorised officer believes on reasonable grounds that there is on the premises any thing, or kind of thing, connected with a contravention of Part 3 or regulations made under Part 3.\n\n(2) An application under subsection (1) must be made with the written approval of the Department Head.\n\nS. 36C inserted by No. 60/2015 s. 47.\n\n","sortOrder":116},{"sectionNumber":"36C","sectionType":"section","heading":"Search warrant","content":"\t36C Search warrant\n\nS. 36C(1) amended by No. 6/2018 s. 68(Sch. 2 item 100.2).\n\n(1) If a magistrate is satisfied by the evidence, on oath or by affirmation or by affidavit, that there is on the premises specified in an application under section 36B any thing, or kind of thing, connected with a contravention of Part 3 or regulations made under Part 3, the magistrate may issue the search warrant applied for in accordance with the **Magistrates' Court Act 1989**.\n\n(2) A search warrant issued under subsection (1) may authorise a person authorised in the warrant to execute the warrant to do any of the following—\n\n(a) to enter the premises specified in the warrant;\n\n(b) to search for any thing, or kind of thing, named or described in the warrant;\n\n(c) to seize any thing, or kind of thing, (other than an animal) named or described  \nin the warrant which the authorised officer believes, on reasonable grounds, to be connected with the alleged contravention;\n\n(d) to do all or any of the following in relation  \nto any thing that is, or is of a kind, named or described in the warrant and which the authorised officer believes, on reasonable grounds, to be connected with the alleged contravention—\n\n(i) secure the thing against interference;\n\n(ii) examine, inspect and take and keep samples of or from the thing;\n\n(e) in the case of any document, or document of a particular kind, named or described in the warrant, if the authorised officer believes, on reasonable grounds, that the document is connected with the alleged contravention—\n\n(i) require the document to be produced for inspection;\n\n(ii) examine, make copies or take extracts from the document, or arrange for the making of copies or the taking of extracts;\n\n(iii) remove the document for so long as is reasonably necessary to make copies or take extracts from the document;\n\n(f) make any still or moving image or audio‑visual recording of any thing of a particular kind named or described in the warrant, if the authorised officer believes on reasonable grounds that it is connected with the alleged contravention.\n\n(3) A search warrant issued under subsection (1)—\n\n(a) may authorise an authorised officer to execute the warrant; and\n\n(b) may authorise any other person named or otherwise identified in the warrant to assist the authorised officer to execute the warrant.\n\nS. 36D inserted by No. 60/2015 s. 47.\n\n","sortOrder":117},{"sectionNumber":"36D","sectionType":"section","heading":"Seizure and samples of things not mentioned in the warrant","content":"\t36D Seizure and samples of things not mentioned in the warrant\n\n(1) A search warrant issued under this Division authorises an authorised officer executing the warrant, in addition to seizing any thing or kind of thing named or described in the warrant, to seize any thing that is not an animal if the authorised officer believes on reasonable grounds—\n\n(a) that the thing is of a kind that could have been included in a search warrant issued under this Division and that will afford evidence about a contravention of Part 3 or regulations made under Part 3; and\n\n(b) that it is necessary to seize the thing in order to prevent its concealment, loss or destruction or its use in the contravention of Part 3 or regulations made under Part 3.\n\n(2) A search warrant issued under this Division authorises an authorised officer executing the warrant, in addition to seizing any thing or kind of thing named or described in the warrant, to take a sample of or from any thing (including from an animal), if the authorised officer believes, on reasonable grounds, that—\n\n(a) the thing is of a kind that could have been included in a search warrant issued under this Division; and\n\n(b) the sample will afford evidence about a contravention of Part 3 or regulations made under Part 3.\n\nDivision 3—Duties and powers as to seized things\n\nS. 36E inserted by No. 60/2015 s. 47.\n\n","sortOrder":118},{"sectionNumber":"36E","sectionType":"section","heading":"Requirements for search warrants","content":"\t36E Requirements for search warrants\n\nSections 24M, 24N, 24O and 24P apply to a search warrant issued under Division 2 as if a reference in those sections—\n\n(a) to a warrant issued under Division 4 of Part 2A (however described) were a reference to a warrant issued under Division 2; and\n\nS. 36F inserted by No. 60/2015 s. 47.\n\n","sortOrder":119},{"sectionNumber":"36F","sectionType":"section","heading":"Requirements for seizure of things and taking samples","content":"\t36F Requirements for seizure of things and taking samples\n\n(1) Division 7 of Part 2A applies to the seizure of a thing under this Part as if a reference in that Division—\n\n(a) to Part 2A (however described) were a reference to this Part; and\n\n(2) Division 8 of Part 2A applies to a proposal by an authorised officer to take a sample from an animal or thing under this Part as if a reference in that Division—\n\n(a) to that Division or to Part 2A (however described) were a reference to this Part; and\n\nDivision 4—Notices\n\nS. 36G inserted by No. 60/2015 s. 47.\n\n","sortOrder":120},{"sectionNumber":"36G","sectionType":"section","heading":"Notice to comply","content":"\t36G Notice to comply\n\n(1) If an authorised officer reasonably believes that a person is committing or is likely to commit an offence under Part 3 or regulations made under Part 3, the authorised officer may give a notice to the person requiring the person not to commit the offence or to cease committing the offence.\n\n(2) A person to whom a notice has been given under subsection (1) must comply with the notice.\n\nPenalty: 120 penalty units in the case of a natural person;\n\n(3) A notice under subsection (1) must—\n\n(b) state that it is an offence not to comply with the notice and set out the maximum penalty for the offence; and\n\n(c) set out the nature of the offence that it is reasonably believed is being or is about to be committed including any provisions of Part 3, regulations made under Part 3, any licence condition or any code of practice that wholly or partly constitutes the offence; and\n\n(d) set out—\n\n(i) any action that the person to whom the notice is directed must take or cause to be taken in relation to the offence or apprehended offence; and\n\n(ii) the time within which the action must be taken; and\n\n(e) set out any other action that must be taken by the person to whom the notice is issued, whether as to the condition of animals, premises or other things under the custody or control of the person, so as to ensure the person complies with any of the following that the person is required to comply with—\n\n(i) any provision of Part 3;\n\n(ii) any regulations made under Part 3;\n\n(iii) any licence condition;\n\n(iv) any code of practice; and\n\n(f) set out any action the Department Head may take under this Division if the notice is not complied with within the specified time.\n\nS. 36H inserted by No. 60/2015 s. 47.\n\n","sortOrder":121},{"sectionNumber":"36H","sectionType":"section","heading":"Notice as to treatment, destruction etc. of animal","content":"\t36H Notice as to treatment, destruction etc. of animal\n\n(1) On or after entering a premises under this Part, an authorised officer may give a notice to the person in charge of an animal on the premises, if the authorised officer reasonably believes that it is necessary to do so, requiring the person to do any of the following that is necessary to the animal—\n\n(a) destroy the animal;\n\n(b) treat the animal;\n\n(c) house and feed the animal as required by the regulations.\n\n(2) A person to whom a notice has been given under subsection (1) must comply with the notice.\n\nPenalty: 120 penalty units in the case of a natural person.\n\n(3) A notice under subsection (1) must—\n\n(b) state that it is an offence not to comply with the notice and set out the maximum penalty for the offence; and\n\n(c) set out—\n\n(i) the action that the person is required to take; and\n\n(ii) the time within which the action must be taken; and\n\n(d) set out any action the Department Head may take under this Division if the notice is not complied with within the specified time.\n\nS. 36I inserted by No. 60/2015 s. 47.\n\n","sortOrder":122},{"sectionNumber":"36I","sectionType":"section","heading":"Commencement of proceeding not prevented","content":"\t36I Commencement of proceeding not prevented\n\nThe issue of a notice under this Division does not prevent a proceeding being commenced or continued in relation to an offence set out in the notice.\n\nS. 36J inserted by No. 60/2015 s. 47.\n\n","sortOrder":123},{"sectionNumber":"36J","sectionType":"section","heading":"Department Head may take action where notice not complied with","content":"\t36J Department Head may take action where notice not complied with\n\n(1) The Department Head may do anything necessary to carry out any action that a person is directed to take by a notice under this Division, if the person fails to take the action within the time specified in the notice.\n\n(2) The Department Head may recover, from the person to whom the notice was directed, any reasonable costs of taking action under subsection (1) as a debt due to the Crown in a court of competent jurisdiction.\n\nDivision 5—Adverse publicity orders\n\nS. 36K inserted by No. 60/2015 s. 47.\n\n","sortOrder":124},{"sectionNumber":"36K","sectionType":"section","heading":"Court may make adverse publicity order","content":"\t36K Court may make adverse publicity order\n\n(1) If a court convicts a person or finds a person guilty of an offence against section 32(2), 32D(2) or 32H(2), the court may make an order requiring the person to take all or any of the following actions—\n\n(a) to publicise, in the way specified in the order—\n\n(i) the offence; and\n\n(ii) any consequences of the offence; and\n\n(iii) any penalty imposed or other order made on the conviction or finding of guilt of the offence; and\n\n(iv) if any information as to any work or procedures related to the offence has been published, an erratum or corrigendum as to that work;\n\n(b) to notify, in the way specified in the order, any person or class of person of the matters listed in paragraph (a);\n\n(c) to require the person to review the carrying out of any procedure, research or process of a kind that was the subject of the offence.\n\n(2) The court must not make an order under subsection (1) unless it is satisfied that the costs of complying with the order do not exceed the maximum penalty amount that the court may impose on the offender for the offence concerned.\n\n(3) The court may make an order under subsection (1) in addition to or instead of—\n\n(a) imposing a penalty on the offender; or\n\n(b) making any other order that the court may make in relation to the offence.\n\n(4) In an order under subsection (1) the court—\n\n(a) may specify the time within which any action required by the order must be taken; and\n\n(b) may specify any other requirement that is necessary or expedient for the order to be effective.\n\n(5) The court may make an order under subsection (1) on its own initiative or on the application of the person bringing the proceeding.\n\nS. 36L inserted by No. 60/2015 s. 47.\n\n","sortOrder":125},{"sectionNumber":"36L","sectionType":"section","heading":"Action Department Head may take on finding of contempt","content":"\t36L Action Department Head may take on finding of contempt\n\n(1) If a person is found in contempt of court for failing to comply with an adverse publicity order, the Department Head may—\n\n(a) do anything that is necessary or expedient to give effect to the order, if it is practicable to do so; and\n\n(b) publicise the failure of the person to comply with the order.\n\n(2) The Department Head must not take any action specified under subsection (1) if the court has ordered the Department Head not to do so.\n\nS. 36M inserted by No. 60/2015 s. 47.\n\n","sortOrder":126},{"sectionNumber":"36M","sectionType":"section","heading":"Department Head may give notice of intent to act on failure to comply with order","content":"\t36M Department Head may give notice of intent to act on failure to comply with order\n\n(1) If a person fails to comply with an adverse publicity order within the time specified in the order, the Department Head may give the person written notice advising the person that the Department Head intends to take action to give effect to the order.\n\n(2) A notice under subsection (1) must specify—\n\n(a) the action that is needed to give effect to the order; and\n\n(b) a time within which the person must respond to the notice; and\n\n(c) the effect of and process required under section 36N.\n\n(3) This section does not apply if section 36L applies.\n\nS. 36N inserted by No. 60/2015 s. 47.\n\n","sortOrder":127},{"sectionNumber":"36N","sectionType":"section","heading":"Action to be taken if response to notice not satisfactory","content":"\t36N Action to be taken if response to notice not satisfactory\n\nIf the person either—\n\n(a) does not give a response to the notice under section 36M to the Department Head within 14 days of receiving the notice; or\n\n(b) does give a response as required under paragraph (a), but does not act as agreed on when responding—\n\nthe Department Head may—\n\n(c) take the action specified in the notice, if it is practicable to do so; and\n\n(d) publicise the failure of the person to comply with the order.\n\nS. 36O inserted by No. 60/2015 s. 47.\n\n","sortOrder":128},{"sectionNumber":"36O","sectionType":"section","heading":"Action for contempt","content":"\t36O Action for contempt\n\nNothing in sections 36M and 36N prevents contempt of court proceedings from being commenced or continued against a person who has failed to comply with an adverse publicity order.\n\nS. 36P inserted by No. 60/2015 s. 47.\n\n","sortOrder":129},{"sectionNumber":"36P","sectionType":"section","heading":"Recovery of costs","content":"\t36P Recovery of costs\n\nThe Department Head may recover from the person required to comply with the adverse publicity order any reasonable costs incurred in taking action under section 36L(1)(a) or (b) or 36N(c) or (d) in any court of competent jurisdiction as a debt due to the Crown.\n\nDivision 6—Further offences and powers\n\nS. 36Q inserted by No. 60/2015 s. 47.\n\n","sortOrder":130},{"sectionNumber":"36Q","sectionType":"section","heading":"Requirement to give information to authorised officer during entry","content":"\t36Q Requirement to give information to authorised officer during entry\n\n(1) To the extent that is reasonably necessary to determine whether Part 3 or regulations made under Part 3 have been, are being or are about to be contravened, an authorised officer exercising a power of entry of premises under this Part, who produces the authorised officer's identification certificate for inspection by a person at the premises—\n\n(a) may require that person to give information to the authorised officer, orally or in writing; and\n\n(b) if the power is being exercised under a warrant, may require that person to produce any thing that is or is of a kind named or described in the warrant.\n\n(2) A person must not, without reasonable excuse, refuse or fail to comply with a requirement of an authorised officer under subsection (1).\n\n(3) A person must not, when giving information to an authorised officer under subsection (1), give information that is false or misleading.\n\nS. 36R inserted by No. 60/2015 s. 47.\n\n","sortOrder":131},{"sectionNumber":"36R","sectionType":"section","heading":"Protection against self-incrimination","content":"\t36R Protection against self-incrimination\n\n(1) It is a reasonable excuse for a natural person to refuse or fail to give information or do any other thing that the person is required to do by or under Part 3 or this Part, if the giving of the information or the doing of that other thing would tend to incriminate the person.\n\n(2) Despite subsection (1), it is not a reasonable excuse for a natural person to refuse or fail to produce a document that the person is required to produce by or under Part 3 or this Part, if the production of the document would tend to incriminate the person.\n\nS. 36S inserted by No. 60/2015 s. 47.\n\n","sortOrder":132},{"sectionNumber":"36S","sectionType":"section","heading":"Power to file charges","content":"\t36S Power to file charges\n\n(1) Subject to the purposes specified in the instrument of appointment of an authorised officer, the officer has the power to file a charge-sheet charging an offence under this Part or Part 3 or an offence under the regulations made under those Parts.\n\n(2) Only an authorised officer may file a charge-sheet charging an offence under this Part or Part 3 or an offence under the regulations made under those Parts.\n\nDivision 7—Preparation of and fees for compliance reports\n\nS. 36T inserted by No. 60/2015 s. 47.\n\n","sortOrder":133},{"sectionNumber":"36T","sectionType":"section","heading":"Power to prepare compliance report","content":"\t36T Power to prepare compliance report\n\nThe Department Head may prepare a compliance report in respect of the holder of a licence under Part 3.\n\nS. 36U inserted by No. 60/2015 s. 47.\n\n","sortOrder":134},{"sectionNumber":"36U","sectionType":"section","heading":"Imposing fees for compliance reports","content":"\t36U Imposing fees for compliance reports\n\n(1) The Department Head may impose on the holder of a licence under Part 3 a fee for—\n\n(a) the carrying out of an entry and search under section 36A for the purpose of preparing a compliance report; and\n\n(b) the preparation of such a report.\n\n(2) A fee imposed under subsection (1) must be of an amount that is prescribed or of an amount that is determined in the prescribed manner.\n\nS. 36V inserted by No. 60/2015 s. 47.\n\n","sortOrder":135},{"sectionNumber":"36V","sectionType":"section","heading":"Payment of fee","content":"\t36V Payment of fee\n\n(1) A fee imposed under section 36U is payable within 60 days after the day on which the compliance report is given to the licence holder.\n\n(2) A fee imposed under section 36U may be recovered in any court of competent jurisdiction as a debt due to the Crown.\n\nPt 3A (Heading and ss 37A–37H) inserted by No. 103/2003 s. 42.\n\n","sortOrder":136},{"sectionNumber":"Part 3A","sectionType":"part","heading":"Infringement notices","content":"Part 3A—Infringement notices\n\nS. 37A inserted by No. 103/2003 s. 42.\n\n","sortOrder":137},{"sectionNumber":"37A","sectionType":"section","heading":"Power to serve a notice","content":"\t37A Power to serve a notice\n\n(1) An authorised officer may serve an infringement notice on any person that he or she has reason to believe has committed—\n\n(a) an offence against section 15A(2); or\n\n(b) a prescribed offence against the regulations.\n\n(2) In this Part a reference to an \"authorised officer\" is a reference to—\n\nS. 37A(2)(a) amended by Nos 60/2012 s. 72(8), 71/2014 s. 8(1).\n\n(a) in the case of an offence relating to a scientific procedure (within the meaning of Part 3) an authorised officer, within the meaning of section 25; and\n\nS. 37A(2)(b) substituted by No. 71/2014 s. 8(2).\n\n(b) in any other case, a POCTA inspector.\n\nS. 37A(3) substituted by No. 32/2006 s. 94(Sch. item 39(1)).\n\n(3) An offence referred to in subsection (1) for which an infringement notice may be served is an infringement offence within the meaning of the **Infringements Act 2006** and the penalty for that offence is the prescribed infringement penalty in respect of that offence.\n\nS. 37B inserted by No. 103/2003 s. 42, substituted by No. 32/2006 s. 94(Sch. item 39(2)).\n\n","sortOrder":138},{"sectionNumber":"37B","sectionType":"section","heading":"Form of notice","content":"\t37B Form of notice\n\nFor the purposes of section 37A, an infringement notice must be in the form required by the **Infringements Act 2006** and may contain any additional information approved by the Department Head.\n\nSs 37C–37H inserted by No. 103/2003 s. 42, repealed by No. 32/2006 s. 94(Sch. item 39(3)).\n\n","sortOrder":139},{"sectionNumber":"Part 3B","sectionType":"part","heading":"(Heading and new ss 37C–37F) inserted by No. 60/2015 s. 48.","content":"Part 3B (Heading and new ss 37C–37F) inserted by No. 60/2015 s. 48.\n\nPart 3B—Animals in Research and Teaching Welfare Fund\n\nNew s. 37C inserted by No. 60/2015 s. 48.\n\n","sortOrder":140},{"sectionNumber":"37C","sectionType":"section","heading":"Animals in Research and Teaching Welfare Fund","content":"\t37C Animals in Research and Teaching Welfare Fund\n\nThere is established in the Public Account as part of the Trust Fund an account to be known as the Animals in Research and Teaching Welfare Fund.\n\nNew s. 37D inserted by No. 60/2015 s. 48.\n\n","sortOrder":141},{"sectionNumber":"37D","sectionType":"section","heading":"Payments into the Fund","content":"\t37D Payments into the Fund\n\nThere is to be paid into the Animals in Research and Teaching Welfare Fund—\n\n(a) any fee imposed by the Department Head under Division 7 of Part 3AA; and\n\n(b) any interest received on money in the Fund or investments made under section 37E; and\n\n(c) any money appropriated for the purpose from the Consolidated Fund.\n\nNew s. 37E inserted by No. 60/2015 s. 48.\n\n","sortOrder":142},{"sectionNumber":"37E","sectionType":"section","heading":"Investment of money in the Fund","content":"\t37E Investment of money in the Fund\n\nMoney in the Animals in Research and Teaching Welfare Fund may be invested in accordance with the **Trustee Act 1958** or in any other manner that the Treasurer directs.\n\nNew s. 37F inserted by No. 60/2015 s. 48.\n\n","sortOrder":143},{"sectionNumber":"37F","sectionType":"section","heading":"Payment of money out of the Fund","content":"\t37F Payment of money out of the Fund\n\nOn the recommendation of the Minister, money may be paid out of the Animals in Research and Teaching Welfare Fund for the purpose of an exercise of any power, a performance of any duty or a carrying out of any function by the Minister, Department Head or an authorised officer under Part 3, Part 3AA or Part 3A.\n\n","sortOrder":144},{"sectionNumber":"Part 4","sectionType":"part","heading":"Miscellaneous","content":"Part 4—Miscellaneous\n\n","sortOrder":145},{"sectionNumber":"38","sectionType":"section","heading":"Delegation","content":"\t38 Delegation\n\nS. 38(1) amended by No. 65/2007 s. 105.\n\n(1) The Minister may by instrument of delegation delegate to any person any power, duty or function of the Minister under this Act or regulations under this Act other than this power of delegation.\n\nS. 38(2) amended by Nos 77/1995 s. 32, 76/1998  \ns. 27(b), 65/2007 s. 105.\n\n(2) The Department Head may by instrument of delegation delegate to any person any power, duty or function of the Department Head under this Act or regulations under this Act other than this power of delegation.\n\n","sortOrder":146},{"sectionNumber":"39","sectionType":"section","heading":"Evidence","content":"\t39 Evidence\n\nIn any legal proceedings under this Act—\n\n(a) the production of a copy of the Government Gazette containing any matters required by or under this Act to be published in the Government Gazette is conclusive evidence of those matters; and\n\n(b) in the absence of evidence to the contrary, proof is not required of—\n\nS. 39(b)(i) substituted by No. 71/2014 s. 9(a).\n\n(i) the approval of a person as a POCTA inspector; or\n\nS. 39(b)(ii) amended by Nos 77/1995 s. 33, 46/1998  \ns. 7(Sch. 1).\n\n(ii) the appointment of any other employee in the Department for the purposes of this Act; or\n\nS. 39(b)(iii) amended by Nos 71/2014 s. 9(b), 60/2015 s. 49.\n\n(iii) the authority of any authorised officer to take proceedings for an offence of a class referred to in that section; or\n\nS. 39(b)(iv) amended by No. 71/2014 s. 9(c).\n\n(iv) the authority of any person authorised under section 24ZW to take proceedings for an offence of a class referred to in that section.\n\nS. 40 amended by Nos 57/1989 s. 3(Sch. item 161.3(a)(b)), 68/2009 s. 97(Sch. item 95.5), 71/2014 s. 10.\n\n","sortOrder":147},{"sectionNumber":"40","sectionType":"section","heading":"Neglect to prosecute","content":"\t40 Neglect to prosecute\n\nIf a person who filed a charge-sheet charging an offence under this Act or the regulations does not appear at the hearing or in any other way fails to proceed with the prosecution, the court hearing the alleged offence may authorise another person to take or continue the proceedings for that offence, whether upon that charge-sheet or not.\n\n","sortOrder":148},{"sectionNumber":"41","sectionType":"section","heading":"Liability for offences","content":"\t41 Liability for offences\n\n(1) If two or more persons are guilty of an offence under this Act or the regulations each of those persons is liable to the penalty for that offence without affecting the liability of any other person.\n\n(2) Any person who aids or abets the commission of an offence under this Act or the regulations is guilty of the offence.\n\nS. 41(3)(4) repealed by No. 65/2007 s. 106.\n\n(5) If this Act provides or the regulations provide that a person, being a partnership or an unincorporated body, is guilty of an offence, that reference to a person is to be construed as a reference to each member of the partnership or of the committee of management of the unincorporated body (as the case may be).\n\nS. 41(6) amended by No. 57/1989 s. 3(Sch. item 161.4(a)(b)), repealed by No. 65/2007 s. 106.\n\nS. 41AA inserted by No. 65/2007 s. 107.\n\n\t41AA Offences by bodies corporate\n\n(1) If a body corporate contravenes any provision of this Act, each officer of the body corporate is deemed to have contravened the same provision if the officer knowingly authorised or permitted the contravention.\n\n(2) A person may be proceeded against and convicted under a provision in accordance with subsection (1) whether or not the body corporate has been proceeded against under that provision.\n\n(3) Nothing in this section affects any liability imposed on a body corporate for an offence committed by the body corporate against this Act.\n\nS. 41AB inserted by No. 65/2007 s. 107.\n\n\t41AB Conduct by officers, employees or agents\n\n(1) If, in any proceedings under this Act, it is necessary to establish the state of mind of a body corporate in relation to particular conduct, it is sufficient to show—\n\n(a) that the conduct was engaged in by an officer of that body corporate within the scope of the officer's actual or apparent authority and the officer had that state of mind; or\n\n(b) that the conduct was engaged in by an agent of the body corporate and—\n\n(i) the agent acted at the specific direction or with the specific consent or agreement of the body corporate; and\n\n(ii) the agent had that state of mind; and\n\n(iii) the body corporate was aware of the agent's state of mind when the conduct was engaged in.\n\n(2) For the purposes of any proceedings under this Act, any conduct engaged in on behalf of a body corporate is deemed to have been engaged in also by the body corporate if the conduct was engaged in by—\n\n(a) an officer of the body corporate within the scope of the officer's actual or apparent authority; or\n\n(b) any other person at the specific direction or with the specific consent or agreement of an officer of the body corporate, if the giving of the direction, consent or agreement is within the scope of the actual or apparent authority of the officer.\n\n(3) If, in any proceedings under this Act, it is necessary to establish the state of mind of a person other than a body corporate in relation to particular conduct, it is sufficient to show—\n\n(a) that the conduct was engaged in by an employee of that person within the scope of the employee's actual or apparent authority and the employee had that state of mind; or\n\n(b) that the conduct was engaged in by an agent of the person and—\n\n(i) the agent acted at the specific direction or with the specific consent or agreement of the person; and\n\n(ii) the agent had that state of mind; and\n\n(iii) the person was aware of the agent's state of mind when the conduct was engaged in.\n\n(4) For the purposes of any proceedings under this Act, any conduct engaged in on behalf of a person other than a body corporate (***the principal***) is deemed to have been engaged in also by the principal if the conduct was engaged in by—\n\n(a) an employee of the principal within the scope of the employee's actual or apparent authority; or\n\n(b) any other person at the specific direction or with the specific consent or agreement of an employee of the principal, if the giving of the direction, consent or agreement is within the scope of the actual or apparent authority of the employee.\n\n(5) A reference in this section to the state of mind of a person includes a reference to the knowledge, intention, opinion, belief or purpose of the person and the person's reasons for the intention, opinion, belief or purpose.\n\nS. 41AC (Heading) amended by No. 68/2009 s. 97(Sch. item 95.6)\n\nS. 41AC inserted by No. 65/2007 s. 107, amended by Nos 68/2009 s. 97(Sch. item 95.7), 17/2016 s. 19.\n\n\t41AC Time for charging certain offences under this Act\n\nDespite anything to the contrary in section 7(1) of the **Criminal Procedure Act 2009**, proceedings for any offence under section 9, section 10, section 13, Part 3 or any regulations relating to Part 3 may be commenced within the period of three years after the date on which the alleged offence was committed.\n\nS. 41A inserted by No. 103/2003 s. 43.\n\n","sortOrder":149},{"sectionNumber":"41A","sectionType":"section","heading":"Council employees etc. not subject to offence for giving information","content":"\t41A Council employees etc. not subject to offence for giving information\n\nS. 41A(1) amended by No. 9/2020 s. 390(Sch. 1 item 79).\n\n(1) If—\n\nS. 41A(1)(a) amended by No. 60/2015 s. 50.\n\n(a) an officer, employee or contractor of a Council gives the name and address of an owner of land or of an animal to a POCTA inspector or an authorised officer for the purposes of enabling the inspector or authorised officer to exercise a power under this Act; and\n\n(b) the officer, employee or contractor has obtained that information in the course of his or her employment with the Council or under his or her contract with the Council (as the case requires)—\n\nthe officer, employee or contractor does not commit any offence under the **Local Government Act 2020**, regulations or local laws made under that Act or any other law in so doing.\n\nS. 41A(2) amended by No. 9/2020 s. 390(Sch. 1 item 79).\n\n(2) In this section ***Council*** has the same meaning as in the **Local Government Act 2020**.\n\n","sortOrder":150},{"sectionNumber":"42","sectionType":"section","heading":"Regulations","content":"\t42 Regulations\n\n(1) The Governor in Council may make regulations for or with respect to any of the following matters—\n\nS. 42(1)(a) amended by Nos 77/1995 s. 34(a), 71/2014 s. 11(1), 60/2015 s. 51(1).\n\n(a) prescribing forms (including the form of an identification certificate of a POCTA inspector or an authorised officer and the form of orders to be issued by authorised officers requiring the destruction, treatment, housing or feeding of any animal);\n\nS. 42(1)(b) substituted by No. 65/2007 s. 108(1)(a).\n\n(b) traps, including but not limited to the following—\n\n(i) the nature, dimensions and features of traps;\n\n(ii) the use of traps;\n\n(iii) the purposes for which and the places in which traps may be used;\n\n(c) the conditions under which animals may be kept in captivity, including the sizes of enclosures and cages;\n\nS. 42(1)(d) amended by No. 69/2004 s. 49(5), substituted by No. 65/2007 s. 108(1)(b).\n\n(d) rodeo licences, rodeo school permits and rodeo permits, including, but not limited to—\n\n(i) granting or issuing licences or permits; or\n\n(ii) conditions on licences or permits; or\n\n(iii) applications for licences or permits;\n\nS. 42(1)(da) inserted by No. 65/2007 s. 108(1)(b).\n\n(da) the conduct of rodeos or the operation of rodeo schools, including, but not limited to obligations imposed on persons who—\n\n(i) participate in; or\n\n(ii) conduct or operate; or\n\n(iii) assist in the conduct or operation of; or\n\n(iv) are otherwise involved in—\n\nrodeos or rodeo schools;\n\nS. 42(1)(e) substituted by No. 103/2003 s. 44(1)(a).\n\n(e) applications for and the grant of licences under Part 3, including requirements to be satisfied before the grant of such licences;\n\nS. 42(1)(ea) inserted by No. 103/2003 s. 44(1)(a).\n\n(ea) standards for—\n\n(i) facilities and equipment at; and\n\n(ii) scientific procedures to be carried out at—\n\nany premises to which a licence granted under Part 3 applies; and\n\nS. 42(1)(eb) inserted by No. 103/2003 s. 44(1)(a).\n\n(eb) conditions on licences granted under Part 3;\n\nS. 42(1)(f) amended by Nos 77/1995 s. 34(b), 76/1998  \ns. 27(b).\n\n(f) the particulars to be contained in any records, reports or returns for the purposes of this Act and the intervals at which a copy of any such record, report or return must be sent to the Department Head;\n\nS. 42(1)(g) amended by No. 103/2003 s. 44(1)(b).\n\n(g) regulating the lighting, ventilation, air temperature, cleaning, drainage, water supply, maintenance and management of any premises to which a licence granted under Part 3 applies and the cleansing and maintenance of all fixtures, appliances, instruments and utensils at or any other things connected or used with those things at any premises to which a licence granted under Part 3 applies;\n\nS. 42(1)(h) substituted by No. 103/2003 s. 44(1)(c).\n\n(h) the minimum requirements for the training, experience and academic qualifications of a person in charge of any premises to which a licence granted under Part 3 applies;\n\nS. 42(1)(i) repealed by No. 65/1994 s. 5(6).\n\nS. 42(1)(j) substituted by No. 103/2003 s. 44(1)(d), repealed by No. 65/2007 s. 108(1)(c).\n\nS. 42(1)(k) substituted by No. 103/2003 s. 44(1)(e).\n\n(k) membership of animal ethics committees and the operation of such committees;\n\nS. 42(1)(l) amended by No. 103/2003 s. 44(1)(f).\n\n(l) prohibiting absolutely or in part certain scientific procedures or imposing conditions on or regulating the carrying out of the whole or part of any such procedures;\n\nS. 42(1)(m) amended by No. 103/2003 s. 44(1)(g).\n\n(m) prescribing—\n\n(i) purposes for the purposes of paragraph (f); and\n\n(ii) any or any type of procedure, test, experiment, inquiry, investigation or study for the purposes of paragraph (j)—\n\nof the definition of ***scientific procedure*** in section 3;\n\nS. 42(1)(n) repealed by No. 103/2003 s. 44(1)(h).\n\nS. 42(1)(na) inserted by No. 83/2001 s. 8, substituted by No. 103/2003 s. 44(2).\n\n(na) prohibiting or regulating—\n\n(i) any medical or veterinary procedure conducted on animals; or\n\n(ii) any method of capture of animals; or\n\n(iii) any method or procedure of transport of animals—\n\nthat may cause injury, suffering or distress to animals;\n\nS. 42(1)(nb) inserted by No. 83/2001 s. 8, substituted by No. 103/2003 s. 44(2), amended by No. 60/2015 s. 51(2).\n\n(nb) prohibiting or regulating the possession or use of any implement, equipment, device or thing that may cause injury, suffering or distress in an animal;\n\nS. 42(1)(nc) inserted by No. 83/2001 s. 8, repealed by No. 103/2003 s. 44(2) new s. 42(1)(nc) inserted by No. 60/2015 s. 51(3).\n\n(nc) fees for the grant, issue or renewal of licences or permits under this Act, which may include fees—\n\n(i) for the cost of administration of licences or permits; and\n\n(ii) for the provision of services in relation to licences or permits; and\n\n(iii) for the performing of functions or the carrying out of duties in relation to licences or permits;\n\nS. 42(1)(nd) inserted by No. 60/2015 s. 51(3).\n\n(nd) fees—\n\n(i) for the carrying out of entries and searches under section 36A for the purpose of preparing compliance reports; and\n\n(ii) for the preparation of compliance reports;\n\nS. 42(1)(ne) inserted by No. 60/2015 s. 51(3).\n\n(ne) fees for anything else done under this Act or the regulations;\n\n(o) generally prescribing any matter or thing required or permitted by this Act to be prescribed or necessary to be prescribed to give effect to this Act.\n\n(2) The regulations—\n\n(a) may be of general or limited application; and\n\n(b) may differ according to differences in time, place or circumstance; and\n\nS. 42(2)(c) amended by Nos 103/2003 s. 44(3), 65/2007 s. 108(2).\n\n(c) may impose penalties not exceeding 20 penalty units for a contravention of or an offence under the regulations; and\n\n(d) may apply, adopt or incorporate (with or without modification)—\n\n(i) the provisions of any document, code, standard, rule, specification or method formulated, issued, prescribed or published by any authority or body whether as formulated, issued, prescribed or published at the time the regulations are made, or at any time before then; or\n\n(ii) the provisions of any Act of the Commonwealth or of another State or of a Territory or the provisions of any subordinate instrument under any such Act, whether as in force at a particular time or from time to time; and\n\n(e) may leave any matter or thing to be from time to time determined, applied, dispensed with or regulated by the Minister; and\n\nS. 42(2)(f) amended by No. 71/2014 s. 11(2).\n\n(f) may confer powers or impose duties in connection with the regulations on the Minister.\n\nS. 42(2A) inserted by No. 60/2015 s. 51(4).\n\n(2A) As to fees under subsections (1)(nc), (nd) and (ne), the regulations may provide for—\n\n(a) maximum or minimum fees or no fee in different cases or different classes of case; and\n\n(b) different fees for different cases or different classes of case; and\n\n(c) pro rata fees; and\n\n(d) a method of determining any fee or class of fee, whether by prescribed hourly rates or otherwise.\n\n(3) The regulations do not apply to any act or practice with respect to the farming, transport, sale or killing of any farm animal if that act or practice is carried out in accordance with a Code of Practice.\n\nPt 5 (Heading and s. 43) inserted by No. 11/2000 s. 6.\n\n","sortOrder":151},{"sectionNumber":"Part 5","sectionType":"part","heading":"Transitionals","content":"Part 5—Transitionals\n\nS. 43 inserted by No. 11/2000 s. 6.\n\n","sortOrder":152},{"sectionNumber":"43","sectionType":"section","heading":"Prevention of Cruelty to Animals (Amendment) Act 2000","content":"\t43 Prevention of Cruelty to Animals (Amendment) Act 2000\n\nA Code of Practice prepared by the Minister and published under section 7 as in force immediately before the date of commencement of section 4 of the **Prevention of Cruelty to Animals (Amendment) Act 2000** is, on that commencement, deemed to be a Code of Practice made by the Governor in Council and published under section 7 as amended by section 4 of that Act and may be varied or revoked accordingly.\n\nS. 44 inserted by No. 60/2012 s. 46.\n\n","sortOrder":153},{"sectionNumber":"44","sectionType":"section","heading":"Primary Industries and Food Legislation Amendment Act 2012","content":"\t44 Primary Industries and Food Legislation Amendment Act 2012\n\nSection 12 as amended by section 34 of the **Primary Industries and Food Legislation Amendment Act 2012** applies to a person in respect of an offence under this Act committed by the person or, in the case of a person found not guilty because of mental impairment, that would have been committed by the person, before, on or after the commencement of section 34 of the **Primary Industries and Food Legislation Amendment Act 2012**.\n\nS. 45 inserted by No. 60/2015 s. 52.\n\n","sortOrder":154},{"sectionNumber":"45","sectionType":"section","heading":"Prevention of Cruelty to Animals Amendment Act 2015—Transitional provisions","content":"\t45 Prevention of Cruelty to Animals Amendment Act 2015—Transitional provisions\n\n(1) On the commencement of Division 1A of Part 2A, Division 1A applies to—\n\n(a) a control order in force immediately before that commencement; and\n\n(b) an interstate control order in force immediately before that commencement.\n\n(2) Despite the repeal of section 31(2) by section 32 of the amending Act, a scientific procedures premises licence that was in force immediately before that repeal is taken to continue in force until the 30 June next following that repeal, subject to the provisions of this Act as to variation, suspension and cancellation of scientific procedures premises licences.\n\n(3) Despite the repeal of section 32C(2) by section 35 of the amending Act, a scientific procedures field work licence that was in force immediately before that repeal is taken to continue in force until the 30 June next following that repeal, subject to the provisions of this Act as to variation, suspension and cancellation of scientific procedures field work licences.\n\n(4) Despite the repeal of section 32G(2) by section 38 of the amending Act, a specified animals breeding licence that was in force immediately before that repeal is taken to continue in force until the 30 June next following that repeal, subject to the provisions of this Act as to variation, suspension and cancellation of specified animals breeding licences.\n\n(5) In this section ***amending Act*** means **Prevention of Cruelty to Animals Amendment Act 2015**.\n\nS. 46 inserted by No. 48/2016 s. 12.\n\n","sortOrder":155},{"sectionNumber":"46","sectionType":"section","heading":"Primary Industries Legislation Amendment Act 2016—Transitional provisions","content":"\t46 Primary Industries Legislation Amendment Act 2016—Transitional provisions\n\n(1) Section 31 as amended by section 9 of the **Primary Industries Legislation Amendment Act 2016** does not apply to a scientific procedures premises licence that was in force immediately before the commencement of section 9 of that Act.\n\n(2) Section 32C as amended by section 10 of the **Primary Industries Legislation Amendment Act 2016** does not apply to a scientific procedures field work licence that was in force immediately before the commencement of section 10 of that Act.\n\n(3) Section 32G as amended by section 11 of the **Primary Industries Legislation Amendment Act 2016** does not apply to a specified animals breeding licence that was in force immediately before the commencement of section 11 of that Act.\n\nSch. substituted by No. 65/2007 s. 110(Sch. 2).\n\nSchedule\n\nTable of diseases caused by heritable defects\n\n| *Column 1*<br>*Species* | *Column 2*<br>*Disease* |\n| Dogs | Von Willebrand's Disease (VWD)<br>Progressive Retinal Atrophy (PRA)<br>Neuronal Ceroid Lipofuscinosis (NCL)<br>Collie Eye Anamoly (CEA/CH)<br>Hereditary Cataract (HC) |\n| Cats | Polycystic Kidney Disease (PKD)<br>Mutations causing aplasia or hypoplasia of any long bone<br>Folded ears due to osteochondrodysplasia |\n\nEndnotes\n\n1 General information\n\nSee [www.legislation.vic.gov.au](http://www.legislation.vic.gov.au) for Victorian Bills, Acts and current Versions of legislation and up-to-date legislative information.\n\n*Minister's second reading speech—*\n\n*Legislative Council: 28 November 1985*\n\n*Legislative Assembly: 8 May 1986*\n\nThe long title for the Bill for this Act was \"A Bill to make changes to the law relating to the prevention of cruelty to animals, to repeal the **Protection of Animals Act 1966** and for other purposes.\".\n\nThe **Prevention of Cruelty to Animals Act 1986** was assented to on 20 May 1986 and came into operation as follows:\n\nSections 2, 3, 7 on 15 October 1986: Government Gazette 15 October 1986 page 3953; sections 1, 4–6, 8–25, 26 (*except* (2)(h)), 27–41, 42 (*except* (1)(n)) on 4 March 1987: Government Gazette 7 January 1987 page 5; sections 26(2)(h), 42(1)(n) on 7 December 1988: Government Gazette 7 December 1988 page 3659.\n\nINTERPRETATION OF LEGISLATION ACT 1984 (ILA)\n\nStyle changes\n\nSection 54A of the ILA authorises the making of the style changes set out in Schedule 1 to that Act.\n\nReferences to ILA s. 39B\n\nSidenotes which cite ILA s. 39B refer to section 39B of the ILA which provides that where an undivided section or clause of a Schedule is amended by the insertion of one or more subsections or subclauses, the original section or clause becomes subsection or subclause (1) and is amended by the insertion of the expression \"(1)\" at the beginning of the original section or clause.\n\nInterpretation\n\nAs from 1 January 2001, amendments to section 36 of the ILA have the following effects:\n\n• Headings\n\nAll headings included in an Act which is passed on or after 1 January 2001 form part of that Act. Any heading inserted in an Act which was passed before 1 January 2001, by an Act passed on or after 1 January 2001, forms part of that Act. This includes headings to Parts, Divisions or Subdivisions in a Schedule; sections; clauses; items; tables; columns; examples; diagrams; notes or forms. See section 36(1A)(2A).\n\n• Examples, diagrams or notes\n\nAll examples, diagrams or notes included in an Act which is passed on or after 1 January 2001 form part of that Act. Any examples, diagrams or notes inserted in an Act which was passed before 1 January 2001, by an Act passed on or after 1 January 2001, form part of that Act. See section 36(3A).\n\n• Punctuation\n\nAll punctuation included in an Act which is passed on or after 1 January 2001 forms part of that Act. Any punctuation inserted in an Act which was passed before 1 January 2001, by an Act passed on or after 1 January 2001, forms part of that Act. See section 36(3B).\n\n• Provision numbers\n\nAll provision numbers included in an Act form part of that Act, whether inserted in the Act before, on or after 1 January 2001. Provision numbers include section numbers, subsection numbers, paragraphs and subparagraphs. See section 36(3C).\n\n• Location of \"legislative items\"\n\nA \"legislative item\" is a penalty, an example or a note. As from 13 October 2004, a legislative item relating to a provision of an Act is taken to be at the foot of that provision even if it is preceded or followed by another legislative item that relates to that provision. For example, if a penalty at the foot of a provision is followed by a note, both of these legislative items will be regarded as being at the foot of that provision. See section 36B.\n\n• Other material\n\nAny explanatory memorandum, table of provisions, endnotes, index and other material printed after the Endnotes does not form part of an Act.  \nSee section 36(3)(3D)(3E).\n\n2 Table of Amendments\n\nThis publication incorporates amendments made to the **Prevention of Cruelty to Animals Act 1986** by Acts and subordinate instruments.\n\n–––––––––––––––––––––––––––––––––––––––––––––––––––––––––––––\n\n**Agricultural Acts (Further Amendment) Act 1987, No. 68/1987**\n\n| Assent Date: | 24.11.87 |\n| Commencement Date: | S. 27 on 25.11.87: Government Gazette 25.11.87 p. 3215; s. 28 on 7.12.88: Government Gazette 7.12.88 p. 3659; s. 26 on 12.8.99: Government Gazette 29.7.99 p. 1738 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Agricultural Acts (Amendment) Act 1988, No. 35/1988**\n\n| Assent Date: | 24.5.88 |\n| Commencement Date: | S. 24 on 1.6.88: Government Gazette 1.6.88 p. 1486 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Magistrates' Court (Consequential Amendments) Act 1989, No. 57/1989**\n\n| Assent Date: | 14.6.89 |\n| Commencement Date: | S. 4(1)(a)–(e)(2) on 1.9.89: Government Gazette 30.8.89 p. 2210; rest of Act on 1.9.90: Government Gazette 25.7.90 p. 2217 |\n\n**Meat Industry Act 1993, No. 40/1993**\n\n| Assent Date: | 1.6.93 |\n| Commencement Date: | Sch. 2 item 9 on 30.6.93: Government Gazette 24.6.93 p. 1596 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Catchment and Land Protection Act 1994, No. 52/1994**\n\n| Assent Date: | 15.6.94 |\n| Commencement Date: | S. 97(Sch. 3 items 23.1, 23.2) on 15.12.94: s. 2(3) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Agriculture (Registered Occupations) Act 1994, No. 65/1994**\n\n| Assent Date: | 18.10.94 |\n| Commencement Date: | Ss 1, 2 on 18.10.94: s. 2(1); rest of Act on 1.12.94: Government Gazette 24.11.94 p. 3095 |\n\n**Livestock Disease Control Act 1994, No. 115/1994**\n\n| Assent Date: | 20.12.94 |\n| Commencement Date: | S. 142(Sch. 2 item 6) on 20.12.95: s. 2(3) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Prevention of Cruelty to Animals (Amendment) Act 1995, No. 77/1995** (as amended by No. 26/1998)\n\n| Assent Date: | 14.11.95 |\n| Commencement Date: | Ss 1, 2 on 14.11.95: s. 2(1); s. 5(2) on 1.6.93: s. 2(2); rest of Act on 14.5.96: s. 2(4) |\n\n**Miscellaneous Acts (Omnibus Amendments) Act 1996, No. 22/1996**\n\n| Assent Date: | 2.7.96 |\n| Commencement Date: | Pt 8 (s. 18) on 9.4.96: s. 2(2); s. 12 on 13.6.96: s. 2(3); s. 24 on 1.10.96: s. 2(4); rest of Act on 2.7.96: s. 2(1) |\n\n**Veterinary Practice Act 1997, No. 58/1997**\n\n| Assent Date: | 28.10.97 |\n| Commencement Date: | S. 96(Sch. item 7) on 17.3.98: Government Gazette 12.3.98 p. 520 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Agriculture Acts (Amendment) Act 1998, No. 26/1998**\n\n| Assent Date: | 19.5.98 |\n| Commencement Date: | S. 8 on 1.4.98: s. 2(3) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Public Sector Reform (Miscellaneous Amendments) Act 1998, No. 46/1998**\n\n| Assent Date: | 26.5.98 |\n| Commencement Date: | S. 7(Sch. 1) on 1.7.98: s. 2(2) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Tribunals and Licensing Authorities (Miscellaneous Amendments) Act 1998, No. 52/1998**\n\n| Assent Date: | 2.6.98 |\n| Commencement Date: | S. 311(Sch. 1 item 75) on 1.7.98: Government Gazette 18.6.98 p. 1512 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Conservation, Forests and Lands (Miscellaneous Amendments) Act 1998, No. 76/1998**\n\n| Assent Date: | 10.11.98 |\n| Commencement Date: | S. 27 on 15.12.98: s. 2(5) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Prevention of Cruelty to Animals (Amendment) Act 2000, No. 11/2000**\n\n| Assent Date: | 18.4.00 |\n| Commencement Date: | 19.4.00: s. 2 |\n\n**Statute Law Revision Act 2000, No. 74/2000**\n\n| Assent Date: | 21.11.00 |\n| Commencement Date: | S. 3(Sch. 1 item 101) on 22.11.00: s. 2(1) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Animals Legislation (Responsible Ownership) Act 2001, No. 83/2001**\n\n| Assent Date: | 11.12.01 |\n| Commencement Date: | Ss 3–8 on 12.12.01: s. 2(1) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Statute Law (Further Revision) Act 2002, No. 11/2002**\n\n| Assent Date: | 23.4.02 |\n| Commencement Date: | S. 3(Sch. 1 item 54) on 24.4.02: s. 2(1) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Fisheries (Amendment) Act 2003, No. 56/2003**\n\n| Assent Date: | 16.6.03 |\n| Commencement Date: | S. 11(Sch. item 17) on 17.6.03: s. 2 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Animals Legislation (Animal Welfare) Act 2003, No. 103/2003**\n\n| Assent Date: | 9.12.03 |\n| Commencement Date: | Ss 34–36, 42, 43, 44(2)(3) on 10.12.03: s. 2(1); s. 32 on 22.1.04: Government Gazette 22.1.04 p. 137; ss 31, 33, 37–41, 44(1) on 24.6.04: Government Gazette 24.6.04 p. 1742 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Primary Industries Legislation (Further Miscellaneous Amendments) Act 2004, No. 69/2004**\n\n| Assent Date: | 19.10.04 |\n| Commencement Date: | Ss 48, 50–53 on 20.10.04: s. 2(1); s. 49 on 29.9.05: Government Gazette 29.9.05 p. 2171 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Public Administration Act 2004, No. 108/2004**\n\n| Assent Date: | 21.12.04 |\n| Commencement Date: | S. 117(1)(Sch. 3 item 160) on 5.4.05: Government Gazette 31.3.05 p. 602 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Primary Industries Acts (Amendment) Act 2005, No. 50/2005**\n\n| Assent Date: | 24.8.05 |\n| Commencement Date: | Ss 3–9 on 25.8.05: s. 2(1) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Primary Industries Acts (Further Amendment) Act 2005, No. 76/2005**\n\n| Assent Date: | 2.11.05 |\n| Commencement Date: | Ss 26–28, 30–37 on 3.11.05: s. 2(1); s. 29 on 1.12.05: Government Gazette 17.11.05 p. 2610 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Infringements (Consequential and Other Amendments) Act 2006, No. 32/2006**\n\n| Assent Date: | 13.6.06 |\n| Commencement Date: | S. 94(Sch. item 39) on 1.7.06: Government Gazette 29.6.06 p. 1315 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Animals Legislation Amendment (Animal Care) Act 2007, No. 65/2007**\n\n| Assent Date: | 11.12.07 |\n| Commencement Date: | Ss 77(1)(4), 78, 79(2)(3), 80–86, 88, 89, 91,    92(1)–(3)(5), 93–108, 110, Sch. 2 on 12.12.07: s. 2(1);<br>s. 77(2) on 20.3.08: Special Gazette (No. 71) 18.3.08 p. 1; ss 77(3), 79(1), 87, 90 on 16.12.08: Special Gazette (No. 378) 16.12.08 p. 1; ss 92(4), 109 on 1.9.09: Special Gazette (No. 298) 1.9.09 p. 1 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Primary Industries Legislation Amendment Act 2009, No. 35/2009**\n\n| Assent Date: | 30.6.09 |\n| Commencement Date: | Ss 106, 108 on 1.7.09: s. 2(1); s. 107 on 1.9.09: Government Gazette 6.8.09 p. 2125 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Criminal Procedure Amendment (Consequential and Transitional Provisions) Act 2009, No. 68/2009**\n\n| Assent Date: | 24.11.09 |\n| Commencement Date: | S. 97(Sch. item 95) on 1.1.10: Government Gazette 10.12.09 p. 3215 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Domestic Animals Amendment (Puppy Farm Enforcement and Other Matters) Act 2011, No. 75/2011**\n\n| Assent Date: | 13.12.11 |\n| Commencement Date: | Ss 25, 26 on 1.1.12: Special Gazette (No. 423) 21.12.11 p. 2 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Primary Industries and Food Legislation Amendment Act 2012, No. 60/2012**\n\n| Assent Date: | 23.10.12 |\n| Commencement Date: | S. 72(7)(8) on 24.10.12: s. 2(1); ss 31–46 on 1.12.12: Special Gazette (No. 399) 27.11.12 p. 1 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Statute Law Revision Act 2013, No. 70/2013**\n\n| Assent Date: | 19.11.13 |\n| Commencement Date: | S. 4(Sch. 2 item 39) on 1.12.13: s. 2(1) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Emergency Management Act 2013, No. 73/2013**\n\n| Assent Date: | 3.12.13 |\n| Commencement Date: | S. 100 on 1.7.14: Special Gazette (No. 148) 13.5.14 p. 1 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Victoria Police Amendment (Consequential and Other Matters) Act 2014, No. 37/2014**\n\n| Assent Date: | 3.6.14 |\n| Commencement Date: | S. 10(Sch. item 129) on 1.7.14: Special Gazette (No. 200) 24.6.14 p. 2 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Primary Industries Legislation Amendment Act 2014, No. 71/2014**\n\n| Assent Date: | 30.9.14 |\n| Commencement Date: | Ss 3–11 on 11.4.15: Special Gazette (No. 66) 31.3.15 p. 1 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Prevention of Cruelty to Animals Amendment Act 2015, No. 60/2015**\n\n| Assent Date: | 18.11.15 |\n| Commencement Date: | Ss 4–30, 33, 36, 39, 41, 43–47, 49–52 on 23.12.15: Special Gazette (No. 426) 22.12.15 p. 1; ss 31, 32, 34, 35, 37, 38, 40, 42, 48 on 1.9.16: s. 2(2) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Racing and Other Acts Amendment (Greyhound Racing and Welfare Reform) Act 2016, No. 17/2016**\n\n| Assent Date: | 19.4.16 |\n| Commencement Date: | S. 19 on 4.5.16: Special Gazette (No. 131) 3.5.16 p. 1 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Access to Medicinal Cannabis Act 2016, No. 20/2016**\n\n| *Assent Date:* | 26.4.16 |\n| *Commencement Date:* | S. 151 on 14.9.16: Special Gazette (No. 284) 13.9.16 p. 1 |\n| *Current State:* | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Primary Industries Legislation Amendment Act 2016, No. 48/2016**\n\n| *Assent Date:* | 6.9.16 |\n| *Commencement Date:* | Ss 8–12 on 1.12.16: Special Gazette (No. 368) 29.11.16 p. 1 |\n| *Current State:* | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Traditional Owner Settlement Amendment Act 2016, No. 67/2016**\n\n| *Assent Date:* | 15.11.16 |\n| *Commencement Date:* | S. 34 on 1.5.17: s. 2(2) |\n| *Current State:* | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Oaths and Affirmations Act 2018, No. 6/2018**\n\n| Assent Date: | 27.2.18 |\n| Commencement Date: | S. 68(Sch. 2 item 100) on 1.3.19: s. 2(2) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Health Legislation Amendment and Repeal Act 2019, No. 34/2019**\n\n| Assent Date: | 22.10.19 |\n| Commencement Date: | S. 53 on 23.10.19: s. 2(1) |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Local Government Act 2020, No. 9/2020**\n\n| Assent Date: | 24.3.20 |\n| Commencement Date: | S. 390(Sch. 1 item 79) on 6.4.20: Special Gazette (No. 150) 24.3.20 p. 1 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n**Statute Law Revision Act 2025, No. 41/2025**\n\n| Assent Date: | 21.10.25 |\n| Commencement Date: | S. 4(Sch. 2 item 23) on 22.10.25: s. 2 |\n| Current State: | This information relates only to the provision/s amending the **Prevention of Cruelty to Animals Act 1986** |\n\n–––––––––––––––––––––––––––––––––––––––––––––––––––––––––––––\n\n3 Explanatory details\n\n`\n\n1. S. 6(1)(a): The amendment proposed by Schedule 2 item 9 (*repealed*) of the **Meat Industry Act 1993**, No. 40/1993 is not included in this publication due to an incorrect reference to the title of this Act. [↑](#endnote-ref-2)","sortOrder":156}],"analysis":{"flash_summary":{"complexity_score":9,"scope_assessment":{"changed":true,"description":"The Act’s operative reach has expanded since enactment. The current text contains multiple later additions that broaden enforcement and regulatory scope: a modernised enforcement Part with explicit emergency seizure and detailed warrant regimes (Part 2A: s.21–24FD), a licensing and compliance regime for scientific procedures including premises, field work and breeding licences (Part 3: s.25–36), new monitoring and control order powers (s.12, s.21A–21C), administrative compliance tools (notices, compliance reports and fees under s.36G, s.36T–36V), and adverse publicity orders and related enforcement mechanisms (s.36K–36P). These inserted or amended provisions (visible throughout the Act and in the table of amendments) extend both substantive prohibitions and procedural enforcement mechanisms beyond the original, more compact cruelty‑offence framework reflected in s.1. The practical effect is a move from a primarily offence‑based statute to a mixed regulatory regime combining criminal sanctions, preventive administrative measures and licensing oversight (see s.9–10; Part 2A; Part 3; s.32K–32P)."},"complexity_factors":["Length and scope: many Parts, Divisions and detailed procedural provisions covering criminal offences, emergency powers, warrants, licences and scientific procedures (entire Act).","Multiple overlapping enforcement regimes: POCTA inspectors, authorised officers for Part 3, police, veterinary practitioners and courts with differing powers and processes (s.18–19; s.36A–36C; s.24G).","Detailed seizure, retention and disposal rules with time limits, notices and court applications (s.24E–24X, s.24ZJ–24ZK).","Extensive delegated administrative discretions: Department Head and Minister can grant/vary/suspend/cancel licences, appoint inspectors and make Codes/declared areas (s.7; s.17; s.20A; s.32K–32P; s.38).","Interfacing with other legislation and exemptions (Meat Industry Act, Wildlife Act, Catchment and Land Protection Act) and differing definitions across Parts (s.6; s.3(3); s.25).","Varied penalties and civil remedies including recovery of costs, bonds, and fee regimes—multiple financial flows and recovery routes (s.9–10; s.24B; s.24ZB; s.36U–36V; s.37D–37F).","Specialist licensing regimes with technical conditions and record obligations for scientific procedures, breeding and field work (Part 3: s.29–32H).","Procedural safeguards and exceptions (warrant requirements, notice periods, protection against self‑incrimination) add legal complexity (s.24G; s.24S–24W; s.24ZV; s.36R).","Regulation‑making and Code adoption options that can incorporate external standards or documents, creating evolving compliance obligations (s.7(2); s.42(2)(d))."],"plain_english_summary":"- What the law does, mechanically\n\n  - Establishes criminal offences that prohibit cruelty, aggravated cruelty and related acts (for example baiting, luring, trap‑shooting, certain prohibited procedures, abandoning or failing to provide care). Penalties for natural persons and bodies corporate are specified in the relevant sections (see s.9, s.10, s.13, s.11A, s.15AB, s.15C). \n\n  - Gives authorised officers (POCTA inspectors and authorised officers for Part 3) statutory powers to investigate and enforce those offences. Those powers include emergency entry and seizure (s.23, s.24, s.24AA), applying for and executing search warrants (s.24G, s.24K), seizing and retaining animals and things (s.24J, s.24Q), taking samples (s.24ZO), and issuing written compliance or stop notices (s.24ZP, s.36G). Part 3AA and related provisions add inspection and warrant powers specific to scientific procedures (s.36A–36D). \n\n  - Creates control orders and interstate registration mechanisms to stop people from owning or being in charge of animals (court power under s.12; registration of interstate orders under s.12A). Courts may also authorise monitoring of compliance (s.21A–21C). Failure to comply with a control order is an offence (s.12AF; s.12A(8)). \n\n  - Sets out how seized animals and seized things are to be handled: identification efforts (s.24R), notice and recovery periods (s.24S–24U), disposal options including sale, destruction or transfer to registered domestic animal businesses (s.24Y–24ZA), cost recovery from owners (s.24B, s.24C, s.24ZB, s.24ZC) and forfeiture in specified cases (s.24ZD, s.24ZAA). The Magistrates' Court has specific powers about retention and disposal (s.24H, s.24X). \n\n  - Establishes licensing and regulatory schemes for particular activities: rodeos (licensing, permits and conditions — s.16–17I), scientific procedures (licences for premises, field work and breeding — Part 3, s.25–36), and rules for traps and trap use (s.15, s.15AB). Licences are subject to conditions; the Department Head can grant, vary, suspend or cancel licences (s.17, s.32K–32P). The regulations may set fees, standards and prescribe prohibited procedures (s.42). \n\n  - Enables Codes of Practice to be made (s.7). Codes can be relied on as defences in some prosecutions (s.11(2)). Codes and regulations interact with exemptions and limits on the Act’s application (s.6). \n\n  - Provides administrative tools and remedies: appointment and identification of inspectors and authorised officers (s.18–19, s.35), ministerial emergency declaration to appoint temporary inspectors (s.20A), adverse publicity orders and enforcement paths where licence‑related offences occur (s.36K–36P), powers to impose and recover fees for compliance reports (s.36T–36V), and creation of a dedicated fund for animals in research and teaching (s.37C–37F). \n\n- Who it affects and who decides\n\n  - Primary regulated parties: owners and persons in charge of animals, operators of rodeos, occupiers of premises used for scientific procedures, licence‑holders and licence applicants (see s.9, s.16, Part 3). \n\n  - Decision makers and enforcement actors: courts (make convictions, control orders and some disposal orders — s.12, s.24X), the Department Head and Minister (grant/issue/variation/cancellation of licences and permits, make declarations and appoint inspectors — s.17, s.32K–32P, s.7, s.20A), POCTA inspectors and authorised officers (investigation, entry, seizure, notices — s.21C, s.24, s.24G, s.36A), and veterinary practitioners (powers to destroy or treat animals in emergencies — s.24C, s.24D). \n\n  - Financially affected parties: owners and persons in charge of animals pay fines (numerous provisions, e.g. s.9, s.10), may be liable for costs of veterinary treatment, feeding, holding, removal and disposal recoverable as civil debts (s.24B, s.24C, s.24ZB, s.24ZC), and licence holders may pay fees for licences and for compliance reports (s.42(1)(nc),(nd),(ne); s.36U). Costs of disposal or enforcement may be applied against sale proceeds (s.24ZB, s.24ZC). \n\n- Stated purposes and how the Act’s mechanisms address them\n\n  - Official purpose (as stated): to prevent cruelty to animals, encourage considerate treatment of animals and improve community awareness (s.1). The Act sets criminal penalties for cruelty (s.9–10), creates inspection, seizure and emergency powers (s.23–24, s.24AA), and provides licensing and regulation where activities are specialised (rodeos, scientific procedures — s.16–17I; Part 3). Codes of Practice and regulation‑making powers (s.7, s.42) are the mechanisms for setting technical or industry standards that can be enforced or relied on as defences in prosecutions (s.11(2)). \n\n  - Testing the official claim against costs and incentives (mechanisms, trade‑offs and burdens):\n    - Who pays: owners/persons in charge face direct legal penalties (fines/prison) and may be required to pay for seizure, care and veterinary costs (s.24B, s.24C, s.24ZB, s.24ZC). Licence holders pay fees and may pay for compliance report inspections (s.36U–36V; s.42(1)(nc)–(ne)). Courts may require bonds/security for care while proceedings run (s.24X(2)(a)(i)). \n    - Behavioural incentives: criminal penalties, seizure and cost recovery create direct deterrence against mistreatment and non‑compliance. Control orders (s.12) remove the legal ability to own or manage animals and are backed by monitoring powers (s.21A–21C), which creates continuing behavioural constraints on particular individuals. \n    - Compliance burden: regulated persons may need licences, to comply with licence conditions, maintain records and be inspected (Part 3, s.26, s.32; s.42 requires prescribed records and reporting). Those are ongoing administrative duties with enforcement risk if not met. \n    - Bureaucratic discretion: the Department Head and Minister have broad discretionary powers to make and vary licences, appoint inspectors, authorise seizure without notice in specified circumstances (s.32K–32P, s.20A, s.24FA). That discretion centralises many compliance and enforcement decisions in the executive (Department Head and Minister). \n    - Opportunity costs and resources: enforcement uses court time (control orders, retention/disposal applications — s.24X), departmental resources (licensing, inspections, compliance reports — s.36T–36U), veterinary resources (s.24C, s.24D) and logistics for seizing and retaining animals. The Act builds a cost‑recovery route (fees and civil debt recovery) and a specific fund for research/teaching welfare (s.37C–37F). \n    - Substitution and limits: the Act excludes certain activities when conducted under other Acts or Codes of Practice (s.6), so regulated parties may change how they operate to fall within excluded, regulated or exempted categories (e.g., following a Code). \n    - Implementation risk: broad definitions (different definitions of \"animal\" across Parts — compare s.3(3) and s.25) and multiple overlapping enforcement powers (emergency entry, warrants, ministerial authorisations, notices) require procedural safeguards; the Act includes some limits (warrants require magistrate approval s.24G, public notice and periods for recovery s.24S–24W) and protections for self‑incrimination in certain contexts (s.24ZV, s.36R). \n\n- Key trade‑offs (mechanistic, not evaluative)\n\n  - Strong investigatory and seizure powers (s.23, s.24, s.24G) increase the state’s ability to remove animals at risk quickly, but they also impose compliance and record‑keeping costs on businesses and individuals who keep animals (Part 3 licensing and s.42). \n\n  - The Department Head and Minister have delegated powers to license, appoint inspectors and set Codes and conditions (s.17, s.32K–32P, s.7). That concentrates decision authority and creates a route for administrative action (including suspension and cancellation of licences, s.32N–32R). The Act pairs those powers with court oversight for certain measures (court‑made control orders, s.12; court orders about seized animals, s.24X). \n\n- Practical implications for private actors\n\n  - Owners and persons in charge should expect criminal liability for acts defined as cruelty (s.9–10), possible seizure or destruction of animals in emergencies (s.24, s.24AA), civil liabilities for costs of care and disposal (s.24B, s.24ZB, s.24ZC), and administrative obligations where licences or Codes apply (Part 3, s.7, s.42). \n\n  - Businesses operating in regulated activities (scientific premises, rodeos, commercial breeders, trap sellers/users) face licensing, conditions, fees and inspection risk (Part 3; s.16–17; s.15–15AB; s.42). \n\nThroughout this summary, cited provisions are examples of the Act’s mechanics: offences and penalties (s.9–11A, s.13, s.15AB, s.15C), inspector and authorised officer powers (s.18–21C, s.24–24G, s.36A–36C), licensing and administrative discretion (s.17, s.32K–32P, s.38), cost recovery and disposal rules (s.24B, s.24C, s.24X, s.24ZB, s.24ZC), Codes and regulations (s.7, s.42), and the stated purpose (s.1)."},"summary":{"complexity_score":5,"scope_assessment":{"changed":false,"description":"The Act appears to have remained consistent with its original intent of preventing animal cruelty and establishing enforcement mechanisms. Amendments over the decades have generally strengthened rather than redirected its core purpose."},"complexity_factors":["Defines multiple categories of prohibited conduct requiring interpretation (e.g., what constitutes 'unnecessary' suffering)","Involves intersection of criminal law, administrative powers, and civil liability","Inspector and enforcement powers require careful reading to understand scope and limits","Exemptions for certain industries (farming, scientific research) add nuance","Has been amended multiple times since 1986, requiring version tracking to understand current obligations","Limited source text provided — actual Act may contain significantly more complex provisions"],"plain_english_summary":"## Prevention of Cruelty to Animals Act 1986 (Victoria)\n\nThis Act establishes legal protections for animals against cruelty and mistreatment in Victoria, Australia.\n\n**What it does:**\n- Sets out what counts as animal cruelty (e.g., beating, overworking, or neglecting animals)\n- Makes animal cruelty a criminal offence with penalties for those who cause unnecessary pain or suffering to animals\n- Creates obligations for animal owners and those in charge of animals to provide proper care (food, water, shelter, veterinary treatment)\n- Gives inspectors and officers the power to investigate suspected cruelty and seize animals that are being mistreated\n\n**Who it affects:**\n- Pet owners and animal keepers\n- Farmers and those working with livestock\n- Anyone who works with, transports, or is responsible for animals\n- Businesses involved in animal industries (abattoirs, pet shops, etc.)\n\n**Why it matters:**\nThis is the foundational animal welfare law in Victoria. Breaching it can result in significant fines or imprisonment. It also empowers authorities to remove animals from cruel situations and prosecute offenders.\n\n> ⚠️ **Note:** The document provided contains very limited legislative detail — only version/status metadata was included. This summary reflects the known general content of this Act based on its title and jurisdiction."},"kimi_summary":{"_metrics":{"completionTokens":850},"content_quality":"ok","complexity_score":8,"scope_assessment":{"changed":true,"description":"The legislation has expanded significantly from its original 1986 focus on preventing cruelty. Major expansions include: (1) 2003 amendments creating a detailed licensing regime for scientific procedures; (2) 2007 amendments adding rodeo licensing and specialist inspectors; (3) 2015 amendments introducing control orders with monitoring powers, interstate order recognition, and the Animals in Research and Teaching Welfare Fund; (4) 2012 and 2015 amendments adding comprehensive enforcement divisions with adverse publicity orders and compliance reporting. The Act now functions as both a traditional animal cruelty statute and a complex regulatory scheme for research, teaching and entertainment uses of animals."},"complexity_factors":["Multiple overlapping inspector types (POCTA inspectors, authorised officers, general inspectors, specialist inspectors) with different powers in different Parts","Extensive cross-referencing between Parts 2, 2A, 3 and 3AA, with powers and offences applying differently to scientific procedures versus general cruelty","Nested conditional logic for seizure and disposal of animals — different notice periods (7 days, 14 days) and recovery processes depending on whether animal welfare is 'at risk'","47+ defined terms in section 3, with separate definitions for 'animal' in Part 3 (includes cephalopods) versus rest of Act","Complex licensing scheme with 3 licence types, each with application, renewal, variation, suspension and cancellation procedures","Emergency powers in Division 2 of Part 2A with 6 different triggering circumstances, each with specific entry and action powers","Interstate order registration scheme with 14-day notice period and monitoring provisions","Multiple transitional provisions preserving old licence durations and applying new rules to existing orders"],"plain_english_summary":"**What this law does:**\n\nThis is Victoria's main animal welfare law. It sets out what counts as animal cruelty, who can investigate complaints, and what powers they have to seize animals and prosecute offenders.\n\n**Who it affects:**\n\n- **Pet owners and farmers** — must provide proper food, water, shelter and veterinary care; banned from cruel practices like ear cropping, tail docking (unless by a vet for therapeutic reasons), and using animals for fighting or as bait\n- **Rodeo operators** — need licences and must meet animal welfare conditions\n- **Researchers and teachers** — need licences to use animals in scientific procedures; must follow strict rules about anaesthesia, housing and ethics committee approval\n- **Greyhound trainers** — specifically banned from \"blooding\" (using live animals as lures)\n\n**Key things the law covers:**\n\n- **Cruelty offences:** Wounding, torturing, overworking, abandoning animals, or failing to provide basic care. Aggravated cruelty (causing death or serious injury) carries higher penalties — up to 2 years prison for individuals.\n- **Prohibited procedures:** Ear cropping, debarking, tail docking, declawing, and other cosmetic surgeries unless done by a vet for medical reasons.\n- **Enforcement powers:** Inspectors can enter properties (with warrants in most cases), seize distressed animals, issue notices to comply, and apply for court orders banning people from owning animals.\n- **Scientific use:** Three types of licences required — for premises, field work, and breeding specified animals (guinea pigs, rats, mice, rabbits, non-human primates).\n- **Interstate orders:** Court orders from other states banning animal ownership can be registered and enforced in Victoria.\n\n**Why it matters:**\n\nThe law balances protecting animals with practical exemptions — farm animals following approved Codes of Practice, wildlife activities under other laws, and veterinary treatment are generally exempt. It creates a comprehensive system where inspectors can act quickly in emergencies but also need proper authorisation for most entries, with clear processes for returning or disposing of seized animals."}},"importantCases":[],"_links":{"self":"/api/acts/prevention-of-cruelty-to-animals-act-1986","history":"/api/acts/prevention-of-cruelty-to-animals-act-1986/history","analysis":"/api/acts/prevention-of-cruelty-to-animals-act-1986/analysis","conflicts":"/api/acts/prevention-of-cruelty-to-animals-act-1986/conflicts","importantCases":"/api/acts/prevention-of-cruelty-to-animals-act-1986/important-cases","documents":"/api/acts/prevention-of-cruelty-to-animals-act-1986/documents"}}