{"id":"qld:act-1985-079","name":"Sanctuary Cove Resort Act 1985","slug":"sanctuary-cove-resort-act-1985","collection":"act","jurisdiction":"qld","status":"in_force","isInForce":true,"actNumber":"79 of 1985","makingDate":null,"administeringDepartment":null,"currentVersion":{"id":104954,"registerId":"qld-act-1985-079-current","compilationNumber":null,"startDate":"2026-04-03","status":"InForce","reasons":null,"registeredAt":null},"sections":[{"sectionNumber":"pt.1","sectionType":"part","heading":"Preliminary","content":"# Preliminary","sortOrder":0},{"sectionNumber":"sec.1","sectionType":"section","heading":"Short title","content":"### sec.1 Short title\n\nThis Act may be cited as the Sanctuary Cove Resort Act 1985 .","sortOrder":1},{"sectionNumber":"sec.2","sectionType":"section","heading":"Commencement","content":"### sec.2 Commencement\n\nThis section and section&#160;1 shall commence on the day on which this Act is assented to for and on behalf of Her Majesty.\nExcept as provided by subsection&#160;(1) , this Act shall commence on a day appointed by proclamation.\n(sec.2-ssec.1) This section and section&#160;1 shall commence on the day on which this Act is assented to for and on behalf of Her Majesty.\n(sec.2-ssec.2) Except as provided by subsection&#160;(1) , this Act shall commence on a day appointed by proclamation.","sortOrder":2},{"sectionNumber":"sec.3","sectionType":"section","heading":null,"content":"### Section sec.3\n\ns&#160;3 amd 1987 s&#160;2; 1987 No.&#160;91 s&#160;2 ; 1989 No.&#160;114 s&#160;2\nom 31 October 1989 RA s&#160;36","sortOrder":3},{"sectionNumber":"sec.3A","sectionType":"section","heading":"Sanctuary Cove Resort","content":"### sec.3A Sanctuary Cove Resort\n\nFor the purposes of this Act, Sanctuary Cove Resort comprises the site and the adjacent site.\ns&#160;3A ins 1987 No.&#160;91 s&#160;3","sortOrder":4},{"sectionNumber":"sec.4","sectionType":"section","heading":"Definitions","content":"### sec.4 Definitions\n\nThe dictionary in schedule&#160;9 defines particular words used in this Act.\ns&#160;4 Note—prev s&#160;4 contained definitions for this Act. Definitions are now located in schedule&#160;9 (Dictionary). Annotations for definitions contained in prev s&#160;4 are located in annotations for sch&#160;9.\npres s&#160;4 amd 2009 No.&#160;26 s&#160;60 (1), (7); 2009 No.&#160;48 s&#160;185 (amdt could not be given effect)","sortOrder":5},{"sectionNumber":"sec.4A","sectionType":"section","heading":"Meaning of approved use for a zone or part of a zone","content":"### sec.4A Meaning of approved use for a zone or part of a zone\n\nAn approved use for a zone or part of a zone is—\na use for the zone or part that is approved under a regulation as a use for the zone or part; or\nif a change of a use for the zone or part is approved under part&#160;2AA , the use for the zone or part as changed and approved under a regulation.\ns&#160;4A ins 2009 No.&#160;26 s&#160;61\namd 2019 No.&#160;11 s&#160;217\n- (a) a use for the zone or part that is approved under a regulation as a use for the zone or part; or\n- (b) if a change of a use for the zone or part is approved under part&#160;2AA , the use for the zone or part as changed and approved under a regulation.","sortOrder":6},{"sectionNumber":"sec.4B","sectionType":"section","heading":"Meaning of proposed use plan of the site and adjacent site","content":"### sec.4B Meaning of proposed use plan of the site and adjacent site\n\nThe proposed use plan of the site is—\nthe plan of survey of the site that was approved under section&#160;8 (4) or (7) as in force immediately before 2 October 2009; or\nif an amendment of the plan is approved under section&#160;8 (2) or 12M —the amended plan for the time being approved.\nHowever, if a plan of survey is approved under section&#160;7 (4) , the proposed use plan of the site is—\nthe plan of survey approved under that subsection; or\nif an amendment of the plan is approved under section&#160;8 (2) or 12M —the amended plan for the time being approved.\nThe proposed use plan of the adjacent site is—\nthe plan of survey of the adjacent site that was approved under section&#160;12D (4) or 12D (7) as in force immediately before 2 October 2009; or\nif an amendment of the plan is approved under section&#160;12D (2) or 12M —the amended plan for the time being approved.\nHowever, if a plan of survey is approved by the local government under section&#160;12C (4) , the proposed use plan of the adjacent site is—\nthe plan of survey approved under that subsection; or\nif an amendment of the plan is approved under section&#160;12D (2) or 12M —the amended plan for the time being approved.\nTo remove any doubt, it is declared that the approval of an amendment of the proposed use plan of the site or adjacent site under section&#160;12M does not limit the later amendment and approval of the plan under section&#160;8 (2) or 12D (2) .\ns&#160;4B ins 2009 No.&#160;26 s&#160;61\nsub 2011 No.&#160;27 s&#160;323\n(sec.4B-ssec.1) The proposed use plan of the site is— the plan of survey of the site that was approved under section&#160;8 (4) or (7) as in force immediately before 2 October 2009; or if an amendment of the plan is approved under section&#160;8 (2) or 12M —the amended plan for the time being approved.\n(sec.4B-ssec.2) However, if a plan of survey is approved under section&#160;7 (4) , the proposed use plan of the site is— the plan of survey approved under that subsection; or if an amendment of the plan is approved under section&#160;8 (2) or 12M —the amended plan for the time being approved.\n(sec.4B-ssec.3) The proposed use plan of the adjacent site is— the plan of survey of the adjacent site that was approved under section&#160;12D (4) or 12D (7) as in force immediately before 2 October 2009; or if an amendment of the plan is approved under section&#160;12D (2) or 12M —the amended plan for the time being approved.\n(sec.4B-ssec.4) However, if a plan of survey is approved by the local government under section&#160;12C (4) , the proposed use plan of the adjacent site is— the plan of survey approved under that subsection; or if an amendment of the plan is approved under section&#160;12D (2) or 12M —the amended plan for the time being approved.\n(sec.4B-ssec.5) To remove any doubt, it is declared that the approval of an amendment of the proposed use plan of the site or adjacent site under section&#160;12M does not limit the later amendment and approval of the plan under section&#160;8 (2) or 12D (2) .\n- (a) the plan of survey of the site that was approved under section&#160;8 (4) or (7) as in force immediately before 2 October 2009; or\n- (b) if an amendment of the plan is approved under section&#160;8 (2) or 12M —the amended plan for the time being approved.\n- (a) the plan of survey approved under that subsection; or\n- (b) if an amendment of the plan is approved under section&#160;8 (2) or 12M —the amended plan for the time being approved.\n- (a) the plan of survey of the adjacent site that was approved under section&#160;12D (4) or 12D (7) as in force immediately before 2 October 2009; or\n- (b) if an amendment of the plan is approved under section&#160;12D (2) or 12M —the amended plan for the time being approved.\n- (a) the plan of survey approved under that subsection; or\n- (b) if an amendment of the plan is approved under section&#160;12D (2) or 12M —the amended plan for the time being approved.","sortOrder":7},{"sectionNumber":"sec.4C","sectionType":"section","heading":"References to standard module","content":"### sec.4C References to standard module\n\nIn this Act, the information included in square brackets after a section heading is a reference to a similar section of the Body Corporate and Community Management (Standard Module) Regulation 2008 .\nThe brackets and information do not form part of this Act.\ns&#160;4C ins 2009 No.&#160;26 s&#160;61\n(sec.4C-ssec.1) In this Act, the information included in square brackets after a section heading is a reference to a similar section of the Body Corporate and Community Management (Standard Module) Regulation 2008 .\n(sec.4C-ssec.2) The brackets and information do not form part of this Act.","sortOrder":8},{"sectionNumber":"pt.2","sectionType":"part","heading":"The site and subdivision of the site","content":"# The site and subdivision of the site","sortOrder":9},{"sectionNumber":"pt.2-div.1","sectionType":"division","heading":"The site","content":"## The site","sortOrder":10},{"sectionNumber":"sec.5","sectionType":"section","heading":"The site","content":"### sec.5 The site\n\nSubject to subsection&#160;(2) , the site is the area of land shown on the initial plan of survey of the site.\nIf the initial plan of survey is amended under part&#160;2AA by varying the boundary of the site, the site is the area of land shown on the initial plan of survey as amended.\nNotwithstanding any other Act or law, the site includes land within the boundaries of the site that is or may be or becomes inundated by water or subject to tidal influence and any estate or interest held in that land before the land becomes inundated or became subject to tidal influence is not affected by the inundation or being subject to tidal influence.\nDespite the Local Government Act 2009 , the site forms part of the Gold Coast city local government area constituted under that Act.\ns&#160;5 amd 2009 No.&#160;26 s&#160;62 ; 2009 No.&#160;17 s&#160;331 sch&#160;1 (amd 2010 No.&#160;23 s&#160;344 (10) )\n(sec.5-ssec.1) Subject to subsection&#160;(2) , the site is the area of land shown on the initial plan of survey of the site.\n(sec.5-ssec.2) If the initial plan of survey is amended under part&#160;2AA by varying the boundary of the site, the site is the area of land shown on the initial plan of survey as amended.\n(sec.5-ssec.3) Notwithstanding any other Act or law, the site includes land within the boundaries of the site that is or may be or becomes inundated by water or subject to tidal influence and any estate or interest held in that land before the land becomes inundated or became subject to tidal influence is not affected by the inundation or being subject to tidal influence.\n(sec.5-ssec.4) Despite the Local Government Act 2009 , the site forms part of the Gold Coast city local government area constituted under that Act.","sortOrder":11},{"sectionNumber":"sec.6","sectionType":"section","heading":"Grant of Crown land to the company","content":"### sec.6 Grant of Crown land to the company\n\nThe power conferred by the Land Act 1962 on the Governor in Council to grant in fee simple any Crown land within Queensland includes power, upon payment of such amount as the Governor in Council determines, to grant Crown land within the site to the company in fee simple in priority to and to the exclusion of all other persons, notwithstanding the provisions of the Land Act 1962 .","sortOrder":12},{"sectionNumber":"pt.2-div.2","sectionType":"division","heading":"Zones","content":"## Zones","sortOrder":13},{"sectionNumber":"sec.7","sectionType":"section","heading":"Approval of plan of survey","content":"### sec.7 Approval of plan of survey\n\nThe primary thoroughfare body corporate may lodge with the local government a plan of survey showing the zones of the site substantially in the form set out in schedule&#160;7 .\nIf the local government considers it appropriate that a boundary of a zone shown on the plan should differ from the boundary of the zone as shown in schedule&#160;7 , it may require the primary thoroughfare body corporate to lodge an amended plan showing the different boundary.\nThe plan of survey must include a schedule stating—\nfor each of the residential zones, the maximum number of group title lots or building unit lots into which each zone may be subdivided for residential purposes; and\nthe total of the maximum number of, not more than 1,100, group title lots and building unit lots into which all of the residential zones within the site may be subdivided for residential purposes.\nThe local government may approve the plan if it is satisfied—\nthe plan adequately defines the boundaries of all the zones within the site; and\nthe number of building unit lots and group title lots under subsection&#160;(3) —\nis appropriate to the nature of the proposed development of the site; and\nis not more than the maximum number under subsection&#160;(3) (b) .\nThe local government must—\nkeep the proposed use plan; and\ngive a copy of the plan to—\nthe registrar of titles; and\nthe chief executive.\nFor deciding the number of group title lots or building unit lots into which a particular zone may be subdivided for residential purposes—\na group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and\nthe group title lots or building unit lots created from the subdivision must be counted.\ns&#160;7 sub 2009 No.&#160;26 s&#160;63\namd 2011 No.&#160;27 s&#160;324\n(sec.7-ssec.1) The primary thoroughfare body corporate may lodge with the local government a plan of survey showing the zones of the site substantially in the form set out in schedule&#160;7 .\n(sec.7-ssec.2) If the local government considers it appropriate that a boundary of a zone shown on the plan should differ from the boundary of the zone as shown in schedule&#160;7 , it may require the primary thoroughfare body corporate to lodge an amended plan showing the different boundary.\n(sec.7-ssec.3) The plan of survey must include a schedule stating— for each of the residential zones, the maximum number of group title lots or building unit lots into which each zone may be subdivided for residential purposes; and the total of the maximum number of, not more than 1,100, group title lots and building unit lots into which all of the residential zones within the site may be subdivided for residential purposes.\n(sec.7-ssec.4) The local government may approve the plan if it is satisfied— the plan adequately defines the boundaries of all the zones within the site; and the number of building unit lots and group title lots under subsection&#160;(3) — is appropriate to the nature of the proposed development of the site; and is not more than the maximum number under subsection&#160;(3) (b) .\n(sec.7-ssec.5) The local government must— keep the proposed use plan; and give a copy of the plan to— the registrar of titles; and the chief executive.\n(sec.7-ssec.6) For deciding the number of group title lots or building unit lots into which a particular zone may be subdivided for residential purposes— a group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and the group title lots or building unit lots created from the subdivision must be counted.\n- (a) for each of the residential zones, the maximum number of group title lots or building unit lots into which each zone may be subdivided for residential purposes; and\n- (b) the total of the maximum number of, not more than 1,100, group title lots and building unit lots into which all of the residential zones within the site may be subdivided for residential purposes.\n- (a) the plan adequately defines the boundaries of all the zones within the site; and\n- (b) the number of building unit lots and group title lots under subsection&#160;(3) — (i) is appropriate to the nature of the proposed development of the site; and (ii) is not more than the maximum number under subsection&#160;(3) (b) .\n- (i) is appropriate to the nature of the proposed development of the site; and\n- (ii) is not more than the maximum number under subsection&#160;(3) (b) .\n- (i) is appropriate to the nature of the proposed development of the site; and\n- (ii) is not more than the maximum number under subsection&#160;(3) (b) .\n- (a) keep the proposed use plan; and\n- (b) give a copy of the plan to— (i) the registrar of titles; and (ii) the chief executive.\n- (i) the registrar of titles; and\n- (ii) the chief executive.\n- (i) the registrar of titles; and\n- (ii) the chief executive.\n- (a) a group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and\n- (b) the group title lots or building unit lots created from the subdivision must be counted.","sortOrder":14},{"sectionNumber":"sec.8","sectionType":"section","heading":"Amendment of proposed use plan for minor boundary variation","content":"### sec.8 Amendment of proposed use plan for minor boundary variation\n\nThe primary thoroughfare body corporate may lodge with the local government a plan of survey (the amending plan ) varying the boundaries of the zones as shown on the proposed use plan of the site.\nThe local government may approve the amending plan if it is satisfied—\nthe plan adequately defines the boundaries of all the zones within the site; and\nthe number of building unit lots and group title lots stated in the schedule included with the plan—\nis appropriate to the nature of the proposed development of the site; and\nis not more than the relevant maximum for the site; and\nthe variation of the boundaries is of a minor nature and does not substantially prejudice the rights of any person.\nFor deciding the number of group title lots or building unit lots into which a particular zone may be subdivided for residential purposes—\na group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and\nthe group title lots or building unit lots created from the subdivision must be counted.\nThe local government must—\nkeep the approved amending plan; and\ngive a copy of it to—\nthe registrar of titles; and\nthe chief executive.\nIn this section—\nrelevant maximum , for the site, means—\nif the proposed use plan of the site is the proposed use plan under section&#160;4B (1) —900; or\nif the proposed use plan of the site is the proposed use plan under section&#160;4B (2) —1,100.\ns&#160;8 prev s&#160;8 amd 1987 s&#160;4; 1987 No.&#160;91 s&#160;5 ; 1989 No.&#160;114 s&#160;4\nom 2009 No.&#160;26 s&#160;63\npres s&#160;8 ins 2011 No.&#160;27 s&#160;325\n(sec.8-ssec.1) The primary thoroughfare body corporate may lodge with the local government a plan of survey (the amending plan ) varying the boundaries of the zones as shown on the proposed use plan of the site.\n(sec.8-ssec.2) The local government may approve the amending plan if it is satisfied— the plan adequately defines the boundaries of all the zones within the site; and the number of building unit lots and group title lots stated in the schedule included with the plan— is appropriate to the nature of the proposed development of the site; and is not more than the relevant maximum for the site; and the variation of the boundaries is of a minor nature and does not substantially prejudice the rights of any person.\n(sec.8-ssec.3) For deciding the number of group title lots or building unit lots into which a particular zone may be subdivided for residential purposes— a group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and the group title lots or building unit lots created from the subdivision must be counted.\n(sec.8-ssec.4) The local government must— keep the approved amending plan; and give a copy of it to— the registrar of titles; and the chief executive.\n(sec.8-ssec.5) In this section— relevant maximum , for the site, means— if the proposed use plan of the site is the proposed use plan under section&#160;4B (1) —900; or if the proposed use plan of the site is the proposed use plan under section&#160;4B (2) —1,100.\n- (a) the plan adequately defines the boundaries of all the zones within the site; and\n- (b) the number of building unit lots and group title lots stated in the schedule included with the plan— (i) is appropriate to the nature of the proposed development of the site; and (ii) is not more than the relevant maximum for the site; and\n- (i) is appropriate to the nature of the proposed development of the site; and\n- (ii) is not more than the relevant maximum for the site; and\n- (c) the variation of the boundaries is of a minor nature and does not substantially prejudice the rights of any person.\n- (i) is appropriate to the nature of the proposed development of the site; and\n- (ii) is not more than the relevant maximum for the site; and\n- (a) a group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and\n- (b) the group title lots or building unit lots created from the subdivision must be counted.\n- (a) keep the approved amending plan; and\n- (b) give a copy of it to— (i) the registrar of titles; and (ii) the chief executive.\n- (i) the registrar of titles; and\n- (ii) the chief executive.\n- (i) the registrar of titles; and\n- (ii) the chief executive.\n- (a) if the proposed use plan of the site is the proposed use plan under section&#160;4B (1) —900; or\n- (b) if the proposed use plan of the site is the proposed use plan under section&#160;4B (2) —1,100.","sortOrder":15},{"sectionNumber":"sec.9","sectionType":"section","heading":"Town planning provisions","content":"### sec.9 Town planning provisions\n\nDespite the Planning Act , the local government’s planning scheme under that Act does not apply to the site.\nHowever, any agreement entered into by the former Albert Shire Council prior to the commencement of this section shall continue to have force and effect.\nFor the Planning Act , the use of land or a building or other structure in a part of a zone of the site for an approved use for the part is taken to be a lawful use under that Act.\nA person must not use land, or erect or use a building or other structure, in a part of a zone of the site for a use that is not an approved use for the part.\nMaximum penalty—20 penalty units.\nIn this section—\nerect , in relation to a building or other structure, includes the following—\ndoing work for the purpose of erecting the building or structure;\ncarrying out structural work, alterations or additions or rebuilding the building or structure;\nmoving the building or structure or rebuilding it, with or without alteration—\nwithin a parcel of land; or\nfrom one parcel of land to another parcel of land; or\nso that part of the building or structure is on a parcel of land and another part of the building or structure is on another parcel of land.\ns&#160;9 amd 1987 No.&#160;91 s&#160;6 ; 2009 No.&#160;26 s&#160;64 ; 2016 No.&#160;27 s&#160;442 ; 2019 No.&#160;11 s&#160;218\n(sec.9-ssec.1) Despite the Planning Act , the local government’s planning scheme under that Act does not apply to the site.\n(sec.9-ssec.2) However, any agreement entered into by the former Albert Shire Council prior to the commencement of this section shall continue to have force and effect.\n(sec.9-ssec.3) For the Planning Act , the use of land or a building or other structure in a part of a zone of the site for an approved use for the part is taken to be a lawful use under that Act.\n(sec.9-ssec.4) A person must not use land, or erect or use a building or other structure, in a part of a zone of the site for a use that is not an approved use for the part. Maximum penalty—20 penalty units.\n(sec.9-ssec.5) In this section— erect , in relation to a building or other structure, includes the following— doing work for the purpose of erecting the building or structure; carrying out structural work, alterations or additions or rebuilding the building or structure; moving the building or structure or rebuilding it, with or without alteration— within a parcel of land; or from one parcel of land to another parcel of land; or so that part of the building or structure is on a parcel of land and another part of the building or structure is on another parcel of land.\n- (a) doing work for the purpose of erecting the building or structure;\n- (b) carrying out structural work, alterations or additions or rebuilding the building or structure;\n- (c) moving the building or structure or rebuilding it, with or without alteration— (i) within a parcel of land; or (ii) from one parcel of land to another parcel of land; or (iii) so that part of the building or structure is on a parcel of land and another part of the building or structure is on another parcel of land.\n- (i) within a parcel of land; or\n- (ii) from one parcel of land to another parcel of land; or\n- (iii) so that part of the building or structure is on a parcel of land and another part of the building or structure is on another parcel of land.\n- (i) within a parcel of land; or\n- (ii) from one parcel of land to another parcel of land; or\n- (iii) so that part of the building or structure is on a parcel of land and another part of the building or structure is on another parcel of land.","sortOrder":16},{"sectionNumber":"pt.2-div.3","sectionType":"division","heading":"Initial subdivision","content":"## Initial subdivision","sortOrder":17},{"sectionNumber":"sec.10","sectionType":"section","heading":"Initial subdivision within the site","content":"### sec.10 Initial subdivision within the site\n\nUpon the company becoming the proprietor of all land within the site, there shall be lodged with the registrar of titles a plan of survey of the site subdividing the site into—\na lot or lots which comprise or together comprise the primary thoroughfare; and\nlots which together comprise the balance of the land in the site each of which lots shall be wholly within a zone.\nThe registrar of titles shall not register the plan of survey lodged with the registrar pursuant to subsection&#160;(1) unless the plan has endorsed thereon the approval of the local government.\nWhen the plan of survey is submitted to the local government for its approval, it shall be accompanied by a schedule setting out in respect of each lot within each residential zone the maximum number of group title lots or building unit lots into which that lot may be subdivided for residential purposes.\nThe local government shall not approve the plan of survey unless it is satisfied that the plan fulfils the requirements of subsection&#160;(1) and that the maximum number of group title lots or building unit lots into which a zone may be subdivided does not exceed and is not less than 90% of the number specified for that zone in the proposed use plan.\nThe schedule that in accordance with subsection&#160;(3) accompanied the plan of survey shall be retained by the local government.\nA copy of the plan of survey and of the schedule referred to in subsection&#160;(3) shall be forwarded to the chief executive.\nNotwithstanding any other Act, for the purposes of subsection&#160;(2) , a lot shall be taken to have access to a dedicated road if—\nin the case of a lot that comprises or forms part of the primary thoroughfare—the primary thoroughfare adjoins a dedicated road;\nin the case of any other lot—that lot adjoins a lot that comprises wholly or partly the primary thoroughfare.\nA plan of survey may from time to time be lodged with the registrar of titles—\nto enable part of the land comprising the primary thoroughfare to cease to be part of the primary thoroughfare and other land to become part of the primary thoroughfare; or\nto amend the initial plan of survey in accordance with a variation of the boundary of a zone approved by—\nthe local government under section&#160;8 (2) ; or\nthe Governor in Council under section&#160;12M .\nThe registrar of titles shall not register a plan of survey lodged with the registrar under subsection&#160;(8) (a) or (b) (i) unless the plan has endorsed thereon the approval of the local government.\nThe local government shall not approve a plan of survey to be lodged under subsection&#160;(8) (a) or (b) (i) unless it is satisfied that access to any land within the site or the adjacent site will not be restricted or if access is restricted the proprietor of that land consents to that restriction.\nA copy of the plan of survey shall be forwarded to the chief executive.\nUpon registration of a plan of survey lodged with the registrar of titles pursuant to subsection&#160;(8) , the initial plan of survey as amended by the firstmentioned plan shall become the initial plan of survey.\ns&#160;10 amd 1987 s&#160;5; 1987 No.&#160;91 s&#160;7 ; 1989 No.&#160;114 s&#160;5 ; 2009 No.&#160;26 s&#160;65 ; 2011 No.&#160;27 s&#160;326\n(sec.10-ssec.1) Upon the company becoming the proprietor of all land within the site, there shall be lodged with the registrar of titles a plan of survey of the site subdividing the site into— a lot or lots which comprise or together comprise the primary thoroughfare; and lots which together comprise the balance of the land in the site each of which lots shall be wholly within a zone.\n(sec.10-ssec.2) The registrar of titles shall not register the plan of survey lodged with the registrar pursuant to subsection&#160;(1) unless the plan has endorsed thereon the approval of the local government.\n(sec.10-ssec.3) When the plan of survey is submitted to the local government for its approval, it shall be accompanied by a schedule setting out in respect of each lot within each residential zone the maximum number of group title lots or building unit lots into which that lot may be subdivided for residential purposes.\n(sec.10-ssec.4) The local government shall not approve the plan of survey unless it is satisfied that the plan fulfils the requirements of subsection&#160;(1) and that the maximum number of group title lots or building unit lots into which a zone may be subdivided does not exceed and is not less than 90% of the number specified for that zone in the proposed use plan.\n(sec.10-ssec.5) The schedule that in accordance with subsection&#160;(3) accompanied the plan of survey shall be retained by the local government.\n(sec.10-ssec.6) A copy of the plan of survey and of the schedule referred to in subsection&#160;(3) shall be forwarded to the chief executive.\n(sec.10-ssec.7) Notwithstanding any other Act, for the purposes of subsection&#160;(2) , a lot shall be taken to have access to a dedicated road if— in the case of a lot that comprises or forms part of the primary thoroughfare—the primary thoroughfare adjoins a dedicated road; in the case of any other lot—that lot adjoins a lot that comprises wholly or partly the primary thoroughfare.\n(sec.10-ssec.8) A plan of survey may from time to time be lodged with the registrar of titles— to enable part of the land comprising the primary thoroughfare to cease to be part of the primary thoroughfare and other land to become part of the primary thoroughfare; or to amend the initial plan of survey in accordance with a variation of the boundary of a zone approved by— the local government under section&#160;8 (2) ; or the Governor in Council under section&#160;12M .\n(sec.10-ssec.9) The registrar of titles shall not register a plan of survey lodged with the registrar under subsection&#160;(8) (a) or (b) (i) unless the plan has endorsed thereon the approval of the local government.\n(sec.10-ssec.9A) The local government shall not approve a plan of survey to be lodged under subsection&#160;(8) (a) or (b) (i) unless it is satisfied that access to any land within the site or the adjacent site will not be restricted or if access is restricted the proprietor of that land consents to that restriction.\n(sec.10-ssec.9B) A copy of the plan of survey shall be forwarded to the chief executive.\n(sec.10-ssec.10) Upon registration of a plan of survey lodged with the registrar of titles pursuant to subsection&#160;(8) , the initial plan of survey as amended by the firstmentioned plan shall become the initial plan of survey.\n- (a) a lot or lots which comprise or together comprise the primary thoroughfare; and\n- (b) lots which together comprise the balance of the land in the site each of which lots shall be wholly within a zone.\n- (a) in the case of a lot that comprises or forms part of the primary thoroughfare—the primary thoroughfare adjoins a dedicated road;\n- (b) in the case of any other lot—that lot adjoins a lot that comprises wholly or partly the primary thoroughfare.\n- (a) to enable part of the land comprising the primary thoroughfare to cease to be part of the primary thoroughfare and other land to become part of the primary thoroughfare; or\n- (b) to amend the initial plan of survey in accordance with a variation of the boundary of a zone approved by— (i) the local government under section&#160;8 (2) ; or (ii) the Governor in Council under section&#160;12M .\n- (i) the local government under section&#160;8 (2) ; or\n- (ii) the Governor in Council under section&#160;12M .\n- (i) the local government under section&#160;8 (2) ; or\n- (ii) the Governor in Council under section&#160;12M .","sortOrder":18},{"sectionNumber":"sec.11","sectionType":"section","heading":"Effect of registration of initial plan of survey","content":"### sec.11 Effect of registration of initial plan of survey\n\nUpon registration by the registrar of titles of the initial plan of survey, then but not otherwise the following sections of this Act (other than of part&#160;2A ) shall take effect.\ns&#160;11 amd 1987 No.&#160;91 s&#160;8","sortOrder":19},{"sectionNumber":"sec.12","sectionType":"section","heading":"Transfer of primary thoroughfare to primary thoroughfare body corporate","content":"### sec.12 Transfer of primary thoroughfare to primary thoroughfare body corporate\n\nThe company shall as soon as practicable lodge with the registrar of titles all documents necessary to transfer the lot or lots shown on the initial plan of survey that comprise the primary thoroughfare within the site to the primary thoroughfare body corporate.\nThe primary thoroughfare body corporate shall not be required to make any payment or provide any consideration for such transfer.\nNothing in this section shall operate to relieve the company of its obligation to effect at its expense the initial construction of the primary thoroughfare to the standard prescribed pursuant to section&#160;51 .\ns&#160;12 amd 1987 No.&#160;91 s&#160;9\n(sec.12-ssec.1) The company shall as soon as practicable lodge with the registrar of titles all documents necessary to transfer the lot or lots shown on the initial plan of survey that comprise the primary thoroughfare within the site to the primary thoroughfare body corporate.\n(sec.12-ssec.1A) The primary thoroughfare body corporate shall not be required to make any payment or provide any consideration for such transfer.\n(sec.12-ssec.2) Nothing in this section shall operate to relieve the company of its obligation to effect at its expense the initial construction of the primary thoroughfare to the standard prescribed pursuant to section&#160;51 .","sortOrder":20},{"sectionNumber":"pt.2A","sectionType":"part","heading":"The adjacent site and subdivision of the adjacent site","content":"# The adjacent site and subdivision of the adjacent site","sortOrder":21},{"sectionNumber":"pt.2A-div.1","sectionType":"division","heading":"The adjacent site","content":"## The adjacent site","sortOrder":22},{"sectionNumber":"sec.12A","sectionType":"section","heading":"The adjacent site","content":"### sec.12A The adjacent site\n\nSubject to subsection&#160;(2) , the adjacent site is the area of land shown on the initial plan of survey of the adjacent site.\nIf the initial plan of survey of the adjacent site is amended under part&#160;2AA by varying the boundary of the adjacent site, the adjacent site is the area of land shown on the initial plan of survey of the adjacent site as amended.\nNotwithstanding any other Act or law the adjacent site includes land within the boundaries of the adjacent site that is or may be or becomes inundated by water or subject to tidal influence and any estate or interest held in that land before the land becomes inundated or became subject to tidal influence is not affected by the inundation or being subject to tidal influence.\nDespite the Local Government Act 1993 , the adjacent site forms part of the Gold Coast city local government area constituted under that Act.\nSubject to subsection&#160;(6) but notwithstanding any other provision of this Act, land within the site (as defined in section&#160;5 ) may, for the purposes of this Act, be treated as being within a zone of the adjacent site if—\nit abuts land within the adjacent site; and\nit is zoned for residential use; and\nits zoning corresponds with that of the land it abuts within the adjacent site; and\nthe land is not already included in a subdivision or resubdivision of the site by means of a building units plan or group titles plan.\nWhere pursuant to subsection&#160;(5) land within the site is included in a plan of survey subdividing or resubdividing a secondary lot within the adjacent site by means of a building units plan or group titles plan, the plan shall not be approved if—\nthe aggregate of the areas of the land within the site and included in the plan and of all other land within the site previously treated under subsection&#160;(5) as being within the adjacent site exceeds 5ha; or\nthe total number of building unit lots and group title lots permitted within the adjacent site would be exceeded if the plan were to be approved; or\nthe total number of building unit lots and group title lots approved for the relevant zone of the adjacent site would be exceeded if the plan were to be approved.\ns&#160;12A ins 1987 No.&#160;91 s&#160;10\namd 1989 No.&#160;114 s&#160;6 ; 2009 No.&#160;26 s&#160;66\n(sec.12A-ssec.1) Subject to subsection&#160;(2) , the adjacent site is the area of land shown on the initial plan of survey of the adjacent site.\n(sec.12A-ssec.2) If the initial plan of survey of the adjacent site is amended under part&#160;2AA by varying the boundary of the adjacent site, the adjacent site is the area of land shown on the initial plan of survey of the adjacent site as amended.\n(sec.12A-ssec.3) Notwithstanding any other Act or law the adjacent site includes land within the boundaries of the adjacent site that is or may be or becomes inundated by water or subject to tidal influence and any estate or interest held in that land before the land becomes inundated or became subject to tidal influence is not affected by the inundation or being subject to tidal influence.\n(sec.12A-ssec.4) Despite the Local Government Act 1993 , the adjacent site forms part of the Gold Coast city local government area constituted under that Act.\n(sec.12A-ssec.5) Subject to subsection&#160;(6) but notwithstanding any other provision of this Act, land within the site (as defined in section&#160;5 ) may, for the purposes of this Act, be treated as being within a zone of the adjacent site if— it abuts land within the adjacent site; and it is zoned for residential use; and its zoning corresponds with that of the land it abuts within the adjacent site; and the land is not already included in a subdivision or resubdivision of the site by means of a building units plan or group titles plan.\n(sec.12A-ssec.6) Where pursuant to subsection&#160;(5) land within the site is included in a plan of survey subdividing or resubdividing a secondary lot within the adjacent site by means of a building units plan or group titles plan, the plan shall not be approved if— the aggregate of the areas of the land within the site and included in the plan and of all other land within the site previously treated under subsection&#160;(5) as being within the adjacent site exceeds 5ha; or the total number of building unit lots and group title lots permitted within the adjacent site would be exceeded if the plan were to be approved; or the total number of building unit lots and group title lots approved for the relevant zone of the adjacent site would be exceeded if the plan were to be approved.\n- (a) it abuts land within the adjacent site; and\n- (b) it is zoned for residential use; and\n- (c) its zoning corresponds with that of the land it abuts within the adjacent site; and\n- (d) the land is not already included in a subdivision or resubdivision of the site by means of a building units plan or group titles plan.\n- (a) the aggregate of the areas of the land within the site and included in the plan and of all other land within the site previously treated under subsection&#160;(5) as being within the adjacent site exceeds 5ha; or\n- (b) the total number of building unit lots and group title lots permitted within the adjacent site would be exceeded if the plan were to be approved; or\n- (c) the total number of building unit lots and group title lots approved for the relevant zone of the adjacent site would be exceeded if the plan were to be approved.","sortOrder":23},{"sectionNumber":"sec.12B","sectionType":"section","heading":"Grant of Crown land to the company","content":"### sec.12B Grant of Crown land to the company\n\nThe power conferred by the Land Act 1962 on the Governor in Council to grant in fee simple and Crown land within Queensland includes power, upon payment of such amount as the Governor in Council determines, to grant Crown land within the adjacent site to the company in fee simple and priority to and to the exclusion of all other persons, notwithstanding the provisions of the Land Act 1962 .\ns&#160;12B ins 1987 No.&#160;91 s&#160;10","sortOrder":24},{"sectionNumber":"pt.2A-div.2","sectionType":"division","heading":"Zones in the adjacent site","content":"## Zones in the adjacent site","sortOrder":25},{"sectionNumber":"sec.12C","sectionType":"section","heading":"Approval of plan of survey","content":"### sec.12C Approval of plan of survey\n\nThe primary thoroughfare body corporate may lodge with the local government a plan of survey showing the zones of the adjacent site substantially in the form set out in schedule&#160;8 .\nIf the local government considers it appropriate that a boundary of a zone shown on the plan should differ from the boundary of the zone as shown in schedule&#160;8 , it may require the primary thoroughfare body corporate to lodge an amended plan showing the different boundary.\nThe plan of survey must include a schedule stating—\nfor each of the residential zones, the maximum number of group title lots or building unit lots into which each zone may be subdivided for residential purposes; and\nthe total of the maximum number of, not more than 900, group title lots and building unit lots into which all of the residential zones within the site may be subdivided for residential purposes.\nThe local government may approve the plan if it is satisfied—\nthe plan adequately defines the boundaries of all the zones within the adjacent site; and\nthe number of building unit lots and group title lots under subsection&#160;(3) —\nis appropriate to the nature of the proposed development of the adjacent site; and\nis not more than the maximum number under subsection&#160;(3) (b) .\nThe local government must—\nkeep the proposed use plan; and\ngive a copy of the plan to—\nthe registrar of titles; and\nthe chief executive.\nFor deciding the number of group title lots or building unit lots into which a particular zone may be subdivided for residential purposes—\na group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and\nthe group title lots or building unit lots created from the subdivision must be counted.\ns&#160;12C ins 1987 No.&#160;91 s&#160;11\nsub 2009 No.&#160;26 s&#160;67\namd 2011 No.&#160;27 s&#160;327\n(sec.12C-ssec.1) The primary thoroughfare body corporate may lodge with the local government a plan of survey showing the zones of the adjacent site substantially in the form set out in schedule&#160;8 .\n(sec.12C-ssec.2) If the local government considers it appropriate that a boundary of a zone shown on the plan should differ from the boundary of the zone as shown in schedule&#160;8 , it may require the primary thoroughfare body corporate to lodge an amended plan showing the different boundary.\n(sec.12C-ssec.3) The plan of survey must include a schedule stating— for each of the residential zones, the maximum number of group title lots or building unit lots into which each zone may be subdivided for residential purposes; and the total of the maximum number of, not more than 900, group title lots and building unit lots into which all of the residential zones within the site may be subdivided for residential purposes.\n(sec.12C-ssec.4) The local government may approve the plan if it is satisfied— the plan adequately defines the boundaries of all the zones within the adjacent site; and the number of building unit lots and group title lots under subsection&#160;(3) — is appropriate to the nature of the proposed development of the adjacent site; and is not more than the maximum number under subsection&#160;(3) (b) .\n(sec.12C-ssec.5) The local government must— keep the proposed use plan; and give a copy of the plan to— the registrar of titles; and the chief executive.\n(sec.12C-ssec.6) For deciding the number of group title lots or building unit lots into which a particular zone may be subdivided for residential purposes— a group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and the group title lots or building unit lots created from the subdivision must be counted.\n- (a) for each of the residential zones, the maximum number of group title lots or building unit lots into which each zone may be subdivided for residential purposes; and\n- (b) the total of the maximum number of, not more than 900, group title lots and building unit lots into which all of the residential zones within the site may be subdivided for residential purposes.\n- (a) the plan adequately defines the boundaries of all the zones within the adjacent site; and\n- (b) the number of building unit lots and group title lots under subsection&#160;(3) — (i) is appropriate to the nature of the proposed development of the adjacent site; and (ii) is not more than the maximum number under subsection&#160;(3) (b) .\n- (i) is appropriate to the nature of the proposed development of the adjacent site; and\n- (ii) is not more than the maximum number under subsection&#160;(3) (b) .\n- (i) is appropriate to the nature of the proposed development of the adjacent site; and\n- (ii) is not more than the maximum number under subsection&#160;(3) (b) .\n- (a) keep the proposed use plan; and\n- (b) give a copy of the plan to— (i) the registrar of titles; and (ii) the chief executive.\n- (i) the registrar of titles; and\n- (ii) the chief executive.\n- (i) the registrar of titles; and\n- (ii) the chief executive.\n- (a) a group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and\n- (b) the group title lots or building unit lots created from the subdivision must be counted.","sortOrder":26},{"sectionNumber":"sec.12D","sectionType":"section","heading":"Amendment of proposed use plan for minor boundary variation","content":"### sec.12D Amendment of proposed use plan for minor boundary variation\n\nThe primary thoroughfare body corporate may lodge with the local government a plan of survey (the amending plan ) varying the boundaries of the zones as shown on the proposed use plan of the adjacent site.\nThe local government may approve the amending plan if it is satisfied—\nthe plan adequately defines the boundaries of all the zones within the adjacent site; and\nthe number of building unit lots and group title lots stated in the schedule included with the plan—\nis appropriate to the nature of the proposed development of the adjacent site; and\nis not more than the relevant maximum for the adjacent site; and\nthe variation of the boundaries is of a minor nature and does not substantially prejudice the rights of any person.\nFor deciding the number of group title lots or building unit lots into which a particular zone may be subdivided for residential purposes—\na group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and\nthe group title lots or building unit lots created from the subdivision must be counted.\nThe local government must—\nkeep the approved amending plan; and\ngive a copy of it to—\nthe registrar of titles; and\nthe chief executive.\nIn this section—\nrelevant maximum , for the adjacent site, means—\nif the proposed use plan of the adjacent site is the proposed use plan under section&#160;4B (3) —1,100; or\nif the proposed use plan of the adjacent site is the proposed use plan under section&#160;4B (4) —900.\ns&#160;12D prev s&#160;12D ins 1987 No.&#160;91 s&#160;11\namd 1989 No.&#160;114 s&#160;7\nom 2009 No.&#160;26 s&#160;67\npres s&#160;12D ins 2011 No.&#160;27 s&#160;328\n(sec.12D-ssec.1) The primary thoroughfare body corporate may lodge with the local government a plan of survey (the amending plan ) varying the boundaries of the zones as shown on the proposed use plan of the adjacent site.\n(sec.12D-ssec.2) The local government may approve the amending plan if it is satisfied— the plan adequately defines the boundaries of all the zones within the adjacent site; and the number of building unit lots and group title lots stated in the schedule included with the plan— is appropriate to the nature of the proposed development of the adjacent site; and is not more than the relevant maximum for the adjacent site; and the variation of the boundaries is of a minor nature and does not substantially prejudice the rights of any person.\n(sec.12D-ssec.3) For deciding the number of group title lots or building unit lots into which a particular zone may be subdivided for residential purposes— a group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and the group title lots or building unit lots created from the subdivision must be counted.\n(sec.12D-ssec.4) The local government must— keep the approved amending plan; and give a copy of it to— the registrar of titles; and the chief executive.\n(sec.12D-ssec.5) In this section— relevant maximum , for the adjacent site, means— if the proposed use plan of the adjacent site is the proposed use plan under section&#160;4B (3) —1,100; or if the proposed use plan of the adjacent site is the proposed use plan under section&#160;4B (4) —900.\n- (a) the plan adequately defines the boundaries of all the zones within the adjacent site; and\n- (b) the number of building unit lots and group title lots stated in the schedule included with the plan— (i) is appropriate to the nature of the proposed development of the adjacent site; and (ii) is not more than the relevant maximum for the adjacent site; and\n- (i) is appropriate to the nature of the proposed development of the adjacent site; and\n- (ii) is not more than the relevant maximum for the adjacent site; and\n- (c) the variation of the boundaries is of a minor nature and does not substantially prejudice the rights of any person.\n- (i) is appropriate to the nature of the proposed development of the adjacent site; and\n- (ii) is not more than the relevant maximum for the adjacent site; and\n- (a) a group title lot that is subdivided into lots resulting in no area, other than common property, of the lot remaining must not be counted; and\n- (b) the group title lots or building unit lots created from the subdivision must be counted.\n- (a) keep the approved amending plan; and\n- (b) give a copy of it to— (i) the registrar of titles; and (ii) the chief executive.\n- (i) the registrar of titles; and\n- (ii) the chief executive.\n- (i) the registrar of titles; and\n- (ii) the chief executive.\n- (a) if the proposed use plan of the adjacent site is the proposed use plan under section&#160;4B (3) —1,100; or\n- (b) if the proposed use plan of the adjacent site is the proposed use plan under section&#160;4B (4) —900.","sortOrder":27},{"sectionNumber":"sec.12E","sectionType":"section","heading":"Town planning provisions","content":"### sec.12E Town planning provisions\n\nDespite the Planning Act , the local government’s planning scheme under that Act does not apply to the adjacent site.\nHowever, any agreement entered into by the former Albert Shire Council prior to the commencement of this section shall continue to have force and effect.\nFor the Planning Act , the use of land or a building or other structure in a part of a zone of the adjacent site for an approved use for the part is taken to be a lawful use under that Act.\nA person must not use land, or erect or use a building or other structure, in a part of a zone of the adjacent site for a use that is not an approved use for the part.\nMaximum penalty—20 penalty units.\nNotwithstanding subsection&#160;(4) , any building or other structure that, immediately before the commencement of section&#160;19 of the Sanctuary Cove Resort Act Amendment Act 1989 , was within the administration zone may, on and from that commencement, be used for any purpose for which buildings or structures within the administration zone are permitted to be used until 31 December 1996 or such later date as is declared by order in council made before 31 December 1996.\nIn this section—\nerect , in relation to a building or other structure, includes the following—\ndoing work for the purpose of erecting the building or structure;\ncarrying out structural work, alterations or additions or rebuilding the building or structure;\nmoving the building or structure or rebuilding it, with or without alteration—\nwithin a parcel of land; or\nfrom one parcel of land to another parcel of land; or\nso that part of the building or structure is on a parcel of land and another part of the building or structure is on another parcel of land.\ns&#160;12E ins 1987 No.&#160;91 s&#160;11\namd 1989 No.&#160;114 s&#160;8 ; 2009 No.&#160;26 s&#160;68 ; 2016 No.&#160;27 s&#160;442 ; 2019 No.&#160;11 s&#160;219\n(sec.12E-ssec.1) Despite the Planning Act , the local government’s planning scheme under that Act does not apply to the adjacent site.\n(sec.12E-ssec.2) However, any agreement entered into by the former Albert Shire Council prior to the commencement of this section shall continue to have force and effect.\n(sec.12E-ssec.3) For the Planning Act , the use of land or a building or other structure in a part of a zone of the adjacent site for an approved use for the part is taken to be a lawful use under that Act.\n(sec.12E-ssec.4) A person must not use land, or erect or use a building or other structure, in a part of a zone of the adjacent site for a use that is not an approved use for the part. Maximum penalty—20 penalty units.\n(sec.12E-ssec.4A) Notwithstanding subsection&#160;(4) , any building or other structure that, immediately before the commencement of section&#160;19 of the Sanctuary Cove Resort Act Amendment Act 1989 , was within the administration zone may, on and from that commencement, be used for any purpose for which buildings or structures within the administration zone are permitted to be used until 31 December 1996 or such later date as is declared by order in council made before 31 December 1996.\n(sec.12E-ssec.5) In this section— erect , in relation to a building or other structure, includes the following— doing work for the purpose of erecting the building or structure; carrying out structural work, alterations or additions or rebuilding the building or structure; moving the building or structure or rebuilding it, with or without alteration— within a parcel of land; or from one parcel of land to another parcel of land; or so that part of the building or structure is on a parcel of land and another part of the building or structure is on another parcel of land.\n- (a) doing work for the purpose of erecting the building or structure;\n- (b) carrying out structural work, alterations or additions or rebuilding the building or structure;\n- (c) moving the building or structure or rebuilding it, with or without alteration— (i) within a parcel of land; or (ii) from one parcel of land to another parcel of land; or (iii) so that part of the building or structure is on a parcel of land and another part of the building or structure is on another parcel of land.\n- (i) within a parcel of land; or\n- (ii) from one parcel of land to another parcel of land; or\n- (iii) so that part of the building or structure is on a parcel of land and another part of the building or structure is on another parcel of land.\n- (i) within a parcel of land; or\n- (ii) from one parcel of land to another parcel of land; or\n- (iii) so that part of the building or structure is on a parcel of land and another part of the building or structure is on another parcel of land.","sortOrder":28},{"sectionNumber":"pt.2A-div.3","sectionType":"division","heading":"Initial subdivision of adjacent site","content":"## Initial subdivision of adjacent site","sortOrder":29},{"sectionNumber":"sec.12F","sectionType":"section","heading":"Initial subdivision within the adjacent site","content":"### sec.12F Initial subdivision within the adjacent site\n\nUpon the company becoming the proprietor of all land within the adjacent site, there shall be lodged with the registrar of titles a plan of survey of the adjacent site subdividing the adjacent site into—\na lot or lots which comprises or together comprise the primary thoroughfare; and\nlots which together comprise the balance of the land in the adjacent site each of which lots shall be wholly within a zone.\nThe registrar of titles shall not register the plan of survey lodged with him pursuant to subsection&#160;(1) unless the plan has endorsed thereon the approval of the local government.\nWhen the plan of survey is submitted to the local government for its approval, it shall be accompanied by a schedule setting out in respect of each lot within each residential zone the maximum number of group title lots or building unit lots into which that lot may be subdivided for residential purposes.\nThe local government shall not approve the plan of survey unless it is satisfied that the plan fulfils the requirements of subsection&#160;(1) and that the maximum number of group title lots or building unit lots into which a zone may be subdivided does not exceed and is not less than 90% of the number specified for that zone in the proposed use plan of the adjacent site.\nThe schedule that in accordance with subsection&#160;(3) accompanied the plan of survey shall be retained by the local government.\nA copy of the plan of survey and of the schedule referred to in subsection&#160;(3) shall be forwarded to the chief executive.\nNotwithstanding any other Act, for the purposes of subsection&#160;(2) , a lot shall be taken to have access to a dedicated road if—\nin the case of a lot that comprises or forms part of the primary thoroughfare—the primary thoroughfare adjoins a dedicated road;\nin the case of any other lot—that lot adjoins a lot that comprises wholly or partly the primary thoroughfare.\nA plan of survey may from time to time be lodged with the registrar of titles—\nto enable part of the land comprising the primary thoroughfare to cease to be part of the primary thoroughfare and other land to become part of the primary thoroughfare; or\nto amend the initial plan of survey in accordance with a variation of the boundary of a zone approved by—\nthe local government under section&#160;12D (2) ; or\nthe Governor in Council under section&#160;12M .\nThe registrar of titles shall not register a plan of survey lodged with the registrar under subsection&#160;(8) (a) or (b) (i) unless the plan has endorsed thereon the approval of the local government.\nThe local government shall not approve a plan of survey to be lodged under subsection&#160;(8) (a) or (b) (i) unless it is satisfied that access to any land within the site or the adjacent site will not be restricted or if access is restricted the proprietor of that land consents to that restriction.\nA copy of the plan of survey shall be forwarded to the chief executive.\nUpon registration of a plan of survey lodged with the registrar of titles pursuant to subsection&#160;(8) , the initial plan of survey of the adjacent site as amended by the firstmentioned plan shall become the initial plan of survey of the adjacent site.\ns&#160;12F ins 1987 No.&#160;91 s&#160;12\namd 1989 No.&#160;114 s&#160;9 ; 2009 No.&#160;26 s&#160;69 ; 2011 No.&#160;27 s&#160;329\n(sec.12F-ssec.1) Upon the company becoming the proprietor of all land within the adjacent site, there shall be lodged with the registrar of titles a plan of survey of the adjacent site subdividing the adjacent site into— a lot or lots which comprises or together comprise the primary thoroughfare; and lots which together comprise the balance of the land in the adjacent site each of which lots shall be wholly within a zone.\n(sec.12F-ssec.2) The registrar of titles shall not register the plan of survey lodged with him pursuant to subsection&#160;(1) unless the plan has endorsed thereon the approval of the local government.\n(sec.12F-ssec.3) When the plan of survey is submitted to the local government for its approval, it shall be accompanied by a schedule setting out in respect of each lot within each residential zone the maximum number of group title lots or building unit lots into which that lot may be subdivided for residential purposes.\n(sec.12F-ssec.4) The local government shall not approve the plan of survey unless it is satisfied that the plan fulfils the requirements of subsection&#160;(1) and that the maximum number of group title lots or building unit lots into which a zone may be subdivided does not exceed and is not less than 90% of the number specified for that zone in the proposed use plan of the adjacent site.\n(sec.12F-ssec.5) The schedule that in accordance with subsection&#160;(3) accompanied the plan of survey shall be retained by the local government.\n(sec.12F-ssec.6) A copy of the plan of survey and of the schedule referred to in subsection&#160;(3) shall be forwarded to the chief executive.\n(sec.12F-ssec.7) Notwithstanding any other Act, for the purposes of subsection&#160;(2) , a lot shall be taken to have access to a dedicated road if— in the case of a lot that comprises or forms part of the primary thoroughfare—the primary thoroughfare adjoins a dedicated road; in the case of any other lot—that lot adjoins a lot that comprises wholly or partly the primary thoroughfare.\n(sec.12F-ssec.8) A plan of survey may from time to time be lodged with the registrar of titles— to enable part of the land comprising the primary thoroughfare to cease to be part of the primary thoroughfare and other land to become part of the primary thoroughfare; or to amend the initial plan of survey in accordance with a variation of the boundary of a zone approved by— the local government under section&#160;12D (2) ; or the Governor in Council under section&#160;12M .\n(sec.12F-ssec.9) The registrar of titles shall not register a plan of survey lodged with the registrar under subsection&#160;(8) (a) or (b) (i) unless the plan has endorsed thereon the approval of the local government.\n(sec.12F-ssec.9A) The local government shall not approve a plan of survey to be lodged under subsection&#160;(8) (a) or (b) (i) unless it is satisfied that access to any land within the site or the adjacent site will not be restricted or if access is restricted the proprietor of that land consents to that restriction.\n(sec.12F-ssec.9B) A copy of the plan of survey shall be forwarded to the chief executive.\n(sec.12F-ssec.10) Upon registration of a plan of survey lodged with the registrar of titles pursuant to subsection&#160;(8) , the initial plan of survey of the adjacent site as amended by the firstmentioned plan shall become the initial plan of survey of the adjacent site.\n- (a) a lot or lots which comprises or together comprise the primary thoroughfare; and\n- (b) lots which together comprise the balance of the land in the adjacent site each of which lots shall be wholly within a zone.\n- (a) in the case of a lot that comprises or forms part of the primary thoroughfare—the primary thoroughfare adjoins a dedicated road;\n- (b) in the case of any other lot—that lot adjoins a lot that comprises wholly or partly the primary thoroughfare.\n- (a) to enable part of the land comprising the primary thoroughfare to cease to be part of the primary thoroughfare and other land to become part of the primary thoroughfare; or\n- (b) to amend the initial plan of survey in accordance with a variation of the boundary of a zone approved by— (i) the local government under section&#160;12D (2) ; or (ii) the Governor in Council under section&#160;12M .\n- (i) the local government under section&#160;12D (2) ; or\n- (ii) the Governor in Council under section&#160;12M .\n- (i) the local government under section&#160;12D (2) ; or\n- (ii) the Governor in Council under section&#160;12M .","sortOrder":30},{"sectionNumber":"sec.12G","sectionType":"section","heading":"Effect of registration of initial plan of survey of the adjacent site","content":"### sec.12G Effect of registration of initial plan of survey of the adjacent site\n\nUpon registration by the registrar of titles of the initial plan of survey of the adjacent site, then but not otherwise the following sections of this Act shall take effect in respect of the adjacent site.\ns&#160;12G ins 1987 No.&#160;91 s&#160;12","sortOrder":31},{"sectionNumber":"sec.12H","sectionType":"section","heading":"Transfer of primary thoroughfare to primary thoroughfare body corporate","content":"### sec.12H Transfer of primary thoroughfare to primary thoroughfare body corporate\n\nThe company shall as soon as practicable lodge with the registrar of titles all documents necessary to transfer the lots or lots shown in the initial plan of survey of the adjacent site that comprise the primary thoroughfare within the adjacent site to the primary thoroughfare body corporate.\nThe primary thoroughfare body corporate shall not be required to make any payment or provide any consideration for such transfer.\nNothing in this section shall operate to relieve the company of its obligations to effect at its expense the initial construction of the primary thoroughfare to the standard prescribed pursuant to section&#160;51 .\ns&#160;12H ins 1987 No.&#160;91 s&#160;12\n(sec.12H-ssec.1) The company shall as soon as practicable lodge with the registrar of titles all documents necessary to transfer the lots or lots shown in the initial plan of survey of the adjacent site that comprise the primary thoroughfare within the adjacent site to the primary thoroughfare body corporate.\n(sec.12H-ssec.1A) The primary thoroughfare body corporate shall not be required to make any payment or provide any consideration for such transfer.\n(sec.12H-ssec.2) Nothing in this section shall operate to relieve the company of its obligations to effect at its expense the initial construction of the primary thoroughfare to the standard prescribed pursuant to section&#160;51 .","sortOrder":32},{"sectionNumber":"pt.2AA","sectionType":"part","heading":"Amendments by application to Minister","content":"# Amendments by application to Minister","sortOrder":33},{"sectionNumber":"sec.12I","sectionType":"section","heading":"Amendment applications","content":"### sec.12I Amendment applications\n\nThe primary thoroughfare body corporate may apply to the Minister under this part for any of the following amendments—\nchanging an approved use for a zone or part of a zone by—\nreplacing the use with a different approved use; or\nincluding an additional approved use for the zone or part;\namending the proposed use plan of the site or the proposed use plan of the adjacent site by—\nreplacing a zone name with a different zone name; or\nvarying the boundary of a zone on the plan, other than a variation to which section&#160;8 (2) or 12D (2) applies;\namending the initial plan of survey of the site by varying the boundary of the site;\namending the initial plan of survey of the adjacent site by varying the boundary of the adjacent site.\nEach of the plans mentioned in subsection&#160;(1) (b) to (d) is a relevant plan .\ns&#160;12I ins 2009 No.&#160;26 s&#160;70\namd 2011 No.&#160;27 s&#160;330 ; 2019 No.&#160;11 s&#160;220\n(sec.12I-ssec.1) The primary thoroughfare body corporate may apply to the Minister under this part for any of the following amendments— changing an approved use for a zone or part of a zone by— replacing the use with a different approved use; or including an additional approved use for the zone or part; amending the proposed use plan of the site or the proposed use plan of the adjacent site by— replacing a zone name with a different zone name; or varying the boundary of a zone on the plan, other than a variation to which section&#160;8 (2) or 12D (2) applies; amending the initial plan of survey of the site by varying the boundary of the site; amending the initial plan of survey of the adjacent site by varying the boundary of the adjacent site.\n(sec.12I-ssec.2) Each of the plans mentioned in subsection&#160;(1) (b) to (d) is a relevant plan .\n- (a) changing an approved use for a zone or part of a zone by— (i) replacing the use with a different approved use; or (ii) including an additional approved use for the zone or part;\n- (i) replacing the use with a different approved use; or\n- (ii) including an additional approved use for the zone or part;\n- (b) amending the proposed use plan of the site or the proposed use plan of the adjacent site by— (i) replacing a zone name with a different zone name; or (ii) varying the boundary of a zone on the plan, other than a variation to which section&#160;8 (2) or 12D (2) applies;\n- (i) replacing a zone name with a different zone name; or\n- (ii) varying the boundary of a zone on the plan, other than a variation to which section&#160;8 (2) or 12D (2) applies;\n- (c) amending the initial plan of survey of the site by varying the boundary of the site;\n- (d) amending the initial plan of survey of the adjacent site by varying the boundary of the adjacent site.\n- (i) replacing the use with a different approved use; or\n- (ii) including an additional approved use for the zone or part;\n- (i) replacing a zone name with a different zone name; or\n- (ii) varying the boundary of a zone on the plan, other than a variation to which section&#160;8 (2) or 12D (2) applies;","sortOrder":34},{"sectionNumber":"sec.12J","sectionType":"section","heading":"Members to be notified of proposed amendment","content":"### sec.12J Members to be notified of proposed amendment\n\nBefore making the application, the primary thoroughfare body corporate must—\ngive a written notice to each of the members of the primary thoroughfare body corporate and each of the members of the principal body corporate stating—\nthe nature of the proposed amendment; and\na description of each lot to which the proposed amendment relates; and\nthat a member may give the primary thoroughfare body corporate written submissions about the proposed amendment within a period (the notification period ) of at least 30 business days after the notice is given; and\nfor a proposed amendment of a relevant plan, make the proposed amended plan available for inspection by the members of the primary thoroughfare body corporate and the members of the principal body corporate during the notification period; and\nplace, on the subject land, a notice stating—\na brief summary of the nature of the proposed amendment and each lot to which the amendment relates; and\nthe notification period for giving written submissions about the proposed amendment; and\nthe name and contact details of a person authorised by the primary thoroughfare body corporate to give information about the amendment.\nThe notice under subsection&#160;(1) (c) must—\nbe of a type, and placed on the subject land in the way required, under schedule&#160;2 ; and\nremain on the subject land during the notification period.\ns&#160;12J ins 2009 No.&#160;26 s&#160;70\n(sec.12J-ssec.1) Before making the application, the primary thoroughfare body corporate must— give a written notice to each of the members of the primary thoroughfare body corporate and each of the members of the principal body corporate stating— the nature of the proposed amendment; and a description of each lot to which the proposed amendment relates; and that a member may give the primary thoroughfare body corporate written submissions about the proposed amendment within a period (the notification period ) of at least 30 business days after the notice is given; and for a proposed amendment of a relevant plan, make the proposed amended plan available for inspection by the members of the primary thoroughfare body corporate and the members of the principal body corporate during the notification period; and place, on the subject land, a notice stating— a brief summary of the nature of the proposed amendment and each lot to which the amendment relates; and the notification period for giving written submissions about the proposed amendment; and the name and contact details of a person authorised by the primary thoroughfare body corporate to give information about the amendment.\n(sec.12J-ssec.2) The notice under subsection&#160;(1) (c) must— be of a type, and placed on the subject land in the way required, under schedule&#160;2 ; and remain on the subject land during the notification period.\n- (a) give a written notice to each of the members of the primary thoroughfare body corporate and each of the members of the principal body corporate stating— (i) the nature of the proposed amendment; and (ii) a description of each lot to which the proposed amendment relates; and (iii) that a member may give the primary thoroughfare body corporate written submissions about the proposed amendment within a period (the notification period ) of at least 30 business days after the notice is given; and\n- (i) the nature of the proposed amendment; and\n- (ii) a description of each lot to which the proposed amendment relates; and\n- (iii) that a member may give the primary thoroughfare body corporate written submissions about the proposed amendment within a period (the notification period ) of at least 30 business days after the notice is given; and\n- (b) for a proposed amendment of a relevant plan, make the proposed amended plan available for inspection by the members of the primary thoroughfare body corporate and the members of the principal body corporate during the notification period; and\n- (c) place, on the subject land, a notice stating— (i) a brief summary of the nature of the proposed amendment and each lot to which the amendment relates; and (ii) the notification period for giving written submissions about the proposed amendment; and (iii) the name and contact details of a person authorised by the primary thoroughfare body corporate to give information about the amendment.\n- (i) a brief summary of the nature of the proposed amendment and each lot to which the amendment relates; and\n- (ii) the notification period for giving written submissions about the proposed amendment; and\n- (iii) the name and contact details of a person authorised by the primary thoroughfare body corporate to give information about the amendment.\n- (i) the nature of the proposed amendment; and\n- (ii) a description of each lot to which the proposed amendment relates; and\n- (iii) that a member may give the primary thoroughfare body corporate written submissions about the proposed amendment within a period (the notification period ) of at least 30 business days after the notice is given; and\n- (i) a brief summary of the nature of the proposed amendment and each lot to which the amendment relates; and\n- (ii) the notification period for giving written submissions about the proposed amendment; and\n- (iii) the name and contact details of a person authorised by the primary thoroughfare body corporate to give information about the amendment.\n- (a) be of a type, and placed on the subject land in the way required, under schedule&#160;2 ; and\n- (b) remain on the subject land during the notification period.","sortOrder":35},{"sectionNumber":"sec.12K","sectionType":"section","heading":"Requirements for application","content":"### sec.12K Requirements for application\n\nThe application must include—\na written statement confirming that—\na written notice was given to the members under section&#160;12J (1) (a) , including the days the notice was given; and\na notice was placed on the subject land under section&#160;12J (1) (c) and (2) , including the period during which the notice was on the land; and\na copy of the notice given under section&#160;12J (1) (a) ; and\nfor an amendment of a relevant plan—\na written statement confirming the plan was made available for inspection under section&#160;12J (1) (b) , including the period during which the plan was available for inspection; and\na copy of the proposed amended plan; and\nall written submissions given to the primary thoroughfare body corporate under section&#160;12J (1) (a) (iii) ; and\nother matters, if any, the Minister considers necessary for deciding the application.\ns&#160;12K ins 2009 No.&#160;26 s&#160;70\n- (a) a written statement confirming that— (i) a written notice was given to the members under section&#160;12J (1) (a) , including the days the notice was given; and (ii) a notice was placed on the subject land under section&#160;12J (1) (c) and (2) , including the period during which the notice was on the land; and\n- (i) a written notice was given to the members under section&#160;12J (1) (a) , including the days the notice was given; and\n- (ii) a notice was placed on the subject land under section&#160;12J (1) (c) and (2) , including the period during which the notice was on the land; and\n- (b) a copy of the notice given under section&#160;12J (1) (a) ; and\n- (c) for an amendment of a relevant plan— (i) a written statement confirming the plan was made available for inspection under section&#160;12J (1) (b) , including the period during which the plan was available for inspection; and (ii) a copy of the proposed amended plan; and\n- (i) a written statement confirming the plan was made available for inspection under section&#160;12J (1) (b) , including the period during which the plan was available for inspection; and\n- (ii) a copy of the proposed amended plan; and\n- (d) all written submissions given to the primary thoroughfare body corporate under section&#160;12J (1) (a) (iii) ; and\n- (e) other matters, if any, the Minister considers necessary for deciding the application.\n- (i) a written notice was given to the members under section&#160;12J (1) (a) , including the days the notice was given; and\n- (ii) a notice was placed on the subject land under section&#160;12J (1) (c) and (2) , including the period during which the notice was on the land; and\n- (i) a written statement confirming the plan was made available for inspection under section&#160;12J (1) (b) , including the period during which the plan was available for inspection; and\n- (ii) a copy of the proposed amended plan; and","sortOrder":36},{"sectionNumber":"sec.12L","sectionType":"section","heading":"Minister to consider application","content":"### sec.12L Minister to consider application\n\nThe Minister must—\nconsider the application including any written submissions included in the application; and\nconsult any local government, department of government or statutory authority that, in the Minister’s opinion, is likely to be affected by the amendment.\nThe Minister may also consult another person, if, in the Minister’s opinion, the person is likely to be affected by the amendment.\nThe Minister must give the Governor in Council—\nthe application; and\na written notice stating details of the consultation, if any, under subsection&#160;(1) (b) and (2) , including—\nwho the Minister consulted; and\nthe results of the consultation.\ns&#160;12L ins 2009 No.&#160;26 s&#160;70\n(sec.12L-ssec.1) The Minister must— consider the application including any written submissions included in the application; and consult any local government, department of government or statutory authority that, in the Minister’s opinion, is likely to be affected by the amendment.\n(sec.12L-ssec.2) The Minister may also consult another person, if, in the Minister’s opinion, the person is likely to be affected by the amendment.\n(sec.12L-ssec.3) The Minister must give the Governor in Council— the application; and a written notice stating details of the consultation, if any, under subsection&#160;(1) (b) and (2) , including— who the Minister consulted; and the results of the consultation.\n- (a) consider the application including any written submissions included in the application; and\n- (b) consult any local government, department of government or statutory authority that, in the Minister’s opinion, is likely to be affected by the amendment.\n- (a) the application; and\n- (b) a written notice stating details of the consultation, if any, under subsection&#160;(1) (b) and (2) , including— (i) who the Minister consulted; and (ii) the results of the consultation.\n- (i) who the Minister consulted; and\n- (ii) the results of the consultation.\n- (i) who the Minister consulted; and\n- (ii) the results of the consultation.","sortOrder":37},{"sectionNumber":"sec.12M","sectionType":"section","heading":"Decision on application","content":"### sec.12M Decision on application\n\nThe Governor in Council may, subject to section&#160;12N —\napprove the amendment; or\napprove the amendment with modifications or subject to conditions; or\nrefuse to approve the amendment.\ns&#160;12M ins 2009 No.&#160;26 s&#160;70\n- (a) approve the amendment; or\n- (b) approve the amendment with modifications or subject to conditions; or\n- (c) refuse to approve the amendment.","sortOrder":38},{"sectionNumber":"sec.12N","sectionType":"section","heading":"Minor variation of site boundaries","content":"### sec.12N Minor variation of site boundaries\n\nThis section applies to an amendment of—\nthe initial plan of survey of the site by varying the boundary of the site; or\nthe initial plan of survey of the adjacent site by varying the boundary of the adjacent site.\nThe Governor in Council may approve the amendment only if—\nthe Governor in Council considers—\nthe proposed variation of the boundary is of a minor nature; and\nthe total area of the site or adjacent site will not be materially changed because of the variation; and\nneither the aggregate number of the lots on the plan nor the aggregate voting entitlements for the lots will be changed because of the variation; and\neach affected land owner has given the owner’s written consent to the variation.\nIn this section—\naffected land owner means an owner of—\nland that is outside the site and is proposed under the relevant application to be within the site; or\nland that is outside the adjacent site and is proposed under the relevant application to be within the adjacent site.\ns&#160;12N ins 2009 No.&#160;26 s&#160;70\n(sec.12N-ssec.1) This section applies to an amendment of— the initial plan of survey of the site by varying the boundary of the site; or the initial plan of survey of the adjacent site by varying the boundary of the adjacent site.\n(sec.12N-ssec.2) The Governor in Council may approve the amendment only if— the Governor in Council considers— the proposed variation of the boundary is of a minor nature; and the total area of the site or adjacent site will not be materially changed because of the variation; and neither the aggregate number of the lots on the plan nor the aggregate voting entitlements for the lots will be changed because of the variation; and each affected land owner has given the owner’s written consent to the variation.\n(sec.12N-ssec.3) In this section— affected land owner means an owner of— land that is outside the site and is proposed under the relevant application to be within the site; or land that is outside the adjacent site and is proposed under the relevant application to be within the adjacent site.\n- (a) the initial plan of survey of the site by varying the boundary of the site; or\n- (b) the initial plan of survey of the adjacent site by varying the boundary of the adjacent site.\n- (a) the Governor in Council considers— (i) the proposed variation of the boundary is of a minor nature; and (ii) the total area of the site or adjacent site will not be materially changed because of the variation; and\n- (i) the proposed variation of the boundary is of a minor nature; and\n- (ii) the total area of the site or adjacent site will not be materially changed because of the variation; and\n- (b) neither the aggregate number of the lots on the plan nor the aggregate voting entitlements for the lots will be changed because of the variation; and\n- (c) each affected land owner has given the owner’s written consent to the variation.\n- (i) the proposed variation of the boundary is of a minor nature; and\n- (ii) the total area of the site or adjacent site will not be materially changed because of the variation; and\n- (a) land that is outside the site and is proposed under the relevant application to be within the site; or\n- (b) land that is outside the adjacent site and is proposed under the relevant application to be within the adjacent site.","sortOrder":39},{"sectionNumber":"sec.12O","sectionType":"section","heading":"Approval of change of use for zone or part of zone","content":"### sec.12O Approval of change of use for zone or part of zone\n\nIf the Governor in Council approves an amendment to change an approved use for a zone or part of a zone, the amendment does not take effect until it has been approved under a regulation.\ns&#160;12O ins 2009 No.&#160;26 s&#160;70\namd 2019 No.&#160;11 s&#160;221","sortOrder":40},{"sectionNumber":"sec.12P","sectionType":"section","heading":"Approval of amendment of relevant plan","content":"### sec.12P Approval of amendment of relevant plan\n\nThis section applies if the Governor in Council approves an amendment of a relevant plan under this part.\nThe chief executive must—\nnotify the approval of the amendment by a gazette notice stating—\nthe amendment that has been approved; and\nthe modifications, if any, made by the approval and the conditions, if any, to which the approval is subject; and\nthe places where a copy of the approval is available for inspection; and\nkeep a copy of the approval available for inspection at the office of the chief executive at Brisbane during business hours; and\nnote the approval on the amended plan; and\ngive to the registrar of titles and the local government a copy of—\nthe approved amendment; and\nthe amended plan endorsed under paragraph&#160;(c) .\nThe chief executive must, on payment by a person of the reasonable fee decided by the chief executive, give a copy of the amendment to the person.\nAfter receiving copies of the documents mentioned in subsection&#160;(2) (d) , the registrar of titles must register the amended plan.\ns&#160;12P ins 2009 No.&#160;26 s&#160;70\namd 2011 No.&#160;27 s&#160;331\n(sec.12P-ssec.1) This section applies if the Governor in Council approves an amendment of a relevant plan under this part.\n(sec.12P-ssec.2) The chief executive must— notify the approval of the amendment by a gazette notice stating— the amendment that has been approved; and the modifications, if any, made by the approval and the conditions, if any, to which the approval is subject; and the places where a copy of the approval is available for inspection; and keep a copy of the approval available for inspection at the office of the chief executive at Brisbane during business hours; and note the approval on the amended plan; and give to the registrar of titles and the local government a copy of— the approved amendment; and the amended plan endorsed under paragraph&#160;(c) .\n(sec.12P-ssec.3) The chief executive must, on payment by a person of the reasonable fee decided by the chief executive, give a copy of the amendment to the person.\n(sec.12P-ssec.4) After receiving copies of the documents mentioned in subsection&#160;(2) (d) , the registrar of titles must register the amended plan.\n- (a) notify the approval of the amendment by a gazette notice stating— (i) the amendment that has been approved; and (ii) the modifications, if any, made by the approval and the conditions, if any, to which the approval is subject; and (iii) the places where a copy of the approval is available for inspection; and\n- (i) the amendment that has been approved; and\n- (ii) the modifications, if any, made by the approval and the conditions, if any, to which the approval is subject; and\n- (iii) the places where a copy of the approval is available for inspection; and\n- (b) keep a copy of the approval available for inspection at the office of the chief executive at Brisbane during business hours; and\n- (c) note the approval on the amended plan; and\n- (d) give to the registrar of titles and the local government a copy of— (i) the approved amendment; and (ii) the amended plan endorsed under paragraph&#160;(c) .\n- (i) the approved amendment; and\n- (ii) the amended plan endorsed under paragraph&#160;(c) .\n- (i) the amendment that has been approved; and\n- (ii) the modifications, if any, made by the approval and the conditions, if any, to which the approval is subject; and\n- (iii) the places where a copy of the approval is available for inspection; and\n- (i) the approved amendment; and\n- (ii) the amended plan endorsed under paragraph&#160;(c) .","sortOrder":41},{"sectionNumber":"pt.2B","sectionType":"part","heading":"Dealing with land in zones","content":"# Dealing with land in zones","sortOrder":42},{"sectionNumber":"pt.2B-div.1","sectionType":"division","heading":"Dealing with land in residential zones","content":"## Dealing with land in residential zones","sortOrder":43},{"sectionNumber":"sec.13","sectionType":"section","heading":"Subdivision etc. of land within certain residential zones","content":"### sec.13 Subdivision etc. of land within certain residential zones\n\nAn initial lot within a residential zone may only be subdivided in the manner and to the extent prescribed by this section.\nIn a plan of survey subdividing an initial lot, each secondary lot must have access to the primary thoroughfare whether directly or through a lot or lots shown on the plan as constituting a secondary thoroughfare.\nFor the purposes of determining whether to approve a plan of survey subdividing an initial lot, the local government shall deem any area shown in the plan of survey or the initial plan of survey as being secondary thoroughfare or primary thoroughfare to be dedicated road.\nWhen a plan of survey is submitted to the local government for its approval, it shall be accompanied by a schedule setting out in respect of each secondary lot the maximum number of group title lots or, as the case may be, building unit lots into which that lot may be subdivided for residential purposes.\nThe local government shall not approve the plan of survey unless it is satisfied that the plan complies with this section and that the total number of lots specified in the schedule accompanying the plan in respect of all secondary lots into which an initial lot is subdivided does not exceed the maximum number of lots specified in respect of that initial lot in the schedule that accompanied the initial plan of survey or, as the case may be, the initial plan of survey of the adjacent site whereby that initial lot was created.\nThe provisions of subsection&#160;(2) shall apply in respect of the amalgamation of secondary lots as if the amalgamation were a subdivision of an initial lot comprising the secondary lots being amalgamated and the maximum number of lots into which that lot would have been subdivided was the sum of the maximum number of lots into which each of the lots being amalgamated could have been subdivided.\nA plan of survey may from time to time be lodged with the registrar of titles to enable part of the land comprising a secondary thoroughfare to cease to be part of the secondary thoroughfare and other land to become part of the secondary thoroughfare.\nThe registrar of titles shall not register a plan of survey lodged with the registrar pursuant to subsection&#160;(4) unless the plan has endorsed thereon the approval of the local government.\nThe local government shall not approve the plan of survey unless it is satisfied that access to any land within the site or the adjacent site will not be restricted or if access is restricted the proprietor of that land consents to that restriction.\nA copy of the plan of survey shall be forwarded to the chief executive.\nUpon registration of a plan of survey lodged with the registrar of titles pursuant to subsection&#160;(4) , any plan of survey or group titles plan to which the firstmentioned plan of survey relates is deemed to be amended to the extent shown on the firstmentioned plan of survey.\ns&#160;13 amd 1987 s&#160;6; 1987 No.&#160;92 s&#160;14 ; 1989 No.&#160;114 s&#160;10 ; 2009 No.&#160;26 s&#160;59 sch\n(sec.13-ssec.1) An initial lot within a residential zone may only be subdivided in the manner and to the extent prescribed by this section.\n(sec.13-ssec.2) In a plan of survey subdividing an initial lot, each secondary lot must have access to the primary thoroughfare whether directly or through a lot or lots shown on the plan as constituting a secondary thoroughfare.\n(sec.13-ssec.2A) For the purposes of determining whether to approve a plan of survey subdividing an initial lot, the local government shall deem any area shown in the plan of survey or the initial plan of survey as being secondary thoroughfare or primary thoroughfare to be dedicated road.\n(sec.13-ssec.2B) When a plan of survey is submitted to the local government for its approval, it shall be accompanied by a schedule setting out in respect of each secondary lot the maximum number of group title lots or, as the case may be, building unit lots into which that lot may be subdivided for residential purposes.\n(sec.13-ssec.2C) The local government shall not approve the plan of survey unless it is satisfied that the plan complies with this section and that the total number of lots specified in the schedule accompanying the plan in respect of all secondary lots into which an initial lot is subdivided does not exceed the maximum number of lots specified in respect of that initial lot in the schedule that accompanied the initial plan of survey or, as the case may be, the initial plan of survey of the adjacent site whereby that initial lot was created.\n(sec.13-ssec.3) The provisions of subsection&#160;(2) shall apply in respect of the amalgamation of secondary lots as if the amalgamation were a subdivision of an initial lot comprising the secondary lots being amalgamated and the maximum number of lots into which that lot would have been subdivided was the sum of the maximum number of lots into which each of the lots being amalgamated could have been subdivided.\n(sec.13-ssec.4) A plan of survey may from time to time be lodged with the registrar of titles to enable part of the land comprising a secondary thoroughfare to cease to be part of the secondary thoroughfare and other land to become part of the secondary thoroughfare.\n(sec.13-ssec.5) The registrar of titles shall not register a plan of survey lodged with the registrar pursuant to subsection&#160;(4) unless the plan has endorsed thereon the approval of the local government.\n(sec.13-ssec.5A) The local government shall not approve the plan of survey unless it is satisfied that access to any land within the site or the adjacent site will not be restricted or if access is restricted the proprietor of that land consents to that restriction.\n(sec.13-ssec.5B) A copy of the plan of survey shall be forwarded to the chief executive.\n(sec.13-ssec.6) Upon registration of a plan of survey lodged with the registrar of titles pursuant to subsection&#160;(4) , any plan of survey or group titles plan to which the firstmentioned plan of survey relates is deemed to be amended to the extent shown on the firstmentioned plan of survey.","sortOrder":44},{"sectionNumber":"sec.14","sectionType":"section","heading":"Transfer of lots comprising secondary thoroughfares to principal body corporate","content":"### sec.14 Transfer of lots comprising secondary thoroughfares to principal body corporate\n\nImmediately upon registration of a plan of survey subdividing an initial lot or part of an initial lot, the registered proprietor of any lot shown on the plan as a secondary thoroughfare shall lodge with the registrar of titles all documents necessary to transfer that lot to the principal body corporate.\nThe principal body corporate shall not be required to make any payment or provide any consideration for such transfer.\nImmediately upon registration of a group titles plan subdividing or resubdividing a secondary lot or resubdividing a lot shown on a group titles plan—\nthe registered proprietor of any lot shown on the plan as secondary thoroughfare;\nwhere common property is shown on the plan as secondary thoroughfare, the body corporate;\nshall lodge with the registrar of titles all documents necessary to transfer that lot or, as the case may be, common property to the principal body corporate.\nUpon registration of the principal body corporate as a proprietor of the lot or common property referred to in subsection&#160;(1A) , that lot or, as the case may be, that common property shall, for the purposes of the Building Units and Group Titles Act 1980 , cease to be part of the parcel shown on the group titles plan.\nThe principal body corporate shall not be required to make any payment or provide any consideration for a transfer pursuant to this subsection.\nNothing in this section shall operate to relieve the company of its obligation to effect at its expense the initial construction of the secondary thoroughfare to the standard prescribed pursuant to section&#160;51 .\ns&#160;14 amd 1987 s&#160;7\n(sec.14-ssec.1) Immediately upon registration of a plan of survey subdividing an initial lot or part of an initial lot, the registered proprietor of any lot shown on the plan as a secondary thoroughfare shall lodge with the registrar of titles all documents necessary to transfer that lot to the principal body corporate.\n(sec.14-ssec.1AA) The principal body corporate shall not be required to make any payment or provide any consideration for such transfer.\n(sec.14-ssec.1A) Immediately upon registration of a group titles plan subdividing or resubdividing a secondary lot or resubdividing a lot shown on a group titles plan— the registered proprietor of any lot shown on the plan as secondary thoroughfare; where common property is shown on the plan as secondary thoroughfare, the body corporate; shall lodge with the registrar of titles all documents necessary to transfer that lot or, as the case may be, common property to the principal body corporate.\n(sec.14-ssec.1B) Upon registration of the principal body corporate as a proprietor of the lot or common property referred to in subsection&#160;(1A) , that lot or, as the case may be, that common property shall, for the purposes of the Building Units and Group Titles Act 1980 , cease to be part of the parcel shown on the group titles plan.\n(sec.14-ssec.1C) The principal body corporate shall not be required to make any payment or provide any consideration for a transfer pursuant to this subsection.\n(sec.14-ssec.2) Nothing in this section shall operate to relieve the company of its obligation to effect at its expense the initial construction of the secondary thoroughfare to the standard prescribed pursuant to section&#160;51 .\n- (a) the registered proprietor of any lot shown on the plan as secondary thoroughfare;\n- (b) where common property is shown on the plan as secondary thoroughfare, the body corporate;","sortOrder":45},{"sectionNumber":"sec.15","sectionType":"section","heading":"Subdivision of secondary lots","content":"### sec.15 Subdivision of secondary lots\n\nA secondary lot within the Harbour 1 Residential Zone, Harbour, River and Waterfront Residential Zone or the General Residential Zone may only be subdivided or resubdivided—\nfor the purpose of the registration of a group titles plan or a building units plan over a lot thereby created—by way of registration of a plan of survey; or\nby way of registration of a building units plan or a group titles plan.\nA lot shown on a registered group titles plan referred to in subsection&#160;(1) may, subject to compliance with this section, be resubdivided by way of registration of a building units plan or a group titles plan.\nNotwithstanding the provisions of the Building Units and Group Titles Act 1980 , a group titles plan subdividing a secondary lot referred to in subsection&#160;(1) or resubdividing a lot shown on a registered group titles plan referred to in subsection&#160;(1) or (2) may create a lot or common property shown as secondary thoroughfare.\nIn a group titles plan resubdividing a lot shown on a registered group titles plan referred to in subsection&#160;(1) or (2) each lot thereby created must have access to the primary thoroughfare whether directly or indirectly through a lot or lots shown as secondary thoroughfare or through common property.\nA group titles plan mentioned in subsection&#160;(1) or (2) that is submitted to the local government must be accompanied by a diagram showing the name and numbering, or proposed name and numbering, of each road that is, or is to be, on—\nthe primary thoroughfare, or the part of the primary thoroughfare, shown on the plan; and\neach secondary thoroughfare, or part of a secondary thoroughfare, shown on the plan.\nNotwithstanding the provisions of section&#160;19 and of section&#160;19 of the Building Units and Group Titles Act 1980 , the lot entitlement of a lot on a group titles plan shown as secondary thoroughfare shall be zero and the proprietor of that lot shall not be a member of the body corporate constituted in respect of that plan.\nIf, when a group titles plan subdividing a secondary lot within the Harbour 1 Residential Zone, Harbour, River and Waterfront Residential Zone or the General Residential Zone is submitted to the local government for approval, the plan is accompanied by a statement by or on behalf of the proprietor of the secondary lot that it is proposed to subdivide the group title lots to be created by the registration of that plan by the registration of building units plans—\nsuch a building units plan may be approved by the local government and may be registered by the registrar of titles and for that purpose the Building Units and Group Titles Act 1980 , section&#160;10 (1A) , does not apply;\nthe local government shall not approve a group titles plan subdividing such a group titles lot unless, when the plan is submitted to the local government for approval it is accompanied by statement to the like effect.\nThe registration of a building units plan of subdivision pursuant to subsection&#160;(7) shall, notwithstanding the provisions of the Building Units and Group Titles Act 1980 take effect as if it were a resubdivision of the original group titles plan.\nNotwithstanding the provisions of section&#160;27 of the Building Units and Group Titles Act 1980 , where a secondary lot that, pursuant to subsection&#160;(1) , is subdivided by the registration of a group titles plan and a lot in the group titles plan is subdivided by a building units plan pursuant to subsection&#160;(7) , the body corporate created by the registration of the group titles plan shall be deemed, for the purpose of applying the provisions of that Act, to be a body corporate created by the registration of a building units plan as if the group titles plan were a building units plan.\nThe Building Units and Group Titles Act 1980 , section&#160;10 (1B) and (6) (b) , does not apply to a subdivision under this section.\nFor the purposes of section&#160;9 (7) of the Building Units and Group Titles Act 1980 , a plan of subdivision shall be taken to have complied with the requirements of the Local Government Act 1936 as modified by the Building Units and Group Titles Act 1980 in regard to the subdivision if the plan has complied with those requirements as modified by this Act.\nThe provisions of section&#160;9 (6) of the Building Units and Group Titles Act 1980 do not apply to any group titles plan in respect of any land within the residential zones.\nHowever, the maximum number of group title lots or building unit lots prescribed by this Act into which a parcel of land may be subdivided is not thereby exceeded in respect of that parcel.\ns&#160;15 amd 1986 s&#160;2; 1987 s&#160;8; 1999 No.&#160;30 s&#160;98 sch&#160;3 pt&#160;1 ; 2009 No.&#160;26 s&#160;71\n(sec.15-ssec.1) A secondary lot within the Harbour 1 Residential Zone, Harbour, River and Waterfront Residential Zone or the General Residential Zone may only be subdivided or resubdivided— for the purpose of the registration of a group titles plan or a building units plan over a lot thereby created—by way of registration of a plan of survey; or by way of registration of a building units plan or a group titles plan.\n(sec.15-ssec.2) A lot shown on a registered group titles plan referred to in subsection&#160;(1) may, subject to compliance with this section, be resubdivided by way of registration of a building units plan or a group titles plan.\n(sec.15-ssec.3) Notwithstanding the provisions of the Building Units and Group Titles Act 1980 , a group titles plan subdividing a secondary lot referred to in subsection&#160;(1) or resubdividing a lot shown on a registered group titles plan referred to in subsection&#160;(1) or (2) may create a lot or common property shown as secondary thoroughfare.\n(sec.15-ssec.4) In a group titles plan resubdividing a lot shown on a registered group titles plan referred to in subsection&#160;(1) or (2) each lot thereby created must have access to the primary thoroughfare whether directly or indirectly through a lot or lots shown as secondary thoroughfare or through common property.\n(sec.15-ssec.5) A group titles plan mentioned in subsection&#160;(1) or (2) that is submitted to the local government must be accompanied by a diagram showing the name and numbering, or proposed name and numbering, of each road that is, or is to be, on— the primary thoroughfare, or the part of the primary thoroughfare, shown on the plan; and each secondary thoroughfare, or part of a secondary thoroughfare, shown on the plan.\n(sec.15-ssec.6) Notwithstanding the provisions of section&#160;19 and of section&#160;19 of the Building Units and Group Titles Act 1980 , the lot entitlement of a lot on a group titles plan shown as secondary thoroughfare shall be zero and the proprietor of that lot shall not be a member of the body corporate constituted in respect of that plan.\n(sec.15-ssec.7) If, when a group titles plan subdividing a secondary lot within the Harbour 1 Residential Zone, Harbour, River and Waterfront Residential Zone or the General Residential Zone is submitted to the local government for approval, the plan is accompanied by a statement by or on behalf of the proprietor of the secondary lot that it is proposed to subdivide the group title lots to be created by the registration of that plan by the registration of building units plans— such a building units plan may be approved by the local government and may be registered by the registrar of titles and for that purpose the Building Units and Group Titles Act 1980 , section&#160;10 (1A) , does not apply; the local government shall not approve a group titles plan subdividing such a group titles lot unless, when the plan is submitted to the local government for approval it is accompanied by statement to the like effect.\n(sec.15-ssec.8) The registration of a building units plan of subdivision pursuant to subsection&#160;(7) shall, notwithstanding the provisions of the Building Units and Group Titles Act 1980 take effect as if it were a resubdivision of the original group titles plan.\n(sec.15-ssec.9) Notwithstanding the provisions of section&#160;27 of the Building Units and Group Titles Act 1980 , where a secondary lot that, pursuant to subsection&#160;(1) , is subdivided by the registration of a group titles plan and a lot in the group titles plan is subdivided by a building units plan pursuant to subsection&#160;(7) , the body corporate created by the registration of the group titles plan shall be deemed, for the purpose of applying the provisions of that Act, to be a body corporate created by the registration of a building units plan as if the group titles plan were a building units plan.\n(sec.15-ssec.10) The Building Units and Group Titles Act 1980 , section&#160;10 (1B) and (6) (b) , does not apply to a subdivision under this section.\n(sec.15-ssec.11) For the purposes of section&#160;9 (7) of the Building Units and Group Titles Act 1980 , a plan of subdivision shall be taken to have complied with the requirements of the Local Government Act 1936 as modified by the Building Units and Group Titles Act 1980 in regard to the subdivision if the plan has complied with those requirements as modified by this Act.\n(sec.15-ssec.12) The provisions of section&#160;9 (6) of the Building Units and Group Titles Act 1980 do not apply to any group titles plan in respect of any land within the residential zones.\n(sec.15-ssec.13) However, the maximum number of group title lots or building unit lots prescribed by this Act into which a parcel of land may be subdivided is not thereby exceeded in respect of that parcel.\n- (a) for the purpose of the registration of a group titles plan or a building units plan over a lot thereby created—by way of registration of a plan of survey; or\n- (b) by way of registration of a building units plan or a group titles plan.\n- (a) the primary thoroughfare, or the part of the primary thoroughfare, shown on the plan; and\n- (b) each secondary thoroughfare, or part of a secondary thoroughfare, shown on the plan.\n- (a) such a building units plan may be approved by the local government and may be registered by the registrar of titles and for that purpose the Building Units and Group Titles Act 1980 , section&#160;10 (1A) , does not apply;\n- (b) the local government shall not approve a group titles plan subdividing such a group titles lot unless, when the plan is submitted to the local government for approval it is accompanied by statement to the like effect.","sortOrder":46},{"sectionNumber":"sec.15A","sectionType":"section","heading":"Plan of survey where variation of boundary approved","content":"### sec.15A Plan of survey where variation of boundary approved\n\nWhere any variation of the boundaries of the zones has been approved by the local government under section&#160;8 (2) or 12D (2) or by the Governor in Council under section&#160;12M , a plan of survey may be lodged with the registrar of titles for the purpose of amending, in accordance with the variation approved, any plan of survey or group titles plan for the subdivision or resubdivision of a secondary lot or any group titles plan for the resubdivision of a lot shown on a group titles plan.\nThe registrar of titles shall not register a plan lodged pursuant to subsection&#160;(1) unless it is endorsed with the approval of the local government.\nHowever, the endorsement of the approval of the local government is not required on a plan of survey showing a variation of a boundary of a zone that has been approved under section&#160;12M .\nUpon the registrar of titles approving a plan of survey lodged pursuant to subsection&#160;(1) , any plan of survey or group titles plan to which the firstmentioned plan of survey relates is deemed to be amended to the extent shown on the firstmentioned plan of survey and a copy of that plan of survey shall be forwarded to the chief executive.\ns&#160;15A ins 1989 No.&#160;114 s&#160;11\namd 2009 No.&#160;26 s&#160;72 ; 2011 No.&#160;27 s&#160;332\n(sec.15A-ssec.1) Where any variation of the boundaries of the zones has been approved by the local government under section&#160;8 (2) or 12D (2) or by the Governor in Council under section&#160;12M , a plan of survey may be lodged with the registrar of titles for the purpose of amending, in accordance with the variation approved, any plan of survey or group titles plan for the subdivision or resubdivision of a secondary lot or any group titles plan for the resubdivision of a lot shown on a group titles plan.\n(sec.15A-ssec.2) The registrar of titles shall not register a plan lodged pursuant to subsection&#160;(1) unless it is endorsed with the approval of the local government.\n(sec.15A-ssec.3) However, the endorsement of the approval of the local government is not required on a plan of survey showing a variation of a boundary of a zone that has been approved under section&#160;12M .\n(sec.15A-ssec.4) Upon the registrar of titles approving a plan of survey lodged pursuant to subsection&#160;(1) , any plan of survey or group titles plan to which the firstmentioned plan of survey relates is deemed to be amended to the extent shown on the firstmentioned plan of survey and a copy of that plan of survey shall be forwarded to the chief executive.","sortOrder":47},{"sectionNumber":"sec.16","sectionType":"section","heading":"Services","content":"### sec.16 Services\n\nIn respect of each initial lot and each secondary lot there shall be implied—\nin favour of the proprietor of the lot and as appurtenant thereto, easements for the passage or provision of services (including water, sewerage, drainage, gas, electricity, garbage and telephone) through or by means of any pipes, poles, wires, cables or ducts to be laid down or erected or which are for the time being existing in or over the primary thoroughfare and the secondary thoroughfare to the extent to which those services are capable of being used in connection with the enjoyment of the lot;\nas against the principal body corporate and to which the lots comprising the secondary thoroughfare shall be subject, easements for the passage or provision of services (including water, sewerage, drainage, gas, electricity, garbage and telephone) through or by means of any pipes, poles, wires, cables or ducts to be laid down or erected or which are for the time being existing within any of those lots as appurtenant to the initial lots and secondary lots;\nas against the primary thoroughfare body corporate and to which the lot or lots comprising the primary thoroughfare shall be subject, easements for the passage or provision of services (including water, sewerage, drainage, gas, electricity, garbage and telephone) through or by means of any pipes, poles, wires, cables or ducts to be laid down or erected or which are for the time being existing within any of those lots as appurtenant to the initial lots and secondary lots;\nbut the easements conferred by this section shall not be exercised by any proprietor in such a manner as unreasonably to prevent any other proprietor from enjoying the use and occupation of the proprietor’s lot or the use of the primary thoroughfare or the secondary thoroughfare.\n- (a) in favour of the proprietor of the lot and as appurtenant thereto, easements for the passage or provision of services (including water, sewerage, drainage, gas, electricity, garbage and telephone) through or by means of any pipes, poles, wires, cables or ducts to be laid down or erected or which are for the time being existing in or over the primary thoroughfare and the secondary thoroughfare to the extent to which those services are capable of being used in connection with the enjoyment of the lot;\n- (b) as against the principal body corporate and to which the lots comprising the secondary thoroughfare shall be subject, easements for the passage or provision of services (including water, sewerage, drainage, gas, electricity, garbage and telephone) through or by means of any pipes, poles, wires, cables or ducts to be laid down or erected or which are for the time being existing within any of those lots as appurtenant to the initial lots and secondary lots;\n- (c) as against the primary thoroughfare body corporate and to which the lot or lots comprising the primary thoroughfare shall be subject, easements for the passage or provision of services (including water, sewerage, drainage, gas, electricity, garbage and telephone) through or by means of any pipes, poles, wires, cables or ducts to be laid down or erected or which are for the time being existing within any of those lots as appurtenant to the initial lots and secondary lots;","sortOrder":48},{"sectionNumber":"sec.16A","sectionType":"section","heading":"Creation of easements over group title lots","content":"### sec.16A Creation of easements over group title lots\n\nWhere a multiple dwelling is situated on 2 or more group title lots (whether built before or after the commencement of section&#160;11 of the Sanctuary Cove Resort Act Amendment Act 1989 ), the proprietor of a lot on which is situated part of the multiple dwelling (which part is intended for separate occupation) shall, in respect of any roofs, eaves, gutters, downpipes or foundations situated wholly or in part on any adjoining lot, be entitled to any shelter, drainage or support capable of being afforded thereby in respect of the proprietor’s lot.\nThe rights created by subsection&#160;(1) are easements to which are subject the relevant parts of the multiple dwelling and the lot on which those parts are situated.\nAn easement created by this section shall entitle the proprietor of the dominant tenement to enter the servient tenement and maintain, replace, renew or restore any of the parts of the multiple dwelling that are subject to the easement.\nAn easement created by this section shall not be exercised by the proprietor of a lot in such a manner as unreasonably to prevent any other proprietor from enjoying the use or occupation of the proprietor’s lot.\ns&#160;16A ins 1989 No.&#160;114 s&#160;12\n(sec.16A-ssec.1) Where a multiple dwelling is situated on 2 or more group title lots (whether built before or after the commencement of section&#160;11 of the Sanctuary Cove Resort Act Amendment Act 1989 ), the proprietor of a lot on which is situated part of the multiple dwelling (which part is intended for separate occupation) shall, in respect of any roofs, eaves, gutters, downpipes or foundations situated wholly or in part on any adjoining lot, be entitled to any shelter, drainage or support capable of being afforded thereby in respect of the proprietor’s lot.\n(sec.16A-ssec.2) The rights created by subsection&#160;(1) are easements to which are subject the relevant parts of the multiple dwelling and the lot on which those parts are situated.\n(sec.16A-ssec.3) An easement created by this section shall entitle the proprietor of the dominant tenement to enter the servient tenement and maintain, replace, renew or restore any of the parts of the multiple dwelling that are subject to the easement.\n(sec.16A-ssec.4) An easement created by this section shall not be exercised by the proprietor of a lot in such a manner as unreasonably to prevent any other proprietor from enjoying the use or occupation of the proprietor’s lot.","sortOrder":49},{"sectionNumber":"sec.17","sectionType":"section","heading":"Ancillary rights","content":"### sec.17 Ancillary rights\n\nAll ancillary rights and obligations reasonably necessary to make easements effective shall apply in respect of easements implied or created by this part.","sortOrder":50},{"sectionNumber":"sec.18","sectionType":"section","heading":"Creation of easements","content":"### sec.18 Creation of easements\n\nThe principal body corporate may by special resolution within the meaning of section&#160;22 —\nexecute a grant of easement;\naccept a grant of easement;\nsurrender a grant of easement;\naccept the surrender of a grant of easement.\n- (a) execute a grant of easement;\n- (b) accept a grant of easement;\n- (c) surrender a grant of easement;\n- (d) accept the surrender of a grant of easement.","sortOrder":51},{"sectionNumber":"sec.19","sectionType":"section","heading":"Determination of lot entitlements","content":"### sec.19 Determination of lot entitlements\n\nNotwithstanding the provisions of section&#160;19 of the Building Units and Group Titles Act 1980 , where a secondary lot is subdivided or resubdivided by way of a group titles plan or a building units plan, the aggregate lot entitlement of the lots thereby created for residential purposes shall not exceed, and shall be not less than 90% of, the maximum number of lots specified in respect of that secondary lot in the schedule that accompanied the plan of survey whereby that secondary lot was created.\nThe provisions of section&#160;19 (2) and (3) of the Building Units and Group Titles Act 1980 do not apply to any subdivision under this division.\ns&#160;19 amd 1987 s&#160;9\n(sec.19-ssec.1) Notwithstanding the provisions of section&#160;19 of the Building Units and Group Titles Act 1980 , where a secondary lot is subdivided or resubdivided by way of a group titles plan or a building units plan, the aggregate lot entitlement of the lots thereby created for residential purposes shall not exceed, and shall be not less than 90% of, the maximum number of lots specified in respect of that secondary lot in the schedule that accompanied the plan of survey whereby that secondary lot was created.\n(sec.19-ssec.2) The provisions of section&#160;19 (2) and (3) of the Building Units and Group Titles Act 1980 do not apply to any subdivision under this division.","sortOrder":52},{"sectionNumber":"sec.20","sectionType":"section","heading":"Subdivision of land where wholly or partly submerged","content":"### sec.20 Subdivision of land where wholly or partly submerged\n\nNotwithstanding that the whole or part of land within an initial lot comprised within the Harbour 1 Residential Zone or the Harbour, River and Waterfront Residential Zone is submerged or subject to inundation or tidal influence, that land may be subdivided by way of a group titles plan of subdivision.\nHowever, permanent, above water access is provided from each lot on the group titles plan to the primary thoroughfare or to a secondary thoroughfare, either directly or through common property.\ns&#160;20 amd 2009 No.&#160;26 s&#160;73\n(sec.20-ssec.1) Notwithstanding that the whole or part of land within an initial lot comprised within the Harbour 1 Residential Zone or the Harbour, River and Waterfront Residential Zone is submerged or subject to inundation or tidal influence, that land may be subdivided by way of a group titles plan of subdivision.\n(sec.20-ssec.2) However, permanent, above water access is provided from each lot on the group titles plan to the primary thoroughfare or to a secondary thoroughfare, either directly or through common property.","sortOrder":53},{"sectionNumber":"pt.2B-div.2","sectionType":"division","heading":"Dealing with land in zones other than residential zones","content":"## Dealing with land in zones other than residential zones","sortOrder":54},{"sectionNumber":"sec.21","sectionType":"section","heading":"Primary thoroughfare deemed to be dedicated road","content":"### sec.21 Primary thoroughfare deemed to be dedicated road\n\nFor the purpose of the subdivision of or other dealing with land within a zone other than a residential zone, the primary thoroughfare shall be deemed to be dedicated road.","sortOrder":55},{"sectionNumber":"sec.21A","sectionType":"section","heading":"Subdivision of land outside residential zones","content":"### sec.21A Subdivision of land outside residential zones\n\nSubject to this section, land within the site or the adjacent site and not within a residential zone may be subdivided in the same manner as land that is neither within the site nor within the adjacent site.\nThe local government shall not approve a plan of subdivision unless satisfied that the plan is consistent with the initial plan of survey of the site or, as the case may be, the initial plan of survey of the adjacent site.\nA plan of subdivision lodged with the local government under this section must be accompanied by a diagram showing the name and numbering, or proposed name and numbering, of each road that is, or is to be, on the primary thoroughfare, or the part of the primary thoroughfare, shown on the plan.\nWhere the local government approves a plan of subdivision it shall forward a copy of the plan to the chief executive.\nThe registrar of titles shall not register a plan of subdivision unless it contains or is accompanied by a notation under the seal of the local government that the local government is satisfied as required by subsection&#160;(2) .\ns&#160;21A ins 1989 No.&#160;114 s&#160;13\namd 2009 No.&#160;26 s&#160;74\n(sec.21A-ssec.1) Subject to this section, land within the site or the adjacent site and not within a residential zone may be subdivided in the same manner as land that is neither within the site nor within the adjacent site.\n(sec.21A-ssec.2) The local government shall not approve a plan of subdivision unless satisfied that the plan is consistent with the initial plan of survey of the site or, as the case may be, the initial plan of survey of the adjacent site.\n(sec.21A-ssec.3) A plan of subdivision lodged with the local government under this section must be accompanied by a diagram showing the name and numbering, or proposed name and numbering, of each road that is, or is to be, on the primary thoroughfare, or the part of the primary thoroughfare, shown on the plan.\n(sec.21A-ssec.4) Where the local government approves a plan of subdivision it shall forward a copy of the plan to the chief executive.\n(sec.21A-ssec.5) The registrar of titles shall not register a plan of subdivision unless it contains or is accompanied by a notation under the seal of the local government that the local government is satisfied as required by subsection&#160;(2) .","sortOrder":56},{"sectionNumber":"pt.3","sectionType":"part","heading":"Principal body corporate","content":"# Principal body corporate","sortOrder":57},{"sectionNumber":"pt.3-div.1","sectionType":"division","heading":"Principal body corporate","content":"## Principal body corporate","sortOrder":58},{"sectionNumber":"sec.22","sectionType":"section","heading":"Definitions for pt&#160;3","content":"### sec.22 Definitions for pt&#160;3\n\nIn this part—\nexecutive committee means the executive committee of the principal body corporate constituted under division&#160;2 .\nfinancial year means a period in relation to which the principal body corporate is required under section&#160;33 (1) (f) to prepare a statement of accounts.\ns&#160;22 def financial year ins 2009 No.&#160;26 s&#160;75 (2)\ninitial lot means an initial lot within a residential zone.\ninitial lot entitlement , in relation to an initial lot, means the maximum number (specified in the schedule that accompanied the proposed use plan) of group title lots or building unit lots into which that lot may be subdivided.\nnominee , of a member of the principal body corporate, see section&#160;24 (1) .\ns&#160;22 def nominee ins 2009 No.&#160;26 s&#160;75 (2)\noriginal owner , of a secondary lot that has been subdivided by a building unit or group titles plan, means the person who was the registered owner of the lot immediately before it was subdivided by the plan.\ns&#160;22 def original owner ins 2009 No.&#160;26 s&#160;75 (2)\nprincipal body corporate roll means the roll referred to in section&#160;34 to be maintained by the principal body corporate.\nproprietor means—\nfor an initial lot or secondary lot—the person registered, or entitled to be registered, under the Land Title Act 1994 as the proprietor of the lot; or\nfor a secondary lot subdivided under a group titles plan or building units plan—the body corporate incorporated under the Building Units and Group Titles Act 1994 .\ns&#160;22 def proprietor sub 1994 No.&#160;81 s&#160;525 sch&#160;3\nReal Property Acts ...\ns&#160;22 def Real Property Acts om 31 October 1989 RA s&#160;39\nsecondary lot entitlement , in relation to a secondary lot, means the maximum number (specified in the schedule that accompanied the plan of survey subdividing the relevant initial lot) of group title lots or building unit lots into which the secondary lot may be subdivided.\nsecondary thoroughfare ...\ns&#160;22 def secondary thoroughfare om 1987 s&#160;10\nspecial resolution means a resolution which is passed at a duly convened general meeting of the principal body corporate by the members whose lots (whether initial lots, secondary lots, group title lots or building unit lots) have an aggregate lot entitlement of not less than 75% of the aggregate of all lot entitlements recorded in the principal body corporate roll.\ns&#160;22 amd 2009 No.&#160;26 s&#160;75 (1)\n- (a) for an initial lot or secondary lot—the person registered, or entitled to be registered, under the Land Title Act 1994 as the proprietor of the lot; or\n- (b) for a secondary lot subdivided under a group titles plan or building units plan—the body corporate incorporated under the Building Units and Group Titles Act 1994 .","sortOrder":59},{"sectionNumber":"sec.23","sectionType":"section","heading":"Principal body corporate","content":"### sec.23 Principal body corporate\n\nUpon registration of the initial plan of survey, the proprietor or proprietors of all the initial lots within the residential zones of the site shall by virtue of this Act be a body corporate under the name ‘Sanctuary Cove Principal Body Corporate’.\nUpon registration of the initial plan of survey of the adjacent site, the proprietor or proprietors of all the initial lots within the residential zones of the adjacent site shall be members of the principal body corporate.\nWhen an initial lot is subdivided into secondary lots (whether or not lots for secondary thoroughfares are thereby created), the proprietor of the initial lot shall cease to be a member of the principal body corporate and the proprietor or proprietors of the secondary lots shall become a member or, as the case may be, members of the principal body corporate.\nWhen a secondary lot is subdivided by way of a group titles plan or a building units plan, the proprietor of the secondary lot—\nshall give notice in writing to the principal body corporate of the name and address or service of notices of the body corporate incorporated by the registration of that plan; and\nshall cease to be a member of the principal body corporate, and the body corporate created by the registration of that plan shall become a member of the principal body corporate.\nSubdivision or resubdivision of a lot or a lot and common property on a group titles plan by way of a building units plan or a group titles plan does not affect the membership of the principal body corporate.\nThe Corporations Act does not apply to or in respect of the principal body corporate.\nSubject to this Act, the principal body corporate shall have the powers, authorities, duties and functions conferred or imposed on it by or under this Act, the development control by-laws or the residential zone activities by-laws and shall do all things reasonably necessary for the enforcement of the development control by-laws and the control, management and administration of the secondary thoroughfares.\nThe principal body corporate shall have perpetual succession and a common seal and shall be capable of suing and being sued in its corporate name and shall be regulated in accordance with the principal body corporate by-laws for the time being in force.\nThe principal body corporate may—\nsue and be sued on any contract made by it;\nsue for and in respect of any damage or injury to the secondary thoroughfares caused by any person;\nbe sued in respect of any matter connected with the secondary thoroughfares for which as proprietor it is so liable;\ntake such legal action as may be necessary to enforce the development control by-laws and the secondary thoroughfare by-laws.\nIn any case in which work is carried out for the purpose of constructing or preparing a secondary thoroughfare, upon registration of the initial plan of survey or, as the case may be, the initial plan of survey of the adjacent site, the principal body corporate shall be deemed to have been a party to an enforceable contract for the carrying out of such work, and may sue in respect of that contract.\nNothing in subsection&#160;(9) shall relieve the company from its obligation to pay for the initial construction of secondary thoroughfares to the standard prescribed pursuant to section&#160;51 .\ns&#160;23 amd 1987 No.&#160;91 s&#160;16 ; 1999 No.&#160;30 s&#160;98 sch&#160;3 pt&#160;1 ; 2001 No.&#160;45 s&#160;29 sch&#160;3\n(sec.23-ssec.1) Upon registration of the initial plan of survey, the proprietor or proprietors of all the initial lots within the residential zones of the site shall by virtue of this Act be a body corporate under the name ‘Sanctuary Cove Principal Body Corporate’.\n(sec.23-ssec.1A) Upon registration of the initial plan of survey of the adjacent site, the proprietor or proprietors of all the initial lots within the residential zones of the adjacent site shall be members of the principal body corporate.\n(sec.23-ssec.2) When an initial lot is subdivided into secondary lots (whether or not lots for secondary thoroughfares are thereby created), the proprietor of the initial lot shall cease to be a member of the principal body corporate and the proprietor or proprietors of the secondary lots shall become a member or, as the case may be, members of the principal body corporate.\n(sec.23-ssec.3) When a secondary lot is subdivided by way of a group titles plan or a building units plan, the proprietor of the secondary lot— shall give notice in writing to the principal body corporate of the name and address or service of notices of the body corporate incorporated by the registration of that plan; and shall cease to be a member of the principal body corporate, and the body corporate created by the registration of that plan shall become a member of the principal body corporate.\n(sec.23-ssec.4) Subdivision or resubdivision of a lot or a lot and common property on a group titles plan by way of a building units plan or a group titles plan does not affect the membership of the principal body corporate.\n(sec.23-ssec.5) The Corporations Act does not apply to or in respect of the principal body corporate.\n(sec.23-ssec.6) Subject to this Act, the principal body corporate shall have the powers, authorities, duties and functions conferred or imposed on it by or under this Act, the development control by-laws or the residential zone activities by-laws and shall do all things reasonably necessary for the enforcement of the development control by-laws and the control, management and administration of the secondary thoroughfares.\n(sec.23-ssec.7) The principal body corporate shall have perpetual succession and a common seal and shall be capable of suing and being sued in its corporate name and shall be regulated in accordance with the principal body corporate by-laws for the time being in force.\n(sec.23-ssec.8) The principal body corporate may— sue and be sued on any contract made by it; sue for and in respect of any damage or injury to the secondary thoroughfares caused by any person; be sued in respect of any matter connected with the secondary thoroughfares for which as proprietor it is so liable; take such legal action as may be necessary to enforce the development control by-laws and the secondary thoroughfare by-laws.\n(sec.23-ssec.9) In any case in which work is carried out for the purpose of constructing or preparing a secondary thoroughfare, upon registration of the initial plan of survey or, as the case may be, the initial plan of survey of the adjacent site, the principal body corporate shall be deemed to have been a party to an enforceable contract for the carrying out of such work, and may sue in respect of that contract.\n(sec.23-ssec.10) Nothing in subsection&#160;(9) shall relieve the company from its obligation to pay for the initial construction of secondary thoroughfares to the standard prescribed pursuant to section&#160;51 .\n- (a) shall give notice in writing to the principal body corporate of the name and address or service of notices of the body corporate incorporated by the registration of that plan; and\n- (b) shall cease to be a member of the principal body corporate, and the body corporate created by the registration of that plan shall become a member of the principal body corporate.\n- (a) sue and be sued on any contract made by it;\n- (b) sue for and in respect of any damage or injury to the secondary thoroughfares caused by any person;\n- (c) be sued in respect of any matter connected with the secondary thoroughfares for which as proprietor it is so liable;\n- (d) take such legal action as may be necessary to enforce the development control by-laws and the secondary thoroughfare by-laws.","sortOrder":60},{"sectionNumber":"sec.24","sectionType":"section","heading":"Member’s nominee","content":"### sec.24 Member’s nominee\n\nThis section applies to a member of the principal body corporate for appointing a person (a nominee ) to represent and vote on behalf of the member at meetings of the principal body corporate.\nA subsidiary body corporate of the principal body corporate—\nmust appoint a nominee at its annual general meeting; and\notherwise, may appoint a nominee from time to time.\nA member of the principal body corporate, other than a subsidiary body corporate, may appoint a nominee from time to time.\nSubject to section&#160;24A , a nominee appointed by a subsidiary body corporate must be a member of the subsidiary body corporate.\nThe appointment of a nominee has no effect until written notice of the appointment is received by the secretary of the principal body corporate.\nA nominee appointed by a subsidiary body corporate must represent the subsidiary body corporate—\nin the way the subsidiary body corporate directs; and\nsubject to paragraph&#160;(a) , in a way that is in the best interests of the subsidiary body corporate.\nThe appointment of a nominee for a member ends when the first of the following happens—\nthe end of 1 year after the appointment;\nthe secretary of the principal body corporate receives written notice of—\nthe cancellation of the nominee’s appointment; or\nthe appointment of another nominee for the member.\nA written notice under subsection&#160;(5) or (7) (b) must be signed—\nfor an appointment or cancellation made by a subsidiary body corporate—by the chairperson and secretary of the subsidiary body corporate; or\notherwise—by the member.\ns&#160;24 sub 2009 No.&#160;26 s&#160;76\n(sec.24-ssec.1) This section applies to a member of the principal body corporate for appointing a person (a nominee ) to represent and vote on behalf of the member at meetings of the principal body corporate.\n(sec.24-ssec.2) A subsidiary body corporate of the principal body corporate— must appoint a nominee at its annual general meeting; and otherwise, may appoint a nominee from time to time.\n(sec.24-ssec.3) A member of the principal body corporate, other than a subsidiary body corporate, may appoint a nominee from time to time.\n(sec.24-ssec.4) Subject to section&#160;24A , a nominee appointed by a subsidiary body corporate must be a member of the subsidiary body corporate.\n(sec.24-ssec.5) The appointment of a nominee has no effect until written notice of the appointment is received by the secretary of the principal body corporate.\n(sec.24-ssec.6) A nominee appointed by a subsidiary body corporate must represent the subsidiary body corporate— in the way the subsidiary body corporate directs; and subject to paragraph&#160;(a) , in a way that is in the best interests of the subsidiary body corporate.\n(sec.24-ssec.7) The appointment of a nominee for a member ends when the first of the following happens— the end of 1 year after the appointment; the secretary of the principal body corporate receives written notice of— the cancellation of the nominee’s appointment; or the appointment of another nominee for the member.\n(sec.24-ssec.8) A written notice under subsection&#160;(5) or (7) (b) must be signed— for an appointment or cancellation made by a subsidiary body corporate—by the chairperson and secretary of the subsidiary body corporate; or otherwise—by the member.\n- (a) must appoint a nominee at its annual general meeting; and\n- (b) otherwise, may appoint a nominee from time to time.\n- (a) in the way the subsidiary body corporate directs; and\n- (b) subject to paragraph&#160;(a) , in a way that is in the best interests of the subsidiary body corporate.\n- (a) the end of 1 year after the appointment;\n- (b) the secretary of the principal body corporate receives written notice of— (i) the cancellation of the nominee’s appointment; or (ii) the appointment of another nominee for the member.\n- (i) the cancellation of the nominee’s appointment; or\n- (ii) the appointment of another nominee for the member.\n- (i) the cancellation of the nominee’s appointment; or\n- (ii) the appointment of another nominee for the member.\n- (a) for an appointment or cancellation made by a subsidiary body corporate—by the chairperson and secretary of the subsidiary body corporate; or\n- (b) otherwise—by the member.","sortOrder":61},{"sectionNumber":"sec.24A","sectionType":"section","heading":"When original owner can not be nominee for subsidiary body corporate","content":"### sec.24A When original owner can not be nominee for subsidiary body corporate\n\nThis section applies if more than 50% of the lots created by the registration of a group titles plan or building units plan subdividing a secondary lot are no longer owned by the original owner of the secondary lot.\nThe subsidiary body corporate created by the registration of the plan can not appoint as its nominee—\nthe original owner; or\nan associate (an ineligible associate ) of the original owner who is not 1 of the proprietors constituting the subsidiary body corporate.\nIf the original owner or an ineligible associate of the original owner is already a nominee for the subsidiary body corporate—\na general meeting of the subsidiary body corporate must be held within 2 months; and\nif it is not sooner ended, the owner’s or associate’s appointment as the nominee ends at the next general meeting of the subsidiary body corporate.\ns&#160;24A ins 2009 No.&#160;26 s&#160;76\n(sec.24A-ssec.1) This section applies if more than 50% of the lots created by the registration of a group titles plan or building units plan subdividing a secondary lot are no longer owned by the original owner of the secondary lot.\n(sec.24A-ssec.2) The subsidiary body corporate created by the registration of the plan can not appoint as its nominee— the original owner; or an associate (an ineligible associate ) of the original owner who is not 1 of the proprietors constituting the subsidiary body corporate.\n(sec.24A-ssec.3) If the original owner or an ineligible associate of the original owner is already a nominee for the subsidiary body corporate— a general meeting of the subsidiary body corporate must be held within 2 months; and if it is not sooner ended, the owner’s or associate’s appointment as the nominee ends at the next general meeting of the subsidiary body corporate.\n- (a) the original owner; or\n- (b) an associate (an ineligible associate ) of the original owner who is not 1 of the proprietors constituting the subsidiary body corporate.\n- (a) a general meeting of the subsidiary body corporate must be held within 2 months; and\n- (b) if it is not sooner ended, the owner’s or associate’s appointment as the nominee ends at the next general meeting of the subsidiary body corporate.","sortOrder":62},{"sectionNumber":"sec.25","sectionType":"section","heading":"Seal of principal body corporate","content":"### sec.25 Seal of principal body corporate\n\nThe common seal of the principal body corporate shall be kept—\nwhere the principal body corporate is constituted by the company alone—by the company;\nwhere the principal body corporate is constituted by 2 or more members—by such member of the principal body corporate or member of the executive committee as the principal body corporate determines or, in the absence of any such determination, by the secretary of the executive committee.\nThe common seal of the principal body corporate shall only be affixed to an instrument or document in the presence of—\nwhere the principal body corporate is constituted by 1 or 2 members—that member or those members, as the case may be; or\nwhere the principal body corporate is constituted by more than 2 members—such 2 persons, being members of the principal body corporate or members of the executive committee, as the principal body corporate determines or, in the absence of any such determination, the secretary and any other member of the executive committee;\nwho shall attest the fact and date of the affixing of the seal by their signatures.\nHowever, where a member is a body corporate, the common seal affixed in the presence of a person nominated in writing by the body corporate for that purpose and attested by that person as provided in this subsection shall be deemed to have been duly affixed in the presence of that body corporate.\n(sec.25-ssec.1) The common seal of the principal body corporate shall be kept— where the principal body corporate is constituted by the company alone—by the company; where the principal body corporate is constituted by 2 or more members—by such member of the principal body corporate or member of the executive committee as the principal body corporate determines or, in the absence of any such determination, by the secretary of the executive committee.\n(sec.25-ssec.2) The common seal of the principal body corporate shall only be affixed to an instrument or document in the presence of— where the principal body corporate is constituted by 1 or 2 members—that member or those members, as the case may be; or where the principal body corporate is constituted by more than 2 members—such 2 persons, being members of the principal body corporate or members of the executive committee, as the principal body corporate determines or, in the absence of any such determination, the secretary and any other member of the executive committee; who shall attest the fact and date of the affixing of the seal by their signatures.\n(sec.25-ssec.3) However, where a member is a body corporate, the common seal affixed in the presence of a person nominated in writing by the body corporate for that purpose and attested by that person as provided in this subsection shall be deemed to have been duly affixed in the presence of that body corporate.\n- (a) where the principal body corporate is constituted by the company alone—by the company;\n- (b) where the principal body corporate is constituted by 2 or more members—by such member of the principal body corporate or member of the executive committee as the principal body corporate determines or, in the absence of any such determination, by the secretary of the executive committee.\n- (a) where the principal body corporate is constituted by 1 or 2 members—that member or those members, as the case may be; or\n- (b) where the principal body corporate is constituted by more than 2 members—such 2 persons, being members of the principal body corporate or members of the executive committee, as the principal body corporate determines or, in the absence of any such determination, the secretary and any other member of the executive committee;","sortOrder":63},{"sectionNumber":"sec.26","sectionType":"section","heading":"Address of principal body corporate","content":"### sec.26 Address of principal body corporate\n\nThe address for service of notices on the principal body corporate shall upon its incorporation pursuant to section&#160;23 be the address for service of notices of the company.","sortOrder":64},{"sectionNumber":"sec.27","sectionType":"section","heading":"Meetings of principal body corporate","content":"### sec.27 Meetings of principal body corporate\n\nWithin 3 months after the registration of the initial plan of survey, the company shall, in the prescribed manner, convene a meeting of the principal body corporate to be held within that period.\nMaximum penalty—20 penalty units.\nThe agenda for a meeting convened under subsection&#160;(1) shall consist of the following items—\nto decide whether insurances effected by the principal body corporate should be confirmed, varied or extended;\nto decide whether any amounts determined under section&#160;33 (1) (h) or (2) should be confirmed or varied;\nwhere there are more than 3 members of the principal body corporate—to determine the number of members of the executive committee;\nto elect the chairperson, secretary and treasurer of the principal body corporate and other members of the executive committee;\nto decide whether to make by-laws regulating, controlling or prohibiting the passage through and conduct and activities of persons on or within all or part of the secondary thoroughfares;\nto decide whether to make development control by-laws.\nThe meeting convened under subsection&#160;(1) shall be the first annual general meeting of the principal body corporate and at such meeting a chairperson, secretary and treasurer shall be elected.\nHowever, a person may be elected to 1 or more of those offices.\nThe company shall not fail or neglect to deliver to the principal body corporate at its first annual general meeting—\nall plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the secondary thoroughfare;\nif they are in its possession or under its control, the principal body corporate roll, books of account and any notices or other records relating to the secondary thoroughfare;\nthe budget showing the estimated expenditure of the principal body corporate in relation to the secondary thoroughfare on an annual basis;\nother than documents which exclusively evidence rights or obligations of the company and which are not capable of being used for the benefit of the principal body corporate or any of the members of the principal body corporate, other than the company.\nMaximum penalty—20 penalty units.\nThe company shall not fail or neglect to deliver to the principal body corporate at or before its annual general meeting first held after the registration of the initial plan of survey of the adjacent site—\nall plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the secondary thoroughfare within the adjacent site;\nif they are in its possession or under its control, any books of account and notices or other records relating to the secondary thoroughfare within the adjacent site;\nthe budget showing the estimated expenditure of the principal body corporate in relation to the secondary thoroughfare within the adjacent site on an annual basis;\nother than documents which exclusively evidence rights or obligations of the company and which are not capable of being used for the benefit of the principal body corporate or any of the members of the principal body corporate, other than the company.\nMaximum penalty—20 penalty units.\nSchedule&#160;2 , part&#160;1 of the Building Units and Group Titles Act 1980 in force at the commencement of this Act applies to and in respect of the first annual general meeting of the principal body corporate and voting at that meeting and schedule&#160;2 , part&#160;2 of that Act in force at the commencement of this Act applies to and in respect of meetings of the principal body corporate, other than the first annual general meeting, and voting at those meetings.\nHowever, the provisions in those schedules relating to the rights and obligations of mortgagees and mortgagors shall not apply and the application of the Building Units and Group Titles Act 1980 , schedule&#160;2 , part&#160;2 is subject to schedule&#160;3 and schedule&#160;9 , definition ordinary resolution .\nThe provisions of the schedules referred to in subsection&#160;(5) shall, for the purposes of subsection&#160;(5) , be read and construed as if—\nreferences therein to ‘aggregate lot entitlement’ were references to the total of the initial lot entitlements of the initial lots which have not been subdivided into secondary lots and the secondary lot entitlements of the secondary lots;\nreferences therein to ‘body corporate’ were references to principal body corporate;\nreferences therein to ‘by-laws’ were references to principal body corporate by-laws or development control by-laws;\nreferences therein to ‘council’ were references to executive committee;\nreferences therein to a ‘lot’ were references to an initial lot or a secondary lot;\nreferences therein to ‘lot entitlement’ were references—\nin the case where a ‘lot’ is an initial lot—to the initial lot entitlement of that lot;\nin the case where a ‘lot’ is a secondary lot—to the secondary lot entitlement of that lot;\nreferences therein to the ‘original proprietor’ were references to the company;\nreferences therein to a ‘proprietor’ were references to a proprietor within the meaning of this part;\nreferences therein to the ‘roll’ were references to the principal body corporate roll;\nreferences to particular provisions of the Building Units and Group Titles Act 1980 (other than the provisions in those schedules) were references to corresponding provisions of this Act.\nWhen an expression is substituted for an expression used in the Building Units and Group Titles Act 1980 and referred to in subsection&#160;(5B) , the substituted expression shall, for the purposes of subsection&#160;(5B) , be read and construed in the same manner as the expression for which it is substituted is required to be read and construed.\nIf a meeting of the principal body corporate is not convened in accordance with subsection&#160;(1) , the Minister for Justice and Attorney-General may, pursuant to an application by the principal body corporate or any member of the principal body corporate appoint by order a person to convene a meeting of the principal body corporate within such time as may be specified in the order and the meeting convened by that person shall, for the purposes of subsection&#160;(3) , be deemed to be the meeting convened under subsection&#160;(1) .\nAt any time after the meeting convened under subsection&#160;(1) has been held, the Minister for Justice and Attorney-General may, pursuant to an application made to the Minister for Justice and Attorney-General by a member of the principal body corporate, appoint by order a person, nominated by the member, who has consented to that nomination, if there is not an executive committee, to convene a meeting of the principal body corporate within such time as may be specified in the order and a meeting so convened shall, for the purpose of the election of the chairperson, secretary and treasurer of the principal body corporate and the other members of the executive committee, be deemed to be a first annual general meeting of the principal body corporate.\nAn order made under subsection&#160;(6) or (7) may include such ancillary or consequential provisions as the Minister for Justice and Attorney-General thinks fit.\nNotwithstanding subsection&#160;(5) , where an order made under subsection&#160;(6) or (7) so provides—\nthe person appointed to convene a meeting of the principal body corporate by the order shall preside at the meeting and, while the person so presides, shall be deemed to be the chairperson of the principal body corporate; and\nnotice of that meeting may be given in the manner specified in the order.\nNotwithstanding that an order has been made under subsection&#160;(6) or that a meeting has been convened pursuant to any such order, the company remains liable to the penalty provided by subsection&#160;(1) for any failure to comply with that subsection.\ns&#160;27 amd 1987 s&#160;11; 1987 No.&#160;91 s&#160;17 ; 2009 No.&#160;26 s&#160;77 ; 2019 No.&#160;7 s&#160;313 s ch&#160;1 pt&#160;2\n(sec.27-ssec.1) Within 3 months after the registration of the initial plan of survey, the company shall, in the prescribed manner, convene a meeting of the principal body corporate to be held within that period. Maximum penalty—20 penalty units.\n(sec.27-ssec.2) The agenda for a meeting convened under subsection&#160;(1) shall consist of the following items— to decide whether insurances effected by the principal body corporate should be confirmed, varied or extended; to decide whether any amounts determined under section&#160;33 (1) (h) or (2) should be confirmed or varied; where there are more than 3 members of the principal body corporate—to determine the number of members of the executive committee; to elect the chairperson, secretary and treasurer of the principal body corporate and other members of the executive committee; to decide whether to make by-laws regulating, controlling or prohibiting the passage through and conduct and activities of persons on or within all or part of the secondary thoroughfares; to decide whether to make development control by-laws.\n(sec.27-ssec.3) The meeting convened under subsection&#160;(1) shall be the first annual general meeting of the principal body corporate and at such meeting a chairperson, secretary and treasurer shall be elected.\n(sec.27-ssec.3A) However, a person may be elected to 1 or more of those offices.\n(sec.27-ssec.4) The company shall not fail or neglect to deliver to the principal body corporate at its first annual general meeting— all plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the secondary thoroughfare; if they are in its possession or under its control, the principal body corporate roll, books of account and any notices or other records relating to the secondary thoroughfare; the budget showing the estimated expenditure of the principal body corporate in relation to the secondary thoroughfare on an annual basis; other than documents which exclusively evidence rights or obligations of the company and which are not capable of being used for the benefit of the principal body corporate or any of the members of the principal body corporate, other than the company. Maximum penalty—20 penalty units.\n(sec.27-ssec.4A) The company shall not fail or neglect to deliver to the principal body corporate at or before its annual general meeting first held after the registration of the initial plan of survey of the adjacent site— all plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the secondary thoroughfare within the adjacent site; if they are in its possession or under its control, any books of account and notices or other records relating to the secondary thoroughfare within the adjacent site; the budget showing the estimated expenditure of the principal body corporate in relation to the secondary thoroughfare within the adjacent site on an annual basis; other than documents which exclusively evidence rights or obligations of the company and which are not capable of being used for the benefit of the principal body corporate or any of the members of the principal body corporate, other than the company. Maximum penalty—20 penalty units.\n(sec.27-ssec.5) Schedule&#160;2 , part&#160;1 of the Building Units and Group Titles Act 1980 in force at the commencement of this Act applies to and in respect of the first annual general meeting of the principal body corporate and voting at that meeting and schedule&#160;2 , part&#160;2 of that Act in force at the commencement of this Act applies to and in respect of meetings of the principal body corporate, other than the first annual general meeting, and voting at those meetings.\n(sec.27-ssec.5A) However, the provisions in those schedules relating to the rights and obligations of mortgagees and mortgagors shall not apply and the application of the Building Units and Group Titles Act 1980 , schedule&#160;2 , part&#160;2 is subject to schedule&#160;3 and schedule&#160;9 , definition ordinary resolution .\n(sec.27-ssec.5B) The provisions of the schedules referred to in subsection&#160;(5) shall, for the purposes of subsection&#160;(5) , be read and construed as if— references therein to ‘aggregate lot entitlement’ were references to the total of the initial lot entitlements of the initial lots which have not been subdivided into secondary lots and the secondary lot entitlements of the secondary lots; references therein to ‘body corporate’ were references to principal body corporate; references therein to ‘by-laws’ were references to principal body corporate by-laws or development control by-laws; references therein to ‘council’ were references to executive committee; references therein to a ‘lot’ were references to an initial lot or a secondary lot; references therein to ‘lot entitlement’ were references— in the case where a ‘lot’ is an initial lot—to the initial lot entitlement of that lot; in the case where a ‘lot’ is a secondary lot—to the secondary lot entitlement of that lot; references therein to the ‘original proprietor’ were references to the company; references therein to a ‘proprietor’ were references to a proprietor within the meaning of this part; references therein to the ‘roll’ were references to the principal body corporate roll; references to particular provisions of the Building Units and Group Titles Act 1980 (other than the provisions in those schedules) were references to corresponding provisions of this Act.\n(sec.27-ssec.5C) When an expression is substituted for an expression used in the Building Units and Group Titles Act 1980 and referred to in subsection&#160;(5B) , the substituted expression shall, for the purposes of subsection&#160;(5B) , be read and construed in the same manner as the expression for which it is substituted is required to be read and construed.\n(sec.27-ssec.6) If a meeting of the principal body corporate is not convened in accordance with subsection&#160;(1) , the Minister for Justice and Attorney-General may, pursuant to an application by the principal body corporate or any member of the principal body corporate appoint by order a person to convene a meeting of the principal body corporate within such time as may be specified in the order and the meeting convened by that person shall, for the purposes of subsection&#160;(3) , be deemed to be the meeting convened under subsection&#160;(1) .\n(sec.27-ssec.7) At any time after the meeting convened under subsection&#160;(1) has been held, the Minister for Justice and Attorney-General may, pursuant to an application made to the Minister for Justice and Attorney-General by a member of the principal body corporate, appoint by order a person, nominated by the member, who has consented to that nomination, if there is not an executive committee, to convene a meeting of the principal body corporate within such time as may be specified in the order and a meeting so convened shall, for the purpose of the election of the chairperson, secretary and treasurer of the principal body corporate and the other members of the executive committee, be deemed to be a first annual general meeting of the principal body corporate.\n(sec.27-ssec.8) An order made under subsection&#160;(6) or (7) may include such ancillary or consequential provisions as the Minister for Justice and Attorney-General thinks fit.\n(sec.27-ssec.9) Notwithstanding subsection&#160;(5) , where an order made under subsection&#160;(6) or (7) so provides— the person appointed to convene a meeting of the principal body corporate by the order shall preside at the meeting and, while the person so presides, shall be deemed to be the chairperson of the principal body corporate; and notice of that meeting may be given in the manner specified in the order.\n(sec.27-ssec.10) Notwithstanding that an order has been made under subsection&#160;(6) or that a meeting has been convened pursuant to any such order, the company remains liable to the penalty provided by subsection&#160;(1) for any failure to comply with that subsection.\n- (a) to decide whether insurances effected by the principal body corporate should be confirmed, varied or extended;\n- (b) to decide whether any amounts determined under section&#160;33 (1) (h) or (2) should be confirmed or varied;\n- (c) where there are more than 3 members of the principal body corporate—to determine the number of members of the executive committee;\n- (d) to elect the chairperson, secretary and treasurer of the principal body corporate and other members of the executive committee;\n- (e) to decide whether to make by-laws regulating, controlling or prohibiting the passage through and conduct and activities of persons on or within all or part of the secondary thoroughfares;\n- (f) to decide whether to make development control by-laws.\n- (a) all plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the secondary thoroughfare;\n- (b) if they are in its possession or under its control, the principal body corporate roll, books of account and any notices or other records relating to the secondary thoroughfare;\n- (c) the budget showing the estimated expenditure of the principal body corporate in relation to the secondary thoroughfare on an annual basis;\n- (a) all plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the secondary thoroughfare within the adjacent site;\n- (b) if they are in its possession or under its control, any books of account and notices or other records relating to the secondary thoroughfare within the adjacent site;\n- (c) the budget showing the estimated expenditure of the principal body corporate in relation to the secondary thoroughfare within the adjacent site on an annual basis;\n- (a) references therein to ‘aggregate lot entitlement’ were references to the total of the initial lot entitlements of the initial lots which have not been subdivided into secondary lots and the secondary lot entitlements of the secondary lots;\n- (b) references therein to ‘body corporate’ were references to principal body corporate;\n- (c) references therein to ‘by-laws’ were references to principal body corporate by-laws or development control by-laws;\n- (d) references therein to ‘council’ were references to executive committee;\n- (e) references therein to a ‘lot’ were references to an initial lot or a secondary lot;\n- (f) references therein to ‘lot entitlement’ were references— (i) in the case where a ‘lot’ is an initial lot—to the initial lot entitlement of that lot; (ii) in the case where a ‘lot’ is a secondary lot—to the secondary lot entitlement of that lot;\n- (i) in the case where a ‘lot’ is an initial lot—to the initial lot entitlement of that lot;\n- (ii) in the case where a ‘lot’ is a secondary lot—to the secondary lot entitlement of that lot;\n- (g) references therein to the ‘original proprietor’ were references to the company;\n- (h) references therein to a ‘proprietor’ were references to a proprietor within the meaning of this part;\n- (i) references therein to the ‘roll’ were references to the principal body corporate roll;\n- (j) references to particular provisions of the Building Units and Group Titles Act 1980 (other than the provisions in those schedules) were references to corresponding provisions of this Act.\n- (i) in the case where a ‘lot’ is an initial lot—to the initial lot entitlement of that lot;\n- (ii) in the case where a ‘lot’ is a secondary lot—to the secondary lot entitlement of that lot;\n- (a) the person appointed to convene a meeting of the principal body corporate by the order shall preside at the meeting and, while the person so presides, shall be deemed to be the chairperson of the principal body corporate; and\n- (b) notice of that meeting may be given in the manner specified in the order.","sortOrder":65},{"sectionNumber":"sec.28","sectionType":"section","heading":"Secondary thoroughfare by-laws","content":"### sec.28 Secondary thoroughfare by-laws\n\nSubject to subsection&#160;(5) , the principal body corporate, pursuant to a special resolution, for the purpose of the control, management, administration, use or enjoyment of the secondary thoroughfares, may from time to time make by-laws and may in like manner amend or repeal those by-laws.\nA secondary thoroughfare by-law has no force or effect until the Minister has approved the by-law and notification of the Minister’s approval has been published in the gazette.\nA lease of a lot or of any common property where access to the primary thoroughfare is through a secondary thoroughfare shall be deemed to contain an agreement by the lessee that the lessee will comply with the secondary thoroughfare by-laws for the time being in force.\nWithout limiting the operation of any other provision of this Act, the secondary thoroughfare by-laws for the time being in force bind the principal body corporate, each member of the principal body corporate and each registered proprietor and any mortgagee in possession (whether by himself or herself or any other person), lessee or occupier, of a lot within a residential zone to the same extent as if those by-laws had been signed and sealed by the principal body corporate, the members of the principal body corporate and each registered proprietor and each such mortgagee, lessee and occupier respectively and as if they contained mutual covenants to observe and perform all the provisions of those by-laws.\nNo amendment of or addition to a secondary thoroughfare by-law shall be capable of operating to prohibit, destroy or modify any easement, service right or service obligation implied or created by this Act.\ns&#160;28 amd 1987 s&#160;12\n(sec.28-ssec.1) Subject to subsection&#160;(5) , the principal body corporate, pursuant to a special resolution, for the purpose of the control, management, administration, use or enjoyment of the secondary thoroughfares, may from time to time make by-laws and may in like manner amend or repeal those by-laws.\n(sec.28-ssec.2) A secondary thoroughfare by-law has no force or effect until the Minister has approved the by-law and notification of the Minister’s approval has been published in the gazette.\n(sec.28-ssec.3) A lease of a lot or of any common property where access to the primary thoroughfare is through a secondary thoroughfare shall be deemed to contain an agreement by the lessee that the lessee will comply with the secondary thoroughfare by-laws for the time being in force.\n(sec.28-ssec.4) Without limiting the operation of any other provision of this Act, the secondary thoroughfare by-laws for the time being in force bind the principal body corporate, each member of the principal body corporate and each registered proprietor and any mortgagee in possession (whether by himself or herself or any other person), lessee or occupier, of a lot within a residential zone to the same extent as if those by-laws had been signed and sealed by the principal body corporate, the members of the principal body corporate and each registered proprietor and each such mortgagee, lessee and occupier respectively and as if they contained mutual covenants to observe and perform all the provisions of those by-laws.\n(sec.28-ssec.5) No amendment of or addition to a secondary thoroughfare by-law shall be capable of operating to prohibit, destroy or modify any easement, service right or service obligation implied or created by this Act.","sortOrder":66},{"sectionNumber":"sec.29","sectionType":"section","heading":"Levies by principal body corporate on members","content":"### sec.29 Levies by principal body corporate on members\n\nThe principal body corporate may levy the contributions determined by it in accordance with section&#160;33 (1) (h) and the amount (if any) determined pursuant to section&#160;33 (2) in respect thereof by serving on its members notice in writing of the contributions payable by them.\nContributions levied by the principal body corporate shall be levied in respect of—\neach initial lot which has not been subdivided into secondary lots; and\neach secondary lot;\nand shall be payable, subject to this section, by the proprietors of those initial lots and secondary lots in shares proportional to the initial lot entitlements or, as the case may be, secondary lot entitlements of their respective lots at the time when the contribution was levied.\nIn respect of a contribution levied under subsection&#160;(1) , a proprietor of an initial lot or a secondary lot is liable, jointly and severally with any person who was liable to pay that contribution when that proprietor became the proprietor of that initial lot or, as the case may be, that secondary lot, to pay such part of that contribution as was unpaid when the proprietor became the proprietor of that lot.\nA contribution levied in respect of an initial lot or a secondary lot under this section—\nbecomes due and payable to the principal body corporate in accordance with the decision of the principal body corporate to make the levy; and\nif paid within 30 days after the date when it becomes due and payable shall be reduced by that part of the contribution attributable to the amount determined pursuant to section&#160;33 (2) (if any); and\nmay be recovered, as a debt, by the principal body corporate in any court of competent jurisdiction.\nNothing in this section shall be construed to prevent the principal body corporate, in general meeting, either generally or in a particular case, determining that a contribution may be reduced as provided in subsection&#160;(4) (b) notwithstanding that the contribution is not paid as prescribed in that subsection.\ns&#160;29 amd 1987 No.&#160;91 s&#160;18\n(sec.29-ssec.1) The principal body corporate may levy the contributions determined by it in accordance with section&#160;33 (1) (h) and the amount (if any) determined pursuant to section&#160;33 (2) in respect thereof by serving on its members notice in writing of the contributions payable by them.\n(sec.29-ssec.2) Contributions levied by the principal body corporate shall be levied in respect of— each initial lot which has not been subdivided into secondary lots; and each secondary lot; and shall be payable, subject to this section, by the proprietors of those initial lots and secondary lots in shares proportional to the initial lot entitlements or, as the case may be, secondary lot entitlements of their respective lots at the time when the contribution was levied.\n(sec.29-ssec.3) In respect of a contribution levied under subsection&#160;(1) , a proprietor of an initial lot or a secondary lot is liable, jointly and severally with any person who was liable to pay that contribution when that proprietor became the proprietor of that initial lot or, as the case may be, that secondary lot, to pay such part of that contribution as was unpaid when the proprietor became the proprietor of that lot.\n(sec.29-ssec.4) A contribution levied in respect of an initial lot or a secondary lot under this section— becomes due and payable to the principal body corporate in accordance with the decision of the principal body corporate to make the levy; and if paid within 30 days after the date when it becomes due and payable shall be reduced by that part of the contribution attributable to the amount determined pursuant to section&#160;33 (2) (if any); and may be recovered, as a debt, by the principal body corporate in any court of competent jurisdiction.\n(sec.29-ssec.5) Nothing in this section shall be construed to prevent the principal body corporate, in general meeting, either generally or in a particular case, determining that a contribution may be reduced as provided in subsection&#160;(4) (b) notwithstanding that the contribution is not paid as prescribed in that subsection.\n- (a) each initial lot which has not been subdivided into secondary lots; and\n- (b) each secondary lot;\n- (a) becomes due and payable to the principal body corporate in accordance with the decision of the principal body corporate to make the levy; and\n- (b) if paid within 30 days after the date when it becomes due and payable shall be reduced by that part of the contribution attributable to the amount determined pursuant to section&#160;33 (2) (if any); and\n- (c) may be recovered, as a debt, by the principal body corporate in any court of competent jurisdiction.","sortOrder":67},{"sectionNumber":"sec.30","sectionType":"section","heading":"Change of principal body corporate’s address","content":"### sec.30 Change of principal body corporate’s address\n\nThe principal body corporate may, in general meeting, decide that the address for the service of notices on the principal body corporate shall be changed.\nUpon giving notice in writing to the Minister and to the Minister for Justice and Attorney-General and notification by the Minister in the gazette of the change of address, the address for service of notices on the principal body corporate shall, notwithstanding any other provision of this Act, be the address so notified.\ns&#160;30 amd 1987 s&#160;13\n(sec.30-ssec.1) The principal body corporate may, in general meeting, decide that the address for the service of notices on the principal body corporate shall be changed.\n(sec.30-ssec.2) Upon giving notice in writing to the Minister and to the Minister for Justice and Attorney-General and notification by the Minister in the gazette of the change of address, the address for service of notices on the principal body corporate shall, notwithstanding any other provision of this Act, be the address so notified.","sortOrder":68},{"sectionNumber":"sec.31","sectionType":"section","heading":"Power of entry","content":"### sec.31 Power of entry\n\nFor the purpose of carrying out—\nany work required to be carried out by the principal body corporate by a notice served on it by a public or local government;\nany work referred to in section&#160;33 (1) (b) ;\nthe principal body corporate may, by its agents, servants or contractors, enter upon any part of the secondary thoroughfare for the purpose of carrying out the work—\nin the case of an emergency—at any time;\nin any other case—at any reasonable time on notice given to any occupier of a lot likely to be affected thereby.\nFor the purposes of subsection&#160;(1) (d) , a proprietor of a lot, being a lot on a group titles plan or a building units plan, shall be taken to have been given notice if the notice is duly given to the body corporate incorporated by the registration of that plan.\nA person shall not obstruct or hinder the principal body corporate in the exercise of its power under subsection&#160;(1) .\nMaximum penalty—4 penalty units.\ns&#160;31 amd 1987 No.&#160;91 s&#160;19\n(sec.31-ssec.1) For the purpose of carrying out— any work required to be carried out by the principal body corporate by a notice served on it by a public or local government; any work referred to in section&#160;33 (1) (b) ; the principal body corporate may, by its agents, servants or contractors, enter upon any part of the secondary thoroughfare for the purpose of carrying out the work— in the case of an emergency—at any time; in any other case—at any reasonable time on notice given to any occupier of a lot likely to be affected thereby.\n(sec.31-ssec.1A) For the purposes of subsection&#160;(1) (d) , a proprietor of a lot, being a lot on a group titles plan or a building units plan, shall be taken to have been given notice if the notice is duly given to the body corporate incorporated by the registration of that plan.\n(sec.31-ssec.2) A person shall not obstruct or hinder the principal body corporate in the exercise of its power under subsection&#160;(1) . Maximum penalty—4 penalty units.\n- (a) any work required to be carried out by the principal body corporate by a notice served on it by a public or local government;\n- (b) any work referred to in section&#160;33 (1) (b) ;\n- (c) in the case of an emergency—at any time;\n- (d) in any other case—at any reasonable time on notice given to any occupier of a lot likely to be affected thereby.","sortOrder":69},{"sectionNumber":"sec.32","sectionType":"section","heading":"Miscellaneous powers of principal body corporate","content":"### sec.32 Miscellaneous powers of principal body corporate\n\nThe principal body corporate may do any of the following—\ninvest any moneys held by it in any manner permitted by law for the investment of trust funds or in any prescribed investment;\nborrow moneys and secure the repayment thereof and of any interest in such manner as may be agreed upon by the principal body corporate and the lender;\nenter into an agreement for the provision of amenities or services by it or any other person to any lot or to the proprietor or occupier thereof or to any parcel comprised in a building units plan or a group titles plan;\nacquire and hold any personal property to facilitate the carrying out of its duties;\nemploy staff to perform its functions.\ns&#160;32 amd 2009 No.&#160;26 s&#160;78\n- (a) invest any moneys held by it in any manner permitted by law for the investment of trust funds or in any prescribed investment;\n- (b) borrow moneys and secure the repayment thereof and of any interest in such manner as may be agreed upon by the principal body corporate and the lender;\n- (c) enter into an agreement for the provision of amenities or services by it or any other person to any lot or to the proprietor or occupier thereof or to any parcel comprised in a building units plan or a group titles plan;\n- (d) acquire and hold any personal property to facilitate the carrying out of its duties;\n- (e) employ staff to perform its functions.","sortOrder":70},{"sectionNumber":"sec.33","sectionType":"section","heading":"Duties of principal body corporate","content":"### sec.33 Duties of principal body corporate\n\nThe principal body corporate shall—\ncontrol, manage and administer the secondary thoroughfare for the benefit of its members; and\nproperly maintain and keep in a state of good and serviceable repair—\nthe secondary thoroughfare, including any improvements thereon;\nany personal property vested in it; and\neffect insurance in accordance with section&#160;37 ; and\ncause proper records to be kept of notices given to the principal body corporate under this or any other Act and of any orders made by a court and served on the principal body corporate; and\nkeep—\nfor at least 10 years after their creation or receipt by or for the principal body corporate—\nminutes of its meetings, including particulars of motions passed at the meetings; and\nproper books of account for amounts received or paid by the principal body corporate showing the items for which the amounts were received or paid; and\nfor at least 2 years after their creation or receipt by or for the principal body corporate—voting tally sheets or other records showing votes for motions and election ballots related to its meetings; and\ncause to be prepared, from the books referred to in paragraph&#160;(e) , a proper statement of accounts of the principal body corporate in respect of each period commencing on the date of its incorporation or the date up to which the last previous such statement was prepared and ending on a date not earlier than 2 months before each annual general meeting; and\ncause an annual general meeting to be held each year on or after the anniversary of the annual general meeting held in 1990 but not later than 2 months after that anniversary; and\nnot later than 14 days after its incorporation and from time to time thereafter, determine the amounts necessary in its opinion to be raised by way of contributions for the purpose of meeting its actual or expected liabilities incurred or to be incurred under paragraph&#160;(b) or for the payment of insurance premiums, rates or any other liability of the principal body corporate, other than amounts referred to in paragraph (1); and\nupon first determining the amounts referred to in paragraph&#160;(h) , establish a fund into which shall be paid all amounts received by it, including the proceeds of the sale or other disposal of any personal property of the principal body corporate and any fees received by it under section&#160;36 and into which may be paid any amounts paid to the principal body corporate by way of discharge of insurance claims; and\nfrom time to time, levy, in accordance with section&#160;29 , on each person liable therefor a contribution to raise the amounts referred to in paragraph&#160;(h) ; and\npay any moneys referred to in paragraph&#160;(i) that are received by it and are not otherwise invested in accordance with section&#160;32 (a) into an account established in a financial institution in the name of the principal body corporate; and\nif the principal body corporate—\nbecomes liable to pay any moneys that it is unable to pay forthwith; and\nis not required, under paragraph&#160;(j) , to levy contributions to meet the liability;\nlevy, in accordance with section&#160;29 , contributions to raise those moneys; and\nimplement the decisions of the principal body corporate.\nThe principal body corporate from time to time may in respect of contributions determined in accordance with subsection&#160;(1) (h) or contributions referred to in subsection&#160;(1) (l) determine by special resolution, for the purposes of section&#160;29 , an amount being not greater than 10% of those contributions.\nThe principal body corporate shall not disburse any moneys from its fund, otherwise than for the purpose of carrying out its powers, authorities, duties and functions under this Act, the development control by-laws or secondary thoroughfare by-laws or meeting any liability referred to in subsection&#160;(1) (l) .\nA determination made by the principal body corporate under subsection&#160;(1) (h) may specify that the amounts to be raised shall be raised by such regular periodic contributions as may be specified in the determination.\ns&#160;33 amd 1987 s&#160;14; 1989 No.&#160;114 s&#160;14 ; 1997 No.&#160;17 s&#160;74 sch ; 1999 No.&#160;30 s&#160;98 sch&#160;3 pt&#160;1 ; 2009 No.&#160;26 s&#160;79\n(sec.33-ssec.1) The principal body corporate shall— control, manage and administer the secondary thoroughfare for the benefit of its members; and properly maintain and keep in a state of good and serviceable repair— the secondary thoroughfare, including any improvements thereon; any personal property vested in it; and effect insurance in accordance with section&#160;37 ; and cause proper records to be kept of notices given to the principal body corporate under this or any other Act and of any orders made by a court and served on the principal body corporate; and keep— for at least 10 years after their creation or receipt by or for the principal body corporate— minutes of its meetings, including particulars of motions passed at the meetings; and proper books of account for amounts received or paid by the principal body corporate showing the items for which the amounts were received or paid; and for at least 2 years after their creation or receipt by or for the principal body corporate—voting tally sheets or other records showing votes for motions and election ballots related to its meetings; and cause to be prepared, from the books referred to in paragraph&#160;(e) , a proper statement of accounts of the principal body corporate in respect of each period commencing on the date of its incorporation or the date up to which the last previous such statement was prepared and ending on a date not earlier than 2 months before each annual general meeting; and cause an annual general meeting to be held each year on or after the anniversary of the annual general meeting held in 1990 but not later than 2 months after that anniversary; and not later than 14 days after its incorporation and from time to time thereafter, determine the amounts necessary in its opinion to be raised by way of contributions for the purpose of meeting its actual or expected liabilities incurred or to be incurred under paragraph&#160;(b) or for the payment of insurance premiums, rates or any other liability of the principal body corporate, other than amounts referred to in paragraph (1); and upon first determining the amounts referred to in paragraph&#160;(h) , establish a fund into which shall be paid all amounts received by it, including the proceeds of the sale or other disposal of any personal property of the principal body corporate and any fees received by it under section&#160;36 and into which may be paid any amounts paid to the principal body corporate by way of discharge of insurance claims; and from time to time, levy, in accordance with section&#160;29 , on each person liable therefor a contribution to raise the amounts referred to in paragraph&#160;(h) ; and pay any moneys referred to in paragraph&#160;(i) that are received by it and are not otherwise invested in accordance with section&#160;32 (a) into an account established in a financial institution in the name of the principal body corporate; and if the principal body corporate— becomes liable to pay any moneys that it is unable to pay forthwith; and is not required, under paragraph&#160;(j) , to levy contributions to meet the liability; levy, in accordance with section&#160;29 , contributions to raise those moneys; and implement the decisions of the principal body corporate.\n(sec.33-ssec.2) The principal body corporate from time to time may in respect of contributions determined in accordance with subsection&#160;(1) (h) or contributions referred to in subsection&#160;(1) (l) determine by special resolution, for the purposes of section&#160;29 , an amount being not greater than 10% of those contributions.\n(sec.33-ssec.3) The principal body corporate shall not disburse any moneys from its fund, otherwise than for the purpose of carrying out its powers, authorities, duties and functions under this Act, the development control by-laws or secondary thoroughfare by-laws or meeting any liability referred to in subsection&#160;(1) (l) .\n(sec.33-ssec.4) A determination made by the principal body corporate under subsection&#160;(1) (h) may specify that the amounts to be raised shall be raised by such regular periodic contributions as may be specified in the determination.\n- (a) control, manage and administer the secondary thoroughfare for the benefit of its members; and\n- (b) properly maintain and keep in a state of good and serviceable repair— (i) the secondary thoroughfare, including any improvements thereon; (ii) any personal property vested in it; and\n- (i) the secondary thoroughfare, including any improvements thereon;\n- (ii) any personal property vested in it; and\n- (c) effect insurance in accordance with section&#160;37 ; and\n- (d) cause proper records to be kept of notices given to the principal body corporate under this or any other Act and of any orders made by a court and served on the principal body corporate; and\n- (e) keep— (i) for at least 10 years after their creation or receipt by or for the principal body corporate— (A) minutes of its meetings, including particulars of motions passed at the meetings; and (B) proper books of account for amounts received or paid by the principal body corporate showing the items for which the amounts were received or paid; and (ii) for at least 2 years after their creation or receipt by or for the principal body corporate—voting tally sheets or other records showing votes for motions and election ballots related to its meetings; and\n- (i) for at least 10 years after their creation or receipt by or for the principal body corporate— (A) minutes of its meetings, including particulars of motions passed at the meetings; and (B) proper books of account for amounts received or paid by the principal body corporate showing the items for which the amounts were received or paid; and\n- (A) minutes of its meetings, including particulars of motions passed at the meetings; and\n- (B) proper books of account for amounts received or paid by the principal body corporate showing the items for which the amounts were received or paid; and\n- (ii) for at least 2 years after their creation or receipt by or for the principal body corporate—voting tally sheets or other records showing votes for motions and election ballots related to its meetings; and\n- (f) cause to be prepared, from the books referred to in paragraph&#160;(e) , a proper statement of accounts of the principal body corporate in respect of each period commencing on the date of its incorporation or the date up to which the last previous such statement was prepared and ending on a date not earlier than 2 months before each annual general meeting; and\n- (g) cause an annual general meeting to be held each year on or after the anniversary of the annual general meeting held in 1990 but not later than 2 months after that anniversary; and\n- (h) not later than 14 days after its incorporation and from time to time thereafter, determine the amounts necessary in its opinion to be raised by way of contributions for the purpose of meeting its actual or expected liabilities incurred or to be incurred under paragraph&#160;(b) or for the payment of insurance premiums, rates or any other liability of the principal body corporate, other than amounts referred to in paragraph (1); and\n- (i) upon first determining the amounts referred to in paragraph&#160;(h) , establish a fund into which shall be paid all amounts received by it, including the proceeds of the sale or other disposal of any personal property of the principal body corporate and any fees received by it under section&#160;36 and into which may be paid any amounts paid to the principal body corporate by way of discharge of insurance claims; and\n- (j) from time to time, levy, in accordance with section&#160;29 , on each person liable therefor a contribution to raise the amounts referred to in paragraph&#160;(h) ; and\n- (k) pay any moneys referred to in paragraph&#160;(i) that are received by it and are not otherwise invested in accordance with section&#160;32 (a) into an account established in a financial institution in the name of the principal body corporate; and\n- (l) if the principal body corporate— (i) becomes liable to pay any moneys that it is unable to pay forthwith; and (ii) is not required, under paragraph&#160;(j) , to levy contributions to meet the liability;\n- (i) becomes liable to pay any moneys that it is unable to pay forthwith; and\n- (ii) is not required, under paragraph&#160;(j) , to levy contributions to meet the liability;\n- levy, in accordance with section&#160;29 , contributions to raise those moneys; and\n- (m) implement the decisions of the principal body corporate.\n- (i) the secondary thoroughfare, including any improvements thereon;\n- (ii) any personal property vested in it; and\n- (i) for at least 10 years after their creation or receipt by or for the principal body corporate— (A) minutes of its meetings, including particulars of motions passed at the meetings; and (B) proper books of account for amounts received or paid by the principal body corporate showing the items for which the amounts were received or paid; and\n- (A) minutes of its meetings, including particulars of motions passed at the meetings; and\n- (B) proper books of account for amounts received or paid by the principal body corporate showing the items for which the amounts were received or paid; and\n- (ii) for at least 2 years after their creation or receipt by or for the principal body corporate—voting tally sheets or other records showing votes for motions and election ballots related to its meetings; and\n- (A) minutes of its meetings, including particulars of motions passed at the meetings; and\n- (B) proper books of account for amounts received or paid by the principal body corporate showing the items for which the amounts were received or paid; and\n- (i) becomes liable to pay any moneys that it is unable to pay forthwith; and\n- (ii) is not required, under paragraph&#160;(j) , to levy contributions to meet the liability;","sortOrder":71},{"sectionNumber":"sec.34","sectionType":"section","heading":"Principal body corporate roll","content":"### sec.34 Principal body corporate roll\n\nThe principal body corporate shall prepare and maintain a roll in accordance with this section.\nThe principal body corporate shall record in the principal body corporate roll the following information—\nin respect of each initial lot which has not been subdivided into secondary lots—the initial lot entitlement;\nin respect of each secondary lot—the secondary lot entitlement;\nthe total of the initial lot entitlements and secondary lot entitlements referred to in paragraphs&#160;(a) and (b) ;\nthe name and address for service of notices on each member of the principal body corporate;\nthe name and address of any person appointed (in writing addressed to the principal body corporate) by any member of the principal body corporate to represent that member at meetings of the principal body corporate.\nThe principal body corporate shall record and maintain in the principal body corporate roll—\na copy of the development control by-laws for the time being in force; and\na copy of the secondary thoroughfare by-laws for the time being in force.\n(sec.34-ssec.1) The principal body corporate shall prepare and maintain a roll in accordance with this section.\n(sec.34-ssec.2) The principal body corporate shall record in the principal body corporate roll the following information— in respect of each initial lot which has not been subdivided into secondary lots—the initial lot entitlement; in respect of each secondary lot—the secondary lot entitlement; the total of the initial lot entitlements and secondary lot entitlements referred to in paragraphs&#160;(a) and (b) ; the name and address for service of notices on each member of the principal body corporate; the name and address of any person appointed (in writing addressed to the principal body corporate) by any member of the principal body corporate to represent that member at meetings of the principal body corporate.\n(sec.34-ssec.3) The principal body corporate shall record and maintain in the principal body corporate roll— a copy of the development control by-laws for the time being in force; and a copy of the secondary thoroughfare by-laws for the time being in force.\n- (a) in respect of each initial lot which has not been subdivided into secondary lots—the initial lot entitlement;\n- (b) in respect of each secondary lot—the secondary lot entitlement;\n- (c) the total of the initial lot entitlements and secondary lot entitlements referred to in paragraphs&#160;(a) and (b) ;\n- (d) the name and address for service of notices on each member of the principal body corporate;\n- (e) the name and address of any person appointed (in writing addressed to the principal body corporate) by any member of the principal body corporate to represent that member at meetings of the principal body corporate.\n- (a) a copy of the development control by-laws for the time being in force; and\n- (b) a copy of the secondary thoroughfare by-laws for the time being in force.","sortOrder":72},{"sectionNumber":"sec.35","sectionType":"section","heading":"Notices to be given by proprietors","content":"### sec.35 Notices to be given by proprietors\n\nThe company and any person who, under this section, has given notice of an address for the service of notices on the company or person shall give notice in writing to the principal body corporate of an address or change of address for the service of notices on the company or person.\nAfter delivery to a transferee of an initial lot or a secondary lot of an instrument or instruments of transfer in the name of the transferee duly executed and capable of immediate registration, the transferor shall give to the principal body corporate written notice which shall identify the lot and—\nspecify the name of the transferee in full, the address for the service of notices on the transferee, the address for the service of notices on the transferor and the date upon which the instrument was or instruments were so delivered; and\nbear written confirmation by the transferee of the accuracy of the information contained in the notice.\nWhere a transferor of an initial lot or a secondary lot fails to comply with subsection&#160;(2) , the transferee of that lot may give to the principal body corporate written notice which shall identify the lot and specify the transferee’s name in full, address for service of notices and the date upon which the instrument was or instruments were delivered to the transferee.\nAfter a person becomes entitled, otherwise than as a transferee, to be registered under the Land Title Act 1994 as the proprietor of an initial lot or a secondary lot, the person shall give to the principal body corporate written notice, in the form of a statutory declaration, which shall identify the lot and specify—\nby what right the person became entitled to the lot; and\nthe person’s name, in full, the address for the service of notices on the person and the date upon which the person became entitled to the lot.\nWhere—\nthe principal body corporate believes that a person is required, under this section, to give a notice to it; and\nthe principal body corporate has not received that notice;\nthe principal body corporate may serve a notice on that person specifying the capacity in which it believes the person is required to give the notice and requiring the person—\nto state, within 14 days, whether or not the person is required to give a notice in that capacity; and\nif the person is so required, to give that notice.\nWhere the principal body corporate has served a notice under subsection&#160;(4) on a person whom it believes is required to give a notice to the principal body corporate under this section that person is not entitled to cast a vote at any meeting of the principal body corporate until the person gives the required notice.\nA vote cast at a meeting of the principal body corporate by or on behalf of a body corporate has no effect unless the principal body corporate has been given notice in writing specifying the nominee of the body corporate.\nA notice referred to in subsection&#160;(6) may be included in any other notice that the body corporate to which it relates or any other person is entitled under this section to give to the principal body corporate.\ns&#160;35 amd 1999 No.&#160;30 s&#160;98 sch&#160;3 pt&#160;1\n(sec.35-ssec.1) The company and any person who, under this section, has given notice of an address for the service of notices on the company or person shall give notice in writing to the principal body corporate of an address or change of address for the service of notices on the company or person.\n(sec.35-ssec.2) After delivery to a transferee of an initial lot or a secondary lot of an instrument or instruments of transfer in the name of the transferee duly executed and capable of immediate registration, the transferor shall give to the principal body corporate written notice which shall identify the lot and— specify the name of the transferee in full, the address for the service of notices on the transferee, the address for the service of notices on the transferor and the date upon which the instrument was or instruments were so delivered; and bear written confirmation by the transferee of the accuracy of the information contained in the notice.\n(sec.35-ssec.2A) Where a transferor of an initial lot or a secondary lot fails to comply with subsection&#160;(2) , the transferee of that lot may give to the principal body corporate written notice which shall identify the lot and specify the transferee’s name in full, address for service of notices and the date upon which the instrument was or instruments were delivered to the transferee.\n(sec.35-ssec.3) After a person becomes entitled, otherwise than as a transferee, to be registered under the Land Title Act 1994 as the proprietor of an initial lot or a secondary lot, the person shall give to the principal body corporate written notice, in the form of a statutory declaration, which shall identify the lot and specify— by what right the person became entitled to the lot; and the person’s name, in full, the address for the service of notices on the person and the date upon which the person became entitled to the lot.\n(sec.35-ssec.4) Where— the principal body corporate believes that a person is required, under this section, to give a notice to it; and the principal body corporate has not received that notice; the principal body corporate may serve a notice on that person specifying the capacity in which it believes the person is required to give the notice and requiring the person— to state, within 14 days, whether or not the person is required to give a notice in that capacity; and if the person is so required, to give that notice.\n(sec.35-ssec.5) Where the principal body corporate has served a notice under subsection&#160;(4) on a person whom it believes is required to give a notice to the principal body corporate under this section that person is not entitled to cast a vote at any meeting of the principal body corporate until the person gives the required notice.\n(sec.35-ssec.6) A vote cast at a meeting of the principal body corporate by or on behalf of a body corporate has no effect unless the principal body corporate has been given notice in writing specifying the nominee of the body corporate.\n(sec.35-ssec.7) A notice referred to in subsection&#160;(6) may be included in any other notice that the body corporate to which it relates or any other person is entitled under this section to give to the principal body corporate.\n- (a) specify the name of the transferee in full, the address for the service of notices on the transferee, the address for the service of notices on the transferor and the date upon which the instrument was or instruments were so delivered; and\n- (b) bear written confirmation by the transferee of the accuracy of the information contained in the notice.\n- (a) by what right the person became entitled to the lot; and\n- (b) the person’s name, in full, the address for the service of notices on the person and the date upon which the person became entitled to the lot.\n- (a) the principal body corporate believes that a person is required, under this section, to give a notice to it; and\n- (b) the principal body corporate has not received that notice;\n- (c) to state, within 14 days, whether or not the person is required to give a notice in that capacity; and\n- (d) if the person is so required, to give that notice.","sortOrder":73},{"sectionNumber":"sec.36","sectionType":"section","heading":"Supply of information, certificates and copies by principal body corporate","content":"### sec.36 Supply of information, certificates and copies by principal body corporate\n\nThe principal body corporate shall, upon application made to it in writing by a member of the principal body corporate or by a member of a body corporate constituted by the registration of a group titles plan or building units plan (which lastmentioned body corporate is a member of the principal body corporate) or by a person authorised in writing by such member and on payment of such sum as the principal body corporate may fix by resolution but not exceeding the reasonable cost to the principal body corporate, do such 1 or more of the following things as are required of it in the application—\ninform the applicant of the name and address of each person who is the chairperson, secretary or treasurer of the principal body corporate or a member of the executive committee;\nmake available for inspection by the applicant or the applicant’s agent—\nthe principal body corporate roll;\nthe notices and orders referred to in section&#160;33 (1) (d) ;\nthe plans, specifications, drawings showing water pipes, electric cables or drainage, certificates, diagrams and other documents held by it relating to any secondary thoroughfare;\nthe minutes of general meetings of the principal body corporate and of the executive committee;\nthe books of account of the principal body corporate;\na copy of the statement of accounts of the principal body corporate last prepared by the principal body corporate in accordance with section&#160;33 (1) (f) ;\nevery current policy of insurance effected by the principal body corporate and the receipt for the premium last paid in respect of each such policy;\nany other record or document in the custody or under the control of the principal body corporate;\nthe development control by-laws or the secondary thoroughfare by-laws for the time being in force;\nat such time and place as may be agreed upon by the applicant or the applicant’s agent and the principal body corporate and, failing agreement, at the office of the principal body corporate at a time and on a date fixed by the principal body corporate under subsection&#160;(2) ;\ncertify, as at the date of the certificate, in respect of the initial lot or secondary lot in respect of which the application is made—\nthe amount of any regular periodic contributions determined by the principal body corporate under section&#160;33 (1) (h) and (4) and the periods in respect of which those contributions are payable; and\nwhether there is any amount unpaid of any contribution determined under section&#160;33 (1) (h) and, if so, the amount thereof; and\nwhether there is any amount unpaid of any contribution levied under section&#160;33 (1) (1) and, if so, the amount thereof and the date on which it was levied; and\nwhether there is any amount unpaid of any contribution levied under section&#160;48 and, if so, the amount thereof and the date on which it was levied; and\nthe amount (if any) determined under section&#160;33 (2) in respect of any unpaid contribution referred to in this paragraph;\nfurnish to the applicant or the applicant’s agent a copy of the development control by-laws or the secondary thoroughfare by-laws for the time being in force or any part thereof within a period of 21 days commencing on the day next after the date on which the application is received by the principal body corporate.\nWhere an applicant and the principal body corporate fail to reach an agreement referred to in subsection&#160;(1) (b) within 3 days after the receipt of the application by the principal body corporate, the principal body corporate shall forthwith send by post to the applicant a notice fixing a time, specified in the notice, between 9a.m. and 8p.m. on a date so specified, being a date not later than 10 days after the receipt of the application by the principal body corporate for the making of the inspection referred to in subsection&#160;(1) (b) .\nThe principal body corporate shall permit any person to whom the development control by-laws or the secondary thoroughfare by-laws are made available for inspection to make copies of or take extracts from those by-laws.\n(sec.36-ssec.1) The principal body corporate shall, upon application made to it in writing by a member of the principal body corporate or by a member of a body corporate constituted by the registration of a group titles plan or building units plan (which lastmentioned body corporate is a member of the principal body corporate) or by a person authorised in writing by such member and on payment of such sum as the principal body corporate may fix by resolution but not exceeding the reasonable cost to the principal body corporate, do such 1 or more of the following things as are required of it in the application— inform the applicant of the name and address of each person who is the chairperson, secretary or treasurer of the principal body corporate or a member of the executive committee; make available for inspection by the applicant or the applicant’s agent— the principal body corporate roll; the notices and orders referred to in section&#160;33 (1) (d) ; the plans, specifications, drawings showing water pipes, electric cables or drainage, certificates, diagrams and other documents held by it relating to any secondary thoroughfare; the minutes of general meetings of the principal body corporate and of the executive committee; the books of account of the principal body corporate; a copy of the statement of accounts of the principal body corporate last prepared by the principal body corporate in accordance with section&#160;33 (1) (f) ; every current policy of insurance effected by the principal body corporate and the receipt for the premium last paid in respect of each such policy; any other record or document in the custody or under the control of the principal body corporate; the development control by-laws or the secondary thoroughfare by-laws for the time being in force; at such time and place as may be agreed upon by the applicant or the applicant’s agent and the principal body corporate and, failing agreement, at the office of the principal body corporate at a time and on a date fixed by the principal body corporate under subsection&#160;(2) ; certify, as at the date of the certificate, in respect of the initial lot or secondary lot in respect of which the application is made— the amount of any regular periodic contributions determined by the principal body corporate under section&#160;33 (1) (h) and (4) and the periods in respect of which those contributions are payable; and whether there is any amount unpaid of any contribution determined under section&#160;33 (1) (h) and, if so, the amount thereof; and whether there is any amount unpaid of any contribution levied under section&#160;33 (1) (1) and, if so, the amount thereof and the date on which it was levied; and whether there is any amount unpaid of any contribution levied under section&#160;48 and, if so, the amount thereof and the date on which it was levied; and the amount (if any) determined under section&#160;33 (2) in respect of any unpaid contribution referred to in this paragraph; furnish to the applicant or the applicant’s agent a copy of the development control by-laws or the secondary thoroughfare by-laws for the time being in force or any part thereof within a period of 21 days commencing on the day next after the date on which the application is received by the principal body corporate.\n(sec.36-ssec.2) Where an applicant and the principal body corporate fail to reach an agreement referred to in subsection&#160;(1) (b) within 3 days after the receipt of the application by the principal body corporate, the principal body corporate shall forthwith send by post to the applicant a notice fixing a time, specified in the notice, between 9a.m. and 8p.m. on a date so specified, being a date not later than 10 days after the receipt of the application by the principal body corporate for the making of the inspection referred to in subsection&#160;(1) (b) .\n(sec.36-ssec.3) The principal body corporate shall permit any person to whom the development control by-laws or the secondary thoroughfare by-laws are made available for inspection to make copies of or take extracts from those by-laws.\n- (a) inform the applicant of the name and address of each person who is the chairperson, secretary or treasurer of the principal body corporate or a member of the executive committee;\n- (b) make available for inspection by the applicant or the applicant’s agent— (i) the principal body corporate roll; (ii) the notices and orders referred to in section&#160;33 (1) (d) ; (iii) the plans, specifications, drawings showing water pipes, electric cables or drainage, certificates, diagrams and other documents held by it relating to any secondary thoroughfare; (iv) the minutes of general meetings of the principal body corporate and of the executive committee; (v) the books of account of the principal body corporate; (vi) a copy of the statement of accounts of the principal body corporate last prepared by the principal body corporate in accordance with section&#160;33 (1) (f) ; (vii) every current policy of insurance effected by the principal body corporate and the receipt for the premium last paid in respect of each such policy; (viii) any other record or document in the custody or under the control of the principal body corporate; (ix) the development control by-laws or the secondary thoroughfare by-laws for the time being in force;\n- (i) the principal body corporate roll;\n- (ii) the notices and orders referred to in section&#160;33 (1) (d) ;\n- (iii) the plans, specifications, drawings showing water pipes, electric cables or drainage, certificates, diagrams and other documents held by it relating to any secondary thoroughfare;\n- (iv) the minutes of general meetings of the principal body corporate and of the executive committee;\n- (v) the books of account of the principal body corporate;\n- (vi) a copy of the statement of accounts of the principal body corporate last prepared by the principal body corporate in accordance with section&#160;33 (1) (f) ;\n- (vii) every current policy of insurance effected by the principal body corporate and the receipt for the premium last paid in respect of each such policy;\n- (viii) any other record or document in the custody or under the control of the principal body corporate;\n- (ix) the development control by-laws or the secondary thoroughfare by-laws for the time being in force;\n- at such time and place as may be agreed upon by the applicant or the applicant’s agent and the principal body corporate and, failing agreement, at the office of the principal body corporate at a time and on a date fixed by the principal body corporate under subsection&#160;(2) ;\n- (c) certify, as at the date of the certificate, in respect of the initial lot or secondary lot in respect of which the application is made— (i) the amount of any regular periodic contributions determined by the principal body corporate under section&#160;33 (1) (h) and (4) and the periods in respect of which those contributions are payable; and (ii) whether there is any amount unpaid of any contribution determined under section&#160;33 (1) (h) and, if so, the amount thereof; and (iii) whether there is any amount unpaid of any contribution levied under section&#160;33 (1) (1) and, if so, the amount thereof and the date on which it was levied; and (iv) whether there is any amount unpaid of any contribution levied under section&#160;48 and, if so, the amount thereof and the date on which it was levied; and (v) the amount (if any) determined under section&#160;33 (2) in respect of any unpaid contribution referred to in this paragraph;\n- (i) the amount of any regular periodic contributions determined by the principal body corporate under section&#160;33 (1) (h) and (4) and the periods in respect of which those contributions are payable; and\n- (ii) whether there is any amount unpaid of any contribution determined under section&#160;33 (1) (h) and, if so, the amount thereof; and\n- (iii) whether there is any amount unpaid of any contribution levied under section&#160;33 (1) (1) and, if so, the amount thereof and the date on which it was levied; and\n- (iv) whether there is any amount unpaid of any contribution levied under section&#160;48 and, if so, the amount thereof and the date on which it was levied; and\n- (v) the amount (if any) determined under section&#160;33 (2) in respect of any unpaid contribution referred to in this paragraph;\n- (d) furnish to the applicant or the applicant’s agent a copy of the development control by-laws or the secondary thoroughfare by-laws for the time being in force or any part thereof within a period of 21 days commencing on the day next after the date on which the application is received by the principal body corporate.\n- (i) the principal body corporate roll;\n- (ii) the notices and orders referred to in section&#160;33 (1) (d) ;\n- (iii) the plans, specifications, drawings showing water pipes, electric cables or drainage, certificates, diagrams and other documents held by it relating to any secondary thoroughfare;\n- (iv) the minutes of general meetings of the principal body corporate and of the executive committee;\n- (v) the books of account of the principal body corporate;\n- (vi) a copy of the statement of accounts of the principal body corporate last prepared by the principal body corporate in accordance with section&#160;33 (1) (f) ;\n- (vii) every current policy of insurance effected by the principal body corporate and the receipt for the premium last paid in respect of each such policy;\n- (viii) any other record or document in the custody or under the control of the principal body corporate;\n- (ix) the development control by-laws or the secondary thoroughfare by-laws for the time being in force;\n- (i) the amount of any regular periodic contributions determined by the principal body corporate under section&#160;33 (1) (h) and (4) and the periods in respect of which those contributions are payable; and\n- (ii) whether there is any amount unpaid of any contribution determined under section&#160;33 (1) (h) and, if so, the amount thereof; and\n- (iii) whether there is any amount unpaid of any contribution levied under section&#160;33 (1) (1) and, if so, the amount thereof and the date on which it was levied; and\n- (iv) whether there is any amount unpaid of any contribution levied under section&#160;48 and, if so, the amount thereof and the date on which it was levied; and\n- (v) the amount (if any) determined under section&#160;33 (2) in respect of any unpaid contribution referred to in this paragraph;","sortOrder":74},{"sectionNumber":"sec.37","sectionType":"section","heading":"Insurance by principal body corporate","content":"### sec.37 Insurance by principal body corporate\n\nThe principal body corporate shall effect insurance—\nin respect of any occurrence against which it is required by law to insure, including any insurance required to be effected because of the Workers’ Compensation and Rehabilitation Act 2003 ; and\nin respect of damage to property, death or bodily injury occurring upon the secondary thoroughfare or the consequences resulting therefrom; and\nagainst the possibility of the proprietors becoming jointly liable by reason of a claim arising in respect of any other occurrence against which the principal body corporate, pursuant to a special resolution, decides to insure.\nInsurance effected pursuant to subsection&#160;(1) (b) shall be for a cover of the amount prescribed by order in council or, if not prescribed, $10,000,000.\nThe principal body corporate may insure any property in which it has an insurable interest.\ns&#160;37 amd 1987 No.&#160;91 s&#160;20 ; 1996 No.&#160;75 s&#160;535 sch&#160;2 ; 2003 No.&#160;27 s&#160;622 sch&#160;5\n(sec.37-ssec.1) The principal body corporate shall effect insurance— in respect of any occurrence against which it is required by law to insure, including any insurance required to be effected because of the Workers’ Compensation and Rehabilitation Act 2003 ; and in respect of damage to property, death or bodily injury occurring upon the secondary thoroughfare or the consequences resulting therefrom; and against the possibility of the proprietors becoming jointly liable by reason of a claim arising in respect of any other occurrence against which the principal body corporate, pursuant to a special resolution, decides to insure.\n(sec.37-ssec.2) Insurance effected pursuant to subsection&#160;(1) (b) shall be for a cover of the amount prescribed by order in council or, if not prescribed, $10,000,000.\n(sec.37-ssec.3) The principal body corporate may insure any property in which it has an insurable interest.\n- (a) in respect of any occurrence against which it is required by law to insure, including any insurance required to be effected because of the Workers’ Compensation and Rehabilitation Act 2003 ; and\n- (b) in respect of damage to property, death or bodily injury occurring upon the secondary thoroughfare or the consequences resulting therefrom; and\n- (c) against the possibility of the proprietors becoming jointly liable by reason of a claim arising in respect of any other occurrence against which the principal body corporate, pursuant to a special resolution, decides to insure.","sortOrder":75},{"sectionNumber":"sec.38","sectionType":"section","heading":"Power for individuals to act for corporate proprietors","content":"### sec.38 Power for individuals to act for corporate proprietors\n\nA body corporate may authorise an individual to exercise or perform on its behalf any power, authority, duty or function conferred by or under this Act on the body corporate as proprietor of a lot and may revoke the authority of an individual so authorised.\nWhere an individual exercises or performs a power, authority, duty or function that the individual is, by a proprietor of a lot, authorised pursuant to subsection&#160;(1) to exercise or perform, the power, authority, duty or function shall be deemed to be exercised or performed by the proprietor of the lot.\nNothing in subsection&#160;(1) or (2) affects any liability or obligation imposed by or under this Act on a body corporate which is a proprietor of a lot.\nA document under the seal of a body corporate purporting to be an authorisation under subsection&#160;(1) or to be a revocation of such an authorisation is admissible in evidence and shall, unless the contrary is proved, be deemed to be such an authorisation or revocation, as the case may be.\n(sec.38-ssec.1) A body corporate may authorise an individual to exercise or perform on its behalf any power, authority, duty or function conferred by or under this Act on the body corporate as proprietor of a lot and may revoke the authority of an individual so authorised.\n(sec.38-ssec.2) Where an individual exercises or performs a power, authority, duty or function that the individual is, by a proprietor of a lot, authorised pursuant to subsection&#160;(1) to exercise or perform, the power, authority, duty or function shall be deemed to be exercised or performed by the proprietor of the lot.\n(sec.38-ssec.3) Nothing in subsection&#160;(1) or (2) affects any liability or obligation imposed by or under this Act on a body corporate which is a proprietor of a lot.\n(sec.38-ssec.4) A document under the seal of a body corporate purporting to be an authorisation under subsection&#160;(1) or to be a revocation of such an authorisation is admissible in evidence and shall, unless the contrary is proved, be deemed to be such an authorisation or revocation, as the case may be.","sortOrder":76},{"sectionNumber":"sec.39","sectionType":"section","heading":"Voting rights","content":"### sec.39 Voting rights\n\nAny powers of voting conferred by or under this part may be exercised—\nin the case of a proprietor who is an infant—by the proprietor’s guardian;\nin the case of a proprietor who is for any reason unable to control the proprietor’s property—by the person who for the time being is authorised by law to control that property;\nin the case of a proprietor which is a body corporate—by the person nominated pursuant to section&#160;38 by that body corporate.\nWhere the Supreme Court of Queensland upon the application of the principal body corporate or of any proprietor is satisfied that there is no person able to vote in respect of an initial lot or a secondary lot or that the person able to vote in respect of the lot cannot be found, the court in its discretion may appoint the public trustee or some other fit and proper person for the purpose of exercising such powers of voting under this part as the court shall determine.\nThe court may order service of notice of an application under subsection&#160;(2) on such persons as it thinks fit or may dispense with service of such notice.\nOn making an appointment under subsection&#160;(2) the court may make such order as it thinks necessary or expedient to give effect to the appointment including an order as to the payment of costs of the application, and may vary an order so made.\nThe powers of the court under this section may be exercised by the registrar in the first instance, who may refer the application to a judge and who shall so refer it at the request of the applicant or any respondent.\nIn this section and in section&#160;40 —\nregistrar means the registrar of the Supreme Court of Queensland at Brisbane, Rockhampton or Townsville, as the case may be, and includes a deputy registrar.\n(sec.39-ssec.1) Any powers of voting conferred by or under this part may be exercised— in the case of a proprietor who is an infant—by the proprietor’s guardian; in the case of a proprietor who is for any reason unable to control the proprietor’s property—by the person who for the time being is authorised by law to control that property; in the case of a proprietor which is a body corporate—by the person nominated pursuant to section&#160;38 by that body corporate.\n(sec.39-ssec.2) Where the Supreme Court of Queensland upon the application of the principal body corporate or of any proprietor is satisfied that there is no person able to vote in respect of an initial lot or a secondary lot or that the person able to vote in respect of the lot cannot be found, the court in its discretion may appoint the public trustee or some other fit and proper person for the purpose of exercising such powers of voting under this part as the court shall determine.\n(sec.39-ssec.3) The court may order service of notice of an application under subsection&#160;(2) on such persons as it thinks fit or may dispense with service of such notice.\n(sec.39-ssec.4) On making an appointment under subsection&#160;(2) the court may make such order as it thinks necessary or expedient to give effect to the appointment including an order as to the payment of costs of the application, and may vary an order so made.\n(sec.39-ssec.5) The powers of the court under this section may be exercised by the registrar in the first instance, who may refer the application to a judge and who shall so refer it at the request of the applicant or any respondent.\n(sec.39-ssec.6) In this section and in section&#160;40 — registrar means the registrar of the Supreme Court of Queensland at Brisbane, Rockhampton or Townsville, as the case may be, and includes a deputy registrar.\n- (a) in the case of a proprietor who is an infant—by the proprietor’s guardian;\n- (b) in the case of a proprietor who is for any reason unable to control the proprietor’s property—by the person who for the time being is authorised by law to control that property;\n- (c) in the case of a proprietor which is a body corporate—by the person nominated pursuant to section&#160;38 by that body corporate.","sortOrder":77},{"sectionNumber":"sec.40","sectionType":"section","heading":"Procedure upon application to Supreme Court","content":"### sec.40 Procedure upon application to Supreme Court\n\nEvery application to the Supreme Court of Queensland under this part shall be by summons at chambers unless otherwise provided by rules of court made in relation thereto.\nOn an application, notice shall be served on such persons as the court thinks fit or the court may dispense with such notice.\nThe court may, if it thinks fit, adjourn an application into court and thereupon may give such directions as to all matters, including filing of pleadings as may appear necessary and proper for a final hearing of the application.\nThe court may delegate to the registrar all or any of its powers under this part.\ns&#160;40 amd 1995 No.&#160;57 s&#160;4 sch&#160;1\n(sec.40-ssec.1) Every application to the Supreme Court of Queensland under this part shall be by summons at chambers unless otherwise provided by rules of court made in relation thereto.\n(sec.40-ssec.2) On an application, notice shall be served on such persons as the court thinks fit or the court may dispense with such notice.\n(sec.40-ssec.3) The court may, if it thinks fit, adjourn an application into court and thereupon may give such directions as to all matters, including filing of pleadings as may appear necessary and proper for a final hearing of the application.\n(sec.40-ssec.4) The court may delegate to the registrar all or any of its powers under this part.","sortOrder":78},{"sectionNumber":"pt.3-div.2","sectionType":"division","heading":"Executive committee","content":"## Executive committee","sortOrder":79},{"sectionNumber":"sec.41","sectionType":"section","heading":"Constitution of executive committee","content":"### sec.41 Constitution of executive committee\n\nAfter the first annual general meeting of the principal body corporate, there shall be an executive committee consisting of a chairperson, secretary and treasurer and such other members as may be elected or appointed pursuant to this section.\nThe chairperson, secretary and treasurer of the principal body corporate shall be members of, and be also respectively the chairperson, secretary and treasurer of, the executive committee.\nHowever, a person may be elected to 1 or more of those offices.\nWhere there are not more than 5 members of the principal body corporate, the executive committee shall consist of each member (if any) who is an individual or the member’s nominee, together with the nominee of each member (if any) which is a body corporate.\nWhere there is 1 member only of the principal body corporate, the member may make any decision that a duly convened executive committee may make under this Act and such decision shall be deemed to be a decision of the executive committee.\nIf there are more than 5 members of the principal body corporate, the executive committee must consist of at least 5 persons and not more than the number of members of the principal body corporate, as decided by the principal body corporate.\nThe members of an executive committee referred to in subsection&#160;(4) and the chairperson, secretary and treasurer shall be elected at each annual general meeting of the principal body corporate or, if the number of members of the principal body corporate increases to more than 5, at an extraordinary general meeting convened for the purpose.\nThe election of the chairperson, secretary, treasurer and any other members of the executive committee at a general meeting of the principal body corporate must be conducted under schedule&#160;3 .\nA person is eligible for election as chairperson, secretary or treasurer, or as another member of the executive committee, only if the person—\nis an individual who is—\na member of the principal body corporate; or\na nominee of a member of the principal body corporate; and\ndoes not owe a relevant body corporate debt in relation to a lot or lots owned by the person.\nNotwithstanding the provisions of this section, the principal body corporate may determine that the holder of the office of secretary or treasurer of the principal body corporate shall not be a member of the executive committee whereupon, upon election to that office a person shall be the secretary or, as the case may be, treasurer of the principal body corporate and of the executive committee but shall not be a member of the executive committee.\nA member of the executive committee may, with the consent of the executive committee, appoint a member of the principal body corporate or nominee of a body corporate which is a member of the principal body corporate to act in the member’s place as a member of the executive committee at any meeting of the executive committee and any member or nominee so appointed shall, when the member or nominee is so acting, be deemed to be a member of the executive committee.\nA member of the principal body corporate or a nominee of a body corporate may be appointed under subsection&#160;(7) whether or not the member is a member of the executive committee.\nIf a person appointed under subsection&#160;(7) is a member of the executive committee the person may, at any meeting of the executive committee, separately vote in the person’s capacity as such a member and on behalf of the member in whose place the person has been appointed to act.\nNotwithstanding any other provision of this section, the executive committee may be constituted before the first annual general meeting of the principal body corporate.\nThe members of the executive committee constituted under subsection&#160;(10) (if any) and the chairperson, secretary and treasurer of the principal body corporate shall be elected at a general meeting of the principal body corporate and the provisions of subsection&#160;(6) and such of the provisions of schedule&#160;2 , part&#160;1 of the Building Units and Group Titles Act 1980 in force at the commencement of this Act as applied by section&#160;27 and as relate to the election of the chairperson, secretary and treasurer of the principal body corporate and of members of the executive committee apply to and in respect of the election of the chairperson, secretary and treasurer and of those members of the executive committee to be so constituted.\nSchedule&#160;2 , part&#160;2 of the Building Units and Group Titles Act 1980 other than clause 16(1) as applied by section&#160;27 does not apply to or in respect of the election of the chairperson, secretary and treasurer of the principal body corporate and the members of the executive committee to be constituted under subsection&#160;(10) .\nThe provisions of this part (other than subsections&#160;(1) , (2) , (3) and (5) ) apply to and in respect of an executive committee constituted under subsection&#160;(1) and the members thereof.\nWhere there is no executive committee of the principal body corporate, the principal body corporate shall exercise and perform the powers, authorities, duties and functions of the executive committee.\ns&#160;41 amd 1987 s&#160;15; 2009 No.&#160;26 s&#160;80\n(sec.41-ssec.1) After the first annual general meeting of the principal body corporate, there shall be an executive committee consisting of a chairperson, secretary and treasurer and such other members as may be elected or appointed pursuant to this section.\n(sec.41-ssec.2) The chairperson, secretary and treasurer of the principal body corporate shall be members of, and be also respectively the chairperson, secretary and treasurer of, the executive committee.\n(sec.41-ssec.2A) However, a person may be elected to 1 or more of those offices.\n(sec.41-ssec.3) Where there are not more than 5 members of the principal body corporate, the executive committee shall consist of each member (if any) who is an individual or the member’s nominee, together with the nominee of each member (if any) which is a body corporate.\n(sec.41-ssec.3A) Where there is 1 member only of the principal body corporate, the member may make any decision that a duly convened executive committee may make under this Act and such decision shall be deemed to be a decision of the executive committee.\n(sec.41-ssec.4) If there are more than 5 members of the principal body corporate, the executive committee must consist of at least 5 persons and not more than the number of members of the principal body corporate, as decided by the principal body corporate.\n(sec.41-ssec.5) The members of an executive committee referred to in subsection&#160;(4) and the chairperson, secretary and treasurer shall be elected at each annual general meeting of the principal body corporate or, if the number of members of the principal body corporate increases to more than 5, at an extraordinary general meeting convened for the purpose.\n(sec.41-ssec.5A) The election of the chairperson, secretary, treasurer and any other members of the executive committee at a general meeting of the principal body corporate must be conducted under schedule&#160;3 .\n(sec.41-ssec.6) A person is eligible for election as chairperson, secretary or treasurer, or as another member of the executive committee, only if the person— is an individual who is— a member of the principal body corporate; or a nominee of a member of the principal body corporate; and does not owe a relevant body corporate debt in relation to a lot or lots owned by the person.\n(sec.41-ssec.6A) Notwithstanding the provisions of this section, the principal body corporate may determine that the holder of the office of secretary or treasurer of the principal body corporate shall not be a member of the executive committee whereupon, upon election to that office a person shall be the secretary or, as the case may be, treasurer of the principal body corporate and of the executive committee but shall not be a member of the executive committee.\n(sec.41-ssec.7) A member of the executive committee may, with the consent of the executive committee, appoint a member of the principal body corporate or nominee of a body corporate which is a member of the principal body corporate to act in the member’s place as a member of the executive committee at any meeting of the executive committee and any member or nominee so appointed shall, when the member or nominee is so acting, be deemed to be a member of the executive committee.\n(sec.41-ssec.8) A member of the principal body corporate or a nominee of a body corporate may be appointed under subsection&#160;(7) whether or not the member is a member of the executive committee.\n(sec.41-ssec.9) If a person appointed under subsection&#160;(7) is a member of the executive committee the person may, at any meeting of the executive committee, separately vote in the person’s capacity as such a member and on behalf of the member in whose place the person has been appointed to act.\n(sec.41-ssec.10) Notwithstanding any other provision of this section, the executive committee may be constituted before the first annual general meeting of the principal body corporate.\n(sec.41-ssec.11) The members of the executive committee constituted under subsection&#160;(10) (if any) and the chairperson, secretary and treasurer of the principal body corporate shall be elected at a general meeting of the principal body corporate and the provisions of subsection&#160;(6) and such of the provisions of schedule&#160;2 , part&#160;1 of the Building Units and Group Titles Act 1980 in force at the commencement of this Act as applied by section&#160;27 and as relate to the election of the chairperson, secretary and treasurer of the principal body corporate and of members of the executive committee apply to and in respect of the election of the chairperson, secretary and treasurer and of those members of the executive committee to be so constituted.\n(sec.41-ssec.12) Schedule&#160;2 , part&#160;2 of the Building Units and Group Titles Act 1980 other than clause 16(1) as applied by section&#160;27 does not apply to or in respect of the election of the chairperson, secretary and treasurer of the principal body corporate and the members of the executive committee to be constituted under subsection&#160;(10) .\n(sec.41-ssec.13) The provisions of this part (other than subsections&#160;(1) , (2) , (3) and (5) ) apply to and in respect of an executive committee constituted under subsection&#160;(1) and the members thereof.\n(sec.41-ssec.14) Where there is no executive committee of the principal body corporate, the principal body corporate shall exercise and perform the powers, authorities, duties and functions of the executive committee.\n- (a) is an individual who is— (i) a member of the principal body corporate; or (ii) a nominee of a member of the principal body corporate; and\n- (i) a member of the principal body corporate; or\n- (ii) a nominee of a member of the principal body corporate; and\n- (b) does not owe a relevant body corporate debt in relation to a lot or lots owned by the person.\n- (i) a member of the principal body corporate; or\n- (ii) a nominee of a member of the principal body corporate; and","sortOrder":80},{"sectionNumber":"sec.41A","sectionType":"section","heading":"Code of conduct for voting members of executive committee","content":"### sec.41A Code of conduct for voting members of executive committee\n\nThe code of conduct in schedule&#160;4 applies to each person (a voting member ) who is—\na member of the executive committee; and\nentitled to vote at general meetings of the principal body corporate.\nOn becoming a voting member of the executive committee, the person is taken to have agreed to comply with the code of conduct.\ns&#160;41A ins 2009 No.&#160;26 s&#160;81\n(sec.41A-ssec.1) The code of conduct in schedule&#160;4 applies to each person (a voting member ) who is— a member of the executive committee; and entitled to vote at general meetings of the principal body corporate.\n(sec.41A-ssec.2) On becoming a voting member of the executive committee, the person is taken to have agreed to comply with the code of conduct.\n- (a) a member of the executive committee; and\n- (b) entitled to vote at general meetings of the principal body corporate.","sortOrder":81},{"sectionNumber":"sec.42","sectionType":"section","heading":"Vacation of office of member of executive committee","content":"### sec.42 Vacation of office of member of executive committee\n\nA person elected as chairperson, secretary or treasurer of the principal body corporate or as a member of the executive committee vacates the person’s office—\nif, where the person was a member of the principal body corporate at the time of the person’s election, the person ceases to be such a member; or\nif, where the person was not a member of the principal body corporate at the time of the person’s election, the member who nominated the person for election—\nceases to be a member of the principal body corporate; or\nnotifies the principal body corporate, in writing, that the person’s office, as member of the executive committee, is vacated;\nhowever, this paragraph shall not apply to a secretary or treasurer of the principal body corporate who is not a member of the executive committee; or\nupon the receipt by the principal body corporate from the person of notice in writing of the person’s resignation; or\nupon the election at a general meeting of the principal body corporate of another person to that office or as a member of the executive committee; or\nwhere the person is a member referred to in section&#160;41 (3) and the number of members of the principal body corporate increases to more than 3—upon the election of the chairperson, secretary and treasurer of the principal body corporate and the other members of the executive committee at the annual general meeting, or the extraordinary general meeting referred to in section&#160;41 (5) ; or\nif the person is absent without prior leave granted by the executive committee from 3 consecutive meetings of the executive committee of which due notice has been given to the person; or\nif the person becomes bankrupt or compounds with the person’s creditors or otherwise takes advantage of the laws in force for the time being relating to bankruptcy; or\nif the person is convicted in Queensland of an indictable offence or, elsewhere than in Queensland, is convicted of an offence which would be an indictable offence if committed in Queensland; or\nif the person dies; or\nif the person is removed from office by ordinary resolution of the principal body corporate under division&#160;2D ; or\nif the principal body corporate, pursuant to a special resolution, determines that the person’s office is vacated.\nUpon the occurrence of a vacancy in the office of chairperson, secretary or treasurer of the principal body corporate or another member of the executive committee, otherwise than by reason of subsection&#160;(1) (d) or (e) , the principal body corporate shall appoint a person eligible for election as such to fill the vacancy, and a person so appointed shall, subject to this section, hold office for the balance of the person’s predecessor’s term of office.\ns&#160;42 amd 2000 No.&#160;16 s&#160;590 sch&#160;1 pt&#160;2 ; 2009 No.&#160;26 s&#160;82\n(sec.42-ssec.1) A person elected as chairperson, secretary or treasurer of the principal body corporate or as a member of the executive committee vacates the person’s office— if, where the person was a member of the principal body corporate at the time of the person’s election, the person ceases to be such a member; or if, where the person was not a member of the principal body corporate at the time of the person’s election, the member who nominated the person for election— ceases to be a member of the principal body corporate; or notifies the principal body corporate, in writing, that the person’s office, as member of the executive committee, is vacated; however, this paragraph shall not apply to a secretary or treasurer of the principal body corporate who is not a member of the executive committee; or upon the receipt by the principal body corporate from the person of notice in writing of the person’s resignation; or upon the election at a general meeting of the principal body corporate of another person to that office or as a member of the executive committee; or where the person is a member referred to in section&#160;41 (3) and the number of members of the principal body corporate increases to more than 3—upon the election of the chairperson, secretary and treasurer of the principal body corporate and the other members of the executive committee at the annual general meeting, or the extraordinary general meeting referred to in section&#160;41 (5) ; or if the person is absent without prior leave granted by the executive committee from 3 consecutive meetings of the executive committee of which due notice has been given to the person; or if the person becomes bankrupt or compounds with the person’s creditors or otherwise takes advantage of the laws in force for the time being relating to bankruptcy; or if the person is convicted in Queensland of an indictable offence or, elsewhere than in Queensland, is convicted of an offence which would be an indictable offence if committed in Queensland; or if the person dies; or if the person is removed from office by ordinary resolution of the principal body corporate under division&#160;2D ; or if the principal body corporate, pursuant to a special resolution, determines that the person’s office is vacated.\n(sec.42-ssec.2) Upon the occurrence of a vacancy in the office of chairperson, secretary or treasurer of the principal body corporate or another member of the executive committee, otherwise than by reason of subsection&#160;(1) (d) or (e) , the principal body corporate shall appoint a person eligible for election as such to fill the vacancy, and a person so appointed shall, subject to this section, hold office for the balance of the person’s predecessor’s term of office.\n- (a) if, where the person was a member of the principal body corporate at the time of the person’s election, the person ceases to be such a member; or\n- (b) if, where the person was not a member of the principal body corporate at the time of the person’s election, the member who nominated the person for election— (i) ceases to be a member of the principal body corporate; or (ii) notifies the principal body corporate, in writing, that the person’s office, as member of the executive committee, is vacated;\n- (i) ceases to be a member of the principal body corporate; or\n- (ii) notifies the principal body corporate, in writing, that the person’s office, as member of the executive committee, is vacated;\n- however, this paragraph shall not apply to a secretary or treasurer of the principal body corporate who is not a member of the executive committee; or\n- (c) upon the receipt by the principal body corporate from the person of notice in writing of the person’s resignation; or\n- (d) upon the election at a general meeting of the principal body corporate of another person to that office or as a member of the executive committee; or\n- (e) where the person is a member referred to in section&#160;41 (3) and the number of members of the principal body corporate increases to more than 3—upon the election of the chairperson, secretary and treasurer of the principal body corporate and the other members of the executive committee at the annual general meeting, or the extraordinary general meeting referred to in section&#160;41 (5) ; or\n- (f) if the person is absent without prior leave granted by the executive committee from 3 consecutive meetings of the executive committee of which due notice has been given to the person; or\n- (g) if the person becomes bankrupt or compounds with the person’s creditors or otherwise takes advantage of the laws in force for the time being relating to bankruptcy; or\n- (h) if the person is convicted in Queensland of an indictable offence or, elsewhere than in Queensland, is convicted of an offence which would be an indictable offence if committed in Queensland; or\n- (i) if the person dies; or\n- (j) if the person is removed from office by ordinary resolution of the principal body corporate under division&#160;2D ; or\n- (k) if the principal body corporate, pursuant to a special resolution, determines that the person’s office is vacated.\n- (i) ceases to be a member of the principal body corporate; or\n- (ii) notifies the principal body corporate, in writing, that the person’s office, as member of the executive committee, is vacated;","sortOrder":82},{"sectionNumber":"sec.43","sectionType":"section","heading":"Chairperson, secretary and treasurer of executive committee","content":"### sec.43 Chairperson, secretary and treasurer of executive committee\n\nThe chairperson shall preside at all meetings of the executive committee at which the chairperson is present and, if the chairperson is absent from any meeting, the members of the executive committee present at that meeting shall appoint one of their number to preside at that meeting during the absence of the chairperson.\nA person shall not exercise or perform any of the powers, authorities, duties or functions of the principal body corporate or of the treasurer of the principal body corporate, being powers, authorities, duties or functions relating to the receipt or expenditure of, or accounting for, moneys, or the keeping of the books of account, of the principal body corporate, unless the person is—\nthe treasurer of the principal body corporate; or\na person with whom the treasurer of the principal body corporate is required by an order of the executive committee to exercise or perform jointly that power, authority, duty or function, or who is enabling the treasurer to comply with the order.\nMaximum penalty—10 penalty units.\nThe treasurer of the principal body corporate may delegate the exercise or performance of any of the treasurer’s powers (other than this power of delegation), authorities, duties or functions as treasurer, the delegation of which as specifically approved by the executive committee, to another member of the executive committee so approved, subject to such limitations as to time or otherwise as are so approved and, while a delegate is acting in accordance with the terms of a delegation under this subsection, the member shall be deemed to be the treasurer of the principal body corporate.\nThe executive committee may, by a notice in writing served on the treasurer of the principal body corporate, order that the treasurer shall not exercise or perform any of the treasurer’s powers, authorities, duties or functions that are specified in the notice, unless the treasurer does so jointly with another person so specified.\nA person who has possession or control of—\nany records, books of account or keys belonging to the principal body corporate; or\nthe principal body corporate roll; or\nany other property of the principal body corporate;\nshall, within 7 days after service on the person of notice of a resolution of the executive committee requiring the person to do so, deliver those records, books of account and keys and that roll and other property to a member of the executive committee specified in the notice.\nMaximum penalty—10 penalty units.\ns&#160;43 amd 1987 No.&#160;91 s&#160;21\n(sec.43-ssec.1) The chairperson shall preside at all meetings of the executive committee at which the chairperson is present and, if the chairperson is absent from any meeting, the members of the executive committee present at that meeting shall appoint one of their number to preside at that meeting during the absence of the chairperson.\n(sec.43-ssec.2) A person shall not exercise or perform any of the powers, authorities, duties or functions of the principal body corporate or of the treasurer of the principal body corporate, being powers, authorities, duties or functions relating to the receipt or expenditure of, or accounting for, moneys, or the keeping of the books of account, of the principal body corporate, unless the person is— the treasurer of the principal body corporate; or a person with whom the treasurer of the principal body corporate is required by an order of the executive committee to exercise or perform jointly that power, authority, duty or function, or who is enabling the treasurer to comply with the order. Maximum penalty—10 penalty units.\n(sec.43-ssec.3) The treasurer of the principal body corporate may delegate the exercise or performance of any of the treasurer’s powers (other than this power of delegation), authorities, duties or functions as treasurer, the delegation of which as specifically approved by the executive committee, to another member of the executive committee so approved, subject to such limitations as to time or otherwise as are so approved and, while a delegate is acting in accordance with the terms of a delegation under this subsection, the member shall be deemed to be the treasurer of the principal body corporate.\n(sec.43-ssec.4) The executive committee may, by a notice in writing served on the treasurer of the principal body corporate, order that the treasurer shall not exercise or perform any of the treasurer’s powers, authorities, duties or functions that are specified in the notice, unless the treasurer does so jointly with another person so specified.\n(sec.43-ssec.5) A person who has possession or control of— any records, books of account or keys belonging to the principal body corporate; or the principal body corporate roll; or any other property of the principal body corporate; shall, within 7 days after service on the person of notice of a resolution of the executive committee requiring the person to do so, deliver those records, books of account and keys and that roll and other property to a member of the executive committee specified in the notice. Maximum penalty—10 penalty units.\n- (a) the treasurer of the principal body corporate; or\n- (b) a person with whom the treasurer of the principal body corporate is required by an order of the executive committee to exercise or perform jointly that power, authority, duty or function, or who is enabling the treasurer to comply with the order.\n- (a) any records, books of account or keys belonging to the principal body corporate; or\n- (b) the principal body corporate roll; or\n- (c) any other property of the principal body corporate;","sortOrder":83},{"sectionNumber":"sec.44","sectionType":"section","heading":"Meetings of executive committee","content":"### sec.44 Meetings of executive committee\n\nAt a meeting of the executive committee more than half of the members of the executive committee constitutes a quorum.\nSubject to this Act, the decision on any matter of the majority of the members voting on that matter shall be the decision of the executive committee at any meeting at which a quorum is present.\nA decision of the executive committee has no force or effect if, before that decision is made, notice in writing is given to the secretary of the executive committee by not less than half of the total number of members of the principal body corporate, the sum of whose initial lot entitlements and secondary lot entitlements exceed half of the aggregate of all entitlements recorded in the principal body corporate roll, that the making of the decision is opposed by those members.\nThe executive committee shall cause to be kept a record of its decisions, of any notices given to its secretary under subsection&#160;(3) and full and accurate minutes of its meetings.\n(sec.44-ssec.1) At a meeting of the executive committee more than half of the members of the executive committee constitutes a quorum.\n(sec.44-ssec.2) Subject to this Act, the decision on any matter of the majority of the members voting on that matter shall be the decision of the executive committee at any meeting at which a quorum is present.\n(sec.44-ssec.3) A decision of the executive committee has no force or effect if, before that decision is made, notice in writing is given to the secretary of the executive committee by not less than half of the total number of members of the principal body corporate, the sum of whose initial lot entitlements and secondary lot entitlements exceed half of the aggregate of all entitlements recorded in the principal body corporate roll, that the making of the decision is opposed by those members.\n(sec.44-ssec.4) The executive committee shall cause to be kept a record of its decisions, of any notices given to its secretary under subsection&#160;(3) and full and accurate minutes of its meetings.","sortOrder":84},{"sectionNumber":"sec.44A","sectionType":"section","heading":"Conflict of interest of executive committee member [SM, s&#160;53 &#93;","content":"### sec.44A Conflict of interest of executive committee member [SM, s&#160;53 &#93;\n\nA member of the executive committee must disclose to a meeting of the committee the member’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the interest could conflict with the appropriate performance of the member’s duties about the consideration of the issue.\nIf a member required under subsection&#160;(1) to disclose an interest in an issue is a voting member of the committee, the member is not entitled to vote on a motion involving the issue.\nA person who holds the proxy of a member of the committee must disclose to a meeting of the committee the proxy holder’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the interest could conflict with the appropriate performance of the proxy holder’s duties about the consideration of the issue.\nA proxy holder required under subsection&#160;(3) to disclose an interest in an issue must not vote as the proxy on a motion involving the issue.\nA person who holds the proxy of a member of the committee must disclose to a meeting of the committee the member’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the proxy holder is aware that the member, if present, would be required under subsection&#160;(1) to disclose the interest.\nA proxy holder required under subsection&#160;(5) to disclose an interest in an issue must not vote as the proxy on a motion involving the issue.\ns&#160;44A ins 2009 No.&#160;26 s&#160;83\n(sec.44A-ssec.1) A member of the executive committee must disclose to a meeting of the committee the member’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the interest could conflict with the appropriate performance of the member’s duties about the consideration of the issue.\n(sec.44A-ssec.2) If a member required under subsection&#160;(1) to disclose an interest in an issue is a voting member of the committee, the member is not entitled to vote on a motion involving the issue.\n(sec.44A-ssec.3) A person who holds the proxy of a member of the committee must disclose to a meeting of the committee the proxy holder’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the interest could conflict with the appropriate performance of the proxy holder’s duties about the consideration of the issue.\n(sec.44A-ssec.4) A proxy holder required under subsection&#160;(3) to disclose an interest in an issue must not vote as the proxy on a motion involving the issue.\n(sec.44A-ssec.5) A person who holds the proxy of a member of the committee must disclose to a meeting of the committee the member’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the proxy holder is aware that the member, if present, would be required under subsection&#160;(1) to disclose the interest.\n(sec.44A-ssec.6) A proxy holder required under subsection&#160;(5) to disclose an interest in an issue must not vote as the proxy on a motion involving the issue.","sortOrder":85},{"sectionNumber":"sec.45","sectionType":"section","heading":"Executive committee’s decisions to be decisions of principal body corporate","content":"### sec.45 Executive committee’s decisions to be decisions of principal body corporate\n\nIn this section—\nrestricted matter means—\nany matter relating to the striking of a special monetary levy on all members of the principal body corporate; and\nany matter which seeks to alter the rights, privileges or obligations of members of the principal body corporate; and\nany matter which seeks to alter the annual monetary contribution of members of the principal body corporate; and\nany matter a decision on which may, in accordance with any provision of this Act, only be made by the principal body corporate pursuant to a special resolution or in general meeting of the principal body corporate; and\nany matter referred to in section&#160;47 and specified in a resolution of the principal body corporate passed for the purposes of that section.\nSubject to this Act, the decision of the executive committee on any matter, other than a restricted matter, shall be the decision of the principal body corporate.\nNotwithstanding that the executive committee holds office, the principal body corporate may in general meeting continue to exercise or perform all or any of the powers, authorities, duties and functions conferred or imposed on it by this Act.\n(sec.45-ssec.1) In this section— restricted matter means— any matter relating to the striking of a special monetary levy on all members of the principal body corporate; and any matter which seeks to alter the rights, privileges or obligations of members of the principal body corporate; and any matter which seeks to alter the annual monetary contribution of members of the principal body corporate; and any matter a decision on which may, in accordance with any provision of this Act, only be made by the principal body corporate pursuant to a special resolution or in general meeting of the principal body corporate; and any matter referred to in section&#160;47 and specified in a resolution of the principal body corporate passed for the purposes of that section.\n(sec.45-ssec.2) Subject to this Act, the decision of the executive committee on any matter, other than a restricted matter, shall be the decision of the principal body corporate.\n(sec.45-ssec.3) Notwithstanding that the executive committee holds office, the principal body corporate may in general meeting continue to exercise or perform all or any of the powers, authorities, duties and functions conferred or imposed on it by this Act.\n- (a) any matter relating to the striking of a special monetary levy on all members of the principal body corporate; and\n- (b) any matter which seeks to alter the rights, privileges or obligations of members of the principal body corporate; and\n- (c) any matter which seeks to alter the annual monetary contribution of members of the principal body corporate; and\n- (d) any matter a decision on which may, in accordance with any provision of this Act, only be made by the principal body corporate pursuant to a special resolution or in general meeting of the principal body corporate; and\n- (e) any matter referred to in section&#160;47 and specified in a resolution of the principal body corporate passed for the purposes of that section.","sortOrder":86},{"sectionNumber":"sec.46","sectionType":"section","heading":"Statutory restrictions on powers of executive committee","content":"### sec.46 Statutory restrictions on powers of executive committee\n\nUnless—\notherwise determined pursuant to a special resolution of the principal body corporate; or\nin an emergency authorised by the Minister; or\nconsented to by such persons entitled to vote at a general meeting of the principal body corporate who represent an aggregate lot entitlement of not less than 75% of the aggregate of all lot entitlements recorded in the principal body corporate roll;\nthe executive committee shall not undertake expenditure.\nIn respect of any proposed expenditure which, under subsection&#160;(1) , the executive committee is not entitled to undertake the executive committee shall—\nsubmit the proposal for determination at an extraordinary general meeting of the principal body corporate convened for the purpose of, or for purposes which include, consideration of the proposal; and\nif the proposed expenditure is in respect of work to be performed or the purchase of personal property submit at least 2 tenders to that meeting with the proposal.\nSubsection&#160;(1) does not apply to the expenditure of moneys—\nin payment of any premium of insurance effected by or on behalf of the principal body corporate; or\nto comply with a notice or order served on the principal body corporate by any public or local government; or\nin discharge of any liability incurred in respect of an obligation of the principal body corporate authorised by the principal body corporate in general meeting.\n(sec.46-ssec.1) Unless— otherwise determined pursuant to a special resolution of the principal body corporate; or in an emergency authorised by the Minister; or consented to by such persons entitled to vote at a general meeting of the principal body corporate who represent an aggregate lot entitlement of not less than 75% of the aggregate of all lot entitlements recorded in the principal body corporate roll; the executive committee shall not undertake expenditure.\n(sec.46-ssec.2) In respect of any proposed expenditure which, under subsection&#160;(1) , the executive committee is not entitled to undertake the executive committee shall— submit the proposal for determination at an extraordinary general meeting of the principal body corporate convened for the purpose of, or for purposes which include, consideration of the proposal; and if the proposed expenditure is in respect of work to be performed or the purchase of personal property submit at least 2 tenders to that meeting with the proposal.\n(sec.46-ssec.3) Subsection&#160;(1) does not apply to the expenditure of moneys— in payment of any premium of insurance effected by or on behalf of the principal body corporate; or to comply with a notice or order served on the principal body corporate by any public or local government; or in discharge of any liability incurred in respect of an obligation of the principal body corporate authorised by the principal body corporate in general meeting.\n- (a) otherwise determined pursuant to a special resolution of the principal body corporate; or\n- (b) in an emergency authorised by the Minister; or\n- (c) consented to by such persons entitled to vote at a general meeting of the principal body corporate who represent an aggregate lot entitlement of not less than 75% of the aggregate of all lot entitlements recorded in the principal body corporate roll;\n- (a) submit the proposal for determination at an extraordinary general meeting of the principal body corporate convened for the purpose of, or for purposes which include, consideration of the proposal; and\n- (b) if the proposed expenditure is in respect of work to be performed or the purchase of personal property submit at least 2 tenders to that meeting with the proposal.\n- (a) in payment of any premium of insurance effected by or on behalf of the principal body corporate; or\n- (b) to comply with a notice or order served on the principal body corporate by any public or local government; or\n- (c) in discharge of any liability incurred in respect of an obligation of the principal body corporate authorised by the principal body corporate in general meeting.","sortOrder":87},{"sectionNumber":"sec.47","sectionType":"section","heading":"Restrictions imposed on executive committee by principal body corporate","content":"### sec.47 Restrictions imposed on executive committee by principal body corporate\n\nThe principal body corporate may in general meeting decide what matters or class of matters (if any) shall be determined only by the principal body corporate in general meeting.","sortOrder":88},{"sectionNumber":"sec.47A","sectionType":"section","heading":"Protection of executive committee members from liability","content":"### sec.47A Protection of executive committee members from liability\n\nA member of the executive committee is not civilly liable for an act done or omission made in good faith and without negligence in performing the person’s role as a member of the committee.\nIn this section—\nact done or omission made does not include the publication of defamatory matter as mentioned in section&#160;47AA (1) .\ns&#160;47A ins 2009 No.&#160;26 s&#160;85\n(sec.47A-ssec.1) A member of the executive committee is not civilly liable for an act done or omission made in good faith and without negligence in performing the person’s role as a member of the committee.\n(sec.47A-ssec.2) In this section— act done or omission made does not include the publication of defamatory matter as mentioned in section&#160;47AA (1) .","sortOrder":89},{"sectionNumber":"sec.47AA","sectionType":"section","heading":"Protection of body corporate and executive committee from liability for defamation","content":"### sec.47AA Protection of body corporate and executive committee from liability for defamation\n\nThis section applies if—\nthe executive committee publishes required material for a general meeting of the principal body corporate; and\nthe required material contains defamatory matter.\nEach of the following is not liable for defamation because of the publication—\nthe principal body corporate;\nthe committee, or a member of the committee, other than a member of the committee who submitted the document containing the defamatory matter.\nIn this section—\nmember of the committee includes the body corporate manager acting under a delegation under section&#160;47AB (1) .\nprescribed motion means any of the following—\na motion to give a member of the executive committee a notice under section&#160;47K (1) ;\na motion mentioned in section&#160;47L (2) (a) to remove a member of the executive committee from office;\na motion to give a letting agent a code contravention notice;\na motion to require a letting agent to transfer the letting agent’s management rights for a part of the resort under section&#160;94K ;\na motion to terminate a person’s appointment as a body corporate manager, engagement as a service contractor or authorisation as a letting agent under section&#160;94V .\nrequired material , for a general meeting of the principal body corporate, means any of the following required under this Act to be published for the meeting—\na prescribed motion submitted other than by or for the committee for the general meeting;\nthe substance of a prescribed motion mentioned in paragraph&#160;(a) ;\nnotice of a prescribed motion mentioned in paragraph&#160;(a) or another document required to accompany the motion, prepared by the submitter of the motion.\ns&#160;47AA ins 2009 No.&#160;26 s&#160;85\n(sec.47AA-ssec.1) This section applies if— the executive committee publishes required material for a general meeting of the principal body corporate; and the required material contains defamatory matter.\n(sec.47AA-ssec.2) Each of the following is not liable for defamation because of the publication— the principal body corporate; the committee, or a member of the committee, other than a member of the committee who submitted the document containing the defamatory matter.\n(sec.47AA-ssec.3) In this section— member of the committee includes the body corporate manager acting under a delegation under section&#160;47AB (1) . prescribed motion means any of the following— a motion to give a member of the executive committee a notice under section&#160;47K (1) ; a motion mentioned in section&#160;47L (2) (a) to remove a member of the executive committee from office; a motion to give a letting agent a code contravention notice; a motion to require a letting agent to transfer the letting agent’s management rights for a part of the resort under section&#160;94K ; a motion to terminate a person’s appointment as a body corporate manager, engagement as a service contractor or authorisation as a letting agent under section&#160;94V . required material , for a general meeting of the principal body corporate, means any of the following required under this Act to be published for the meeting— a prescribed motion submitted other than by or for the committee for the general meeting; the substance of a prescribed motion mentioned in paragraph&#160;(a) ; notice of a prescribed motion mentioned in paragraph&#160;(a) or another document required to accompany the motion, prepared by the submitter of the motion.\n- (a) the executive committee publishes required material for a general meeting of the principal body corporate; and\n- (b) the required material contains defamatory matter.\n- (a) the principal body corporate;\n- (b) the committee, or a member of the committee, other than a member of the committee who submitted the document containing the defamatory matter.\n- (a) a motion to give a member of the executive committee a notice under section&#160;47K (1) ;\n- (b) a motion mentioned in section&#160;47L (2) (a) to remove a member of the executive committee from office;\n- (c) a motion to give a letting agent a code contravention notice;\n- (d) a motion to require a letting agent to transfer the letting agent’s management rights for a part of the resort under section&#160;94K ;\n- (e) a motion to terminate a person’s appointment as a body corporate manager, engagement as a service contractor or authorisation as a letting agent under section&#160;94V .\n- (a) a prescribed motion submitted other than by or for the committee for the general meeting;\n- (b) the substance of a prescribed motion mentioned in paragraph&#160;(a) ;\n- (c) notice of a prescribed motion mentioned in paragraph&#160;(a) or another document required to accompany the motion, prepared by the submitter of the motion.","sortOrder":90},{"sectionNumber":"pt.3-div.2A","sectionType":"division","heading":"Principal body corporate manager","content":"## Principal body corporate manager","sortOrder":91},{"sectionNumber":"sec.47AB","sectionType":"section","heading":"Principal body corporate manager","content":"### sec.47AB Principal body corporate manager\n\nSubject to subsections&#160;(2) , (8) , (9) and (10) , the principal body corporate may, in general meeting and by instrument in writing, appoint upon such terms and conditions as the principal body corporate determines a body corporate manager and may, in like manner, delegate to the body corporate manager—\nall of its powers, authorities, duties and functions; or\nany 1 or more of its powers, authorities, duties and functions specified in the instrument; or\nall of its powers, authorities, duties and functions except those specified in the instrument;\nand may, in like manner, revoke wholly or in part the delegation.\nThe principal body corporate may not, under subsection&#160;(1) , delegate to a body corporate manager its powers to make—\na delegation under that subsection; or\na decision on a restricted matter within the meaning of section&#160;45 .\nA power, authority, duty or function the exercise or performance of which has been delegated under subsection&#160;(1) may, while the delegation remains unrevoked, be exercised from time to time in accordance with the delegation.\nA delegation under subsection&#160;(1) may be made subject to such conditions or such limitations as to the exercise or performance of all or any of the powers, authorities, duties or functions, or as to time or circumstances, as may be specified in the instrument of delegation.\nNotwithstanding any delegation made under subsection&#160;(1) , the principal body corporate may continue to exercise or perform all or any of the powers, authorities, duties or functions delegated by it.\nAny act or thing done or suffered by a body corporate manager while acting in the exercise of a delegation under subsection&#160;(1) has the same force and effect as if it had been done or suffered by the principal body corporate and shall be deemed to have been done or suffered by the principal body corporate.\nWhere the instrument of appointment so provides, a body corporate manager shall have and may exercise and perform all the powers, authorities, duties and functions of the chairperson, secretary or treasurer of the principal body corporate and the executive committee or such of those powers, authorities, duties and functions as may be specified in the instrument.\nThe term of appointment of the body corporate manager (after allowing for any rights or options of extension or renewal, whether provided for in the instrument of appointment or subsequently agreed to) must not be longer than 3 years.\nThe appointment of a body corporate manager begins on 1 January 2009 and is for a term of 3 years. The appointment can not end later than 31 December 2011.\nIf the term of appointment purports to be longer than 3 years, it is taken to be 3 years.\nTo remove any doubt, it is declared that at the end of the term of appointment of a person as the body corporate manager—\nthe appointment expires; and\nthe person can not act again as the body corporate manager without a new appointment.\nNothing in this section shall prevent the reappointment of a body corporate manager after the term of appointment has expired.\ns&#160;47AB (prev s&#160;47A) ins 1987 No.&#160;91 s&#160;22\namd 2009 No.&#160;26 s&#160;84 (1) – (3)\nrenum 2006 No.&#160;26 s&#160;84 (4)\n(sec.47AB-ssec.1) Subject to subsections&#160;(2) , (8) , (9) and (10) , the principal body corporate may, in general meeting and by instrument in writing, appoint upon such terms and conditions as the principal body corporate determines a body corporate manager and may, in like manner, delegate to the body corporate manager— all of its powers, authorities, duties and functions; or any 1 or more of its powers, authorities, duties and functions specified in the instrument; or all of its powers, authorities, duties and functions except those specified in the instrument; and may, in like manner, revoke wholly or in part the delegation.\n(sec.47AB-ssec.2) The principal body corporate may not, under subsection&#160;(1) , delegate to a body corporate manager its powers to make— a delegation under that subsection; or a decision on a restricted matter within the meaning of section&#160;45 .\n(sec.47AB-ssec.3) A power, authority, duty or function the exercise or performance of which has been delegated under subsection&#160;(1) may, while the delegation remains unrevoked, be exercised from time to time in accordance with the delegation.\n(sec.47AB-ssec.4) A delegation under subsection&#160;(1) may be made subject to such conditions or such limitations as to the exercise or performance of all or any of the powers, authorities, duties or functions, or as to time or circumstances, as may be specified in the instrument of delegation.\n(sec.47AB-ssec.5) Notwithstanding any delegation made under subsection&#160;(1) , the principal body corporate may continue to exercise or perform all or any of the powers, authorities, duties or functions delegated by it.\n(sec.47AB-ssec.6) Any act or thing done or suffered by a body corporate manager while acting in the exercise of a delegation under subsection&#160;(1) has the same force and effect as if it had been done or suffered by the principal body corporate and shall be deemed to have been done or suffered by the principal body corporate.\n(sec.47AB-ssec.7) Where the instrument of appointment so provides, a body corporate manager shall have and may exercise and perform all the powers, authorities, duties and functions of the chairperson, secretary or treasurer of the principal body corporate and the executive committee or such of those powers, authorities, duties and functions as may be specified in the instrument.\n(sec.47AB-ssec.8) The term of appointment of the body corporate manager (after allowing for any rights or options of extension or renewal, whether provided for in the instrument of appointment or subsequently agreed to) must not be longer than 3 years. The appointment of a body corporate manager begins on 1 January 2009 and is for a term of 3 years. The appointment can not end later than 31 December 2011.\n(sec.47AB-ssec.9) If the term of appointment purports to be longer than 3 years, it is taken to be 3 years.\n(sec.47AB-ssec.10) To remove any doubt, it is declared that at the end of the term of appointment of a person as the body corporate manager— the appointment expires; and the person can not act again as the body corporate manager without a new appointment.\n(sec.47AB-ssec.11) Nothing in this section shall prevent the reappointment of a body corporate manager after the term of appointment has expired.\n- (a) all of its powers, authorities, duties and functions; or\n- (b) any 1 or more of its powers, authorities, duties and functions specified in the instrument; or\n- (c) all of its powers, authorities, duties and functions except those specified in the instrument;\n- (a) a delegation under that subsection; or\n- (b) a decision on a restricted matter within the meaning of section&#160;45 .\n- (a) the appointment expires; and\n- (b) the person can not act again as the body corporate manager without a new appointment.","sortOrder":92},{"sectionNumber":"pt.3-div.2B","sectionType":"division","heading":"Proxies for general meetings of principal body corporate","content":"## Proxies for general meetings of principal body corporate","sortOrder":93},{"sectionNumber":"sec.47B","sectionType":"section","heading":"Application of div&#160;2B","content":"### sec.47B Application of div&#160;2B\n\nThis division applies to the appointment and use of a proxy to represent a member of the principal body corporate at a general meeting of the principal body corporate.\ns&#160;47B ins 2009 No.&#160;26 s&#160;86","sortOrder":94},{"sectionNumber":"sec.47C","sectionType":"section","heading":"Appointment [SM, s&#160;107 &#93;","content":"### sec.47C Appointment [SM, s&#160;107 &#93;\n\nSubject to subsections&#160;(2) to (5) , a person entitled to vote at the general meeting may appoint a proxy to act for the person at the general meeting.\nThe principal body corporate may by special resolution prohibit the use of proxies—\nfor particular things described in the special resolution; or\naltogether.\nAn appointment under subsection&#160;(1) has effect subject to the operation of a special resolution under subsection&#160;(2) .\nA person must not hold—\nif there are 20 or more lots for which there are voting entitlements for the meeting—proxies greater in number than 5% of the lots; or\nif there are fewer than 20 lots for which there are voting entitlements for the meeting—more than 1 proxy.\nThe appointment of a proxy is effective only if the person or the holder of the proxy gives, by hand, post or facsimile, a properly completed proxy form to the secretary of the principal body corporate before—\nthe start of the meeting where the proxy is to be exercised; or\nif the principal body corporate has fixed an earlier time by which proxies must be given (that can not, however, be earlier than 24 hours before the time fixed for the meeting)—the earlier time.\ns&#160;47C ins 2009 No.&#160;26 s&#160;86\n(sec.47C-ssec.1) Subject to subsections&#160;(2) to (5) , a person entitled to vote at the general meeting may appoint a proxy to act for the person at the general meeting.\n(sec.47C-ssec.2) The principal body corporate may by special resolution prohibit the use of proxies— for particular things described in the special resolution; or altogether.\n(sec.47C-ssec.3) An appointment under subsection&#160;(1) has effect subject to the operation of a special resolution under subsection&#160;(2) .\n(sec.47C-ssec.4) A person must not hold— if there are 20 or more lots for which there are voting entitlements for the meeting—proxies greater in number than 5% of the lots; or if there are fewer than 20 lots for which there are voting entitlements for the meeting—more than 1 proxy.\n(sec.47C-ssec.5) The appointment of a proxy is effective only if the person or the holder of the proxy gives, by hand, post or facsimile, a properly completed proxy form to the secretary of the principal body corporate before— the start of the meeting where the proxy is to be exercised; or if the principal body corporate has fixed an earlier time by which proxies must be given (that can not, however, be earlier than 24 hours before the time fixed for the meeting)—the earlier time.\n- (a) for particular things described in the special resolution; or\n- (b) altogether.\n- (a) if there are 20 or more lots for which there are voting entitlements for the meeting—proxies greater in number than 5% of the lots; or\n- (b) if there are fewer than 20 lots for which there are voting entitlements for the meeting—more than 1 proxy.\n- (a) the start of the meeting where the proxy is to be exercised; or\n- (b) if the principal body corporate has fixed an earlier time by which proxies must be given (that can not, however, be earlier than 24 hours before the time fixed for the meeting)—the earlier time.","sortOrder":95},{"sectionNumber":"sec.47D","sectionType":"section","heading":"Form of proxy [SM, s&#160;108 &#93;","content":"### sec.47D Form of proxy [SM, s&#160;108 &#93;\n\nA proxy under this division—\nmust be in the approved form; and\nmust be in the English language; and\ncan not be irrevocable; and\ncan not be transferred by the holder of the proxy to a third person; and\nlapses at the end of the principal body corporate’s financial year or at the end of a shorter period stated in the proxy; and\nmay be given by any person who has the right to vote at a general meeting; and\nsubject to the limitations contained in this division, may be given to any individual; and\nmust appoint a named individual.\ns&#160;47D ins 2009 No.&#160;26 s&#160;86\n- (a) must be in the approved form; and\n- (b) must be in the English language; and\n- (c) can not be irrevocable; and\n- (d) can not be transferred by the holder of the proxy to a third person; and\n- (e) lapses at the end of the principal body corporate’s financial year or at the end of a shorter period stated in the proxy; and\n- (f) may be given by any person who has the right to vote at a general meeting; and\n- (g) subject to the limitations contained in this division, may be given to any individual; and\n- (h) must appoint a named individual.","sortOrder":96},{"sectionNumber":"sec.47E","sectionType":"section","heading":"Use of proxy [SM, s&#160;109 &#93;","content":"### sec.47E Use of proxy [SM, s&#160;109 &#93;\n\nA member of the principal body corporate ( member A ) who is the proxy for another member of the principal body corporate ( member B ) may vote both in member A’s own right and also as proxy of member B.\nIf at least 1 co-owner of a lot is present at the general meeting, a proxy given by another co-owner of the lot is of no effect.\nA vote by proxy must not be exercised at the general meeting—\nif the member who gave the proxy is personally present at the meeting, unless the member consents at the meeting; or\non a particular motion, if the person who gave the proxy has exercised a written or electronic vote on the motion; or\non a ballot for the election of a member of the executive committee, or for otherwise choosing a member of the executive committee; or\nfor voting for a special resolution prohibiting, wholly or partly, the use of proxies at executive committee meetings or general meetings; or\nfor voting for a majority resolution; or\non a motion approving—\nthe appointment, engagement or authorisation of a person as the body corporate manager, a service contractor or a letting agent; or\nthe amendment or termination of an appointment, engagement or authorisation mentioned in subparagraph&#160;(i) ; or\non a motion decided by secret ballot.\nA proxy may be exercised by—\nthe proxy holder voting in a show of hands at a general meeting; or\nthe proxy holder completing a written or electronic vote on a motion before the start of, or at, the general meeting.\ns&#160;47E ins 2009 No.&#160;26 s&#160;86\n(sec.47E-ssec.1) A member of the principal body corporate ( member A ) who is the proxy for another member of the principal body corporate ( member B ) may vote both in member A’s own right and also as proxy of member B.\n(sec.47E-ssec.2) If at least 1 co-owner of a lot is present at the general meeting, a proxy given by another co-owner of the lot is of no effect.\n(sec.47E-ssec.3) A vote by proxy must not be exercised at the general meeting— if the member who gave the proxy is personally present at the meeting, unless the member consents at the meeting; or on a particular motion, if the person who gave the proxy has exercised a written or electronic vote on the motion; or on a ballot for the election of a member of the executive committee, or for otherwise choosing a member of the executive committee; or for voting for a special resolution prohibiting, wholly or partly, the use of proxies at executive committee meetings or general meetings; or for voting for a majority resolution; or on a motion approving— the appointment, engagement or authorisation of a person as the body corporate manager, a service contractor or a letting agent; or the amendment or termination of an appointment, engagement or authorisation mentioned in subparagraph&#160;(i) ; or on a motion decided by secret ballot.\n(sec.47E-ssec.4) A proxy may be exercised by— the proxy holder voting in a show of hands at a general meeting; or the proxy holder completing a written or electronic vote on a motion before the start of, or at, the general meeting.\n- (a) if the member who gave the proxy is personally present at the meeting, unless the member consents at the meeting; or\n- (b) on a particular motion, if the person who gave the proxy has exercised a written or electronic vote on the motion; or\n- (c) on a ballot for the election of a member of the executive committee, or for otherwise choosing a member of the executive committee; or\n- (d) for voting for a special resolution prohibiting, wholly or partly, the use of proxies at executive committee meetings or general meetings; or\n- (e) for voting for a majority resolution; or\n- (f) on a motion approving— (i) the appointment, engagement or authorisation of a person as the body corporate manager, a service contractor or a letting agent; or (ii) the amendment or termination of an appointment, engagement or authorisation mentioned in subparagraph&#160;(i) ; or\n- (i) the appointment, engagement or authorisation of a person as the body corporate manager, a service contractor or a letting agent; or\n- (ii) the amendment or termination of an appointment, engagement or authorisation mentioned in subparagraph&#160;(i) ; or\n- (g) on a motion decided by secret ballot.\n- (i) the appointment, engagement or authorisation of a person as the body corporate manager, a service contractor or a letting agent; or\n- (ii) the amendment or termination of an appointment, engagement or authorisation mentioned in subparagraph&#160;(i) ; or\n- (a) the proxy holder voting in a show of hands at a general meeting; or\n- (b) the proxy holder completing a written or electronic vote on a motion before the start of, or at, the general meeting.","sortOrder":97},{"sectionNumber":"sec.47F","sectionType":"section","heading":"Special provisions about proxy use [SM, s&#160;110 &#93;","content":"### sec.47F Special provisions about proxy use [SM, s&#160;110 &#93;\n\nA member of the principal body corporate can not be prevented by contract from exercising a vote at the general meeting, and can not be required by contract to make someone else the member’s proxy for voting at the general meeting.\nA proxy can not be exercised for someone else by—\nthe original owner of a secondary lot; or\na body corporate manager for—\nthe primary thoroughfare body corporate; or\nthe principal body corporate; or\na subsidiary body corporate of the primary thoroughfare body corporate or principal body corporate; or\nan associate of a person mentioned in paragraph&#160;(a) or (b) , unless the associate is 1 of the proprietors constituting a body corporate that is itself a member of the principal body corporate.\ns&#160;47F ins 2009 No.&#160;26 s&#160;86\n(sec.47F-ssec.1) A member of the principal body corporate can not be prevented by contract from exercising a vote at the general meeting, and can not be required by contract to make someone else the member’s proxy for voting at the general meeting.\n(sec.47F-ssec.2) A proxy can not be exercised for someone else by— the original owner of a secondary lot; or a body corporate manager for— the primary thoroughfare body corporate; or the principal body corporate; or a subsidiary body corporate of the primary thoroughfare body corporate or principal body corporate; or an associate of a person mentioned in paragraph&#160;(a) or (b) , unless the associate is 1 of the proprietors constituting a body corporate that is itself a member of the principal body corporate.\n- (a) the original owner of a secondary lot; or\n- (b) a body corporate manager for— (i) the primary thoroughfare body corporate; or (ii) the principal body corporate; or (iii) a subsidiary body corporate of the primary thoroughfare body corporate or principal body corporate; or\n- (i) the primary thoroughfare body corporate; or\n- (ii) the principal body corporate; or\n- (iii) a subsidiary body corporate of the primary thoroughfare body corporate or principal body corporate; or\n- (c) an associate of a person mentioned in paragraph&#160;(a) or (b) , unless the associate is 1 of the proprietors constituting a body corporate that is itself a member of the principal body corporate.\n- (i) the primary thoroughfare body corporate; or\n- (ii) the principal body corporate; or\n- (iii) a subsidiary body corporate of the primary thoroughfare body corporate or principal body corporate; or","sortOrder":98},{"sectionNumber":"sec.47G","sectionType":"section","heading":"Offence [SM, s&#160;111 &#93;","content":"### sec.47G Offence [SM, s&#160;111 &#93;\n\nA person must not exercise a proxy, or otherwise purport to vote on behalf of another person, at the general meeting of the principal body corporate knowing that the person does not have the right to exercise the proxy or otherwise vote on behalf of the other person.\nMaximum penalty—100 penalty units.\ns&#160;47G ins 2009 No.&#160;26 s&#160;86","sortOrder":99},{"sectionNumber":"pt.3-div.2C","sectionType":"division","heading":"Accounts and audit","content":"## Accounts and audit","sortOrder":100},{"sectionNumber":"sec.47H","sectionType":"section","heading":"Application of div&#160;2C","content":"### sec.47H Application of div&#160;2C\n\nThis division applies to the principal body corporate for preparing a statement of accounts under section&#160;33 (1) (f) .\ns&#160;47H ins 2009 No.&#160;26 s&#160;86","sortOrder":101},{"sectionNumber":"sec.47I","sectionType":"section","heading":"Accounts [SM, s&#160;154 &#93;","content":"### sec.47I Accounts [SM, s&#160;154 &#93;\n\nThe statement of accounts may be prepared on a cash or accrual basis.\nIf the accounts are prepared on a cash basis, they must include disclosure of the following—\nthe total amounts paid to the fund established under section&#160;33 (1) (i) and the account established under section&#160;33 (1) (k) ;\ntotal contributions in arrears;\nbalances for all financial institution accounts and investments;\nall outstanding receipts and payments.\nIf the accounts are prepared on an accrual basis, they must show the assets and liabilities of the principal body corporate at the end of the financial year for which the accounts are prepared.\nThe statement of accounts must include—\nthe corresponding figures for the previous financial year; and\ndisclosure of all remuneration, allowances or expenses paid to members of the executive committee, identifying the total amounts paid to each member during the financial year under the following categories—\nremuneration or allowances;\nexpenses, split up into travelling, accommodation, meal and other expenses.\nA copy of the statement of accounts must accompany the notice of the annual general meeting first happening after the end of the financial year for which the accounts are prepared.\ns&#160;47I ins 2009 No.&#160;26 s&#160;86\n(sec.47I-ssec.1) The statement of accounts may be prepared on a cash or accrual basis.\n(sec.47I-ssec.2) If the accounts are prepared on a cash basis, they must include disclosure of the following— the total amounts paid to the fund established under section&#160;33 (1) (i) and the account established under section&#160;33 (1) (k) ; total contributions in arrears; balances for all financial institution accounts and investments; all outstanding receipts and payments.\n(sec.47I-ssec.3) If the accounts are prepared on an accrual basis, they must show the assets and liabilities of the principal body corporate at the end of the financial year for which the accounts are prepared.\n(sec.47I-ssec.4) The statement of accounts must include— the corresponding figures for the previous financial year; and disclosure of all remuneration, allowances or expenses paid to members of the executive committee, identifying the total amounts paid to each member during the financial year under the following categories— remuneration or allowances; expenses, split up into travelling, accommodation, meal and other expenses.\n(sec.47I-ssec.5) A copy of the statement of accounts must accompany the notice of the annual general meeting first happening after the end of the financial year for which the accounts are prepared.\n- (a) the total amounts paid to the fund established under section&#160;33 (1) (i) and the account established under section&#160;33 (1) (k) ;\n- (b) total contributions in arrears;\n- (c) balances for all financial institution accounts and investments;\n- (d) all outstanding receipts and payments.\n- (a) the corresponding figures for the previous financial year; and\n- (b) disclosure of all remuneration, allowances or expenses paid to members of the executive committee, identifying the total amounts paid to each member during the financial year under the following categories— (i) remuneration or allowances; (ii) expenses, split up into travelling, accommodation, meal and other expenses.\n- (i) remuneration or allowances;\n- (ii) expenses, split up into travelling, accommodation, meal and other expenses.\n- (i) remuneration or allowances;\n- (ii) expenses, split up into travelling, accommodation, meal and other expenses.","sortOrder":102},{"sectionNumber":"sec.47J","sectionType":"section","heading":"Audit [SM, s&#160;155 &#93;","content":"### sec.47J Audit [SM, s&#160;155 &#93;\n\nThe principal body corporate must have its statement of accounts for each financial year of the body corporate audited by an auditor.\nThe auditor to be appointed must be agreed to by ordinary resolution of the principal body corporate.\nThe motion for agreeing to the auditor to be appointed—\nmust be included in the agenda for the general meeting where the motion is to be considered; and\nmust include the name of the auditor proposed to be appointed.\nAlso, the body corporate may, by ordinary resolution—\nresolve to have its accounting records audited for a particular period or a particular project; and\nappoint an auditor for the audit.\nA member of the executive committee, the body corporate manager, or an associate of a member of the executive committee or body corporate manager, can not be appointed to audit the accounting records or the statement of accounts of the principal body corporate.\nOn finishing an audit of the principal body corporate’s statement of accounts for a financial year, the auditor must give a certificate—\nstating whether the statement of accounts gives a true and fair view of the principal body corporate’s financial affairs; and\nif the statement of accounts does not give a true and fair view of the principal body corporate’s financial affairs—identifying the deficiencies in the statement.\nA copy of the auditor’s certificate must accompany the notice of the next annual general meeting held after the certificate is given.\nIn this section—\nauditor means—\na person who is a registered company auditor; or\na person who—\nis a member of—\nCPA Australia and entitled to use the letters ‘CPA’ or ‘FCPA’; or\nthe Institute of Chartered Accountants in Australia and entitled to use the letters ‘CA’ or ‘FCA’; or\nthe Institute of Public Accountants and entitled to use the letters ‘MIPA’ or ‘FIPA’; and\nhas a total of 2 years auditing experience, whether or not continuous.\ns&#160;47J ins 2009 No.&#160;26 s&#160;86\namd 2013 No.&#160;39 s&#160;43 sch&#160;1\n(sec.47J-ssec.1) The principal body corporate must have its statement of accounts for each financial year of the body corporate audited by an auditor.\n(sec.47J-ssec.2) The auditor to be appointed must be agreed to by ordinary resolution of the principal body corporate.\n(sec.47J-ssec.3) The motion for agreeing to the auditor to be appointed— must be included in the agenda for the general meeting where the motion is to be considered; and must include the name of the auditor proposed to be appointed.\n(sec.47J-ssec.4) Also, the body corporate may, by ordinary resolution— resolve to have its accounting records audited for a particular period or a particular project; and appoint an auditor for the audit.\n(sec.47J-ssec.5) A member of the executive committee, the body corporate manager, or an associate of a member of the executive committee or body corporate manager, can not be appointed to audit the accounting records or the statement of accounts of the principal body corporate.\n(sec.47J-ssec.6) On finishing an audit of the principal body corporate’s statement of accounts for a financial year, the auditor must give a certificate— stating whether the statement of accounts gives a true and fair view of the principal body corporate’s financial affairs; and if the statement of accounts does not give a true and fair view of the principal body corporate’s financial affairs—identifying the deficiencies in the statement.\n(sec.47J-ssec.7) A copy of the auditor’s certificate must accompany the notice of the next annual general meeting held after the certificate is given.\n(sec.47J-ssec.8) In this section— auditor means— a person who is a registered company auditor; or a person who— is a member of— CPA Australia and entitled to use the letters ‘CPA’ or ‘FCPA’; or the Institute of Chartered Accountants in Australia and entitled to use the letters ‘CA’ or ‘FCA’; or the Institute of Public Accountants and entitled to use the letters ‘MIPA’ or ‘FIPA’; and has a total of 2 years auditing experience, whether or not continuous.\n- (a) must be included in the agenda for the general meeting where the motion is to be considered; and\n- (b) must include the name of the auditor proposed to be appointed.\n- (a) resolve to have its accounting records audited for a particular period or a particular project; and\n- (b) appoint an auditor for the audit.\n- (a) stating whether the statement of accounts gives a true and fair view of the principal body corporate’s financial affairs; and\n- (b) if the statement of accounts does not give a true and fair view of the principal body corporate’s financial affairs—identifying the deficiencies in the statement.\n- (a) a person who is a registered company auditor; or\n- (b) a person who— (i) is a member of— (A) CPA Australia and entitled to use the letters ‘CPA’ or ‘FCPA’; or (B) the Institute of Chartered Accountants in Australia and entitled to use the letters ‘CA’ or ‘FCA’; or (C) the Institute of Public Accountants and entitled to use the letters ‘MIPA’ or ‘FIPA’; and (ii) has a total of 2 years auditing experience, whether or not continuous.\n- (i) is a member of— (A) CPA Australia and entitled to use the letters ‘CPA’ or ‘FCPA’; or (B) the Institute of Chartered Accountants in Australia and entitled to use the letters ‘CA’ or ‘FCA’; or (C) the Institute of Public Accountants and entitled to use the letters ‘MIPA’ or ‘FIPA’; and\n- (A) CPA Australia and entitled to use the letters ‘CPA’ or ‘FCPA’; or\n- (B) the Institute of Chartered Accountants in Australia and entitled to use the letters ‘CA’ or ‘FCA’; or\n- (C) the Institute of Public Accountants and entitled to use the letters ‘MIPA’ or ‘FIPA’; and\n- (ii) has a total of 2 years auditing experience, whether or not continuous.\n- (i) is a member of— (A) CPA Australia and entitled to use the letters ‘CPA’ or ‘FCPA’; or (B) the Institute of Chartered Accountants in Australia and entitled to use the letters ‘CA’ or ‘FCA’; or (C) the Institute of Public Accountants and entitled to use the letters ‘MIPA’ or ‘FIPA’; and\n- (A) CPA Australia and entitled to use the letters ‘CPA’ or ‘FCPA’; or\n- (B) the Institute of Chartered Accountants in Australia and entitled to use the letters ‘CA’ or ‘FCA’; or\n- (C) the Institute of Public Accountants and entitled to use the letters ‘MIPA’ or ‘FIPA’; and\n- (ii) has a total of 2 years auditing experience, whether or not continuous.\n- (A) CPA Australia and entitled to use the letters ‘CPA’ or ‘FCPA’; or\n- (B) the Institute of Chartered Accountants in Australia and entitled to use the letters ‘CA’ or ‘FCA’; or\n- (C) the Institute of Public Accountants and entitled to use the letters ‘MIPA’ or ‘FIPA’; and","sortOrder":103},{"sectionNumber":"pt.3-div.2D","sectionType":"division","heading":"Removal from office of voting members of executive committee for breach of code of conduct","content":"## Removal from office of voting members of executive committee for breach of code of conduct","sortOrder":104},{"sectionNumber":"sec.47K","sectionType":"section","heading":"Notice for breach of code of conduct [SM, s&#160;34 &#93;","content":"### sec.47K Notice for breach of code of conduct [SM, s&#160;34 &#93;\n\nIf the principal body corporate believes a voting member of its executive committee has breached the code of conduct for the member, the principal body corporate may decide, by ordinary resolution, to give the member a written notice stating each of the following—\nthat the principal body corporate believes the member has breached a stated provision of the code of conduct;\ndetails sufficient to identify the breach in not more than 600 words;\nthat the member may give any other member of the principal body corporate, within the state period of at least 21 days after the member is given the notice, a written response to the notice in not more than 600 words;\nthat, if asked by the member, the principal body corporate will pay the member all postage charges and copying expenses reasonably incurred by the member in giving a written response under paragraph&#160;(c) to any other member of the principal body corporate;\nthat the principal body corporate is to consider a motion to remove the member from office for the breach at its next general meeting called after the period mentioned in paragraph&#160;(c) ends.\nIf asked by the member, the principal body corporate must pay the member all postage charges and copying expenses reasonably incurred by the member in giving a written response under subsection&#160;(1) (c) to any other member of the principal body corporate.\ns&#160;47K ins 2009 No.&#160;26 s&#160;86\n(sec.47K-ssec.1) If the principal body corporate believes a voting member of its executive committee has breached the code of conduct for the member, the principal body corporate may decide, by ordinary resolution, to give the member a written notice stating each of the following— that the principal body corporate believes the member has breached a stated provision of the code of conduct; details sufficient to identify the breach in not more than 600 words; that the member may give any other member of the principal body corporate, within the state period of at least 21 days after the member is given the notice, a written response to the notice in not more than 600 words; that, if asked by the member, the principal body corporate will pay the member all postage charges and copying expenses reasonably incurred by the member in giving a written response under paragraph&#160;(c) to any other member of the principal body corporate; that the principal body corporate is to consider a motion to remove the member from office for the breach at its next general meeting called after the period mentioned in paragraph&#160;(c) ends.\n(sec.47K-ssec.2) If asked by the member, the principal body corporate must pay the member all postage charges and copying expenses reasonably incurred by the member in giving a written response under subsection&#160;(1) (c) to any other member of the principal body corporate.\n- (a) that the principal body corporate believes the member has breached a stated provision of the code of conduct;\n- (b) details sufficient to identify the breach in not more than 600 words;\n- (c) that the member may give any other member of the principal body corporate, within the state period of at least 21 days after the member is given the notice, a written response to the notice in not more than 600 words;\n- (d) that, if asked by the member, the principal body corporate will pay the member all postage charges and copying expenses reasonably incurred by the member in giving a written response under paragraph&#160;(c) to any other member of the principal body corporate;\n- (e) that the principal body corporate is to consider a motion to remove the member from office for the breach at its next general meeting called after the period mentioned in paragraph&#160;(c) ends.","sortOrder":105},{"sectionNumber":"sec.47L","sectionType":"section","heading":"Removal of voting member at general meeting [SM, s&#160;35 &#93;","content":"### sec.47L Removal of voting member at general meeting [SM, s&#160;35 &#93;\n\nThis section applies if—\nthe principal body corporate give a voting member of its executive committee a notice under section&#160;47K (1) ; and\nthe period mentioned in section&#160;47K (1) (c) for the notice has ended.\nThe principal body corporate must—\ninclude on the agenda of its next general meeting, called after the period mentioned in section&#160;47K (1) (c) ends, a motion to remove the member from office for breaching the code of conduct; and\nattach to the agenda a copy of—\nthe notice; and\nif the body corporate has received a written response from the member under section&#160;47K (1) (c) —the response.\nThe member may be removed from office, by ordinary resolution of the principal body corporate, at the next general meeting.\ns&#160;47L ins 2009 No.&#160;26 s&#160;86\n(sec.47L-ssec.1) This section applies if— the principal body corporate give a voting member of its executive committee a notice under section&#160;47K (1) ; and the period mentioned in section&#160;47K (1) (c) for the notice has ended.\n(sec.47L-ssec.2) The principal body corporate must— include on the agenda of its next general meeting, called after the period mentioned in section&#160;47K (1) (c) ends, a motion to remove the member from office for breaching the code of conduct; and attach to the agenda a copy of— the notice; and if the body corporate has received a written response from the member under section&#160;47K (1) (c) —the response.\n(sec.47L-ssec.3) The member may be removed from office, by ordinary resolution of the principal body corporate, at the next general meeting.\n- (a) the principal body corporate give a voting member of its executive committee a notice under section&#160;47K (1) ; and\n- (b) the period mentioned in section&#160;47K (1) (c) for the notice has ended.\n- (a) include on the agenda of its next general meeting, called after the period mentioned in section&#160;47K (1) (c) ends, a motion to remove the member from office for breaching the code of conduct; and\n- (b) attach to the agenda a copy of— (i) the notice; and (ii) if the body corporate has received a written response from the member under section&#160;47K (1) (c) —the response.\n- (i) the notice; and\n- (ii) if the body corporate has received a written response from the member under section&#160;47K (1) (c) —the response.\n- (i) the notice; and\n- (ii) if the body corporate has received a written response from the member under section&#160;47K (1) (c) —the response.","sortOrder":106},{"sectionNumber":"pt.3-div.3","sectionType":"division","heading":"General provisions","content":"## General provisions","sortOrder":107},{"sectionNumber":"sec.48","sectionType":"section","heading":"Costs in proceedings by members against principal body corporate","content":"### sec.48 Costs in proceedings by members against principal body corporate\n\nIn any proceedings brought by any member against the principal body corporate, the court before which the proceedings are brought may order that any moneys (including costs) payable by the principal body corporate pursuant to an order of the court made in those proceedings shall be paid, only in respect of such lots as are specified in the order and in such proportions as may be so specified, by the principal body corporate out of contributions levied for the purpose.\nWhere a court makes an order under subsection&#160;(1) the principal body corporate shall, for the purpose of paying the moneys ordered to be paid by it, levy contributions in accordance with the terms of the order and shall pay the moneys out of the contributions paid pursuant to that levy. The provisions of section&#160;29 with such modifications as may be necessary apply to and in respect of contributions levied under this subsection in the same way as those provisions apply to contributions levied under that section.\n(sec.48-ssec.1) In any proceedings brought by any member against the principal body corporate, the court before which the proceedings are brought may order that any moneys (including costs) payable by the principal body corporate pursuant to an order of the court made in those proceedings shall be paid, only in respect of such lots as are specified in the order and in such proportions as may be so specified, by the principal body corporate out of contributions levied for the purpose.\n(sec.48-ssec.2) Where a court makes an order under subsection&#160;(1) the principal body corporate shall, for the purpose of paying the moneys ordered to be paid by it, levy contributions in accordance with the terms of the order and shall pay the moneys out of the contributions paid pursuant to that levy. The provisions of section&#160;29 with such modifications as may be necessary apply to and in respect of contributions levied under this subsection in the same way as those provisions apply to contributions levied under that section.","sortOrder":108},{"sectionNumber":"sec.49","sectionType":"section","heading":"Service of documents on principal body corporate, members and others","content":"### sec.49 Service of documents on principal body corporate, members and others\n\nA summons or other legal process may be served on the principal body corporate by leaving it with the chairperson or secretary of the principal body corporate or with any member of the executive committee.\nA document other than a document referred to in subsection&#160;(1) may be served on the principal body corporate—\nby leaving it with any person referred to in subsection&#160;(1) ; or\nby post on the principal body corporate at its last address notified in the gazette.\nSubject to this Act, a notice or other document required or authorised by this Act to be served by the principal body corporate, the executive committee or the secretary of the executive committee or a member or proprietor, lessee or occupier of a lot may be served—\nby leaving it with some person apparently of or above the age of 16 years—\nwhere the person to be served is an occupier of the lot, at the lot; or\nwhere an address for the service of notices on the person to be served is recorded in the principal body corporate roll, at the address so recorded; or\nby post on the person to be served, where an address for the service of notices on that person is recorded in the principal body corporate roll, at the address so recorded; or\nin the case of a member, in any manner authorised by the by-laws for the service of notices on members.\nNotice under section&#160;43 (5) may be served on a person—\npersonally or by post; or\nby leaving it with a person apparently of or above the age of 16 years at the place of residence or place of business of the firstmentioned person.\ns&#160;49 amd 1987 s&#160;16\n(sec.49-ssec.1) A summons or other legal process may be served on the principal body corporate by leaving it with the chairperson or secretary of the principal body corporate or with any member of the executive committee.\n(sec.49-ssec.2) A document other than a document referred to in subsection&#160;(1) may be served on the principal body corporate— by leaving it with any person referred to in subsection&#160;(1) ; or by post on the principal body corporate at its last address notified in the gazette.\n(sec.49-ssec.3) Subject to this Act, a notice or other document required or authorised by this Act to be served by the principal body corporate, the executive committee or the secretary of the executive committee or a member or proprietor, lessee or occupier of a lot may be served— by leaving it with some person apparently of or above the age of 16 years— where the person to be served is an occupier of the lot, at the lot; or where an address for the service of notices on the person to be served is recorded in the principal body corporate roll, at the address so recorded; or by post on the person to be served, where an address for the service of notices on that person is recorded in the principal body corporate roll, at the address so recorded; or in the case of a member, in any manner authorised by the by-laws for the service of notices on members.\n(sec.49-ssec.4) Notice under section&#160;43 (5) may be served on a person— personally or by post; or by leaving it with a person apparently of or above the age of 16 years at the place of residence or place of business of the firstmentioned person.\n- (a) by leaving it with any person referred to in subsection&#160;(1) ; or\n- (b) by post on the principal body corporate at its last address notified in the gazette.\n- (a) by leaving it with some person apparently of or above the age of 16 years— (i) where the person to be served is an occupier of the lot, at the lot; or (ii) where an address for the service of notices on the person to be served is recorded in the principal body corporate roll, at the address so recorded; or\n- (i) where the person to be served is an occupier of the lot, at the lot; or\n- (ii) where an address for the service of notices on the person to be served is recorded in the principal body corporate roll, at the address so recorded; or\n- (b) by post on the person to be served, where an address for the service of notices on that person is recorded in the principal body corporate roll, at the address so recorded; or\n- (c) in the case of a member, in any manner authorised by the by-laws for the service of notices on members.\n- (i) where the person to be served is an occupier of the lot, at the lot; or\n- (ii) where an address for the service of notices on the person to be served is recorded in the principal body corporate roll, at the address so recorded; or\n- (a) personally or by post; or\n- (b) by leaving it with a person apparently of or above the age of 16 years at the place of residence or place of business of the firstmentioned person.","sortOrder":109},{"sectionNumber":"sec.50","sectionType":"section","heading":"Establishment of committees","content":"### sec.50 Establishment of committees\n\nNothing in this Act shall prevent the principal body corporate from establishing by resolution in general meeting a committee to consider any matter referred to it by the principal body corporate and to report thereon to the principal body corporate or the executive committee.","sortOrder":110},{"sectionNumber":"pt.4","sectionType":"part","heading":"Thoroughfares","content":"# Thoroughfares","sortOrder":111},{"sectionNumber":"pt.4-div.1","sectionType":"division","heading":"Construction of roads","content":"## Construction of roads","sortOrder":112},{"sectionNumber":"sec.51","sectionType":"section","heading":"Local government to approve design etc.","content":"### sec.51 Local government to approve design etc.\n\nAny road constructed on the primary thoroughfare or on the secondary thoroughfare shall be constructed to a design and standard approved by the local government at the time of construction.\ns&#160;51 amd 2009 No.&#160;26 s&#160;59 sch","sortOrder":113},{"sectionNumber":"sec.52","sectionType":"section","heading":"Company to construct roads","content":"### sec.52 Company to construct roads\n\nAll roads on the primary thoroughfare and all roads on the secondary thoroughfare shall initially be constructed by the company at its cost in accordance with the requirements of the local government and to the satisfaction of that council.\ns&#160;52 amd 2009 No.&#160;26 s&#160;59 sch","sortOrder":114},{"sectionNumber":"pt.4-div.2","sectionType":"division","heading":"Maintenance etc. of roads and other structures","content":"## Maintenance etc. of roads and other structures","sortOrder":115},{"sectionNumber":"sec.53","sectionType":"section","heading":"Thoroughfares are roads","content":"### sec.53 Thoroughfares are roads\n\nFor the purposes of the Motor Accident Insurance Act 1994 , the roads on the primary thoroughfare and the roads on the secondary thoroughfare are roads.\ns&#160;53 amd 1999 No.&#160;30 s&#160;98 sch&#160;3 pt&#160;1","sortOrder":116},{"sectionNumber":"sec.54","sectionType":"section","heading":"Powers etc. of inspectors and others on thoroughfares","content":"### sec.54 Powers etc. of inspectors and others on thoroughfares\n\nNotwithstanding any other provision of this Act or of any by-law or other decision made by the primary thoroughfare body corporate or the principal body corporate, any inspector or officer employed by the Crown or a statutory body (including the local government) or any other person authorised by a statutory body may enter and be upon any part of the primary thoroughfare or the secondary thoroughfare for the purpose of exercising powers or authorities or performing functions or duties as such inspector, officer or other person.\nIn respect of the primary thoroughfare and the secondary thoroughfare, the inspector, officer or other person, in addition to any powers, authorities, functions and duties vested in the person by or under this or any other Act or law, shall have such powers, authorities, functions and duties that the person would have under any Act or law if the primary thoroughfare and the secondary thoroughfare was a public place.\nA person shall not obstruct the inspector, officer or other person, in his or her access to any part of the primary thoroughfare or of the secondary thoroughfare as provided in subsection&#160;(1) .\nMaximum penalty—20 penalty units.\ns&#160;54 amd 1987 No.&#160;91 s&#160;23 ; 2000 No.&#160;5 s&#160;373 sch&#160;2 ; 2009 No.&#160;26 s&#160;59 sch\n(sec.54-ssec.1) Notwithstanding any other provision of this Act or of any by-law or other decision made by the primary thoroughfare body corporate or the principal body corporate, any inspector or officer employed by the Crown or a statutory body (including the local government) or any other person authorised by a statutory body may enter and be upon any part of the primary thoroughfare or the secondary thoroughfare for the purpose of exercising powers or authorities or performing functions or duties as such inspector, officer or other person.\n(sec.54-ssec.1A) In respect of the primary thoroughfare and the secondary thoroughfare, the inspector, officer or other person, in addition to any powers, authorities, functions and duties vested in the person by or under this or any other Act or law, shall have such powers, authorities, functions and duties that the person would have under any Act or law if the primary thoroughfare and the secondary thoroughfare was a public place.\n(sec.54-ssec.2) A person shall not obstruct the inspector, officer or other person, in his or her access to any part of the primary thoroughfare or of the secondary thoroughfare as provided in subsection&#160;(1) . Maximum penalty—20 penalty units.","sortOrder":117},{"sectionNumber":"sec.54A","sectionType":"section","heading":"Primary and secondary thoroughfares are public places for certain purposes","content":"### sec.54A Primary and secondary thoroughfares are public places for certain purposes\n\nA primary thoroughfare or secondary thoroughfare is a public place for the purposes of any law conferring powers or imposing functions on a police officer.\ns&#160;54A ins 2000 No.&#160;5 s&#160;373 sch&#160;2","sortOrder":118},{"sectionNumber":"sec.55","sectionType":"section","heading":"Temporary closure of thoroughfares","content":"### sec.55 Temporary closure of thoroughfares\n\nSubject to subsection&#160;(2) , if the primary thoroughfare body corporate or the principal body corporate determines that any work is to be carried out on a primary thoroughfare or, as the case may be, a secondary thoroughfare which work is of such a nature as will or would require the temporary closure to some or all traffic on any road, the primary thoroughfare body corporate or, as the case may be, the principal body corporate shall give notice of intention to temporarily close the road at least 7 days prior to the closure by—\nif the body corporate has a website—publishing the notice on the website; and\ngiving the notice in writing to each member of the body corporate who is the proprietor of a lot access to which is likely to be affected by the closure.\nThe notice shall—\nspecify the classes of traffic to be excluded; and\nidentify the location of the road to be closed; and\nspecify the period or periods of the closure; and\nspecify the nature of the work being carried out.\nThe provisions of subsection&#160;(1) do not apply where the work to be carried out is of an emergent nature.\ns&#160;55 amd 1987 No.&#160;91 s&#160;24 ; 2024 No.&#160;13 s&#160;108 s ch&#160;1 pt&#160;1\n(sec.55-ssec.1) Subject to subsection&#160;(2) , if the primary thoroughfare body corporate or the principal body corporate determines that any work is to be carried out on a primary thoroughfare or, as the case may be, a secondary thoroughfare which work is of such a nature as will or would require the temporary closure to some or all traffic on any road, the primary thoroughfare body corporate or, as the case may be, the principal body corporate shall give notice of intention to temporarily close the road at least 7 days prior to the closure by— if the body corporate has a website—publishing the notice on the website; and giving the notice in writing to each member of the body corporate who is the proprietor of a lot access to which is likely to be affected by the closure.\n(sec.55-ssec.1A) The notice shall— specify the classes of traffic to be excluded; and identify the location of the road to be closed; and specify the period or periods of the closure; and specify the nature of the work being carried out.\n(sec.55-ssec.2) The provisions of subsection&#160;(1) do not apply where the work to be carried out is of an emergent nature.\n- (a) if the body corporate has a website—publishing the notice on the website; and\n- (b) giving the notice in writing to each member of the body corporate who is the proprietor of a lot access to which is likely to be affected by the closure.\n- (a) specify the classes of traffic to be excluded; and\n- (b) identify the location of the road to be closed; and\n- (c) specify the period or periods of the closure; and\n- (d) specify the nature of the work being carried out.","sortOrder":119},{"sectionNumber":"sec.56","sectionType":"section","heading":"Occupier’s right to use thoroughfares","content":"### sec.56 Occupier’s right to use thoroughfares\n\nSubject to the application of any primary thoroughfare by-law or any secondary thoroughfare by-law, every person who lawfully occupies any land within the site or the adjacent site has a right of way over the primary thoroughfare and the secondary thoroughfare.\nA primary thoroughfare by-law or a secondary thoroughfare by-law that, but for this subsection, would have the effect of unreasonably restricting access to or access from any land within the site or the adjacent site shall in respect of that land have no force or effect unless the person for the time being entitled to occupy that land consents in writing to that restriction.\nFor the purposes of this section, where land is the subject of a registered mortgage, the mortgagee shall be deemed to be a person who lawfully occupies that land.\ns&#160;56 amd 1987 No.&#160;91 s&#160;25\n(sec.56-ssec.1) Subject to the application of any primary thoroughfare by-law or any secondary thoroughfare by-law, every person who lawfully occupies any land within the site or the adjacent site has a right of way over the primary thoroughfare and the secondary thoroughfare.\n(sec.56-ssec.2) A primary thoroughfare by-law or a secondary thoroughfare by-law that, but for this subsection, would have the effect of unreasonably restricting access to or access from any land within the site or the adjacent site shall in respect of that land have no force or effect unless the person for the time being entitled to occupy that land consents in writing to that restriction.\n(sec.56-ssec.3) For the purposes of this section, where land is the subject of a registered mortgage, the mortgagee shall be deemed to be a person who lawfully occupies that land.","sortOrder":120},{"sectionNumber":"pt.4-div.3","sectionType":"division","heading":"Primary thoroughfare","content":"## Primary thoroughfare","sortOrder":121},{"sectionNumber":"sec.57","sectionType":"section","heading":"Maintenance etc. of roads and other improvements","content":"### sec.57 Maintenance etc. of roads and other improvements\n\nThe primary thoroughfare body corporate shall be responsible for the maintenance and reconstruction (including construction on relocation) of roads within the primary thoroughfare and of any other improvements on the primary thoroughfare.","sortOrder":122},{"sectionNumber":"sec.58","sectionType":"section","heading":"Dealings with land comprising primary thoroughfare","content":"### sec.58 Dealings with land comprising primary thoroughfare\n\nExcept as provided in sections&#160;59 and 60 , no part of a primary thoroughfare may be subdivided, transferred or leased without the prior approval of—\nthe primary thoroughfare body corporate given by special resolution; and\nthe local government; and\nthe Minister.\ns&#160;58 amd 2009 No.&#160;26 s&#160;59 sch\n- (a) the primary thoroughfare body corporate given by special resolution; and\n- (b) the local government; and\n- (c) the Minister.","sortOrder":123},{"sectionNumber":"sec.59","sectionType":"section","heading":"Dedication of primary thoroughfare as road","content":"### sec.59 Dedication of primary thoroughfare as road\n\nWith the prior approval of—\nthe principal body corporate determined by special resolution within the meaning of section&#160;22 ; and\n75% of members of the primary thoroughfare body corporate who are members by reason of being proprietors of land within the site or the adjacent site that is not within the residential zones which members have voting rights at meetings of the primary thoroughfare body corporate that aggregate not less than 75% of the aggregate voting rights of those members; and\nthe local government; and\nthe Minister;\nand subject to any reasonable conditions that the local government imposes, the primary thoroughfare body corporate may dedicate in accordance with the Land Act 1962 any part of the primary thoroughfare that adjoins a dedicated road to public use as a road.\nThe local government may impose a condition pursuant to subsection&#160;(1) that the primary thoroughfare body corporate pay to the local government an amount of money fixed by the local government with a view to the cost of constructing or maintaining the road.\nA part of the primary thoroughfare that is dedicated to public use as a road pursuant to this section shall thereupon cease to be a part of the primary thoroughfare.\ns&#160;59 amd 1987 No.&#160;91 s&#160;26 ; 2009 No.&#160;26 s&#160;59 sch\n(sec.59-ssec.1) With the prior approval of— the principal body corporate determined by special resolution within the meaning of section&#160;22 ; and 75% of members of the primary thoroughfare body corporate who are members by reason of being proprietors of land within the site or the adjacent site that is not within the residential zones which members have voting rights at meetings of the primary thoroughfare body corporate that aggregate not less than 75% of the aggregate voting rights of those members; and the local government; and the Minister; and subject to any reasonable conditions that the local government imposes, the primary thoroughfare body corporate may dedicate in accordance with the Land Act 1962 any part of the primary thoroughfare that adjoins a dedicated road to public use as a road.\n(sec.59-ssec.2) The local government may impose a condition pursuant to subsection&#160;(1) that the primary thoroughfare body corporate pay to the local government an amount of money fixed by the local government with a view to the cost of constructing or maintaining the road.\n(sec.59-ssec.3) A part of the primary thoroughfare that is dedicated to public use as a road pursuant to this section shall thereupon cease to be a part of the primary thoroughfare.\n- (a) the principal body corporate determined by special resolution within the meaning of section&#160;22 ; and\n- (b) 75% of members of the primary thoroughfare body corporate who are members by reason of being proprietors of land within the site or the adjacent site that is not within the residential zones which members have voting rights at meetings of the primary thoroughfare body corporate that aggregate not less than 75% of the aggregate voting rights of those members; and\n- (c) the local government; and\n- (d) the Minister;","sortOrder":124},{"sectionNumber":"sec.60","sectionType":"section","heading":"Establishment of pedestrian mall","content":"### sec.60 Establishment of pedestrian mall\n\nNotwithstanding any other law, a pedestrian mall may not be established on the primary thoroughfare except in accordance with the provisions of this section.\nAt the request in writing of the proprietor or where there is more than 1 proprietor of a majority of proprietors of the land within the Village Zone delivered to the secretary of the primary thoroughfare body corporate, the primary thoroughfare body corporate may in general meeting resolve that a pedestrian mall be established on a part of the primary thoroughfare adjacent to that zone and specified in the resolution.\nA pedestrian mall established on a part of the primary thoroughfare shall not limit vehicular access to the Harbour 1 Residential Zone.\nThe primary thoroughfare body corporate, upon passing a resolution to establish a pedestrian mall shall give notice in writing to all owners and lessees of property in the Harbour Zone, the Village Zone, the Harbour 1 Residential Zone and the International Hotel Zone of the resolution and details of the proposed pedestrian mall (including its location, the extent of restriction upon vehicular traffic to, on or through the pedestrian mall or upon the primary thoroughfare) and, in the case of proprietors of land, the proposed method of meeting the cost of the establishment and maintenance of the pedestrian mall.\nThe notice shall specify a date (being not less than 30 days from the giving of the notice) on or before which the owner or lessee may forward any submission in writing to the secretary of the primary thoroughfare body corporate.\nAfter the date specified pursuant to subsection&#160;(4A) , the primary thoroughfare body corporate shall make application to the Minister for the Governor in Council’s approval of the establishment of the pedestrian mall.\nThe application shall be accompanied by—\na copy of the resolution, certified by the secretary of the primary thoroughfare body corporate, of the primary thoroughfare body corporate resolving that the pedestrian mall be established; and\na copy certified by the secretary of the primary thoroughfare body corporate of the request by the proprietor or, as the case may be, by proprietors of the relevant land for the establishment of the pedestrian mall and, where there is more than 1 proprietor, a certificate by the secretary of the primary thoroughfare body corporate as to the proportion of the number of proprietors making the request; and\nall submissions received by the secretary of the primary thoroughfare body corporate (whether before or after the date specified in subsection&#160;(4A) ) in respect of the proposed pedestrian mall.\nIn determining whether to recommend the establishment of a pedestrian mall, the Minister shall have regard to—\nthe desirability of the proposal; and\nthe effect thereof on the movement of traffic (including emergency service vehicles) within the site or the adjacent site; and\nthe cost of its establishment and maintenance and who it is proposed will contribute to the cost.\nThe Governor in Council, upon the recommendation of the Minister and upon such terms and conditions as to the proper management, operation and use of the pedestrian mall as the Governor in Council thinks fit, may by order in council approve the establishment of the pedestrian mall.\nUpon the Governor in Council approving the establishment of a pedestrian mall and from time to time thereafter, the Minister may determine that the cost of the establishment of the pedestrian mall and the maintenance thereof shall be met by specified members of the primary thoroughfare body corporate and the proportion which those members shall contribute.\ns&#160;60 amd 1987 No.&#160;91 s&#160;27 ; 2009 No.&#160;26 s&#160;87 ; 2019 No.&#160;11 s&#160;231 s ch&#160;1 pt&#160;1\n(sec.60-ssec.1) Notwithstanding any other law, a pedestrian mall may not be established on the primary thoroughfare except in accordance with the provisions of this section.\n(sec.60-ssec.2) At the request in writing of the proprietor or where there is more than 1 proprietor of a majority of proprietors of the land within the Village Zone delivered to the secretary of the primary thoroughfare body corporate, the primary thoroughfare body corporate may in general meeting resolve that a pedestrian mall be established on a part of the primary thoroughfare adjacent to that zone and specified in the resolution.\n(sec.60-ssec.3) A pedestrian mall established on a part of the primary thoroughfare shall not limit vehicular access to the Harbour 1 Residential Zone.\n(sec.60-ssec.4) The primary thoroughfare body corporate, upon passing a resolution to establish a pedestrian mall shall give notice in writing to all owners and lessees of property in the Harbour Zone, the Village Zone, the Harbour 1 Residential Zone and the International Hotel Zone of the resolution and details of the proposed pedestrian mall (including its location, the extent of restriction upon vehicular traffic to, on or through the pedestrian mall or upon the primary thoroughfare) and, in the case of proprietors of land, the proposed method of meeting the cost of the establishment and maintenance of the pedestrian mall.\n(sec.60-ssec.4A) The notice shall specify a date (being not less than 30 days from the giving of the notice) on or before which the owner or lessee may forward any submission in writing to the secretary of the primary thoroughfare body corporate.\n(sec.60-ssec.5) After the date specified pursuant to subsection&#160;(4A) , the primary thoroughfare body corporate shall make application to the Minister for the Governor in Council’s approval of the establishment of the pedestrian mall.\n(sec.60-ssec.5A) The application shall be accompanied by— a copy of the resolution, certified by the secretary of the primary thoroughfare body corporate, of the primary thoroughfare body corporate resolving that the pedestrian mall be established; and a copy certified by the secretary of the primary thoroughfare body corporate of the request by the proprietor or, as the case may be, by proprietors of the relevant land for the establishment of the pedestrian mall and, where there is more than 1 proprietor, a certificate by the secretary of the primary thoroughfare body corporate as to the proportion of the number of proprietors making the request; and all submissions received by the secretary of the primary thoroughfare body corporate (whether before or after the date specified in subsection&#160;(4A) ) in respect of the proposed pedestrian mall.\n(sec.60-ssec.6) In determining whether to recommend the establishment of a pedestrian mall, the Minister shall have regard to— the desirability of the proposal; and the effect thereof on the movement of traffic (including emergency service vehicles) within the site or the adjacent site; and the cost of its establishment and maintenance and who it is proposed will contribute to the cost.\n(sec.60-ssec.7) The Governor in Council, upon the recommendation of the Minister and upon such terms and conditions as to the proper management, operation and use of the pedestrian mall as the Governor in Council thinks fit, may by order in council approve the establishment of the pedestrian mall.\n(sec.60-ssec.8) Upon the Governor in Council approving the establishment of a pedestrian mall and from time to time thereafter, the Minister may determine that the cost of the establishment of the pedestrian mall and the maintenance thereof shall be met by specified members of the primary thoroughfare body corporate and the proportion which those members shall contribute.\n- (a) a copy of the resolution, certified by the secretary of the primary thoroughfare body corporate, of the primary thoroughfare body corporate resolving that the pedestrian mall be established; and\n- (b) a copy certified by the secretary of the primary thoroughfare body corporate of the request by the proprietor or, as the case may be, by proprietors of the relevant land for the establishment of the pedestrian mall and, where there is more than 1 proprietor, a certificate by the secretary of the primary thoroughfare body corporate as to the proportion of the number of proprietors making the request; and\n- (c) all submissions received by the secretary of the primary thoroughfare body corporate (whether before or after the date specified in subsection&#160;(4A) ) in respect of the proposed pedestrian mall.\n- (a) the desirability of the proposal; and\n- (b) the effect thereof on the movement of traffic (including emergency service vehicles) within the site or the adjacent site; and\n- (c) the cost of its establishment and maintenance and who it is proposed will contribute to the cost.","sortOrder":125},{"sectionNumber":"sec.61","sectionType":"section","heading":"Additional works on primary thoroughfare","content":"### sec.61 Additional works on primary thoroughfare\n\nAt the request in writing of any member of the primary thoroughfare body corporate, the primary thoroughfare body corporate may undertake works on any part of the primary thoroughfare with a view to enhancing the amenity of land or the profitability of any business undertaking within the site or the adjacent site.\nWorks that restrict vehicular access that is available immediately prior to the commencement of the undertaking of the works, to any part of the site or of the adjacent site shall not be undertaken unless each proprietor of the land comprising that part consents in writing to that restriction.\nWorks shall not be undertaken pursuant to this section unless—\nthe local government approves those works; and\nall conditions of that approval (including conditions as to standards of construction) are complied with.\nThe primary thoroughfare body corporate shall recover all costs of undertaking works pursuant to this section (including the costs incurred in obtaining the approval of the local government and any other approvals required by law) from the member or members of the primary thoroughfare body corporate at whose request the works were undertaken.\nWhere 2 or more members of the primary thoroughfare body corporate are liable to pay the costs of undertaking works each shall pay an amount that bears to the total costs incurred the same proportion that the member’s voting entitlements attributable to the land the amenity of which is sought to be enhanced or on which the business undertaking sought to be enhanced is carried on bears to the aggregate of such voting entitlements of all persons liable to contribute towards those costs.\nThe primary thoroughfare body corporate shall levy contributions in accordance with subsection&#160;(5) to recover the costs of undertaking the works and the provisions of section&#160;73 with such modifications as may be necessary apply to and with respect of contributions levied under this subsection in the same way as those provisions apply to contributions levied under that section.\nNothing in subsections&#160;(4) and (5) shall prevent the primary thoroughfare body corporate from requiring the persons specified in those subsections to pay to the primary thoroughfare body corporate the whole or part of the expected costs of the completed works before the works are commenced or completed.\nAny member of the primary thoroughfare body corporate who feels aggrieved by any levy imposed upon the member pursuant to this section may apply in writing to the Minister for a review of the levy.\nThe Minister after considering all the relevant information shall determine that member’s liability and may adjust other members’ liability accordingly.\nThe Minister’s decision may be expressed as an amount or as a proportion of the total amount payable for works.\ns&#160;61 amd 1987 No.&#160;91 s&#160;28 ; 2009 No.&#160;26 s&#160;59 sch\n(sec.61-ssec.1) At the request in writing of any member of the primary thoroughfare body corporate, the primary thoroughfare body corporate may undertake works on any part of the primary thoroughfare with a view to enhancing the amenity of land or the profitability of any business undertaking within the site or the adjacent site.\n(sec.61-ssec.2) Works that restrict vehicular access that is available immediately prior to the commencement of the undertaking of the works, to any part of the site or of the adjacent site shall not be undertaken unless each proprietor of the land comprising that part consents in writing to that restriction.\n(sec.61-ssec.3) Works shall not be undertaken pursuant to this section unless— the local government approves those works; and all conditions of that approval (including conditions as to standards of construction) are complied with.\n(sec.61-ssec.4) The primary thoroughfare body corporate shall recover all costs of undertaking works pursuant to this section (including the costs incurred in obtaining the approval of the local government and any other approvals required by law) from the member or members of the primary thoroughfare body corporate at whose request the works were undertaken.\n(sec.61-ssec.5) Where 2 or more members of the primary thoroughfare body corporate are liable to pay the costs of undertaking works each shall pay an amount that bears to the total costs incurred the same proportion that the member’s voting entitlements attributable to the land the amenity of which is sought to be enhanced or on which the business undertaking sought to be enhanced is carried on bears to the aggregate of such voting entitlements of all persons liable to contribute towards those costs.\n(sec.61-ssec.6) The primary thoroughfare body corporate shall levy contributions in accordance with subsection&#160;(5) to recover the costs of undertaking the works and the provisions of section&#160;73 with such modifications as may be necessary apply to and with respect of contributions levied under this subsection in the same way as those provisions apply to contributions levied under that section.\n(sec.61-ssec.7) Nothing in subsections&#160;(4) and (5) shall prevent the primary thoroughfare body corporate from requiring the persons specified in those subsections to pay to the primary thoroughfare body corporate the whole or part of the expected costs of the completed works before the works are commenced or completed.\n(sec.61-ssec.8) Any member of the primary thoroughfare body corporate who feels aggrieved by any levy imposed upon the member pursuant to this section may apply in writing to the Minister for a review of the levy.\n(sec.61-ssec.9) The Minister after considering all the relevant information shall determine that member’s liability and may adjust other members’ liability accordingly.\n(sec.61-ssec.10) The Minister’s decision may be expressed as an amount or as a proportion of the total amount payable for works.\n- (a) the local government approves those works; and\n- (b) all conditions of that approval (including conditions as to standards of construction) are complied with.","sortOrder":126},{"sectionNumber":"pt.4-div.4","sectionType":"division","heading":"Secondary thoroughfare","content":"## Secondary thoroughfare","sortOrder":127},{"sectionNumber":"sec.62","sectionType":"section","heading":"Maintenance etc. of roads and other improvements","content":"### sec.62 Maintenance etc. of roads and other improvements\n\nThe principal body corporate shall be responsible for the maintenance and reconstruction (including construction on relocation) of roads within the secondary thoroughfare and of any other improvements on the secondary thoroughfare.","sortOrder":128},{"sectionNumber":"sec.63","sectionType":"section","heading":"Dealings with land comprising secondary thoroughfare","content":"### sec.63 Dealings with land comprising secondary thoroughfare\n\nExcept as provided in section&#160;64 , no part of a secondary thoroughfare may be subdivided, transferred or leased without the prior approval of—\nthe principal body corporate given by special resolution; and\nthe local government.\ns&#160;63 amd 2009 No.&#160;26 s&#160;59 sch\n- (a) the principal body corporate given by special resolution; and\n- (b) the local government.","sortOrder":129},{"sectionNumber":"sec.64","sectionType":"section","heading":"Dedication of secondary thoroughfare as road","content":"### sec.64 Dedication of secondary thoroughfare as road\n\nWith the prior approval of—\nthe principal body corporate determined by special resolution within the meaning of section&#160;22 ; and\nthe local government; and\nthe Minister;\nand subject to any reasonable conditions that the local government imposes, the principal body corporate may dedicate in accordance with the Land Act 1962 any part of the secondary thoroughfare that adjoins a dedicated road to public use as a road.\nThe local government may impose a condition pursuant to subsection&#160;(1) that the principal body corporate pay to the local government an amount of money fixed by the local government with a view to the cost of constructing or maintaining the road.\nA part of the secondary thoroughfare that is dedicated to public use as a road pursuant to this section shall thereupon cease to be a part of the secondary thoroughfare.\ns&#160;64 amd 2009 No.&#160;26 s&#160;59 sch\n(sec.64-ssec.1) With the prior approval of— the principal body corporate determined by special resolution within the meaning of section&#160;22 ; and the local government; and the Minister; and subject to any reasonable conditions that the local government imposes, the principal body corporate may dedicate in accordance with the Land Act 1962 any part of the secondary thoroughfare that adjoins a dedicated road to public use as a road.\n(sec.64-ssec.2) The local government may impose a condition pursuant to subsection&#160;(1) that the principal body corporate pay to the local government an amount of money fixed by the local government with a view to the cost of constructing or maintaining the road.\n(sec.64-ssec.3) A part of the secondary thoroughfare that is dedicated to public use as a road pursuant to this section shall thereupon cease to be a part of the secondary thoroughfare.\n- (a) the principal body corporate determined by special resolution within the meaning of section&#160;22 ; and\n- (b) the local government; and\n- (c) the Minister;","sortOrder":130},{"sectionNumber":"sec.64A","sectionType":"section","heading":"Maintenance etc. of canals","content":"### sec.64A Maintenance etc. of canals\n\nThe principal body corporate must preserve, maintain and keep clean a canal, or the part of a canal, that is part of a secondary thoroughfare.\ns&#160;64A ins 1987 No.&#160;91 s&#160;29\nsub 2009 No.&#160;26 s&#160;88","sortOrder":131},{"sectionNumber":"sec.64B","sectionType":"section","heading":"Surrender of secondary thoroughfare as canal","content":"### sec.64B Surrender of secondary thoroughfare as canal\n\nThis section applies to a canal, including the part of a canal, that is part of a secondary thoroughfare.\nWith the prior approval of—\nthe principal body corporate determined by special resolution within the meaning of section&#160;22 ; and\nthe local government; and\nthe Minister; and\nthe Governor in Council upon the recommendation of the Minister for the time being administering the Coastal Protection and Management Act 1995 ;\nand subject to any reasonable conditions that the local government imposes, the principal body corporate may transfer and surrender the canal to the Crown.\nThe local government may impose a condition pursuant to subsection&#160;(2) that the principal body corporate pay to the local government an amount of money fixed by the local government with a view to the cost of constructing or restoring as necessary and preserving, maintaining and keeping clean the canal.\nThe Minister for the time being administering the Coastal Protection and Management Act 1995 shall not recommend that the Governor in Council give approval to the transfer and surrender to the Crown of a canal pursuant to subsection&#160;(2) unless the Minister is satisfied that the construction and condition of the canal is of a standard that, if it was proposed, at the time of the recommendation, to construct such a canal over land to which the Coastal Protection and Management Act 1995 applied, no approval required by that Act in respect thereof would have reasonably been refused.\nA canal that, pursuant to this section, is transferred and surrendered to the Crown shall cease to be a part of the secondary thoroughfare and of the site or, as the case may be, the adjacent site, and shall be deemed to be a canal within the meaning of the Coastal Protection and Management Act 1995 which has been constructed in accordance with that Act.\ns&#160;64B ins 1987 No.&#160;91 s&#160;29\namd 2009 No.&#160;26 s&#160;89\n(sec.64B-ssec.1) This section applies to a canal, including the part of a canal, that is part of a secondary thoroughfare.\n(sec.64B-ssec.2) With the prior approval of— the principal body corporate determined by special resolution within the meaning of section&#160;22 ; and the local government; and the Minister; and the Governor in Council upon the recommendation of the Minister for the time being administering the Coastal Protection and Management Act 1995 ; and subject to any reasonable conditions that the local government imposes, the principal body corporate may transfer and surrender the canal to the Crown.\n(sec.64B-ssec.3) The local government may impose a condition pursuant to subsection&#160;(2) that the principal body corporate pay to the local government an amount of money fixed by the local government with a view to the cost of constructing or restoring as necessary and preserving, maintaining and keeping clean the canal.\n(sec.64B-ssec.4) The Minister for the time being administering the Coastal Protection and Management Act 1995 shall not recommend that the Governor in Council give approval to the transfer and surrender to the Crown of a canal pursuant to subsection&#160;(2) unless the Minister is satisfied that the construction and condition of the canal is of a standard that, if it was proposed, at the time of the recommendation, to construct such a canal over land to which the Coastal Protection and Management Act 1995 applied, no approval required by that Act in respect thereof would have reasonably been refused.\n(sec.64B-ssec.5) A canal that, pursuant to this section, is transferred and surrendered to the Crown shall cease to be a part of the secondary thoroughfare and of the site or, as the case may be, the adjacent site, and shall be deemed to be a canal within the meaning of the Coastal Protection and Management Act 1995 which has been constructed in accordance with that Act.\n- (a) the principal body corporate determined by special resolution within the meaning of section&#160;22 ; and\n- (b) the local government; and\n- (c) the Minister; and\n- (d) the Governor in Council upon the recommendation of the Minister for the time being administering the Coastal Protection and Management Act 1995 ;","sortOrder":132},{"sectionNumber":"pt.5","sectionType":"part","heading":"Primary thoroughfare body corporate","content":"# Primary thoroughfare body corporate","sortOrder":133},{"sectionNumber":"pt.5-div.1","sectionType":"division","heading":"Primary thoroughfare body corporate","content":"## Primary thoroughfare body corporate","sortOrder":134},{"sectionNumber":"sec.65","sectionType":"section","heading":"Definitions for pt&#160;5","content":"### sec.65 Definitions for pt&#160;5\n\nIn this part—\nexecutive committee means the executive committee of the primary thoroughfare body corporate constituted under division&#160;2 .\nfinancial year , for the primary thoroughfare body corporate, means a period in relation to which the primary thoroughfare body corporate is required under section&#160;77 (1) (f) to prepare a statement of accounts.\ns&#160;65 def financial year ins 2009 No.&#160;26 s&#160;90 (2)\nprimary thoroughfare body corporate roll means the roll referred to in section&#160;78 to be maintained by the primary thoroughfare body corporate.\nproprietor means—\nfor land subdivided under a group titles plan or building units plan—the body corporate incorporated under the Building Units and Group Titles Act 1994 ; or\nfor other land—the person registered, or entitled to be registered, under the Land Title Act 1994 as the proprietor of the land.\ns&#160;65 def proprietor sub 1994 No.&#160;81 s&#160;525 sch&#160;3\nReal Property Acts ...\ns&#160;65 def Real Property Acts om 31 October 1989 RA s&#160;39\nspecial resolution means a resolution which is passed at a duly convened general meeting of the primary thoroughfare body corporate by the members whose voting entitlements aggregate not less than 75% of the aggregate of all voting entitlements recorded in the primary thoroughfare body corporate roll.\ns&#160;65 amd 2009 No.&#160;26 s&#160;90 (1)\n- (a) for land subdivided under a group titles plan or building units plan—the body corporate incorporated under the Building Units and Group Titles Act 1994 ; or\n- (b) for other land—the person registered, or entitled to be registered, under the Land Title Act 1994 as the proprietor of the land.","sortOrder":135},{"sectionNumber":"sec.66","sectionType":"section","heading":"Primary thoroughfare body corporate","content":"### sec.66 Primary thoroughfare body corporate\n\nUpon registration of the initial plan of survey, the proprietor or proprietors of the land within the site (excluding land within the residential zones and land comprising the primary thoroughfare) and the principal body corporate shall by virtue of this Act be a body corporate under the name ‘Sanctuary Cove Primary Thoroughfare Body Corporate’.\nUpon registration of the initial plan of survey of the adjacent site, the proprietor or proprietors of the land within the adjacent site (excluding land within the residential zones and land comprising the primary thoroughfare) shall be members of the primary thoroughfare body corporate.\nWhen land, within the site or the adjacent site (excluding land within the residential zones) is subdivided by way of a group titles plan or a building units plan, the proprietor of that land—\nshall give notice in writing to the primary thoroughfare body corporate of the name and address for service of notices of the body corporate incorporated by the registration of that plan; and\nshall cease to be a member of the primary thoroughfare body corporate;\nand the body corporate created by the registration of that plan shall become a member of the primary thoroughfare body corporate.\nThe Corporations Act does not apply to or in respect of the primary thoroughfare body corporate.\nThe primary thoroughfare body corporate shall have the powers, authorities, duties and functions conferred or imposed on it by or under this Act and shall do all things reasonably necessary for the control, management and administration of the primary thoroughfare.\nThe primary thoroughfare body corporate shall have perpetual succession and a common seal and shall be capable of suing and being sued in its corporate name and shall be regulated in accordance with the primary thoroughfare by-laws for the time being in force.\nThe primary thoroughfare body corporate may—\nsue and be sued on any contract made by it;\nsue for and in respect of any damage or injury to the primary thoroughfare caused by any person;\nbe sued in respect of any matter connected with the primary thoroughfare which as proprietor it is so liable;\ntake such legal action as may be necessary to enforce the primary thoroughfare by-laws.\nIn any case in which work is carried out for the purpose of constructing or preparing the primary thoroughfare, upon registration of the initial plan of survey or, as the case may be, initial plan of survey of the adjacent site, the primary thoroughfare body corporate shall be deemed to have been a party to an enforceable contract for the carrying out of such work, and may sue in respect of that contract.\nNothing in subsection&#160;(7) shall relieve the company from its obligation to pay for the initial construction of the primary thoroughfare to the standard prescribed pursuant to section&#160;51 .\ns&#160;66 amd 1987 No.&#160;91 s&#160;30 ; 2001 No.&#160;45 s&#160;29 sch s&#160;2 – 3\n(sec.66-ssec.1) Upon registration of the initial plan of survey, the proprietor or proprietors of the land within the site (excluding land within the residential zones and land comprising the primary thoroughfare) and the principal body corporate shall by virtue of this Act be a body corporate under the name ‘Sanctuary Cove Primary Thoroughfare Body Corporate’.\n(sec.66-ssec.1A) Upon registration of the initial plan of survey of the adjacent site, the proprietor or proprietors of the land within the adjacent site (excluding land within the residential zones and land comprising the primary thoroughfare) shall be members of the primary thoroughfare body corporate.\n(sec.66-ssec.2) When land, within the site or the adjacent site (excluding land within the residential zones) is subdivided by way of a group titles plan or a building units plan, the proprietor of that land— shall give notice in writing to the primary thoroughfare body corporate of the name and address for service of notices of the body corporate incorporated by the registration of that plan; and shall cease to be a member of the primary thoroughfare body corporate; and the body corporate created by the registration of that plan shall become a member of the primary thoroughfare body corporate.\n(sec.66-ssec.3) The Corporations Act does not apply to or in respect of the primary thoroughfare body corporate.\n(sec.66-ssec.4) The primary thoroughfare body corporate shall have the powers, authorities, duties and functions conferred or imposed on it by or under this Act and shall do all things reasonably necessary for the control, management and administration of the primary thoroughfare.\n(sec.66-ssec.5) The primary thoroughfare body corporate shall have perpetual succession and a common seal and shall be capable of suing and being sued in its corporate name and shall be regulated in accordance with the primary thoroughfare by-laws for the time being in force.\n(sec.66-ssec.6) The primary thoroughfare body corporate may— sue and be sued on any contract made by it; sue for and in respect of any damage or injury to the primary thoroughfare caused by any person; be sued in respect of any matter connected with the primary thoroughfare which as proprietor it is so liable; take such legal action as may be necessary to enforce the primary thoroughfare by-laws.\n(sec.66-ssec.7) In any case in which work is carried out for the purpose of constructing or preparing the primary thoroughfare, upon registration of the initial plan of survey or, as the case may be, initial plan of survey of the adjacent site, the primary thoroughfare body corporate shall be deemed to have been a party to an enforceable contract for the carrying out of such work, and may sue in respect of that contract.\n(sec.66-ssec.8) Nothing in subsection&#160;(7) shall relieve the company from its obligation to pay for the initial construction of the primary thoroughfare to the standard prescribed pursuant to section&#160;51 .\n- (a) shall give notice in writing to the primary thoroughfare body corporate of the name and address for service of notices of the body corporate incorporated by the registration of that plan; and\n- (b) shall cease to be a member of the primary thoroughfare body corporate;\n- (a) sue and be sued on any contract made by it;\n- (b) sue for and in respect of any damage or injury to the primary thoroughfare caused by any person;\n- (c) be sued in respect of any matter connected with the primary thoroughfare which as proprietor it is so liable;\n- (d) take such legal action as may be necessary to enforce the primary thoroughfare by-laws.","sortOrder":136},{"sectionNumber":"sec.67","sectionType":"section","heading":"Member’s nominee","content":"### sec.67 Member’s nominee\n\nA member of the primary thoroughfare body corporate—\nbeing a subsidiary body corporate, shall at its annual general meeting and may from time to time thereafter;\nin any other case, may from time to time;\nappoint a person to represent the member and to vote on behalf of the member at meetings of the primary thoroughfare body corporate.\nThe appointment of a person pursuant to subsection&#160;(1) shall not be effective until notification in writing signed by the member or, in a case referred to in subsection&#160;(1) (a) , by the chairperson and secretary of the body corporate is received by the secretary of the primary thoroughfare body corporate.\nThe appointment of a person to represent a member at meetings of the primary thoroughfare body corporate shall continue until—\nnotice of the appointment of another person to represent that member; or\nnotice of the cancellation of the person’s appointment;\nis received by the secretary of the primary thoroughfare body corporate.\nA person appointed under this section by a subsidiary body corporate must represent the subsidiary body corporate—\nin the way the subsidiary body corporate directs; and\nsubject to paragraph&#160;(a) , in a way that is in the best interests of the subsidiary body corporate.\ns&#160;67 amd 2009 No.&#160;26 s&#160;91\n(sec.67-ssec.1) A member of the primary thoroughfare body corporate— being a subsidiary body corporate, shall at its annual general meeting and may from time to time thereafter; in any other case, may from time to time; appoint a person to represent the member and to vote on behalf of the member at meetings of the primary thoroughfare body corporate.\n(sec.67-ssec.2) The appointment of a person pursuant to subsection&#160;(1) shall not be effective until notification in writing signed by the member or, in a case referred to in subsection&#160;(1) (a) , by the chairperson and secretary of the body corporate is received by the secretary of the primary thoroughfare body corporate.\n(sec.67-ssec.3) The appointment of a person to represent a member at meetings of the primary thoroughfare body corporate shall continue until— notice of the appointment of another person to represent that member; or notice of the cancellation of the person’s appointment; is received by the secretary of the primary thoroughfare body corporate.\n(sec.67-ssec.4) A person appointed under this section by a subsidiary body corporate must represent the subsidiary body corporate— in the way the subsidiary body corporate directs; and subject to paragraph&#160;(a) , in a way that is in the best interests of the subsidiary body corporate.\n- (a) being a subsidiary body corporate, shall at its annual general meeting and may from time to time thereafter;\n- (b) in any other case, may from time to time;\n- (a) notice of the appointment of another person to represent that member; or\n- (b) notice of the cancellation of the person’s appointment;\n- (a) in the way the subsidiary body corporate directs; and\n- (b) subject to paragraph&#160;(a) , in a way that is in the best interests of the subsidiary body corporate.","sortOrder":137},{"sectionNumber":"sec.68","sectionType":"section","heading":"Seal of primary thoroughfare body corporate","content":"### sec.68 Seal of primary thoroughfare body corporate\n\nThe common seal of the primary thoroughfare body corporate shall be kept by such member of the primary thoroughfare body corporate or member of the executive committee as the primary thoroughfare body corporate determines or, in the absence of any such determination, by the secretary of the executive committee.\nThe common seal of the primary thoroughfare body corporate shall only be affixed to an instrument or document in the presence of—\nwhere the primary thoroughfare body corporate is constituted by 2 members—those members; or\nwhere the primary thoroughfare body corporate is constituted by more than 2 members—such 2 persons, being members of the primary thoroughfare body corporate or members of the executive committee, as the primary thoroughfare body corporate determines or, in the absence of any such determination, the secretary and any other member of the executive committee;\nwho shall attest the fact and date of the affixing of the seal by their signatures.\nHowever, where a member is a body corporate, the common seal affixed in the presence of a person nominated in writing by the body corporate for that purpose and attested by that person as provided in this subsection shall be deemed to have been duly affixed in the presence of that body corporate.\n(sec.68-ssec.1) The common seal of the primary thoroughfare body corporate shall be kept by such member of the primary thoroughfare body corporate or member of the executive committee as the primary thoroughfare body corporate determines or, in the absence of any such determination, by the secretary of the executive committee.\n(sec.68-ssec.2) The common seal of the primary thoroughfare body corporate shall only be affixed to an instrument or document in the presence of— where the primary thoroughfare body corporate is constituted by 2 members—those members; or where the primary thoroughfare body corporate is constituted by more than 2 members—such 2 persons, being members of the primary thoroughfare body corporate or members of the executive committee, as the primary thoroughfare body corporate determines or, in the absence of any such determination, the secretary and any other member of the executive committee; who shall attest the fact and date of the affixing of the seal by their signatures.\n(sec.68-ssec.3) However, where a member is a body corporate, the common seal affixed in the presence of a person nominated in writing by the body corporate for that purpose and attested by that person as provided in this subsection shall be deemed to have been duly affixed in the presence of that body corporate.\n- (a) where the primary thoroughfare body corporate is constituted by 2 members—those members; or\n- (b) where the primary thoroughfare body corporate is constituted by more than 2 members—such 2 persons, being members of the primary thoroughfare body corporate or members of the executive committee, as the primary thoroughfare body corporate determines or, in the absence of any such determination, the secretary and any other member of the executive committee;","sortOrder":138},{"sectionNumber":"sec.69","sectionType":"section","heading":"Address of primary thoroughfare body corporate","content":"### sec.69 Address of primary thoroughfare body corporate\n\nThe address for service of notices on the primary thoroughfare body corporate shall upon its incorporation pursuant to section&#160;66 be the address for service of notices on the company.","sortOrder":139},{"sectionNumber":"sec.70","sectionType":"section","heading":"Meetings of primary thoroughfare body corporate","content":"### sec.70 Meetings of primary thoroughfare body corporate\n\nWithin 3 months after the registration of the initial plan of survey, the company shall, in the prescribed manner, convene a meeting of the primary thoroughfare body corporate to be held within that period.\nMaximum penalty—20 penalty units.\nThe agenda for a meeting convened under subsection&#160;(1) shall consist of the following items—\nto decide whether insurances effected by the primary thoroughfare body corporate should be confirmed, varied or extended;\nto decide whether any amounts determined under section&#160;77 (1) (h) or (2) should be confirmed or varied;\nwhere there are more than 3 members of the primary thoroughfare body corporate, to determine the number of members of the executive committee;\nto elect the chairperson, secretary and treasurer of the primary thoroughfare body corporate and other members of the executive committee;\nto decide whether to make by-laws regulating, controlling or prohibiting the passage through and conduct and activities of persons on or within all or part of the primary thoroughfare.\nThe meeting convened under subsection&#160;(1) shall be the first annual general meeting of the primary thoroughfare body corporate and at such meeting a chairperson, secretary and treasurer shall be elected.\nHowever, a person may be elected to 1 or more of those offices.\nThe company shall not fail or neglect to deliver to the primary thoroughfare body corporate at its first annual general meeting—\nall plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the primary thoroughfare;\nif they are in its possession or under its control, the primary thoroughfare body corporate roll, books of account and any notices or other records relating to the primary thoroughfare;\nthe budget showing the estimated expenditure of the primary thoroughfare body corporate in relation to the primary thoroughfare on an annual basis;\nother than documents which exclusively evidence rights or obligations of the company and which are not capable of being used for the benefit of the primary thoroughfare body corporate or any of the members of the primary thoroughfare body corporate, other than the company.\nMaximum penalty—20 penalty units.\nThe company shall not fail or neglect to deliver to the primary thoroughfare body corporate at or before its annual general meeting first held after the registration of the initial plan of survey of the adjacent site—\nall plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the primary thoroughfare within the adjacent site;\nif they are in its possession or under its control, any books of account and any notices or other records relating to the primary thoroughfare within the adjacent site;\nthe budget showing the estimated expenditure of the primary thoroughfare body corporate in relation to the primary thoroughfare within the adjacent site on an annual basis;\nother than documents which exclusively evidence rights or obligations of the company and which are not capable of being used for the benefit of the primary thoroughfare body corporate or any of the members of the primary thoroughfare body corporate, other than the company.\nMaximum penalty—20 penalty units.\nSchedule&#160;2 , part&#160;1 of the Building Units and Group Titles Act 1980 in force at the commencement of this Act applies to and in respect of the first annual general meeting of the primary thoroughfare body corporate and voting at that meeting and schedule&#160;2 , part&#160;2 of that Act applies to and in respect of meetings of the primary thoroughfare body corporate, other than the first annual general meeting, and voting at those meetings.\nHowever, the provisions in those schedules relating to the rights and obligations of mortgagees and mortgagors shall not apply and the application of the Building Units and Group Titles Act 1980 , schedule&#160;2 , part&#160;2 is subject to schedule&#160;3 and schedule&#160;9 , definition ordinary resolution .\nThe provisions of the schedules referred to in subsection&#160;(5) shall, for the purposes of subsection&#160;(5) , be read and construed as if—\nreferences therein to ‘aggregate lot entitlement’ were references to the aggregate of all voting entitlements specified in the table in section&#160;72 (1) ;\nreferences therein to ‘body corporate’ were references to primary thoroughfare body corporate;\nreferences therein to ‘by-laws’ were references to primary thoroughfare by-laws;\nreferences therein to ‘council’ were references to executive committee;\nreferences therein to a ‘lot’ were references to a parcel of land within the site and, after the registration of the initial plan of survey of the adjacent site, the adjacent site;\nreferences therein to ‘lot entitlement’ were references to the voting entitlement of a member;\nreferences therein to the ‘original proprietor’ were references to the company;\nreferences therein to a ‘proprietor’ were references to a member of the primary thoroughfare body corporate;\nreferences therein to the ‘roll’ were references to the primary thoroughfare body corporate roll;\nreferences to particular provisions of the Building Units and Group Titles Act 1980 (other than the provisions in those schedules) were references to corresponding provisions of this Act;\nthe principal body corporate were the proprietor of a parcel of land within the site and, after the registration of the initial plan of survey of the adjacent site, the adjacent site and its voting entitlements were the voting entitlements of that parcel.\nWhen an expression is substituted for an expression used in the Building Units and Group Titles Act 1980 and referred to in subsection&#160;(5B) , the substituted expression shall, for the purposes of subsection&#160;(5B) , be read and construed in the same manner as the expression for which it is substituted is required to be read and construed.\nIf a meeting of the primary thoroughfare body corporate is not convened in accordance with subsection&#160;(1) , the Minister for Justice and Attorney-General may, pursuant to an application by the primary thoroughfare body corporate or any member of the primary thoroughfare body corporate appoint by order a person to convene a meeting of the primary thoroughfare body corporate within such time as may be specified in the order and the meeting convened by that person shall, for the purposes of subsection&#160;(3) , be deemed to be the meeting convened under subsection&#160;(1) .\nAt any time after the meeting convened under subsection&#160;(1) has been held, the Minister for Justice and Attorney-General may, pursuant to an application made to the Minister for Justice and Attorney-General by a member of the primary thoroughfare body corporate, appoint by order a person, nominated by the member, who has consented to that nomination, if there is not an executive committee, to convene a meeting of the primary thoroughfare body corporate within such time as may be specified in the order and a meeting so convened shall, for the purpose of the election of the chairperson, secretary and treasurer of the primary thoroughfare body corporate and the other members of the executive committee, be deemed to be a first annual general meeting of the primary thoroughfare body corporate.\nAn order made under subsection&#160;(6) or (7) may include such ancillary or consequential provisions as the Minister for Justice and Attorney-General thinks fit.\nNotwithstanding subsection&#160;(5) , where an order made under subsection&#160;(6) or (7) so provides—\nthe person appointed to convene a meeting of the primary thoroughfare body corporate by the order shall preside at the meeting and, while the person so presides, shall be deemed to be the chairperson of the primary thoroughfare body corporate; and\nnotice of that meeting may be given in the manner specified in the order.\nNotwithstanding that an order has been made under subsection&#160;(6) or that a meeting has been convened pursuant to any such order, the company remains liable to the penalty provided by subsection&#160;(1) for any failure to comply with that subsection.\ns&#160;70 amd 1987 s&#160;17; 1987 No.&#160;91 s&#160;31 ; 2009 No.&#160;26 s&#160;92 ; 2019 No.&#160;7 s&#160;313 s ch&#160;1 pt&#160;2\n(sec.70-ssec.1) Within 3 months after the registration of the initial plan of survey, the company shall, in the prescribed manner, convene a meeting of the primary thoroughfare body corporate to be held within that period. Maximum penalty—20 penalty units.\n(sec.70-ssec.2) The agenda for a meeting convened under subsection&#160;(1) shall consist of the following items— to decide whether insurances effected by the primary thoroughfare body corporate should be confirmed, varied or extended; to decide whether any amounts determined under section&#160;77 (1) (h) or (2) should be confirmed or varied; where there are more than 3 members of the primary thoroughfare body corporate, to determine the number of members of the executive committee; to elect the chairperson, secretary and treasurer of the primary thoroughfare body corporate and other members of the executive committee; to decide whether to make by-laws regulating, controlling or prohibiting the passage through and conduct and activities of persons on or within all or part of the primary thoroughfare.\n(sec.70-ssec.3) The meeting convened under subsection&#160;(1) shall be the first annual general meeting of the primary thoroughfare body corporate and at such meeting a chairperson, secretary and treasurer shall be elected.\n(sec.70-ssec.3A) However, a person may be elected to 1 or more of those offices.\n(sec.70-ssec.4) The company shall not fail or neglect to deliver to the primary thoroughfare body corporate at its first annual general meeting— all plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the primary thoroughfare; if they are in its possession or under its control, the primary thoroughfare body corporate roll, books of account and any notices or other records relating to the primary thoroughfare; the budget showing the estimated expenditure of the primary thoroughfare body corporate in relation to the primary thoroughfare on an annual basis; other than documents which exclusively evidence rights or obligations of the company and which are not capable of being used for the benefit of the primary thoroughfare body corporate or any of the members of the primary thoroughfare body corporate, other than the company. Maximum penalty—20 penalty units.\n(sec.70-ssec.4A) The company shall not fail or neglect to deliver to the primary thoroughfare body corporate at or before its annual general meeting first held after the registration of the initial plan of survey of the adjacent site— all plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the primary thoroughfare within the adjacent site; if they are in its possession or under its control, any books of account and any notices or other records relating to the primary thoroughfare within the adjacent site; the budget showing the estimated expenditure of the primary thoroughfare body corporate in relation to the primary thoroughfare within the adjacent site on an annual basis; other than documents which exclusively evidence rights or obligations of the company and which are not capable of being used for the benefit of the primary thoroughfare body corporate or any of the members of the primary thoroughfare body corporate, other than the company. Maximum penalty—20 penalty units.\n(sec.70-ssec.5) Schedule&#160;2 , part&#160;1 of the Building Units and Group Titles Act 1980 in force at the commencement of this Act applies to and in respect of the first annual general meeting of the primary thoroughfare body corporate and voting at that meeting and schedule&#160;2 , part&#160;2 of that Act applies to and in respect of meetings of the primary thoroughfare body corporate, other than the first annual general meeting, and voting at those meetings.\n(sec.70-ssec.5A) However, the provisions in those schedules relating to the rights and obligations of mortgagees and mortgagors shall not apply and the application of the Building Units and Group Titles Act 1980 , schedule&#160;2 , part&#160;2 is subject to schedule&#160;3 and schedule&#160;9 , definition ordinary resolution .\n(sec.70-ssec.5B) The provisions of the schedules referred to in subsection&#160;(5) shall, for the purposes of subsection&#160;(5) , be read and construed as if— references therein to ‘aggregate lot entitlement’ were references to the aggregate of all voting entitlements specified in the table in section&#160;72 (1) ; references therein to ‘body corporate’ were references to primary thoroughfare body corporate; references therein to ‘by-laws’ were references to primary thoroughfare by-laws; references therein to ‘council’ were references to executive committee; references therein to a ‘lot’ were references to a parcel of land within the site and, after the registration of the initial plan of survey of the adjacent site, the adjacent site; references therein to ‘lot entitlement’ were references to the voting entitlement of a member; references therein to the ‘original proprietor’ were references to the company; references therein to a ‘proprietor’ were references to a member of the primary thoroughfare body corporate; references therein to the ‘roll’ were references to the primary thoroughfare body corporate roll; references to particular provisions of the Building Units and Group Titles Act 1980 (other than the provisions in those schedules) were references to corresponding provisions of this Act; the principal body corporate were the proprietor of a parcel of land within the site and, after the registration of the initial plan of survey of the adjacent site, the adjacent site and its voting entitlements were the voting entitlements of that parcel.\n(sec.70-ssec.5C) When an expression is substituted for an expression used in the Building Units and Group Titles Act 1980 and referred to in subsection&#160;(5B) , the substituted expression shall, for the purposes of subsection&#160;(5B) , be read and construed in the same manner as the expression for which it is substituted is required to be read and construed.\n(sec.70-ssec.6) If a meeting of the primary thoroughfare body corporate is not convened in accordance with subsection&#160;(1) , the Minister for Justice and Attorney-General may, pursuant to an application by the primary thoroughfare body corporate or any member of the primary thoroughfare body corporate appoint by order a person to convene a meeting of the primary thoroughfare body corporate within such time as may be specified in the order and the meeting convened by that person shall, for the purposes of subsection&#160;(3) , be deemed to be the meeting convened under subsection&#160;(1) .\n(sec.70-ssec.7) At any time after the meeting convened under subsection&#160;(1) has been held, the Minister for Justice and Attorney-General may, pursuant to an application made to the Minister for Justice and Attorney-General by a member of the primary thoroughfare body corporate, appoint by order a person, nominated by the member, who has consented to that nomination, if there is not an executive committee, to convene a meeting of the primary thoroughfare body corporate within such time as may be specified in the order and a meeting so convened shall, for the purpose of the election of the chairperson, secretary and treasurer of the primary thoroughfare body corporate and the other members of the executive committee, be deemed to be a first annual general meeting of the primary thoroughfare body corporate.\n(sec.70-ssec.8) An order made under subsection&#160;(6) or (7) may include such ancillary or consequential provisions as the Minister for Justice and Attorney-General thinks fit.\n(sec.70-ssec.9) Notwithstanding subsection&#160;(5) , where an order made under subsection&#160;(6) or (7) so provides— the person appointed to convene a meeting of the primary thoroughfare body corporate by the order shall preside at the meeting and, while the person so presides, shall be deemed to be the chairperson of the primary thoroughfare body corporate; and notice of that meeting may be given in the manner specified in the order.\n(sec.70-ssec.10) Notwithstanding that an order has been made under subsection&#160;(6) or that a meeting has been convened pursuant to any such order, the company remains liable to the penalty provided by subsection&#160;(1) for any failure to comply with that subsection.\n- (a) to decide whether insurances effected by the primary thoroughfare body corporate should be confirmed, varied or extended;\n- (b) to decide whether any amounts determined under section&#160;77 (1) (h) or (2) should be confirmed or varied;\n- (c) where there are more than 3 members of the primary thoroughfare body corporate, to determine the number of members of the executive committee;\n- (d) to elect the chairperson, secretary and treasurer of the primary thoroughfare body corporate and other members of the executive committee;\n- (e) to decide whether to make by-laws regulating, controlling or prohibiting the passage through and conduct and activities of persons on or within all or part of the primary thoroughfare.\n- (a) all plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the primary thoroughfare;\n- (b) if they are in its possession or under its control, the primary thoroughfare body corporate roll, books of account and any notices or other records relating to the primary thoroughfare;\n- (c) the budget showing the estimated expenditure of the primary thoroughfare body corporate in relation to the primary thoroughfare on an annual basis;\n- (a) all plans, specifications, drawings showing water pipes, electric cables and drainage, certificates, diagrams and other documents (including policies of insurance) obtained or received by it and relating to the primary thoroughfare within the adjacent site;\n- (b) if they are in its possession or under its control, any books of account and any notices or other records relating to the primary thoroughfare within the adjacent site;\n- (c) the budget showing the estimated expenditure of the primary thoroughfare body corporate in relation to the primary thoroughfare within the adjacent site on an annual basis;\n- (a) references therein to ‘aggregate lot entitlement’ were references to the aggregate of all voting entitlements specified in the table in section&#160;72 (1) ;\n- (b) references therein to ‘body corporate’ were references to primary thoroughfare body corporate;\n- (c) references therein to ‘by-laws’ were references to primary thoroughfare by-laws;\n- (d) references therein to ‘council’ were references to executive committee;\n- (e) references therein to a ‘lot’ were references to a parcel of land within the site and, after the registration of the initial plan of survey of the adjacent site, the adjacent site;\n- (f) references therein to ‘lot entitlement’ were references to the voting entitlement of a member;\n- (g) references therein to the ‘original proprietor’ were references to the company;\n- (h) references therein to a ‘proprietor’ were references to a member of the primary thoroughfare body corporate;\n- (i) references therein to the ‘roll’ were references to the primary thoroughfare body corporate roll;\n- (j) references to particular provisions of the Building Units and Group Titles Act 1980 (other than the provisions in those schedules) were references to corresponding provisions of this Act;\n- (k) the principal body corporate were the proprietor of a parcel of land within the site and, after the registration of the initial plan of survey of the adjacent site, the adjacent site and its voting entitlements were the voting entitlements of that parcel.\n- (a) the person appointed to convene a meeting of the primary thoroughfare body corporate by the order shall preside at the meeting and, while the person so presides, shall be deemed to be the chairperson of the primary thoroughfare body corporate; and\n- (b) notice of that meeting may be given in the manner specified in the order.","sortOrder":140},{"sectionNumber":"sec.71","sectionType":"section","heading":"Primary thoroughfare by-laws","content":"### sec.71 Primary thoroughfare by-laws\n\nSubject to subsection&#160;(5) , the primary thoroughfare body corporate, pursuant to a special resolution, for the purpose of the control, management, administration, use or enjoyment of the primary thoroughfare, may from time to time make by-laws and may in like manner amend or repeal those by-laws.\nA primary thoroughfare by-law has no force or effect until the Minister has approved the by-law and notification of the Minister’s approval has been published in the gazette.\nA lease of any land where access to a dedicated road is by way of the primary thoroughfare shall be deemed to contain an agreement by the lessee that the lessee will comply with the primary thoroughfare by-laws for the time being in force.\nWithout limiting the operation of any other provision of this Act, the primary thoroughfare by-laws for the time being in force bind the primary thoroughfare body corporate, the principal body corporate and each registered proprietor and any mortgagee in possession (whether by himself or herself or any other person), lessee or occupier, of land (including lots) within the site to the same extent as if those by-laws had been signed and sealed by the primary thoroughfare body corporate, the principal body corporate and each registered proprietor and each such mortgagee, lessee and occupier respectively and as if they contained mutual covenants to observe and perform all the provisions of those by-laws.\nNo amendment of or addition to a primary thoroughfare by-law shall be capable of operating to prohibit, destroy or modify any easement, service right or service obligation implied or created by this Act.\ns&#160;71 amd 1987 s&#160;18\n(sec.71-ssec.1) Subject to subsection&#160;(5) , the primary thoroughfare body corporate, pursuant to a special resolution, for the purpose of the control, management, administration, use or enjoyment of the primary thoroughfare, may from time to time make by-laws and may in like manner amend or repeal those by-laws.\n(sec.71-ssec.2) A primary thoroughfare by-law has no force or effect until the Minister has approved the by-law and notification of the Minister’s approval has been published in the gazette.\n(sec.71-ssec.3) A lease of any land where access to a dedicated road is by way of the primary thoroughfare shall be deemed to contain an agreement by the lessee that the lessee will comply with the primary thoroughfare by-laws for the time being in force.\n(sec.71-ssec.4) Without limiting the operation of any other provision of this Act, the primary thoroughfare by-laws for the time being in force bind the primary thoroughfare body corporate, the principal body corporate and each registered proprietor and any mortgagee in possession (whether by himself or herself or any other person), lessee or occupier, of land (including lots) within the site to the same extent as if those by-laws had been signed and sealed by the primary thoroughfare body corporate, the principal body corporate and each registered proprietor and each such mortgagee, lessee and occupier respectively and as if they contained mutual covenants to observe and perform all the provisions of those by-laws.\n(sec.71-ssec.5) No amendment of or addition to a primary thoroughfare by-law shall be capable of operating to prohibit, destroy or modify any easement, service right or service obligation implied or created by this Act.","sortOrder":141},{"sectionNumber":"sec.72","sectionType":"section","heading":"Voting entitlements before registration of initial plan of survey of adjacent site","content":"### sec.72 Voting entitlements before registration of initial plan of survey of adjacent site\n\nUntil land within a zone within the site, other than a residential zone or the Primary Thoroughfare Zone, is subdivided, the proprietor of that land as a member of the primary thoroughfare body corporate shall have a voting entitlement as set out opposite that zone in the following table—\nZone\nVoting entitlement\nGolf Course Zone\n100\nHarbour Zone\n200\nInternational Hotel Zone\n500\nRecreation Club Zone\n100\nVillage Zone\n1,200\nWhen the land comprising a zone set out in the table in subsection&#160;(1) , is subdivided the voting entitlement set out opposite that zone in that table shall be apportioned by notice in writing by the proprietor of the land given to the primary thoroughfare body corporate amongst parcels thereby created and a proprietor of a parcel shall as a member of the primary thoroughfare body corporate have the voting entitlement apportioned in respect of that parcel.\nIn like manner the voting entitlement of a proprietor of land that is further subdivided shall be apportioned amongst the parcels thereby created and the proprietor of each parcel shall have the relevant voting entitlement so apportioned.\nUntil the registration of the initial plan of survey of the adjacent site, the principal body corporate as a member of the primary thoroughfare body corporate shall have a voting entitlement of 900.\ns&#160;72 amd 1987 No.&#160;91 s&#160;32\n(sec.72-ssec.1) Until land within a zone within the site, other than a residential zone or the Primary Thoroughfare Zone, is subdivided, the proprietor of that land as a member of the primary thoroughfare body corporate shall have a voting entitlement as set out opposite that zone in the following table— Zone Voting entitlement Golf Course Zone 100 Harbour Zone 200 International Hotel Zone 500 Recreation Club Zone 100 Village Zone 1,200\n(sec.72-ssec.2) When the land comprising a zone set out in the table in subsection&#160;(1) , is subdivided the voting entitlement set out opposite that zone in that table shall be apportioned by notice in writing by the proprietor of the land given to the primary thoroughfare body corporate amongst parcels thereby created and a proprietor of a parcel shall as a member of the primary thoroughfare body corporate have the voting entitlement apportioned in respect of that parcel.\n(sec.72-ssec.2A) In like manner the voting entitlement of a proprietor of land that is further subdivided shall be apportioned amongst the parcels thereby created and the proprietor of each parcel shall have the relevant voting entitlement so apportioned.\n(sec.72-ssec.3) Until the registration of the initial plan of survey of the adjacent site, the principal body corporate as a member of the primary thoroughfare body corporate shall have a voting entitlement of 900.","sortOrder":142},{"sectionNumber":"sec.72A","sectionType":"section","heading":"Voting entitlements after registration of initial plan of survey of adjacent site","content":"### sec.72A Voting entitlements after registration of initial plan of survey of adjacent site\n\nUpon the registration of the initial plan of survey of the adjacent site and until land within the Golf Course Zone or the Administration Zone each within the adjacent site is subdivided, the proprietor of that land as a member of the primary thoroughfare body corporate shall have a voting entitlement as set out opposite that zone in the following table—\nZone\nVoting entitlement\nAdministration Zone\n50\nGolf Course Zone\n100\nWhen the land comprising a zone set out in the table in subsection&#160;(1) within the adjacent site is subdivided the voting entitlement set out opposite that zone in that table shall be apportioned by notice in writing by the proprietor of the land given to the primary thoroughfare body corporate amongst the parcels thereby created and a proprietor of a parcel shall as a member of the primary thoroughfare body corporate have the voting entitlement apportioned in respect of that parcel.\nIn like manner the voting entitlement of a proprietor of land that is further subdivided shall be apportioned amongst the parcels thereby created and the proprietor of each parcel shall have the relevant voting entitlement so apportioned.\nUpon the registration of the initial plan of survey of the adjacent site, the principal body corporate as a member of the primary thoroughfare body corporate shall have, in lieu of its voting entitlement prescribed in section&#160;72 (3) , a voting entitlement of 2,000.\ns&#160;72A ins 1987 No.&#160;91 s&#160;33\namd 1989 No.&#160;114 s&#160;15\n(sec.72A-ssec.1) Upon the registration of the initial plan of survey of the adjacent site and until land within the Golf Course Zone or the Administration Zone each within the adjacent site is subdivided, the proprietor of that land as a member of the primary thoroughfare body corporate shall have a voting entitlement as set out opposite that zone in the following table— Zone Voting entitlement Administration Zone 50 Golf Course Zone 100\n(sec.72A-ssec.2) When the land comprising a zone set out in the table in subsection&#160;(1) within the adjacent site is subdivided the voting entitlement set out opposite that zone in that table shall be apportioned by notice in writing by the proprietor of the land given to the primary thoroughfare body corporate amongst the parcels thereby created and a proprietor of a parcel shall as a member of the primary thoroughfare body corporate have the voting entitlement apportioned in respect of that parcel.\n(sec.72A-ssec.2A) In like manner the voting entitlement of a proprietor of land that is further subdivided shall be apportioned amongst the parcels thereby created and the proprietor of each parcel shall have the relevant voting entitlement so apportioned.\n(sec.72A-ssec.3) Upon the registration of the initial plan of survey of the adjacent site, the principal body corporate as a member of the primary thoroughfare body corporate shall have, in lieu of its voting entitlement prescribed in section&#160;72 (3) , a voting entitlement of 2,000.","sortOrder":143},{"sectionNumber":"sec.73","sectionType":"section","heading":"Levies by primary thoroughfare body corporate on members","content":"### sec.73 Levies by primary thoroughfare body corporate on members\n\nThe primary thoroughfare body corporate may levy the contributions determined by it in accordance with section&#160;77 (1) (h) and the amount (if any) determined pursuant to section&#160;77 (2) in respect thereof by serving on its members notice in writing of the contributions payable by them.\nContributions levied by the primary thoroughfare body corporate shall be levied and shall be payable, subject to this section, by the members of the primary thoroughfare body corporate in shares proportional to the voting entitlements at the time when the contribution was levied.\nIn respect of a contribution levied under subsection (l), a proprietor of land is liable, jointly and severally with any person who was liable to pay that contribution when that proprietor became the proprietor of that land to pay such part of that contribution as was unpaid when the proprietor became the proprietor of that land.\nA contribution levied under this section—\nbecomes due and payable to the primary thoroughfare body corporate in accordance with the decision of the primary thoroughfare body corporate to make the levy; and\nif paid within 30 days after the date when it becomes due and payable shall be reduced by that part of the contribution attributable to the amount determined pursuant to section&#160;77 (2) (if any); and\nmay be recovered, as a debt, by the primary thoroughfare body corporate in any court of competent jurisdiction.\nNothing in this section shall be construed to prevent the primary thoroughfare body corporate, in general meeting, either generally or in a particular case, determining that a contribution may be reduced as provided in subsection&#160;(4) (b) notwithstanding that the contribution is not paid as prescribed in that subsection.\ns&#160;73 amd 1987 No.&#160;91 s&#160;34\n(sec.73-ssec.1) The primary thoroughfare body corporate may levy the contributions determined by it in accordance with section&#160;77 (1) (h) and the amount (if any) determined pursuant to section&#160;77 (2) in respect thereof by serving on its members notice in writing of the contributions payable by them.\n(sec.73-ssec.2) Contributions levied by the primary thoroughfare body corporate shall be levied and shall be payable, subject to this section, by the members of the primary thoroughfare body corporate in shares proportional to the voting entitlements at the time when the contribution was levied.\n(sec.73-ssec.3) In respect of a contribution levied under subsection (l), a proprietor of land is liable, jointly and severally with any person who was liable to pay that contribution when that proprietor became the proprietor of that land to pay such part of that contribution as was unpaid when the proprietor became the proprietor of that land.\n(sec.73-ssec.4) A contribution levied under this section— becomes due and payable to the primary thoroughfare body corporate in accordance with the decision of the primary thoroughfare body corporate to make the levy; and if paid within 30 days after the date when it becomes due and payable shall be reduced by that part of the contribution attributable to the amount determined pursuant to section&#160;77 (2) (if any); and may be recovered, as a debt, by the primary thoroughfare body corporate in any court of competent jurisdiction.\n(sec.73-ssec.5) Nothing in this section shall be construed to prevent the primary thoroughfare body corporate, in general meeting, either generally or in a particular case, determining that a contribution may be reduced as provided in subsection&#160;(4) (b) notwithstanding that the contribution is not paid as prescribed in that subsection.\n- (a) becomes due and payable to the primary thoroughfare body corporate in accordance with the decision of the primary thoroughfare body corporate to make the levy; and\n- (b) if paid within 30 days after the date when it becomes due and payable shall be reduced by that part of the contribution attributable to the amount determined pursuant to section&#160;77 (2) (if any); and\n- (c) may be recovered, as a debt, by the primary thoroughfare body corporate in any court of competent jurisdiction.","sortOrder":144},{"sectionNumber":"sec.74","sectionType":"section","heading":"Change of primary thoroughfare body corporate’s address","content":"### sec.74 Change of primary thoroughfare body corporate’s address\n\nThe primary thoroughfare body corporate may, in general meeting, decide that the address for the service of notices on the primary thoroughfare body corporate shall be changed.\nUpon giving notice in writing to the Minister and notification by the Minister in the gazette of the change of address, the address for service of notices on the primary thoroughfare body corporate shall, notwithstanding any other provision of this Act, be the address so notified.\n(sec.74-ssec.1) The primary thoroughfare body corporate may, in general meeting, decide that the address for the service of notices on the primary thoroughfare body corporate shall be changed.\n(sec.74-ssec.2) Upon giving notice in writing to the Minister and notification by the Minister in the gazette of the change of address, the address for service of notices on the primary thoroughfare body corporate shall, notwithstanding any other provision of this Act, be the address so notified.","sortOrder":145},{"sectionNumber":"sec.75","sectionType":"section","heading":"Power of entry","content":"### sec.75 Power of entry\n\nFor the purpose of carrying out—\nany work required to be carried out by the primary thoroughfare body corporate by a notice served on it by a public or local government;\nany work referred to in section&#160;77 (1) (b) ;\nthe primary thoroughfare body corporate may, by its agents, servants or contractors, enter upon any part of the primary thoroughfare for the purpose of carrying out the work—\nin the case of an emergency—at any time; or\nin any other case—at any reasonable time on notice given to any occupier of a lot likely to be affected thereby.\nFor the purposes of subsection&#160;(1) (d) , a proprietor of a lot, being a lot on a group titles plan or a building units plan, shall be taken to have been given notice if the notice is duly given to the body corporate incorporated by the registration of that plan.\nA person shall not obstruct or hinder the primary thoroughfare body corporate in the exercise of its power under subsection&#160;(1) .\nMaximum penalty—4 penalty units.\ns&#160;75 amd 1987 No.&#160;91 s&#160;35\n(sec.75-ssec.1) For the purpose of carrying out— any work required to be carried out by the primary thoroughfare body corporate by a notice served on it by a public or local government; any work referred to in section&#160;77 (1) (b) ; the primary thoroughfare body corporate may, by its agents, servants or contractors, enter upon any part of the primary thoroughfare for the purpose of carrying out the work— in the case of an emergency—at any time; or in any other case—at any reasonable time on notice given to any occupier of a lot likely to be affected thereby.\n(sec.75-ssec.1A) For the purposes of subsection&#160;(1) (d) , a proprietor of a lot, being a lot on a group titles plan or a building units plan, shall be taken to have been given notice if the notice is duly given to the body corporate incorporated by the registration of that plan.\n(sec.75-ssec.2) A person shall not obstruct or hinder the primary thoroughfare body corporate in the exercise of its power under subsection&#160;(1) . Maximum penalty—4 penalty units.\n- (a) any work required to be carried out by the primary thoroughfare body corporate by a notice served on it by a public or local government;\n- (b) any work referred to in section&#160;77 (1) (b) ;\n- (c) in the case of an emergency—at any time; or\n- (d) in any other case—at any reasonable time on notice given to any occupier of a lot likely to be affected thereby.","sortOrder":146},{"sectionNumber":"sec.76","sectionType":"section","heading":"Miscellaneous powers of primary thoroughfare body corporate","content":"### sec.76 Miscellaneous powers of primary thoroughfare body corporate\n\nThe primary thoroughfare body corporate may do any of the following—\ninvest any moneys held by it in any manner permitted by law for the investment of trust funds or in any prescribed investment;\nborrow moneys and secure the repayment thereof and of any interest in such manner as may be agreed upon by the primary thoroughfare body corporate and the lender;\nenter into an agreement for the provision of amenities or services by it or any other person to any land or to the proprietor or occupier thereof;\nenter into an agreement with the principal body corporate for the provision of amenities or services by the primary thoroughfare body corporate or any other person to any land within the residential zones or to the proprietor or occupier thereof;\nacquire and hold any personal property to facilitate the carrying out of its duties;\nexchange land that forms part of the primary thoroughfare with other land within the site or the adjacent site for the purpose of that other land becoming part of the primary thoroughfare;\nemploy staff to perform its functions.\ns&#160;76 amd 1987 No.&#160;91 s&#160;36 ; 2009 No.&#160;26 s&#160;93\n- (a) invest any moneys held by it in any manner permitted by law for the investment of trust funds or in any prescribed investment;\n- (b) borrow moneys and secure the repayment thereof and of any interest in such manner as may be agreed upon by the primary thoroughfare body corporate and the lender;\n- (c) enter into an agreement for the provision of amenities or services by it or any other person to any land or to the proprietor or occupier thereof;\n- (d) enter into an agreement with the principal body corporate for the provision of amenities or services by the primary thoroughfare body corporate or any other person to any land within the residential zones or to the proprietor or occupier thereof;\n- (e) acquire and hold any personal property to facilitate the carrying out of its duties;\n- (f) exchange land that forms part of the primary thoroughfare with other land within the site or the adjacent site for the purpose of that other land becoming part of the primary thoroughfare;\n- (g) employ staff to perform its functions.","sortOrder":147},{"sectionNumber":"sec.77","sectionType":"section","heading":"Duties of primary thoroughfare body corporate","content":"### sec.77 Duties of primary thoroughfare body corporate\n\nThe primary thoroughfare body corporate shall—\ncontrol, manage and administer the primary thoroughfare for the benefit of its members; and\nproperly maintain and keep in a state of good and serviceable repair—\nthe primary thoroughfare, including any improvements thereon;\nany personal property vested in it; and\neffect insurance in accordance with section&#160;81 ; and\ncause proper records to be kept of notices given to the primary thoroughfare body corporate under this or any other Act and of any orders made by a court and served on the primary thoroughfare body corporate; and\nkeep—\nfor at least 10 years after their creation or receipt by or for the primary thoroughfare body corporate—\nminutes of its meetings, including particulars of motions passed at the meetings; and\nproper books of account for amounts received or paid by the primary thoroughfare body corporate showing the items for which the amounts were received or paid; and\nfor at least 2 years after their creation or receipt by or for the primary thoroughfare body corporate—voting tally sheets or other records showing votes for motions and election ballots related to its meetings; and\ncause to be prepared, from the books referred to in paragraph&#160;(e) , a proper statement of accounts of the primary thoroughfare body corporate in respect of each period commencing on the date of its incorporation or the date up to which the last previous such statement was prepared and ending on a date not earlier than 2 months before each annual general meeting; and\ncause an annual general meeting to be held each year on or after the anniversary of the annual general meeting held in 1990 but not later than 2 months after that anniversary; and\nnot later than 14 days after its incorporation and from time to time thereafter, determine the amounts necessary in its opinion to be raised by way of contributions for the purpose of meeting its actual or expected liabilities incurred or to be incurred under paragraph&#160;(b) or for the payment of insurance premiums, rates or any other liability of the primary thoroughfare body corporate, other than amounts referred to in paragraph (1); and\nupon first determining the amounts referred to in paragraph&#160;(h) , establish a fund into which shall be paid all amounts received by it, including the proceeds of the sale or other disposal of any personal property of the primary thoroughfare body corporate and any fees received by it under section&#160;80 and into which may be paid any amounts paid to the primary thoroughfare body corporate by way of discharge of insurance claims; and\nfrom time to time, levy, in accordance with section&#160;73 , on each person liable therefor a contribution to raise the amounts referred to in paragraph&#160;(h) ; and\npay any moneys referred to in paragraph&#160;(i) that are received by it and are not otherwise invested in accordance with section&#160;76 (a) into an account established in a financial institution in the name of the primary thoroughfare body corporate; and\nif the primary thoroughfare body corporate—\nbecomes liable to pay any moneys that it is unable to pay forthwith; and\nis not required, under paragraph&#160;(j) , to levy contributions to meet the liability;\nlevy, in accordance with section&#160;73 , contributions to raise those moneys; and\nimplement the decisions of the primary thoroughfare body corporate.\nThe primary thoroughfare body corporate from time to time may in respect of contributions determined in accordance with subsection&#160;(1) (h) or contributions referred to in subsection&#160;(1) (1) determine by special resolution, for the purposes of section&#160;73 , an amount being not greater than 10% of those contributions.\nThe primary thoroughfare body corporate shall not disburse any moneys from its fund, otherwise than for the purpose of carrying out its powers, authorities, duties and functions under this Act or the primary thoroughfare by-laws or meeting any liability referred to in subsection&#160;(1) (1) .\nA determination made by the primary thoroughfare body corporate under subsection&#160;(1) (h) may specify that the amounts to be raised shall be raised by such regular periodic contributions as may be specified in the determination.\ns&#160;77 amd 1987 s&#160;19; 1989 No.&#160;114 s&#160;16 ; 1997 No.&#160;17 s&#160;74 sch ; 1999 No.&#160;30 s&#160;98 sch&#160;3 pt&#160;1 ; 2009 No.&#160;26 s&#160;94\n(sec.77-ssec.1) The primary thoroughfare body corporate shall— control, manage and administer the primary thoroughfare for the benefit of its members; and properly maintain and keep in a state of good and serviceable repair— the primary thoroughfare, including any improvements thereon; any personal property vested in it; and effect insurance in accordance with section&#160;81 ; and cause proper records to be kept of notices given to the primary thoroughfare body corporate under this or any other Act and of any orders made by a court and served on the primary thoroughfare body corporate; and keep— for at least 10 years after their creation or receipt by or for the primary thoroughfare body corporate— minutes of its meetings, including particulars of motions passed at the meetings; and proper books of account for amounts received or paid by the primary thoroughfare body corporate showing the items for which the amounts were received or paid; and for at least 2 years after their creation or receipt by or for the primary thoroughfare body corporate—voting tally sheets or other records showing votes for motions and election ballots related to its meetings; and cause to be prepared, from the books referred to in paragraph&#160;(e) , a proper statement of accounts of the primary thoroughfare body corporate in respect of each period commencing on the date of its incorporation or the date up to which the last previous such statement was prepared and ending on a date not earlier than 2 months before each annual general meeting; and cause an annual general meeting to be held each year on or after the anniversary of the annual general meeting held in 1990 but not later than 2 months after that anniversary; and not later than 14 days after its incorporation and from time to time thereafter, determine the amounts necessary in its opinion to be raised by way of contributions for the purpose of meeting its actual or expected liabilities incurred or to be incurred under paragraph&#160;(b) or for the payment of insurance premiums, rates or any other liability of the primary thoroughfare body corporate, other than amounts referred to in paragraph (1); and upon first determining the amounts referred to in paragraph&#160;(h) , establish a fund into which shall be paid all amounts received by it, including the proceeds of the sale or other disposal of any personal property of the primary thoroughfare body corporate and any fees received by it under section&#160;80 and into which may be paid any amounts paid to the primary thoroughfare body corporate by way of discharge of insurance claims; and from time to time, levy, in accordance with section&#160;73 , on each person liable therefor a contribution to raise the amounts referred to in paragraph&#160;(h) ; and pay any moneys referred to in paragraph&#160;(i) that are received by it and are not otherwise invested in accordance with section&#160;76 (a) into an account established in a financial institution in the name of the primary thoroughfare body corporate; and if the primary thoroughfare body corporate— becomes liable to pay any moneys that it is unable to pay forthwith; and is not required, under paragraph&#160;(j) , to levy contributions to meet the liability; levy, in accordance with section&#160;73 , contributions to raise those moneys; and implement the decisions of the primary thoroughfare body corporate.\n(sec.77-ssec.2) The primary thoroughfare body corporate from time to time may in respect of contributions determined in accordance with subsection&#160;(1) (h) or contributions referred to in subsection&#160;(1) (1) determine by special resolution, for the purposes of section&#160;73 , an amount being not greater than 10% of those contributions.\n(sec.77-ssec.3) The primary thoroughfare body corporate shall not disburse any moneys from its fund, otherwise than for the purpose of carrying out its powers, authorities, duties and functions under this Act or the primary thoroughfare by-laws or meeting any liability referred to in subsection&#160;(1) (1) .\n(sec.77-ssec.4) A determination made by the primary thoroughfare body corporate under subsection&#160;(1) (h) may specify that the amounts to be raised shall be raised by such regular periodic contributions as may be specified in the determination.\n- (a) control, manage and administer the primary thoroughfare for the benefit of its members; and\n- (b) properly maintain and keep in a state of good and serviceable repair— (i) the primary thoroughfare, including any improvements thereon; (ii) any personal property vested in it; and\n- (i) the primary thoroughfare, including any improvements thereon;\n- (ii) any personal property vested in it; and\n- (c) effect insurance in accordance with section&#160;81 ; and\n- (d) cause proper records to be kept of notices given to the primary thoroughfare body corporate under this or any other Act and of any orders made by a court and served on the primary thoroughfare body corporate; and\n- (e) keep— (i) for at least 10 years after their creation or receipt by or for the primary thoroughfare body corporate— (A) minutes of its meetings, including particulars of motions passed at the meetings; and (B) proper books of account for amounts received or paid by the primary thoroughfare body corporate showing the items for which the amounts were received or paid; and (ii) for at least 2 years after their creation or receipt by or for the primary thoroughfare body corporate—voting tally sheets or other records showing votes for motions and election ballots related to its meetings; and\n- (i) for at least 10 years after their creation or receipt by or for the primary thoroughfare body corporate— (A) minutes of its meetings, including particulars of motions passed at the meetings; and (B) proper books of account for amounts received or paid by the primary thoroughfare body corporate showing the items for which the amounts were received or paid; and\n- (A) minutes of its meetings, including particulars of motions passed at the meetings; and\n- (B) proper books of account for amounts received or paid by the primary thoroughfare body corporate showing the items for which the amounts were received or paid; and\n- (ii) for at least 2 years after their creation or receipt by or for the primary thoroughfare body corporate—voting tally sheets or other records showing votes for motions and election ballots related to its meetings; and\n- (f) cause to be prepared, from the books referred to in paragraph&#160;(e) , a proper statement of accounts of the primary thoroughfare body corporate in respect of each period commencing on the date of its incorporation or the date up to which the last previous such statement was prepared and ending on a date not earlier than 2 months before each annual general meeting; and\n- (g) cause an annual general meeting to be held each year on or after the anniversary of the annual general meeting held in 1990 but not later than 2 months after that anniversary; and\n- (h) not later than 14 days after its incorporation and from time to time thereafter, determine the amounts necessary in its opinion to be raised by way of contributions for the purpose of meeting its actual or expected liabilities incurred or to be incurred under paragraph&#160;(b) or for the payment of insurance premiums, rates or any other liability of the primary thoroughfare body corporate, other than amounts referred to in paragraph (1); and\n- (i) upon first determining the amounts referred to in paragraph&#160;(h) , establish a fund into which shall be paid all amounts received by it, including the proceeds of the sale or other disposal of any personal property of the primary thoroughfare body corporate and any fees received by it under section&#160;80 and into which may be paid any amounts paid to the primary thoroughfare body corporate by way of discharge of insurance claims; and\n- (j) from time to time, levy, in accordance with section&#160;73 , on each person liable therefor a contribution to raise the amounts referred to in paragraph&#160;(h) ; and\n- (k) pay any moneys referred to in paragraph&#160;(i) that are received by it and are not otherwise invested in accordance with section&#160;76 (a) into an account established in a financial institution in the name of the primary thoroughfare body corporate; and\n- (l) if the primary thoroughfare body corporate— (i) becomes liable to pay any moneys that it is unable to pay forthwith; and (ii) is not required, under paragraph&#160;(j) , to levy contributions to meet the liability;\n- (i) becomes liable to pay any moneys that it is unable to pay forthwith; and\n- (ii) is not required, under paragraph&#160;(j) , to levy contributions to meet the liability;\n- levy, in accordance with section&#160;73 , contributions to raise those moneys; and\n- (m) implement the decisions of the primary thoroughfare body corporate.\n- (i) the primary thoroughfare, including any improvements thereon;\n- (ii) any personal property vested in it; and\n- (i) for at least 10 years after their creation or receipt by or for the primary thoroughfare body corporate— (A) minutes of its meetings, including particulars of motions passed at the meetings; and (B) proper books of account for amounts received or paid by the primary thoroughfare body corporate showing the items for which the amounts were received or paid; and\n- (A) minutes of its meetings, including particulars of motions passed at the meetings; and\n- (B) proper books of account for amounts received or paid by the primary thoroughfare body corporate showing the items for which the amounts were received or paid; and\n- (ii) for at least 2 years after their creation or receipt by or for the primary thoroughfare body corporate—voting tally sheets or other records showing votes for motions and election ballots related to its meetings; and\n- (A) minutes of its meetings, including particulars of motions passed at the meetings; and\n- (B) proper books of account for amounts received or paid by the primary thoroughfare body corporate showing the items for which the amounts were received or paid; and\n- (i) becomes liable to pay any moneys that it is unable to pay forthwith; and\n- (ii) is not required, under paragraph&#160;(j) , to levy contributions to meet the liability;","sortOrder":148},{"sectionNumber":"sec.78","sectionType":"section","heading":"Primary thoroughfare body corporate roll","content":"### sec.78 Primary thoroughfare body corporate roll\n\nThe primary thoroughfare body corporate shall prepare and maintain a roll in accordance with this section.\nThe primary thoroughfare body corporate shall record in the primary thoroughfare body corporate roll the following information—\nthe voting entitlements of the proprietor of each parcel of land within the site (excluding land within the residential zones);\nthe voting entitlements for the time being of the principal body corporate;\nthe total of the voting entitlements referred to in paragraphs&#160;(a) and (b) ;\nfrom the registration of the initial plan of survey of the adjacent site—\nthe voting entitlement of the proprietor of each parcel of land within the adjacent site (excluding land within the residential zones);\nthe total of the voting entitlements referred to in paragraphs&#160;(a) , (b) and (d) (i) ;\nthe name and address for service of notices on each member of the primary thoroughfare body corporate;\nthe name and address of any person appointed (in writing addressed to the primary thoroughfare body corporate) by any member of the primary thoroughfare body corporate to represent that member at meetings of the primary thoroughfare body corporate.\nThe primary thoroughfare body corporate shall record and maintain in the primary thoroughfare body corporate roll a copy of the primary thoroughfare by-laws for the time being in force.\ns&#160;78 amd 1987 No.&#160;91 s&#160;37\n(sec.78-ssec.1) The primary thoroughfare body corporate shall prepare and maintain a roll in accordance with this section.\n(sec.78-ssec.2) The primary thoroughfare body corporate shall record in the primary thoroughfare body corporate roll the following information— the voting entitlements of the proprietor of each parcel of land within the site (excluding land within the residential zones); the voting entitlements for the time being of the principal body corporate; the total of the voting entitlements referred to in paragraphs&#160;(a) and (b) ; from the registration of the initial plan of survey of the adjacent site— the voting entitlement of the proprietor of each parcel of land within the adjacent site (excluding land within the residential zones); the total of the voting entitlements referred to in paragraphs&#160;(a) , (b) and (d) (i) ; the name and address for service of notices on each member of the primary thoroughfare body corporate; the name and address of any person appointed (in writing addressed to the primary thoroughfare body corporate) by any member of the primary thoroughfare body corporate to represent that member at meetings of the primary thoroughfare body corporate.\n(sec.78-ssec.3) The primary thoroughfare body corporate shall record and maintain in the primary thoroughfare body corporate roll a copy of the primary thoroughfare by-laws for the time being in force.\n- (a) the voting entitlements of the proprietor of each parcel of land within the site (excluding land within the residential zones);\n- (b) the voting entitlements for the time being of the principal body corporate;\n- (c) the total of the voting entitlements referred to in paragraphs&#160;(a) and (b) ;\n- (d) from the registration of the initial plan of survey of the adjacent site— (i) the voting entitlement of the proprietor of each parcel of land within the adjacent site (excluding land within the residential zones); (ii) the total of the voting entitlements referred to in paragraphs&#160;(a) , (b) and (d) (i) ;\n- (i) the voting entitlement of the proprietor of each parcel of land within the adjacent site (excluding land within the residential zones);\n- (ii) the total of the voting entitlements referred to in paragraphs&#160;(a) , (b) and (d) (i) ;\n- (e) the name and address for service of notices on each member of the primary thoroughfare body corporate;\n- (f) the name and address of any person appointed (in writing addressed to the primary thoroughfare body corporate) by any member of the primary thoroughfare body corporate to represent that member at meetings of the primary thoroughfare body corporate.\n- (i) the voting entitlement of the proprietor of each parcel of land within the adjacent site (excluding land within the residential zones);\n- (ii) the total of the voting entitlements referred to in paragraphs&#160;(a) , (b) and (d) (i) ;","sortOrder":149},{"sectionNumber":"sec.79","sectionType":"section","heading":"Notices to be given by proprietors","content":"### sec.79 Notices to be given by proprietors\n\nThe company and any person who, under this section, has given notice of an address for the service of notices on the company or person may give notice in writing to the primary thoroughfare body corporate of an address or change of address for the service of notices on the company or person.\nAfter delivery to a transferee of any land within the site or the adjacent site (excluding land within the residential zones) of an instrument or instruments of transfer in the name of the transferee duly executed and capable of immediate registration, the transferor shall give to the primary thoroughfare body corporate written notice which shall identify the land and—\nspecify the name of the transferee in full, the address for the service of notices on the transferee, the address for the service of notices on the transferor and the date upon which the instrument was or instruments were so delivered; and\nbear written confirmation by the transferee of the accuracy of the information contained in the notice.\nWhere a transferor of any land fails to comply with subsection&#160;(2) , the transferee of that land may give to the primary thoroughfare body corporate written notice which shall identify the land and specify the transferee’s name in full, address for service of notices and the date upon which the instrument was or instruments were delivered to the transferee.\nAfter a person becomes entitled, otherwise than as a transferee, to be registered under the Land Title Act 1994 as the proprietor of land within the site or the adjacent site (excluding land within the residential zones) the person shall give to the primary thoroughfare body corporate written notice, in the form of a statutory declaration, which shall identify the lot and specify—\nby what right the person became entitled to the land; and\nthe person’s name, in full, the address for the service of notices on the person and the date upon which the person became entitled to the land.\nWhere—\nthe primary thoroughfare body corporate believes that a person may, under this section, give a notice to it; and\nthe primary thoroughfare body corporate has not received that notice;\nthe primary thoroughfare body corporate may serve a notice on that person specifying the capacity in which it believes the person is entitled to give the notice and requiring the person—\nto state, within 14 days, whether or not the person is a person entitled to give a notice in that capacity; and\nif the person is such a person, to give that notice.\nWhere the primary thoroughfare body corporate has served a notice under subsection&#160;(4) on a person whom it believes to be a person entitled to give a notice to the primary thoroughfare body corporate under this section that person is not entitled to cast a vote at any meeting of the primary thoroughfare body corporate until the person gives the required notice.\nA vote cast at a meeting of the primary thoroughfare body corporate by or on behalf of a member of the primary thoroughfare body corporate has no effect unless the primary thoroughfare body corporate has been given notice in writing specifying the nominee of the member.\nA notice referred to in subsection&#160;(6) may be included in any other notice that the member of the primary thoroughfare body corporate to which it relates is entitled under this section to give to the primary thoroughfare body corporate.\ns&#160;79 amd 1987 No.&#160;91 s&#160;38\n(sec.79-ssec.1) The company and any person who, under this section, has given notice of an address for the service of notices on the company or person may give notice in writing to the primary thoroughfare body corporate of an address or change of address for the service of notices on the company or person.\n(sec.79-ssec.2) After delivery to a transferee of any land within the site or the adjacent site (excluding land within the residential zones) of an instrument or instruments of transfer in the name of the transferee duly executed and capable of immediate registration, the transferor shall give to the primary thoroughfare body corporate written notice which shall identify the land and— specify the name of the transferee in full, the address for the service of notices on the transferee, the address for the service of notices on the transferor and the date upon which the instrument was or instruments were so delivered; and bear written confirmation by the transferee of the accuracy of the information contained in the notice.\n(sec.79-ssec.2A) Where a transferor of any land fails to comply with subsection&#160;(2) , the transferee of that land may give to the primary thoroughfare body corporate written notice which shall identify the land and specify the transferee’s name in full, address for service of notices and the date upon which the instrument was or instruments were delivered to the transferee.\n(sec.79-ssec.3) After a person becomes entitled, otherwise than as a transferee, to be registered under the Land Title Act 1994 as the proprietor of land within the site or the adjacent site (excluding land within the residential zones) the person shall give to the primary thoroughfare body corporate written notice, in the form of a statutory declaration, which shall identify the lot and specify— by what right the person became entitled to the land; and the person’s name, in full, the address for the service of notices on the person and the date upon which the person became entitled to the land.\n(sec.79-ssec.4) Where— the primary thoroughfare body corporate believes that a person may, under this section, give a notice to it; and the primary thoroughfare body corporate has not received that notice; the primary thoroughfare body corporate may serve a notice on that person specifying the capacity in which it believes the person is entitled to give the notice and requiring the person— to state, within 14 days, whether or not the person is a person entitled to give a notice in that capacity; and if the person is such a person, to give that notice.\n(sec.79-ssec.5) Where the primary thoroughfare body corporate has served a notice under subsection&#160;(4) on a person whom it believes to be a person entitled to give a notice to the primary thoroughfare body corporate under this section that person is not entitled to cast a vote at any meeting of the primary thoroughfare body corporate until the person gives the required notice.\n(sec.79-ssec.6) A vote cast at a meeting of the primary thoroughfare body corporate by or on behalf of a member of the primary thoroughfare body corporate has no effect unless the primary thoroughfare body corporate has been given notice in writing specifying the nominee of the member.\n(sec.79-ssec.7) A notice referred to in subsection&#160;(6) may be included in any other notice that the member of the primary thoroughfare body corporate to which it relates is entitled under this section to give to the primary thoroughfare body corporate.\n- (a) specify the name of the transferee in full, the address for the service of notices on the transferee, the address for the service of notices on the transferor and the date upon which the instrument was or instruments were so delivered; and\n- (b) bear written confirmation by the transferee of the accuracy of the information contained in the notice.\n- (a) by what right the person became entitled to the land; and\n- (b) the person’s name, in full, the address for the service of notices on the person and the date upon which the person became entitled to the land.\n- (a) the primary thoroughfare body corporate believes that a person may, under this section, give a notice to it; and\n- (b) the primary thoroughfare body corporate has not received that notice;\n- (c) to state, within 14 days, whether or not the person is a person entitled to give a notice in that capacity; and\n- (d) if the person is such a person, to give that notice.","sortOrder":150},{"sectionNumber":"sec.80","sectionType":"section","heading":"Supply of information, certificates and copies by primary thoroughfare body corporate","content":"### sec.80 Supply of information, certificates and copies by primary thoroughfare body corporate\n\nThe primary thoroughfare body corporate shall, upon application made to it in writing by a member of the primary thoroughfare body corporate, by a member of the principal body corporate or by a proprietor of any lot on a group titles plan or building units plan or by a person authorised in writing by such member or proprietor and on payment of such sum as the primary thoroughfare body corporate may fix by resolution but not exceeding the reasonable cost to the primary thoroughfare body corporate, do such 1 or more of the following things as are required of it in the application—\ninform the applicant of the name and address of each person who is the chairperson, secretary or treasurer of the primary thoroughfare body corporate or a member of the executive committee;\nmake available for inspection by the applicant or the applicant’s agent—\nthe primary thoroughfare body corporate roll;\nthe notices and orders referred to in section&#160;77 (1) (d) ;\nthe plans, specifications, drawings showing water pipes, electric cables or drainage, certificates, diagrams and other documents held by it relating to the primary thoroughfare;\nthe minutes of general meetings of the primary thoroughfare body corporate and of the executive committee;\nthe books of account of the primary thoroughfare body corporate;\na copy of the statement of accounts of the primary thoroughfare body corporate last prepared by the primary thoroughfare body corporate in accordance with section&#160;77 (1) (f) ;\nevery current policy of insurance effected by the primary thoroughfare body corporate and the receipt for the premium last paid in respect of each such policy;\nany other record or document in the custody or under the control of the primary thoroughfare body corporate;\nthe primary thoroughfare by-laws for the time being in force;\nat such time and place as may be agreed upon by the applicant or the applicant’s agent and the primary thoroughfare body corporate and, failing agreement, at the office of the primary thoroughfare body corporate at a time and on a date fixed by the primary thoroughfare body corporate under subsection&#160;(2) ;\ncertify, as at the date of the certificate, in respect of any land in respect of which the application is made—\nthe amount of any regular periodic contributions determined by the primary thoroughfare body corporate under section&#160;77 (1) (h) and (4) and the periods in respect of which those contributions are payable; and\nwhether there is any amount unpaid of any contribution determined under section&#160;77 (1) (h) and, if so, the amount thereof; and\nwhether there is any amount unpaid of any contribution levied under section&#160;77 (1) (l) and, if so, the amount thereof and the date on which it was levied; and\nwhether there is any amount unpaid of any contribution levied under section&#160;92 and, if so, the amount thereof and the date on which it was levied; and\nthe amount (if any) determined under section&#160;77 (2) in respect of any unpaid contribution referred to in this paragraph; and\nwhether there is a liability to contribute towards the establishment and maintenance of a pedestrian mall approved pursuant to section&#160;60 and whether there is unpaid any contribution levied and if so, the amount thereof and the date which it was levied;\nfurnish to the applicant or the applicant’s agent a copy of the primary thoroughfare by-laws for the time being in force or any part thereof within a period of 21 days commencing on the day next after the date on which the application is received by the primary thoroughfare body corporate.\nWhere an applicant and the primary thoroughfare body corporate fail to reach an agreement referred to in subsection&#160;(1) (b) within 3 days after the receipt of the application by the primary thoroughfare body corporate, the primary thoroughfare body corporate shall forthwith send by post to the applicant a notice fixing a time, specified in the notice, between 9a.m. and 8p.m. on a date so specified, being a date not later than 10 days after the receipt of the application by the primary thoroughfare body corporate for the making of the inspection referred to in subsection&#160;(1) (b) .\nThe primary thoroughfare body corporate shall permit any person to whom the primary thoroughfare by-laws are made available for inspection to make copies of or take extracts from those by-laws.\n(sec.80-ssec.1) The primary thoroughfare body corporate shall, upon application made to it in writing by a member of the primary thoroughfare body corporate, by a member of the principal body corporate or by a proprietor of any lot on a group titles plan or building units plan or by a person authorised in writing by such member or proprietor and on payment of such sum as the primary thoroughfare body corporate may fix by resolution but not exceeding the reasonable cost to the primary thoroughfare body corporate, do such 1 or more of the following things as are required of it in the application— inform the applicant of the name and address of each person who is the chairperson, secretary or treasurer of the primary thoroughfare body corporate or a member of the executive committee; make available for inspection by the applicant or the applicant’s agent— the primary thoroughfare body corporate roll; the notices and orders referred to in section&#160;77 (1) (d) ; the plans, specifications, drawings showing water pipes, electric cables or drainage, certificates, diagrams and other documents held by it relating to the primary thoroughfare; the minutes of general meetings of the primary thoroughfare body corporate and of the executive committee; the books of account of the primary thoroughfare body corporate; a copy of the statement of accounts of the primary thoroughfare body corporate last prepared by the primary thoroughfare body corporate in accordance with section&#160;77 (1) (f) ; every current policy of insurance effected by the primary thoroughfare body corporate and the receipt for the premium last paid in respect of each such policy; any other record or document in the custody or under the control of the primary thoroughfare body corporate; the primary thoroughfare by-laws for the time being in force; at such time and place as may be agreed upon by the applicant or the applicant’s agent and the primary thoroughfare body corporate and, failing agreement, at the office of the primary thoroughfare body corporate at a time and on a date fixed by the primary thoroughfare body corporate under subsection&#160;(2) ; certify, as at the date of the certificate, in respect of any land in respect of which the application is made— the amount of any regular periodic contributions determined by the primary thoroughfare body corporate under section&#160;77 (1) (h) and (4) and the periods in respect of which those contributions are payable; and whether there is any amount unpaid of any contribution determined under section&#160;77 (1) (h) and, if so, the amount thereof; and whether there is any amount unpaid of any contribution levied under section&#160;77 (1) (l) and, if so, the amount thereof and the date on which it was levied; and whether there is any amount unpaid of any contribution levied under section&#160;92 and, if so, the amount thereof and the date on which it was levied; and the amount (if any) determined under section&#160;77 (2) in respect of any unpaid contribution referred to in this paragraph; and whether there is a liability to contribute towards the establishment and maintenance of a pedestrian mall approved pursuant to section&#160;60 and whether there is unpaid any contribution levied and if so, the amount thereof and the date which it was levied; furnish to the applicant or the applicant’s agent a copy of the primary thoroughfare by-laws for the time being in force or any part thereof within a period of 21 days commencing on the day next after the date on which the application is received by the primary thoroughfare body corporate.\n(sec.80-ssec.2) Where an applicant and the primary thoroughfare body corporate fail to reach an agreement referred to in subsection&#160;(1) (b) within 3 days after the receipt of the application by the primary thoroughfare body corporate, the primary thoroughfare body corporate shall forthwith send by post to the applicant a notice fixing a time, specified in the notice, between 9a.m. and 8p.m. on a date so specified, being a date not later than 10 days after the receipt of the application by the primary thoroughfare body corporate for the making of the inspection referred to in subsection&#160;(1) (b) .\n(sec.80-ssec.3) The primary thoroughfare body corporate shall permit any person to whom the primary thoroughfare by-laws are made available for inspection to make copies of or take extracts from those by-laws.\n- (a) inform the applicant of the name and address of each person who is the chairperson, secretary or treasurer of the primary thoroughfare body corporate or a member of the executive committee;\n- (b) make available for inspection by the applicant or the applicant’s agent— (i) the primary thoroughfare body corporate roll; (ii) the notices and orders referred to in section&#160;77 (1) (d) ; (iii) the plans, specifications, drawings showing water pipes, electric cables or drainage, certificates, diagrams and other documents held by it relating to the primary thoroughfare; (iv) the minutes of general meetings of the primary thoroughfare body corporate and of the executive committee; (v) the books of account of the primary thoroughfare body corporate; (vi) a copy of the statement of accounts of the primary thoroughfare body corporate last prepared by the primary thoroughfare body corporate in accordance with section&#160;77 (1) (f) ; (vii) every current policy of insurance effected by the primary thoroughfare body corporate and the receipt for the premium last paid in respect of each such policy; (viii) any other record or document in the custody or under the control of the primary thoroughfare body corporate; (ix) the primary thoroughfare by-laws for the time being in force; at such time and place as may be agreed upon by the applicant or the applicant’s agent and the primary thoroughfare body corporate and, failing agreement, at the office of the primary thoroughfare body corporate at a time and on a date fixed by the primary thoroughfare body corporate under subsection&#160;(2) ;\n- (i) the primary thoroughfare body corporate roll;\n- (ii) the notices and orders referred to in section&#160;77 (1) (d) ;\n- (iii) the plans, specifications, drawings showing water pipes, electric cables or drainage, certificates, diagrams and other documents held by it relating to the primary thoroughfare;\n- (iv) the minutes of general meetings of the primary thoroughfare body corporate and of the executive committee;\n- (v) the books of account of the primary thoroughfare body corporate;\n- (vi) a copy of the statement of accounts of the primary thoroughfare body corporate last prepared by the primary thoroughfare body corporate in accordance with section&#160;77 (1) (f) ;\n- (vii) every current policy of insurance effected by the primary thoroughfare body corporate and the receipt for the premium last paid in respect of each such policy;\n- (viii) any other record or document in the custody or under the control of the primary thoroughfare body corporate;\n- (ix) the primary thoroughfare by-laws for the time being in force;\n- (c) certify, as at the date of the certificate, in respect of any land in respect of which the application is made— (i) the amount of any regular periodic contributions determined by the primary thoroughfare body corporate under section&#160;77 (1) (h) and (4) and the periods in respect of which those contributions are payable; and (ii) whether there is any amount unpaid of any contribution determined under section&#160;77 (1) (h) and, if so, the amount thereof; and (iii) whether there is any amount unpaid of any contribution levied under section&#160;77 (1) (l) and, if so, the amount thereof and the date on which it was levied; and (iv) whether there is any amount unpaid of any contribution levied under section&#160;92 and, if so, the amount thereof and the date on which it was levied; and (v) the amount (if any) determined under section&#160;77 (2) in respect of any unpaid contribution referred to in this paragraph; and (vi) whether there is a liability to contribute towards the establishment and maintenance of a pedestrian mall approved pursuant to section&#160;60 and whether there is unpaid any contribution levied and if so, the amount thereof and the date which it was levied;\n- (i) the amount of any regular periodic contributions determined by the primary thoroughfare body corporate under section&#160;77 (1) (h) and (4) and the periods in respect of which those contributions are payable; and\n- (ii) whether there is any amount unpaid of any contribution determined under section&#160;77 (1) (h) and, if so, the amount thereof; and\n- (iii) whether there is any amount unpaid of any contribution levied under section&#160;77 (1) (l) and, if so, the amount thereof and the date on which it was levied; and\n- (iv) whether there is any amount unpaid of any contribution levied under section&#160;92 and, if so, the amount thereof and the date on which it was levied; and\n- (v) the amount (if any) determined under section&#160;77 (2) in respect of any unpaid contribution referred to in this paragraph; and\n- (vi) whether there is a liability to contribute towards the establishment and maintenance of a pedestrian mall approved pursuant to section&#160;60 and whether there is unpaid any contribution levied and if so, the amount thereof and the date which it was levied;\n- (d) furnish to the applicant or the applicant’s agent a copy of the primary thoroughfare by-laws for the time being in force or any part thereof within a period of 21 days commencing on the day next after the date on which the application is received by the primary thoroughfare body corporate.\n- (i) the primary thoroughfare body corporate roll;\n- (ii) the notices and orders referred to in section&#160;77 (1) (d) ;\n- (iii) the plans, specifications, drawings showing water pipes, electric cables or drainage, certificates, diagrams and other documents held by it relating to the primary thoroughfare;\n- (iv) the minutes of general meetings of the primary thoroughfare body corporate and of the executive committee;\n- (v) the books of account of the primary thoroughfare body corporate;\n- (vi) a copy of the statement of accounts of the primary thoroughfare body corporate last prepared by the primary thoroughfare body corporate in accordance with section&#160;77 (1) (f) ;\n- (vii) every current policy of insurance effected by the primary thoroughfare body corporate and the receipt for the premium last paid in respect of each such policy;\n- (viii) any other record or document in the custody or under the control of the primary thoroughfare body corporate;\n- (ix) the primary thoroughfare by-laws for the time being in force;\n- (i) the amount of any regular periodic contributions determined by the primary thoroughfare body corporate under section&#160;77 (1) (h) and (4) and the periods in respect of which those contributions are payable; and\n- (ii) whether there is any amount unpaid of any contribution determined under section&#160;77 (1) (h) and, if so, the amount thereof; and\n- (iii) whether there is any amount unpaid of any contribution levied under section&#160;77 (1) (l) and, if so, the amount thereof and the date on which it was levied; and\n- (iv) whether there is any amount unpaid of any contribution levied under section&#160;92 and, if so, the amount thereof and the date on which it was levied; and\n- (v) the amount (if any) determined under section&#160;77 (2) in respect of any unpaid contribution referred to in this paragraph; and\n- (vi) whether there is a liability to contribute towards the establishment and maintenance of a pedestrian mall approved pursuant to section&#160;60 and whether there is unpaid any contribution levied and if so, the amount thereof and the date which it was levied;","sortOrder":151},{"sectionNumber":"sec.81","sectionType":"section","heading":"Insurance by primary thoroughfare body corporate","content":"### sec.81 Insurance by primary thoroughfare body corporate\n\nThe primary thoroughfare body corporate shall effect insurance—\nin respect of any occurrence against which it is required by law to insure, including any insurance required to be effected because of the Workers’ Compensation and Rehabilitation Act 2003 ; and\nin respect of damage to property, death or bodily injury occurring upon the primary thoroughfare or the consequences resulting therefrom; and\nagainst the possibility of the members becoming jointly liable by reason of a claim arising in respect of any other occurrence against which the primary thoroughfare body corporate, pursuant to a special resolution, decides to insure.\nInsurance effected pursuant to subsection&#160;(1) (b) shall be for a cover of the prescribed amount prescribed by order in council or, if not prescribed, $10,000,000.\nThe primary thoroughfare body corporate may insure any property in which it has an insurable interest.\ns&#160;81 amd 1987 No.&#160;91 s&#160;39 ; 1996 No.&#160;75 s&#160;535 sch&#160;2 ; 2003 No.&#160;27 s&#160;622 sch&#160;5\n(sec.81-ssec.1) The primary thoroughfare body corporate shall effect insurance— in respect of any occurrence against which it is required by law to insure, including any insurance required to be effected because of the Workers’ Compensation and Rehabilitation Act 2003 ; and in respect of damage to property, death or bodily injury occurring upon the primary thoroughfare or the consequences resulting therefrom; and against the possibility of the members becoming jointly liable by reason of a claim arising in respect of any other occurrence against which the primary thoroughfare body corporate, pursuant to a special resolution, decides to insure.\n(sec.81-ssec.2) Insurance effected pursuant to subsection&#160;(1) (b) shall be for a cover of the prescribed amount prescribed by order in council or, if not prescribed, $10,000,000.\n(sec.81-ssec.3) The primary thoroughfare body corporate may insure any property in which it has an insurable interest.\n- (a) in respect of any occurrence against which it is required by law to insure, including any insurance required to be effected because of the Workers’ Compensation and Rehabilitation Act 2003 ; and\n- (b) in respect of damage to property, death or bodily injury occurring upon the primary thoroughfare or the consequences resulting therefrom; and\n- (c) against the possibility of the members becoming jointly liable by reason of a claim arising in respect of any other occurrence against which the primary thoroughfare body corporate, pursuant to a special resolution, decides to insure.","sortOrder":152},{"sectionNumber":"sec.82","sectionType":"section","heading":"Power for individuals to act for corporate members","content":"### sec.82 Power for individuals to act for corporate members\n\nA body corporate (including the principal body corporate) may authorise an individual to exercise or perform on its behalf any power, authority, duty or function conferred by or under this Act on the body corporate as member of the primary thoroughfare body corporate and may revoke the authority of an individual so authorised.\nWhere an individual exercises or performs a power, authority, duty or function that the individual is, by a member of the primary thoroughfare body corporate, authorised pursuant to subsection (l) to exercise or perform, the power, authority, duty or function shall be deemed to be exercised or performed by the member.\nNothing in subsection&#160;(1) or (2) affects any liability or obligation imposed by or under this Act on a body corporate which is a member.\nA document under the seal of a body corporate purporting to be an authorisation under subsection&#160;(1) or to be a revocation of such an authorisation is admissible in evidence and shall, unless the contrary is proved, be deemed to be such an authorisation or revocation, as the case may be.\n(sec.82-ssec.1) A body corporate (including the principal body corporate) may authorise an individual to exercise or perform on its behalf any power, authority, duty or function conferred by or under this Act on the body corporate as member of the primary thoroughfare body corporate and may revoke the authority of an individual so authorised.\n(sec.82-ssec.2) Where an individual exercises or performs a power, authority, duty or function that the individual is, by a member of the primary thoroughfare body corporate, authorised pursuant to subsection (l) to exercise or perform, the power, authority, duty or function shall be deemed to be exercised or performed by the member.\n(sec.82-ssec.3) Nothing in subsection&#160;(1) or (2) affects any liability or obligation imposed by or under this Act on a body corporate which is a member.\n(sec.82-ssec.4) A document under the seal of a body corporate purporting to be an authorisation under subsection&#160;(1) or to be a revocation of such an authorisation is admissible in evidence and shall, unless the contrary is proved, be deemed to be such an authorisation or revocation, as the case may be.","sortOrder":153},{"sectionNumber":"sec.83","sectionType":"section","heading":"Voting rights","content":"### sec.83 Voting rights\n\nAny powers of voting conferred by or under this part may be exercised—\nin the case of a member who is an infant—by the member’s guardian;\nin the case of a member who is for any reason unable to control the member’s property—by the person who for the time being is authorised by law to control that property;\nin the case of a member which is a body corporate—by the person nominated pursuant to section&#160;82 by that member.\nWhere the Supreme Court of Queensland upon the application of the primary thoroughfare body corporate or of any member is satisfied that there is no person able to vote in respect of any voting entitlement or that the person able to vote cannot be found, the court in its discretion may appoint the public trustee or some other fit and proper person for the purpose of exercising such powers of voting under this part as the court shall determine.\nThe court may order service of notice of an application under subsection&#160;(2) on such persons as it thinks fit or may dispense with service of such notice.\nOn making an appointment under subsection&#160;(2) the court may make such order as it thinks necessary or expedient to give effect to the appointment including an order as to the payment of costs of the application, and may vary an order so made.\nThe powers of the court under this section may be exercised by the registrar in the first instance, who may refer the application to a Judge and who shall so refer it at the request of the applicant or any respondent.\nIn this section and in section&#160;84 —\nregistrar means the registrar of the Supreme Court of Queensland at Brisbane, Rockhampton or Townsville, as the case may be, and includes a deputy registrar.\n(sec.83-ssec.1) Any powers of voting conferred by or under this part may be exercised— in the case of a member who is an infant—by the member’s guardian; in the case of a member who is for any reason unable to control the member’s property—by the person who for the time being is authorised by law to control that property; in the case of a member which is a body corporate—by the person nominated pursuant to section&#160;82 by that member.\n(sec.83-ssec.2) Where the Supreme Court of Queensland upon the application of the primary thoroughfare body corporate or of any member is satisfied that there is no person able to vote in respect of any voting entitlement or that the person able to vote cannot be found, the court in its discretion may appoint the public trustee or some other fit and proper person for the purpose of exercising such powers of voting under this part as the court shall determine.\n(sec.83-ssec.3) The court may order service of notice of an application under subsection&#160;(2) on such persons as it thinks fit or may dispense with service of such notice.\n(sec.83-ssec.4) On making an appointment under subsection&#160;(2) the court may make such order as it thinks necessary or expedient to give effect to the appointment including an order as to the payment of costs of the application, and may vary an order so made.\n(sec.83-ssec.5) The powers of the court under this section may be exercised by the registrar in the first instance, who may refer the application to a Judge and who shall so refer it at the request of the applicant or any respondent.\n(sec.83-ssec.6) In this section and in section&#160;84 — registrar means the registrar of the Supreme Court of Queensland at Brisbane, Rockhampton or Townsville, as the case may be, and includes a deputy registrar.\n- (a) in the case of a member who is an infant—by the member’s guardian;\n- (b) in the case of a member who is for any reason unable to control the member’s property—by the person who for the time being is authorised by law to control that property;\n- (c) in the case of a member which is a body corporate—by the person nominated pursuant to section&#160;82 by that member.","sortOrder":154},{"sectionNumber":"sec.84","sectionType":"section","heading":"Procedure upon application to Supreme Court","content":"### sec.84 Procedure upon application to Supreme Court\n\nEvery application to the Supreme Court of Queensland under this part shall be by summons at chambers unless otherwise provided by rules of court made in relation thereto.\nOn an application, notice shall be served on such persons as the court thinks fit or the court may dispense with such notice.\nThe court may, if it thinks fit, adjourn an application into court and thereupon may give such directions as to all matters, including filing of pleadings as may appear necessary and proper for a final hearing of the application.\nThe court may delegate to the registrar all or any of its powers under this part.\ns&#160;84 amd 1995 No.&#160;57 s&#160;4 sch&#160;1\n(sec.84-ssec.1) Every application to the Supreme Court of Queensland under this part shall be by summons at chambers unless otherwise provided by rules of court made in relation thereto.\n(sec.84-ssec.2) On an application, notice shall be served on such persons as the court thinks fit or the court may dispense with such notice.\n(sec.84-ssec.3) The court may, if it thinks fit, adjourn an application into court and thereupon may give such directions as to all matters, including filing of pleadings as may appear necessary and proper for a final hearing of the application.\n(sec.84-ssec.4) The court may delegate to the registrar all or any of its powers under this part.","sortOrder":155},{"sectionNumber":"pt.5-div.2","sectionType":"division","heading":"Executive committee","content":"## Executive committee","sortOrder":156},{"sectionNumber":"sec.85","sectionType":"section","heading":"Constitution of executive committee","content":"### sec.85 Constitution of executive committee\n\nAfter the first annual general meeting of the primary thoroughfare body corporate, there shall be an executive committee consisting of a chairperson, secretary and treasurer and such other members as may be elected or appointed pursuant to this section.\nThe chairperson, secretary and treasurer of the primary thoroughfare body corporate shall be members of, and be also respectively the chairperson, secretary and treasurer of, the executive committee.\nHowever, a person may be elected to 1 or more of those offices.\nWhere there are not more than 5 members of the primary thoroughfare body corporate, the executive committee shall consist of each member (if any) who is an individual or the individual’s nominee, together with the nominee of each member which is a body corporate.\nIf there are more than 5 members of the primary thoroughfare body corporate, the executive committee must consist of at least 5 persons and not more than the number of members of the primary thoroughfare body corporate, as decided by the primary thoroughfare body corporate.\nThe members of an executive committee referred to in subsection&#160;(4) and the chairperson, secretary and treasurer shall be elected at each annual general meeting of the primary thoroughfare body corporate or, if the number of members of the primary thoroughfare body corporate increases to more than 5, at an extraordinary general meeting convened for the purpose.\nThe election of the chairperson, secretary, treasurer and any other members of the executive committee at a general meeting of the primary thoroughfare body corporate must be conducted under schedule&#160;3 .\nA person is eligible for election as chairperson, secretary or treasurer, or as another member of the executive committee, only if the person—\nis an individual who—\nis a member of the primary thoroughfare body corporate; or\nhas been nominated for election by a member of the primary thoroughfare body corporate; and\ndoes not owe a relevant body corporate debt in relation to a lot or lots owned by the person.\nNotwithstanding the provisions of this section, the primary thoroughfare body corporate may determine that the holder of the office of secretary or treasurer of the primary thoroughfare body corporate shall not be a member of the executive committee whereupon, upon election to that office a person shall be the secretary or, as the case may be, treasurer of the primary thoroughfare body corporate and of the executive committee but shall not be a member of the executive committee.\nA member of the executive committee may, with the consent of the executive committee, appoint a member of the primary thoroughfare body corporate or nominee of a body corporate which is a member of the primary thoroughfare body corporate to act in the member’s place as a member of the executive committee at any meeting of the executive committee and any member or nominee so appointed shall, when the member is so acting, be deemed to be a member of the executive committee.\nA member of the primary thoroughfare body corporate or a nominee of a body corporate may be appointed under subsection&#160;(7) whether or not the member is a member of the executive committee.\nIf a person appointed under subsection&#160;(7) is a member of the executive committee the person may, at any meeting of the executive committee, separately vote in the person’s capacity as such a member and on behalf of the member in whose place the person has been appointed to act.\nNotwithstanding any other provision of this section, the executive committee may be constituted before the first annual general meeting of the primary thoroughfare body corporate.\nThe members of the executive committee constituted under subsection&#160;(10) (if any) and the chairperson, secretary and treasurer of the primary thoroughfare body corporate shall be elected at a general meeting of the primary thoroughfare body corporate and the provisions of subsection&#160;(6) and such of the provisions of schedule&#160;2 , part&#160;1 of the Building Units and Group Titles Act 1980 in force at the commencement of this Act as applied by section&#160;70 as relate to the election of the chairperson, secretary and treasurer of the primary thoroughfare body corporate and of members of the executive committee apply to and in respect of the election of the chairperson, secretary and treasurer and of those members of the executive committee to be so constituted.\nSchedule&#160;2 , part&#160;2 of the Building Units and Group Titles Act 1980 other than clause 16(1) as applied by section&#160;70 does not apply to or in respect of the election of the chairperson, secretary and treasurer of the primary thoroughfare body corporate and the members of the executive committee to be constituted under subsection&#160;(10) .\nThe provisions of this part (other than subsections&#160;(1) , (2) , (3) and (5) of this section) apply to and in respect of an executive committee constituted under subsection&#160;(10) and the members thereof.\nWhere there is no executive committee, the primary thoroughfare body corporate shall exercise and perform the powers, authorities, duties and functions of the executive committee.\ns&#160;85 amd 1987 s&#160;20; 2009 No.&#160;26 s&#160;95\n(sec.85-ssec.1) After the first annual general meeting of the primary thoroughfare body corporate, there shall be an executive committee consisting of a chairperson, secretary and treasurer and such other members as may be elected or appointed pursuant to this section.\n(sec.85-ssec.2) The chairperson, secretary and treasurer of the primary thoroughfare body corporate shall be members of, and be also respectively the chairperson, secretary and treasurer of, the executive committee.\n(sec.85-ssec.2A) However, a person may be elected to 1 or more of those offices.\n(sec.85-ssec.3) Where there are not more than 5 members of the primary thoroughfare body corporate, the executive committee shall consist of each member (if any) who is an individual or the individual’s nominee, together with the nominee of each member which is a body corporate.\n(sec.85-ssec.4) If there are more than 5 members of the primary thoroughfare body corporate, the executive committee must consist of at least 5 persons and not more than the number of members of the primary thoroughfare body corporate, as decided by the primary thoroughfare body corporate.\n(sec.85-ssec.5) The members of an executive committee referred to in subsection&#160;(4) and the chairperson, secretary and treasurer shall be elected at each annual general meeting of the primary thoroughfare body corporate or, if the number of members of the primary thoroughfare body corporate increases to more than 5, at an extraordinary general meeting convened for the purpose.\n(sec.85-ssec.5A) The election of the chairperson, secretary, treasurer and any other members of the executive committee at a general meeting of the primary thoroughfare body corporate must be conducted under schedule&#160;3 .\n(sec.85-ssec.6) A person is eligible for election as chairperson, secretary or treasurer, or as another member of the executive committee, only if the person— is an individual who— is a member of the primary thoroughfare body corporate; or has been nominated for election by a member of the primary thoroughfare body corporate; and does not owe a relevant body corporate debt in relation to a lot or lots owned by the person.\n(sec.85-ssec.6A) Notwithstanding the provisions of this section, the primary thoroughfare body corporate may determine that the holder of the office of secretary or treasurer of the primary thoroughfare body corporate shall not be a member of the executive committee whereupon, upon election to that office a person shall be the secretary or, as the case may be, treasurer of the primary thoroughfare body corporate and of the executive committee but shall not be a member of the executive committee.\n(sec.85-ssec.7) A member of the executive committee may, with the consent of the executive committee, appoint a member of the primary thoroughfare body corporate or nominee of a body corporate which is a member of the primary thoroughfare body corporate to act in the member’s place as a member of the executive committee at any meeting of the executive committee and any member or nominee so appointed shall, when the member is so acting, be deemed to be a member of the executive committee.\n(sec.85-ssec.8) A member of the primary thoroughfare body corporate or a nominee of a body corporate may be appointed under subsection&#160;(7) whether or not the member is a member of the executive committee.\n(sec.85-ssec.9) If a person appointed under subsection&#160;(7) is a member of the executive committee the person may, at any meeting of the executive committee, separately vote in the person’s capacity as such a member and on behalf of the member in whose place the person has been appointed to act.\n(sec.85-ssec.10) Notwithstanding any other provision of this section, the executive committee may be constituted before the first annual general meeting of the primary thoroughfare body corporate.\n(sec.85-ssec.11) The members of the executive committee constituted under subsection&#160;(10) (if any) and the chairperson, secretary and treasurer of the primary thoroughfare body corporate shall be elected at a general meeting of the primary thoroughfare body corporate and the provisions of subsection&#160;(6) and such of the provisions of schedule&#160;2 , part&#160;1 of the Building Units and Group Titles Act 1980 in force at the commencement of this Act as applied by section&#160;70 as relate to the election of the chairperson, secretary and treasurer of the primary thoroughfare body corporate and of members of the executive committee apply to and in respect of the election of the chairperson, secretary and treasurer and of those members of the executive committee to be so constituted.\n(sec.85-ssec.12) Schedule&#160;2 , part&#160;2 of the Building Units and Group Titles Act 1980 other than clause 16(1) as applied by section&#160;70 does not apply to or in respect of the election of the chairperson, secretary and treasurer of the primary thoroughfare body corporate and the members of the executive committee to be constituted under subsection&#160;(10) .\n(sec.85-ssec.13) The provisions of this part (other than subsections&#160;(1) , (2) , (3) and (5) of this section) apply to and in respect of an executive committee constituted under subsection&#160;(10) and the members thereof.\n(sec.85-ssec.14) Where there is no executive committee, the primary thoroughfare body corporate shall exercise and perform the powers, authorities, duties and functions of the executive committee.\n- (a) is an individual who— (i) is a member of the primary thoroughfare body corporate; or (ii) has been nominated for election by a member of the primary thoroughfare body corporate; and\n- (i) is a member of the primary thoroughfare body corporate; or\n- (ii) has been nominated for election by a member of the primary thoroughfare body corporate; and\n- (b) does not owe a relevant body corporate debt in relation to a lot or lots owned by the person.\n- (i) is a member of the primary thoroughfare body corporate; or\n- (ii) has been nominated for election by a member of the primary thoroughfare body corporate; and","sortOrder":157},{"sectionNumber":"sec.85A","sectionType":"section","heading":"Code of conduct for voting members of executive committee","content":"### sec.85A Code of conduct for voting members of executive committee\n\nThe code of conduct in schedule&#160;4 applies to each person (a voting member ) who is—\na member of the executive committee; and\nentitled to vote at general meetings of the primary thoroughfare body corporate.\nOn becoming a voting member of the executive committee, the person is taken to have agreed to comply with the code of conduct.\ns&#160;85A ins 2009 No.&#160;26 s&#160;96\n(sec.85A-ssec.1) The code of conduct in schedule&#160;4 applies to each person (a voting member ) who is— a member of the executive committee; and entitled to vote at general meetings of the primary thoroughfare body corporate.\n(sec.85A-ssec.2) On becoming a voting member of the executive committee, the person is taken to have agreed to comply with the code of conduct.\n- (a) a member of the executive committee; and\n- (b) entitled to vote at general meetings of the primary thoroughfare body corporate.","sortOrder":158},{"sectionNumber":"sec.86","sectionType":"section","heading":"Vacation of office of member of executive committee","content":"### sec.86 Vacation of office of member of executive committee\n\nA person elected as chairperson, secretary or treasurer of the primary thoroughfare body corporate or as a member of the executive committee vacates the person’s office—\nif, where the person was a member of the primary thoroughfare body corporate at the time of the person’s election, the person ceases to be a member of the primary thoroughfare body corporate; or\nif, where the person was not a member of the primary thoroughfare body corporate at the time of the person’s election the member who nominated the person for election—\nceases to be a member of the primary thoroughfare body corporate; or\nnotifies the primary thoroughfare body corporate, in writing, that his office, as a member of the executive committee, is vacated;\nhowever, this paragraph shall not apply to a secretary or treasurer of the primary thoroughfare body corporate who is not a member of the executive committee; or\nupon the receipt by the primary thoroughfare body corporate from the person of notice in writing of the person’s resignation; or\nupon the election at a general meeting of the primary thoroughfare body corporate of another person to that office or as a member of the executive committee; or\nwhere the person is a member referred to in section&#160;85 (3) and the number of members of the primary thoroughfare body corporate increases to more than 3, upon the election of the chairperson, secretary and treasurer of the primary thoroughfare body corporate and the other members of the executive committee at the annual general meeting, or the extraordinary general meeting referred to in section&#160;85 (5) ; or\nif the person is absent without prior leave granted by the executive committee from 3 consecutive meetings of the executive committee of which due notice has been given to the person; or\nif the person becomes bankrupt or compounds with his creditors or otherwise takes advantage of the laws in force for the time being relating to bankruptcy; or\nif the person is convicted in Queensland of an indictable offence or, elsewhere than in Queensland, is convicted of an offence which would be an indictable offence if committed in Queensland; or\nif the person dies; or\nif the person is removed from office by ordinary resolution of the primary thoroughfare body corporate under division&#160;2C ; or\nif the primary thoroughfare body corporate, pursuant to a special resolution, determines that the person’s office is vacated.\nUpon the occurrence of a vacancy in the office of chairperson, secretary or treasurer of the primary thoroughfare body corporate or another member of the executive committee, otherwise than by reason of subsection&#160;(1) (d) or (e) , the primary thoroughfare body corporate shall appoint a person eligible for election as such to fill the vacancy, and a person so appointed shall, subject to this section, hold office for the balance of the person’s predecessor’s term of office.\ns&#160;86 amd 2000 No.&#160;16 s&#160;590 sch&#160;1 pt&#160;2 ; 2009 No.&#160;26 s&#160;97\n(sec.86-ssec.1) A person elected as chairperson, secretary or treasurer of the primary thoroughfare body corporate or as a member of the executive committee vacates the person’s office— if, where the person was a member of the primary thoroughfare body corporate at the time of the person’s election, the person ceases to be a member of the primary thoroughfare body corporate; or if, where the person was not a member of the primary thoroughfare body corporate at the time of the person’s election the member who nominated the person for election— ceases to be a member of the primary thoroughfare body corporate; or notifies the primary thoroughfare body corporate, in writing, that his office, as a member of the executive committee, is vacated; however, this paragraph shall not apply to a secretary or treasurer of the primary thoroughfare body corporate who is not a member of the executive committee; or upon the receipt by the primary thoroughfare body corporate from the person of notice in writing of the person’s resignation; or upon the election at a general meeting of the primary thoroughfare body corporate of another person to that office or as a member of the executive committee; or where the person is a member referred to in section&#160;85 (3) and the number of members of the primary thoroughfare body corporate increases to more than 3, upon the election of the chairperson, secretary and treasurer of the primary thoroughfare body corporate and the other members of the executive committee at the annual general meeting, or the extraordinary general meeting referred to in section&#160;85 (5) ; or if the person is absent without prior leave granted by the executive committee from 3 consecutive meetings of the executive committee of which due notice has been given to the person; or if the person becomes bankrupt or compounds with his creditors or otherwise takes advantage of the laws in force for the time being relating to bankruptcy; or if the person is convicted in Queensland of an indictable offence or, elsewhere than in Queensland, is convicted of an offence which would be an indictable offence if committed in Queensland; or if the person dies; or if the person is removed from office by ordinary resolution of the primary thoroughfare body corporate under division&#160;2C ; or if the primary thoroughfare body corporate, pursuant to a special resolution, determines that the person’s office is vacated.\n(sec.86-ssec.2) Upon the occurrence of a vacancy in the office of chairperson, secretary or treasurer of the primary thoroughfare body corporate or another member of the executive committee, otherwise than by reason of subsection&#160;(1) (d) or (e) , the primary thoroughfare body corporate shall appoint a person eligible for election as such to fill the vacancy, and a person so appointed shall, subject to this section, hold office for the balance of the person’s predecessor’s term of office.\n- (a) if, where the person was a member of the primary thoroughfare body corporate at the time of the person’s election, the person ceases to be a member of the primary thoroughfare body corporate; or\n- (b) if, where the person was not a member of the primary thoroughfare body corporate at the time of the person’s election the member who nominated the person for election— (i) ceases to be a member of the primary thoroughfare body corporate; or (ii) notifies the primary thoroughfare body corporate, in writing, that his office, as a member of the executive committee, is vacated; however, this paragraph shall not apply to a secretary or treasurer of the primary thoroughfare body corporate who is not a member of the executive committee; or\n- (i) ceases to be a member of the primary thoroughfare body corporate; or\n- (ii) notifies the primary thoroughfare body corporate, in writing, that his office, as a member of the executive committee, is vacated;\n- (c) upon the receipt by the primary thoroughfare body corporate from the person of notice in writing of the person’s resignation; or\n- (d) upon the election at a general meeting of the primary thoroughfare body corporate of another person to that office or as a member of the executive committee; or\n- (e) where the person is a member referred to in section&#160;85 (3) and the number of members of the primary thoroughfare body corporate increases to more than 3, upon the election of the chairperson, secretary and treasurer of the primary thoroughfare body corporate and the other members of the executive committee at the annual general meeting, or the extraordinary general meeting referred to in section&#160;85 (5) ; or\n- (f) if the person is absent without prior leave granted by the executive committee from 3 consecutive meetings of the executive committee of which due notice has been given to the person; or\n- (g) if the person becomes bankrupt or compounds with his creditors or otherwise takes advantage of the laws in force for the time being relating to bankruptcy; or\n- (h) if the person is convicted in Queensland of an indictable offence or, elsewhere than in Queensland, is convicted of an offence which would be an indictable offence if committed in Queensland; or\n- (i) if the person dies; or\n- (j) if the person is removed from office by ordinary resolution of the primary thoroughfare body corporate under division&#160;2C ; or\n- (k) if the primary thoroughfare body corporate, pursuant to a special resolution, determines that the person’s office is vacated.\n- (i) ceases to be a member of the primary thoroughfare body corporate; or\n- (ii) notifies the primary thoroughfare body corporate, in writing, that his office, as a member of the executive committee, is vacated;","sortOrder":159},{"sectionNumber":"sec.87","sectionType":"section","heading":"Chairperson, secretary and treasurer of executive committee","content":"### sec.87 Chairperson, secretary and treasurer of executive committee\n\nThe chairperson shall preside at all meetings of the executive committee at which the chairperson is present and, if the chairperson is absent from any meeting, the members of the executive present at that meeting shall appoint one of their number to preside at that meeting during the absence of the chairperson.\nA person shall not exercise or perform any of the powers, authorities, duties, or functions of the primary thoroughfare body corporate or of the treasurer of the primary thoroughfare body corporate, being powers, authorities, duties or functions relating to the receipt or expenditure of, or accounting for, moneys, or the keeping of the books of account, of the primary thoroughfare body corporate, unless the person is—\nthe treasurer of the primary thoroughfare body corporate; or\na person with whom the treasurer of the primary thoroughfare body corporate is required by an order of the executive committee to exercise or perform jointly that power, authority, duty or function, or who is enabling the treasurer to comply with the order.\nMaximum penalty—10 penalty units.\nThe treasurer of the primary thoroughfare body corporate may delegate the exercise or performance of any of the treasurer’s powers (other than this power of delegation), authorities, duties or functions as treasurer, the delegation of which is specifically approved by the executive committee, to another member of the executive committee so approved, subject to such limitations as to time or otherwise as are so approved and, while a delegate is acting in accordance with the terms of a delegation under this subsection, the delegate shall be deemed to be the treasurer of the primary thoroughfare body corporate.\nThe executive committee may, by a notice in writing served on the treasurer of the primary thoroughfare body corporate, order that the treasurer shall not exercise or perform any of the treasurer’s powers, authorities, duties or functions that are specified in the notice, unless the treasurer does so jointly with another person so specified.\nA person who has possession or control of—\nany records, books of account or keys belonging to the primary thoroughfare body corporate; or\nthe primary thoroughfare body corporate roll; or\nany other property of the primary thoroughfare body corporate;\nshall, within 7 days after service on the person of notice of a resolution of the executive committee requiring the person to do so, deliver those records, books of account and keys and that roll and other property to a member of the executive committee specified in the notice.\nMaximum penalty—10 penalty units.\ns&#160;87 amd 1987 No.&#160;91 s&#160;40 ; 1994 No.&#160;81 s&#160;525 sch&#160;3\n(sec.87-ssec.1) The chairperson shall preside at all meetings of the executive committee at which the chairperson is present and, if the chairperson is absent from any meeting, the members of the executive present at that meeting shall appoint one of their number to preside at that meeting during the absence of the chairperson.\n(sec.87-ssec.2) A person shall not exercise or perform any of the powers, authorities, duties, or functions of the primary thoroughfare body corporate or of the treasurer of the primary thoroughfare body corporate, being powers, authorities, duties or functions relating to the receipt or expenditure of, or accounting for, moneys, or the keeping of the books of account, of the primary thoroughfare body corporate, unless the person is— the treasurer of the primary thoroughfare body corporate; or a person with whom the treasurer of the primary thoroughfare body corporate is required by an order of the executive committee to exercise or perform jointly that power, authority, duty or function, or who is enabling the treasurer to comply with the order. Maximum penalty—10 penalty units.\n(sec.87-ssec.3) The treasurer of the primary thoroughfare body corporate may delegate the exercise or performance of any of the treasurer’s powers (other than this power of delegation), authorities, duties or functions as treasurer, the delegation of which is specifically approved by the executive committee, to another member of the executive committee so approved, subject to such limitations as to time or otherwise as are so approved and, while a delegate is acting in accordance with the terms of a delegation under this subsection, the delegate shall be deemed to be the treasurer of the primary thoroughfare body corporate.\n(sec.87-ssec.4) The executive committee may, by a notice in writing served on the treasurer of the primary thoroughfare body corporate, order that the treasurer shall not exercise or perform any of the treasurer’s powers, authorities, duties or functions that are specified in the notice, unless the treasurer does so jointly with another person so specified.\n(sec.87-ssec.5) A person who has possession or control of— any records, books of account or keys belonging to the primary thoroughfare body corporate; or the primary thoroughfare body corporate roll; or any other property of the primary thoroughfare body corporate; shall, within 7 days after service on the person of notice of a resolution of the executive committee requiring the person to do so, deliver those records, books of account and keys and that roll and other property to a member of the executive committee specified in the notice. Maximum penalty—10 penalty units.\n- (a) the treasurer of the primary thoroughfare body corporate; or\n- (b) a person with whom the treasurer of the primary thoroughfare body corporate is required by an order of the executive committee to exercise or perform jointly that power, authority, duty or function, or who is enabling the treasurer to comply with the order.\n- (a) any records, books of account or keys belonging to the primary thoroughfare body corporate; or\n- (b) the primary thoroughfare body corporate roll; or\n- (c) any other property of the primary thoroughfare body corporate;","sortOrder":160},{"sectionNumber":"sec.88","sectionType":"section","heading":"Meetings of executive committee","content":"### sec.88 Meetings of executive committee\n\nAt a meeting of the executive committee more than half of the members of the executive committee constitutes a quorum.\nSubject to this Act, the decision on any matter of the majority of the members voting on that matter shall be the decision of the executive committee at any meeting at which a quorum is present.\nA decision of the executive committee has no force or effect if, before that decision is made, notice in writing is given to the secretary of the executive committee by not less than half of the total number of members of the primary thoroughfare body corporate, the sum of whose voting entitlements exceed half of the aggregate of all voting entitlements recorded in the primary thoroughfare body corporate roll, that the making of the decision is opposed by those members.\nThe executive committee shall cause to be kept a record of its decisions, of any notices given to its secretary under subsection&#160;(3) and full and accurate minutes of its meetings\n(sec.88-ssec.1) At a meeting of the executive committee more than half of the members of the executive committee constitutes a quorum.\n(sec.88-ssec.2) Subject to this Act, the decision on any matter of the majority of the members voting on that matter shall be the decision of the executive committee at any meeting at which a quorum is present.\n(sec.88-ssec.3) A decision of the executive committee has no force or effect if, before that decision is made, notice in writing is given to the secretary of the executive committee by not less than half of the total number of members of the primary thoroughfare body corporate, the sum of whose voting entitlements exceed half of the aggregate of all voting entitlements recorded in the primary thoroughfare body corporate roll, that the making of the decision is opposed by those members.\n(sec.88-ssec.4) The executive committee shall cause to be kept a record of its decisions, of any notices given to its secretary under subsection&#160;(3) and full and accurate minutes of its meetings","sortOrder":161},{"sectionNumber":"sec.88A","sectionType":"section","heading":"Conflict of interest of executive committee member [SM, s&#160;53 &#93;","content":"### sec.88A Conflict of interest of executive committee member [SM, s&#160;53 &#93;\n\nA member of the executive committee must disclose to a meeting of the committee the member’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the interest could conflict with the appropriate performance of the member’s duties about the consideration of the issue.\nIf a member required under subsection&#160;(1) to disclose an interest in an issue is a voting member of the committee, the member is not entitled to vote on a motion involving the issue.\nA person who holds the proxy of a member of the committee must disclose to a meeting of the committee the proxy holder’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the interest could conflict with the appropriate performance of the proxy holder’s duties about the consideration of the issue.\nA proxy holder required under subsection&#160;(3) to disclose an interest in an issue must not vote as the proxy on a motion involving the issue.\nA person who holds the proxy of a member of the committee must disclose to a meeting of the committee the member’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the proxy holder is aware that the member, if present, would be required under subsection&#160;(1) to disclose the interest.\nA proxy holder required under subsection&#160;(5) to disclose an interest in an issue must not vote as the proxy on a motion involving the issue.\ns&#160;88A ins 2009 No.&#160;26 s&#160;98\n(sec.88A-ssec.1) A member of the executive committee must disclose to a meeting of the committee the member’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the interest could conflict with the appropriate performance of the member’s duties about the consideration of the issue.\n(sec.88A-ssec.2) If a member required under subsection&#160;(1) to disclose an interest in an issue is a voting member of the committee, the member is not entitled to vote on a motion involving the issue.\n(sec.88A-ssec.3) A person who holds the proxy of a member of the committee must disclose to a meeting of the committee the proxy holder’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the interest could conflict with the appropriate performance of the proxy holder’s duties about the consideration of the issue.\n(sec.88A-ssec.4) A proxy holder required under subsection&#160;(3) to disclose an interest in an issue must not vote as the proxy on a motion involving the issue.\n(sec.88A-ssec.5) A person who holds the proxy of a member of the committee must disclose to a meeting of the committee the member’s direct or indirect interest in an issue being considered, or about to be considered, by the committee if the proxy holder is aware that the member, if present, would be required under subsection&#160;(1) to disclose the interest.\n(sec.88A-ssec.6) A proxy holder required under subsection&#160;(5) to disclose an interest in an issue must not vote as the proxy on a motion involving the issue.","sortOrder":162},{"sectionNumber":"sec.89","sectionType":"section","heading":"Executive committee’s decisions to be decisions of primary thoroughfare body corporate","content":"### sec.89 Executive committee’s decisions to be decisions of primary thoroughfare body corporate\n\nIn this section—\nrestricted matter means—\nany matter relating to the striking of a special monetary levy on all members of the primary thoroughfare body corporate; and\nany matter which seeks to alter the rights, privileges or obligations of members of the primary thoroughfare body corporate; and\nany matter which seeks to alter the annual monetary contribution of members of the primary thoroughfare body corporate; and\nany matter a decision on which may, in accordance with any provision of this Act, only be made by the primary thoroughfare body corporate pursuant to a special resolution or in general meeting of the primary thoroughfare body corporate; and\nany matter referred to in section&#160;91 and specified in a resolution of the primary thoroughfare body corporate passed for the purposes of that section.\nSubject to this Act, the decision of the executive committee on any matter, other than a restricted matter, shall be the decision of the primary thoroughfare body corporate.\nNotwithstanding that the executive committee holds office, the primary thoroughfare body corporate may in general meeting continue to exercise or perform all or any of the powers, authorities, duties and functions conferred or imposed on it by this Act.\n(sec.89-ssec.1) In this section— restricted matter means— any matter relating to the striking of a special monetary levy on all members of the primary thoroughfare body corporate; and any matter which seeks to alter the rights, privileges or obligations of members of the primary thoroughfare body corporate; and any matter which seeks to alter the annual monetary contribution of members of the primary thoroughfare body corporate; and any matter a decision on which may, in accordance with any provision of this Act, only be made by the primary thoroughfare body corporate pursuant to a special resolution or in general meeting of the primary thoroughfare body corporate; and any matter referred to in section&#160;91 and specified in a resolution of the primary thoroughfare body corporate passed for the purposes of that section.\n(sec.89-ssec.2) Subject to this Act, the decision of the executive committee on any matter, other than a restricted matter, shall be the decision of the primary thoroughfare body corporate.\n(sec.89-ssec.3) Notwithstanding that the executive committee holds office, the primary thoroughfare body corporate may in general meeting continue to exercise or perform all or any of the powers, authorities, duties and functions conferred or imposed on it by this Act.\n- (a) any matter relating to the striking of a special monetary levy on all members of the primary thoroughfare body corporate; and\n- (b) any matter which seeks to alter the rights, privileges or obligations of members of the primary thoroughfare body corporate; and\n- (c) any matter which seeks to alter the annual monetary contribution of members of the primary thoroughfare body corporate; and\n- (d) any matter a decision on which may, in accordance with any provision of this Act, only be made by the primary thoroughfare body corporate pursuant to a special resolution or in general meeting of the primary thoroughfare body corporate; and\n- (e) any matter referred to in section&#160;91 and specified in a resolution of the primary thoroughfare body corporate passed for the purposes of that section.","sortOrder":163},{"sectionNumber":"sec.90","sectionType":"section","heading":"Statutory restrictions on powers of executive committee","content":"### sec.90 Statutory restrictions on powers of executive committee\n\nUnless—\notherwise determined pursuant to a special resolution of the primary thoroughfare body corporate; or\nin an emergency authorised by the Minister; or\nconsented to by such persons entitled to vote at a general meeting of the primary thoroughfare body corporate who represent an aggregate voting entitlement of not less than 75% of the aggregate of all voting entitlements recorded in the primary thoroughfare body corporate roll;\nthe executive committee shall not undertake expenditure.\nIn respect of any proposed expenditure which, under subsection&#160;(1) , the executive committee is not entitled to undertake the executive committee shall—\nsubmit the proposal for determination at an extraordinary general meeting of the primary thoroughfare body corporate convened for the purpose of, or for purposes which include, consideration of the proposal; and\nif the proposed expenditure is in respect of work to be performed or the purchase of personal property submit at least 2 tenders to that meeting with the proposal.\nSubsection&#160;(1) does not apply to the expenditure of moneys—\nin payment of any premium of insurance effected by or on behalf of the primary thoroughfare body corporate; or\nto comply with a notice or order served on the primary thoroughfare body corporate by any public or local government; or\nin discharge of any liability incurred in respect of an obligation of the primary thoroughfare body corporate authorised by the primary thoroughfare body corporate in general meeting.\n(sec.90-ssec.1) Unless— otherwise determined pursuant to a special resolution of the primary thoroughfare body corporate; or in an emergency authorised by the Minister; or consented to by such persons entitled to vote at a general meeting of the primary thoroughfare body corporate who represent an aggregate voting entitlement of not less than 75% of the aggregate of all voting entitlements recorded in the primary thoroughfare body corporate roll; the executive committee shall not undertake expenditure.\n(sec.90-ssec.2) In respect of any proposed expenditure which, under subsection&#160;(1) , the executive committee is not entitled to undertake the executive committee shall— submit the proposal for determination at an extraordinary general meeting of the primary thoroughfare body corporate convened for the purpose of, or for purposes which include, consideration of the proposal; and if the proposed expenditure is in respect of work to be performed or the purchase of personal property submit at least 2 tenders to that meeting with the proposal.\n(sec.90-ssec.3) Subsection&#160;(1) does not apply to the expenditure of moneys— in payment of any premium of insurance effected by or on behalf of the primary thoroughfare body corporate; or to comply with a notice or order served on the primary thoroughfare body corporate by any public or local government; or in discharge of any liability incurred in respect of an obligation of the primary thoroughfare body corporate authorised by the primary thoroughfare body corporate in general meeting.\n- (a) otherwise determined pursuant to a special resolution of the primary thoroughfare body corporate; or\n- (b) in an emergency authorised by the Minister; or\n- (c) consented to by such persons entitled to vote at a general meeting of the primary thoroughfare body corporate who represent an aggregate voting entitlement of not less than 75% of the aggregate of all voting entitlements recorded in the primary thoroughfare body corporate roll;\n- (a) submit the proposal for determination at an extraordinary general meeting of the primary thoroughfare body corporate convened for the purpose of, or for purposes which include, consideration of the proposal; and\n- (b) if the proposed expenditure is in respect of work to be performed or the purchase of personal property submit at least 2 tenders to that meeting with the proposal.\n- (a) in payment of any premium of insurance effected by or on behalf of the primary thoroughfare body corporate; or\n- (b) to comply with a notice or order served on the primary thoroughfare body corporate by any public or local government; or\n- (c) in discharge of any liability incurred in respect of an obligation of the primary thoroughfare body corporate authorised by the primary thoroughfare body corporate in general meeting.","sortOrder":164},{"sectionNumber":"sec.91","sectionType":"section","heading":"Restrictions imposed on executive committee by primary thoroughfare body corporate","content":"### sec.91 Restrictions imposed on executive committee by primary thoroughfare body corporate\n\nThe primary thoroughfare body corporate may in general meeting decide what matters or class of matters (if any) shall be determined only by the primary thoroughfare body corporate in general meeting.","sortOrder":165},{"sectionNumber":"sec.91A","sectionType":"section","heading":"Protection of executive committee members from liability","content":"### sec.91A Protection of executive committee members from liability\n\nA member of the executive committee is not civilly liable for an act done or omission made in good faith and without negligence in performing the person’s role as a member of the committee.\nIn this section—\nact done or omission made does not include the publication of defamatory matter as mentioned in section&#160;91AA (1) .\ns&#160;91A ins 2009 No.&#160;26 s&#160;100\n(sec.91A-ssec.1) A member of the executive committee is not civilly liable for an act done or omission made in good faith and without negligence in performing the person’s role as a member of the committee.\n(sec.91A-ssec.2) In this section— act done or omission made does not include the publication of defamatory matter as mentioned in section&#160;91AA (1) .","sortOrder":166},{"sectionNumber":"sec.91AA","sectionType":"section","heading":"Protection of body corporate and executive committee from liability for defamation","content":"### sec.91AA Protection of body corporate and executive committee from liability for defamation\n\nThis section applies if—\nthe executive committee publishes required material for a general meeting of the primary thoroughfare body corporate; and\nthe required material contains defamatory matter.\nEach of the following is not liable for defamation because of the publication—\nthe primary thoroughfare body corporate;\nthe committee, or a member of the committee, other than a member of the committee who submitted the document containing the defamatory matter.\nIn this section—\nmember of the committee includes the body corporate manager acting under a delegation under section&#160;91AB (1) .\nprescribed motion means any of the following—\na motion to give a member of the executive committee a notice under section&#160;91H (1) ;\na motion mentioned in section&#160;91I (2) (a) to remove a member of the executive committee from office;\na motion to give a letting agent a code contravention notice;\na motion to require a letting agent to transfer the letting agent’s management rights for the resort or a part of the resort under section&#160;94K ;\na motion to terminate a person’s appointment as a body corporate manager, engagement as a service contractor or authorisation as a letting agent under section&#160;94V .\nrequired material , for a general meeting of the primary thoroughfare body corporate, means any of the following required under this Act to be published for the meeting—\na prescribed motion submitted other than by or for the committee for the general meeting;\nthe substance of a prescribed motion mentioned in paragraph&#160;(a) ;\nnotice of a prescribed motion mentioned in paragraph&#160;(a) or another document required to accompany the motion, prepared by the submitter of the motion.\ns&#160;91AA ins 2009 No.&#160;26 s&#160;100\n(sec.91AA-ssec.1) This section applies if— the executive committee publishes required material for a general meeting of the primary thoroughfare body corporate; and the required material contains defamatory matter.\n(sec.91AA-ssec.2) Each of the following is not liable for defamation because of the publication— the primary thoroughfare body corporate; the committee, or a member of the committee, other than a member of the committee who submitted the document containing the defamatory matter.\n(sec.91AA-ssec.3) In this section— member of the committee includes the body corporate manager acting under a delegation under section&#160;91AB (1) . prescribed motion means any of the following— a motion to give a member of the executive committee a notice under section&#160;91H (1) ; a motion mentioned in section&#160;91I (2) (a) to remove a member of the executive committee from office; a motion to give a letting agent a code contravention notice; a motion to require a letting agent to transfer the letting agent’s management rights for the resort or a part of the resort under section&#160;94K ; a motion to terminate a person’s appointment as a body corporate manager, engagement as a service contractor or authorisation as a letting agent under section&#160;94V . required material , for a general meeting of the primary thoroughfare body corporate, means any of the following required under this Act to be published for the meeting— a prescribed motion submitted other than by or for the committee for the general meeting; the substance of a prescribed motion mentioned in paragraph&#160;(a) ; notice of a prescribed motion mentioned in paragraph&#160;(a) or another document required to accompany the motion, prepared by the submitter of the motion.\n- (a) the executive committee publishes required material for a general meeting of the primary thoroughfare body corporate; and\n- (b) the required material contains defamatory matter.\n- (a) the primary thoroughfare body corporate;\n- (b) the committee, or a member of the committee, other than a member of the committee who submitted the document containing the defamatory matter.\n- (a) a motion to give a member of the executive committee a notice under section&#160;91H (1) ;\n- (b) a motion mentioned in section&#160;91I (2) (a) to remove a member of the executive committee from office;\n- (c) a motion to give a letting agent a code contravention notice;\n- (d) a motion to require a letting agent to transfer the letting agent’s management rights for the resort or a part of the resort under section&#160;94K ;\n- (e) a motion to terminate a person’s appointment as a body corporate manager, engagement as a service contractor or authorisation as a letting agent under section&#160;94V .\n- (a) a prescribed motion submitted other than by or for the committee for the general meeting;\n- (b) the substance of a prescribed motion mentioned in paragraph&#160;(a) ;\n- (c) notice of a prescribed motion mentioned in paragraph&#160;(a) or another document required to accompany the motion, prepared by the submitter of the motion.","sortOrder":167},{"sectionNumber":"pt.5-div.2A","sectionType":"division","heading":"Primary thoroughfare body corporate manager","content":"## Primary thoroughfare body corporate manager","sortOrder":168},{"sectionNumber":"sec.91AB","sectionType":"section","heading":"Primary thoroughfare body corporate manager","content":"### sec.91AB Primary thoroughfare body corporate manager\n\nSubject to subsections&#160;(2) , (8) , (9) and (10) the primary thoroughfare body corporate may, in general meeting and by instrument in writing, appoint upon such terms and conditions as the primary thoroughfare body corporate determines a body corporate manager and may, in like manner, delegate to the body corporate manager—\nall of its powers, authorities, duties and functions; or\nany 1 or more of its powers, authorities, duties and functions specified in the instrument; or\nall of its powers, authorities, duties and functions except those specified in the instrument;\nand may, in like manner, revoke wholly or in part the delegation.\nThe primary thoroughfare body corporate may not, under subsection&#160;(1) , delegate to a body corporate manager its powers to make—\na delegation under that subsection; or\na decision on a restricted matter within the meaning of section&#160;89 .\nA power, authority, duty or function the exercise or performance of which has been delegated under subsection&#160;(1) may, while the delegation remains unrevoked, be exercised from time to time in accordance with the delegation.\nA delegation under subsection&#160;(1) may be made subject to such conditions or such limitations as to the exercise or performance of all or any of the powers, authorities, duties or functions, or as to time or circumstances, as may be specified in the instrument of delegation.\nNotwithstanding any delegation made under subsection&#160;(1) , the primary thoroughfare body corporate may continue to exercise or perform all or any of the powers, authorities, duties or functions delegated by it.\nAny act or thing done or suffered by a body corporate manager while acting in the exercise of a delegation under subsection&#160;(1) has the same force and effect as if it had been done or suffered by the primary thoroughfare body corporate and shall be deemed to have been done or suffered by the primary thoroughfare body corporate.\nWhere the instrument of appointment so provides, a body corporate manager shall have and may exercise and perform all the powers, authorities, duties and functions of the chairperson, secretary or treasurer of the primary thoroughfare body corporate and the executive committee or such of those powers, authorities, duties and functions as may be specified in the instrument.\nThe term of appointment of the body corporate manager (after allowing for any rights or options of extension or renewal, whether provided for in the instrument of appointment or subsequently agreed to) must not be longer than 3 years.\nThe appointment of a body corporate manager begins on 1 January 2009 and is for a term of 3 years. The appointment can not end later than 31 December 2011.\nIf the term of appointment purports to be longer than 3 years, it is taken to be 3 years.\nTo remove any doubt, it is declared that at the end of the term of appointment of a person as the body corporate manager—\nthe appointment expires; and\nthe person can not act again as the body corporate manager without a new appointment.\nNothing in this section shall prevent the reappointment of a body corporate manager after the term of appointment has expired.\ns&#160;91AB (prev s&#160;91A) ins 1987 No.&#160;91 s&#160;41\namd 2009 No.&#160;26 s&#160;99 (1) – (3)\nrenum 2009 No.&#160;26 s&#160;99 (4)\n(sec.91AB-ssec.1) Subject to subsections&#160;(2) , (8) , (9) and (10) the primary thoroughfare body corporate may, in general meeting and by instrument in writing, appoint upon such terms and conditions as the primary thoroughfare body corporate determines a body corporate manager and may, in like manner, delegate to the body corporate manager— all of its powers, authorities, duties and functions; or any 1 or more of its powers, authorities, duties and functions specified in the instrument; or all of its powers, authorities, duties and functions except those specified in the instrument; and may, in like manner, revoke wholly or in part the delegation.\n(sec.91AB-ssec.2) The primary thoroughfare body corporate may not, under subsection&#160;(1) , delegate to a body corporate manager its powers to make— a delegation under that subsection; or a decision on a restricted matter within the meaning of section&#160;89 .\n(sec.91AB-ssec.3) A power, authority, duty or function the exercise or performance of which has been delegated under subsection&#160;(1) may, while the delegation remains unrevoked, be exercised from time to time in accordance with the delegation.\n(sec.91AB-ssec.4) A delegation under subsection&#160;(1) may be made subject to such conditions or such limitations as to the exercise or performance of all or any of the powers, authorities, duties or functions, or as to time or circumstances, as may be specified in the instrument of delegation.\n(sec.91AB-ssec.5) Notwithstanding any delegation made under subsection&#160;(1) , the primary thoroughfare body corporate may continue to exercise or perform all or any of the powers, authorities, duties or functions delegated by it.\n(sec.91AB-ssec.6) Any act or thing done or suffered by a body corporate manager while acting in the exercise of a delegation under subsection&#160;(1) has the same force and effect as if it had been done or suffered by the primary thoroughfare body corporate and shall be deemed to have been done or suffered by the primary thoroughfare body corporate.\n(sec.91AB-ssec.7) Where the instrument of appointment so provides, a body corporate manager shall have and may exercise and perform all the powers, authorities, duties and functions of the chairperson, secretary or treasurer of the primary thoroughfare body corporate and the executive committee or such of those powers, authorities, duties and functions as may be specified in the instrument.\n(sec.91AB-ssec.8) The term of appointment of the body corporate manager (after allowing for any rights or options of extension or renewal, whether provided for in the instrument of appointment or subsequently agreed to) must not be longer than 3 years. The appointment of a body corporate manager begins on 1 January 2009 and is for a term of 3 years. The appointment can not end later than 31 December 2011.\n(sec.91AB-ssec.9) If the term of appointment purports to be longer than 3 years, it is taken to be 3 years.\n(sec.91AB-ssec.10) To remove any doubt, it is declared that at the end of the term of appointment of a person as the body corporate manager— the appointment expires; and the person can not act again as the body corporate manager without a new appointment.\n(sec.91AB-ssec.11) Nothing in this section shall prevent the reappointment of a body corporate manager after the term of appointment has expired.\n- (a) all of its powers, authorities, duties and functions; or\n- (b) any 1 or more of its powers, authorities, duties and functions specified in the instrument; or\n- (c) all of its powers, authorities, duties and functions except those specified in the instrument;\n- (a) a delegation under that subsection; or\n- (b) a decision on a restricted matter within the meaning of section&#160;89 .\n- (a) the appointment expires; and\n- (b) the person can not act again as the body corporate manager without a new appointment.","sortOrder":169},{"sectionNumber":"pt.5-div.2B","sectionType":"division","heading":"Proxies for principal body corporate at general meetings of primary thoroughfare body corporate","content":"## Proxies for principal body corporate at general meetings of primary thoroughfare body corporate","sortOrder":170},{"sectionNumber":"sec.91B","sectionType":"section","heading":"Application of div&#160;2B","content":"### sec.91B Application of div&#160;2B\n\nThis division applies to the appointment and use of a proxy to represent the principal body corporate at a general meeting of the primary thoroughfare body corporate.\ns&#160;91B ins 2009 No.&#160;26 s&#160;101","sortOrder":171},{"sectionNumber":"sec.91C","sectionType":"section","heading":"Appointment [SM, s&#160;107 &#93;","content":"### sec.91C Appointment [SM, s&#160;107 &#93;\n\nSubject to subsection&#160;(2) , the principal body corporate may appoint a proxy to act for the body corporate at the general meeting.\nThe appointment of a proxy is effective only if the principal body corporate or the holder of the proxy gives, by hand, post or facsimile, a properly completed proxy form to the secretary of the primary thoroughfare body corporate before—\nthe start of the meeting where the proxy is to be exercised; or\nif the primary thoroughfare body corporate has fixed an earlier time by which proxies must be given (that can not, however, be earlier than 24 hours before the time fixed for the meeting)—the earlier time.\ns&#160;91C ins 2009 No.&#160;26 s&#160;101\n(sec.91C-ssec.1) Subject to subsection&#160;(2) , the principal body corporate may appoint a proxy to act for the body corporate at the general meeting.\n(sec.91C-ssec.2) The appointment of a proxy is effective only if the principal body corporate or the holder of the proxy gives, by hand, post or facsimile, a properly completed proxy form to the secretary of the primary thoroughfare body corporate before— the start of the meeting where the proxy is to be exercised; or if the primary thoroughfare body corporate has fixed an earlier time by which proxies must be given (that can not, however, be earlier than 24 hours before the time fixed for the meeting)—the earlier time.\n- (a) the start of the meeting where the proxy is to be exercised; or\n- (b) if the primary thoroughfare body corporate has fixed an earlier time by which proxies must be given (that can not, however, be earlier than 24 hours before the time fixed for the meeting)—the earlier time.","sortOrder":172},{"sectionNumber":"sec.91D","sectionType":"section","heading":"Form of proxy [SM, s&#160;108 &#93;","content":"### sec.91D Form of proxy [SM, s&#160;108 &#93;\n\nA proxy given under this division—\nmust be in the approved form; and\nmust be in the English language; and\ncan not be irrevocable; and\ncan not be transferred by the holder of the proxy to a third person; and\nlapses at the end of the primary thoroughfare body corporate’s financial year or at the end of a shorter period stated in the proxy; and\nmay be given by any person who has the right to vote at a general meeting; and\nsubject to the limitations contained in this division, may be given to any individual; and\nmust appoint a named individual.\ns&#160;91D ins 2009 No.&#160;26 s&#160;101\n- (a) must be in the approved form; and\n- (b) must be in the English language; and\n- (c) can not be irrevocable; and\n- (d) can not be transferred by the holder of the proxy to a third person; and\n- (e) lapses at the end of the primary thoroughfare body corporate’s financial year or at the end of a shorter period stated in the proxy; and\n- (f) may be given by any person who has the right to vote at a general meeting; and\n- (g) subject to the limitations contained in this division, may be given to any individual; and\n- (h) must appoint a named individual.","sortOrder":173},{"sectionNumber":"sec.91E","sectionType":"section","heading":"Use of proxy [SM, s&#160;109 &#93;","content":"### sec.91E Use of proxy [SM, s&#160;109 &#93;\n\nA member of the primary thoroughfare body corporate who is the proxy for the principal body corporate may vote both in the member’s own right and also as proxy of the principal body corporate.\nA vote by proxy must not be exercised on behalf of the principal body corporate at the general meeting—\nif the person appointed to represent the principal body corporate under section&#160;67 (1) is personally present at the meeting, unless the person consents at the meeting; or\non a particular motion, if a written or electronic vote has been exercised on the motion on behalf of the principal body corporate; or\non a ballot for the election of a member of the executive committee, or for otherwise choosing a member of the executive committee; or\nfor voting for a special resolution prohibiting, wholly or partly, the use of proxies at executive committee meetings or general meetings; or\nfor voting for a majority resolution; or\non a motion approving—\nthe appointment, engagement or authorisation of a person as the body corporate manager, a service contractor or a letting agent; or\nthe amendment or termination of an appointment, engagement or authorisation mentioned in subparagraph&#160;(i) ; or\non a motion decided by secret ballot.\nA proxy may be exercised by—\nthe proxy holder voting in a show of hands at a general meeting; or\nthe proxy holder completing a written or electronic vote on a motion before the start of, or at, the general meeting.\ns&#160;91E ins 2009 No.&#160;26 s&#160;101\n(sec.91E-ssec.1) A member of the primary thoroughfare body corporate who is the proxy for the principal body corporate may vote both in the member’s own right and also as proxy of the principal body corporate.\n(sec.91E-ssec.2) A vote by proxy must not be exercised on behalf of the principal body corporate at the general meeting— if the person appointed to represent the principal body corporate under section&#160;67 (1) is personally present at the meeting, unless the person consents at the meeting; or on a particular motion, if a written or electronic vote has been exercised on the motion on behalf of the principal body corporate; or on a ballot for the election of a member of the executive committee, or for otherwise choosing a member of the executive committee; or for voting for a special resolution prohibiting, wholly or partly, the use of proxies at executive committee meetings or general meetings; or for voting for a majority resolution; or on a motion approving— the appointment, engagement or authorisation of a person as the body corporate manager, a service contractor or a letting agent; or the amendment or termination of an appointment, engagement or authorisation mentioned in subparagraph&#160;(i) ; or on a motion decided by secret ballot.\n(sec.91E-ssec.3) A proxy may be exercised by— the proxy holder voting in a show of hands at a general meeting; or the proxy holder completing a written or electronic vote on a motion before the start of, or at, the general meeting.\n- (a) if the person appointed to represent the principal body corporate under section&#160;67 (1) is personally present at the meeting, unless the person consents at the meeting; or\n- (b) on a particular motion, if a written or electronic vote has been exercised on the motion on behalf of the principal body corporate; or\n- (c) on a ballot for the election of a member of the executive committee, or for otherwise choosing a member of the executive committee; or\n- (d) for voting for a special resolution prohibiting, wholly or partly, the use of proxies at executive committee meetings or general meetings; or\n- (e) for voting for a majority resolution; or\n- (f) on a motion approving— (i) the appointment, engagement or authorisation of a person as the body corporate manager, a service contractor or a letting agent; or (ii) the amendment or termination of an appointment, engagement or authorisation mentioned in subparagraph&#160;(i) ; or\n- (i) the appointment, engagement or authorisation of a person as the body corporate manager, a service contractor or a letting agent; or\n- (ii) the amendment or termination of an appointment, engagement or authorisation mentioned in subparagraph&#160;(i) ; or\n- (g) on a motion decided by secret ballot.\n- (i) the appointment, engagement or authorisation of a person as the body corporate manager, a service contractor or a letting agent; or\n- (ii) the amendment or termination of an appointment, engagement or authorisation mentioned in subparagraph&#160;(i) ; or\n- (a) the proxy holder voting in a show of hands at a general meeting; or\n- (b) the proxy holder completing a written or electronic vote on a motion before the start of, or at, the general meeting.","sortOrder":174},{"sectionNumber":"sec.91F","sectionType":"section","heading":"Special provisions about proxy use [SM, s&#160;110 &#93;","content":"### sec.91F Special provisions about proxy use [SM, s&#160;110 &#93;\n\nThe principal body corporate can not be prevented by contract from exercising a vote at the general meeting, and can not be required by contract to make someone else the body corporate’s proxy for voting at the general meeting.\nA proxy can not be exercised for the principal body corporate by—\nthe original owner of a secondary lot; or\na body corporate manager for—\nthe primary thoroughfare body corporate; or\nthe principal body corporate; or\na subsidiary body corporate of the primary thoroughfare body corporate or principal body corporate; or\nan associate of a person mentioned in paragraph&#160;(a) or (b) , unless the associate is 1 of the proprietors constituting a subsidiary body corporate of the principal body corporate.\ns&#160;91F ins 2009 No.&#160;26 s&#160;101\n(sec.91F-ssec.1) The principal body corporate can not be prevented by contract from exercising a vote at the general meeting, and can not be required by contract to make someone else the body corporate’s proxy for voting at the general meeting.\n(sec.91F-ssec.2) A proxy can not be exercised for the principal body corporate by— the original owner of a secondary lot; or a body corporate manager for— the primary thoroughfare body corporate; or the principal body corporate; or a subsidiary body corporate of the primary thoroughfare body corporate or principal body corporate; or an associate of a person mentioned in paragraph&#160;(a) or (b) , unless the associate is 1 of the proprietors constituting a subsidiary body corporate of the principal body corporate.\n- (a) the original owner of a secondary lot; or\n- (b) a body corporate manager for— (i) the primary thoroughfare body corporate; or (ii) the principal body corporate; or (iii) a subsidiary body corporate of the primary thoroughfare body corporate or principal body corporate; or\n- (i) the primary thoroughfare body corporate; or\n- (ii) the principal body corporate; or\n- (iii) a subsidiary body corporate of the primary thoroughfare body corporate or principal body corporate; or\n- (c) an associate of a person mentioned in paragraph&#160;(a) or (b) , unless the associate is 1 of the proprietors constituting a subsidiary body corporate of the principal body corporate.\n- (i) the primary thoroughfare body corporate; or\n- (ii) the principal body corporate; or\n- (iii) a subsidiary body corporate of the primary thoroughfare body corporate or principal body corporate; or","sortOrder":175},{"sectionNumber":"sec.91G","sectionType":"section","heading":"Offence [SM, s&#160;111 &#93;","content":"### sec.91G Offence [SM, s&#160;111 &#93;\n\nA person must not exercise a proxy, or otherwise purport to vote on behalf of the principal body corporate, at the general meeting of the primary thoroughfare body corporate knowing that the person does not have the right to exercise the proxy or otherwise vote on behalf of the principal body corporate.\nMaximum penalty—100 penalty units.\ns&#160;91G ins 2009 No.&#160;26 s&#160;101","sortOrder":176},{"sectionNumber":"pt.5-div.2C","sectionType":"division","heading":"Removal from office of voting members of executive committee for breach of code of conduct","content":"## Removal from office of voting members of executive committee for breach of code of conduct","sortOrder":177},{"sectionNumber":"sec.91H","sectionType":"section","heading":"Notice for breach of code of conduct [SM, s&#160;34 &#93;","content":"### sec.91H Notice for breach of code of conduct [SM, s&#160;34 &#93;\n\nIf the primary thoroughfare body corporate believes a voting member of its executive committee has breached the code of conduct for the member, the primary thoroughfare body corporate may decide, by ordinary resolution, to give the member a written notice stating each of the following—\nthat the primary thoroughfare body corporate believes the member has breached a stated provision of the code of conduct;\ndetails sufficient to identify the breach in not more than 600 words;\nthat the member may give any other member of the primary thoroughfare body corporate, within the stated period of at least 21 days after the member is given the notice, a written response to the notice in not more than 600 words;\nthat, if asked by the member, the primary thoroughfare body corporate will pay the member all postage charges and copying expenses reasonably incurred by the member in giving a written response under paragraph&#160;(c) to any other member of the primary thoroughfare body corporate;\nthat the primary thoroughfare body corporate is to consider a motion to remove the member from office for the breach at its next general meeting called after the period mentioned in paragraph&#160;(c) ends.\nIf asked by the member, the primary thoroughfare body corporate must pay the member all postage charges and copying expenses reasonably incurred by the member in giving a written response under subsection&#160;(1) (c) to any other member of the primary thoroughfare body corporate.\ns&#160;91H ins 2009 No.&#160;26 s&#160;101\n(sec.91H-ssec.1) If the primary thoroughfare body corporate believes a voting member of its executive committee has breached the code of conduct for the member, the primary thoroughfare body corporate may decide, by ordinary resolution, to give the member a written notice stating each of the following— that the primary thoroughfare body corporate believes the member has breached a stated provision of the code of conduct; details sufficient to identify the breach in not more than 600 words; that the member may give any other member of the primary thoroughfare body corporate, within the stated period of at least 21 days after the member is given the notice, a written response to the notice in not more than 600 words; that, if asked by the member, the primary thoroughfare body corporate will pay the member all postage charges and copying expenses reasonably incurred by the member in giving a written response under paragraph&#160;(c) to any other member of the primary thoroughfare body corporate; that the primary thoroughfare body corporate is to consider a motion to remove the member from office for the breach at its next general meeting called after the period mentioned in paragraph&#160;(c) ends.\n(sec.91H-ssec.2) If asked by the member, the primary thoroughfare body corporate must pay the member all postage charges and copying expenses reasonably incurred by the member in giving a written response under subsection&#160;(1) (c) to any other member of the primary thoroughfare body corporate.\n- (a) that the primary thoroughfare body corporate believes the member has breached a stated provision of the code of conduct;\n- (b) details sufficient to identify the breach in not more than 600 words;\n- (c) that the member may give any other member of the primary thoroughfare body corporate, within the stated period of at least 21 days after the member is given the notice, a written response to the notice in not more than 600 words;\n- (d) that, if asked by the member, the primary thoroughfare body corporate will pay the member all postage charges and copying expenses reasonably incurred by the member in giving a written response under paragraph&#160;(c) to any other member of the primary thoroughfare body corporate;\n- (e) that the primary thoroughfare body corporate is to consider a motion to remove the member from office for the breach at its next general meeting called after the period mentioned in paragraph&#160;(c) ends.","sortOrder":178},{"sectionNumber":"sec.91I","sectionType":"section","heading":"Removal of voting member at general meeting [SM, s&#160;35 &#93;","content":"### sec.91I Removal of voting member at general meeting [SM, s&#160;35 &#93;\n\nThis section applies if—\nthe primary thoroughfare body corporate gives a voting member of its executive committee a notice under section&#160;91H (1) ; and\nthe period mentioned in section&#160;91H (1) (c) for the notice has ended.\nThe primary thoroughfare body corporate must—\ninclude on the agenda of its next general meeting, called after the period mentioned in section&#160;91H (1) (c) ends, a motion to remove the member from office for breaching the code of conduct; and\nattach to the agenda a copy of—\nthe notice; and\nif the body corporate has received a written response from the member under section&#160;91H (1) (c) —the response.\nThe member may be removed from office, by ordinary resolution of the primary thoroughfare body corporate, at the next general meeting.\ns&#160;91I ins 2009 No.&#160;26 s&#160;101\n(sec.91I-ssec.1) This section applies if— the primary thoroughfare body corporate gives a voting member of its executive committee a notice under section&#160;91H (1) ; and the period mentioned in section&#160;91H (1) (c) for the notice has ended.\n(sec.91I-ssec.2) The primary thoroughfare body corporate must— include on the agenda of its next general meeting, called after the period mentioned in section&#160;91H (1) (c) ends, a motion to remove the member from office for breaching the code of conduct; and attach to the agenda a copy of— the notice; and if the body corporate has received a written response from the member under section&#160;91H (1) (c) —the response.\n(sec.91I-ssec.3) The member may be removed from office, by ordinary resolution of the primary thoroughfare body corporate, at the next general meeting.\n- (a) the primary thoroughfare body corporate gives a voting member of its executive committee a notice under section&#160;91H (1) ; and\n- (b) the period mentioned in section&#160;91H (1) (c) for the notice has ended.\n- (a) include on the agenda of its next general meeting, called after the period mentioned in section&#160;91H (1) (c) ends, a motion to remove the member from office for breaching the code of conduct; and\n- (b) attach to the agenda a copy of— (i) the notice; and (ii) if the body corporate has received a written response from the member under section&#160;91H (1) (c) —the response.\n- (i) the notice; and\n- (ii) if the body corporate has received a written response from the member under section&#160;91H (1) (c) —the response.\n- (i) the notice; and\n- (ii) if the body corporate has received a written response from the member under section&#160;91H (1) (c) —the response.","sortOrder":179},{"sectionNumber":"pt.5-div.3","sectionType":"division","heading":"General provisions","content":"## General provisions","sortOrder":180},{"sectionNumber":"sec.92","sectionType":"section","heading":"Costs in proceedings by members against primary thoroughfare body corporate","content":"### sec.92 Costs in proceedings by members against primary thoroughfare body corporate\n\nIn any proceedings brought by any member against the primary thoroughfare body corporate, the court before which the proceedings are brought may order that any moneys (including costs) payable by the primary thoroughfare body corporate pursuant to an order of the court made in those proceedings shall be paid, only in respect of such members as are specified in the order and in such proportions as may be so specified, by the primary thoroughfare body corporate out of contributions levied for the purpose.\nWhere a court makes an order under subsection&#160;(1) the primary thoroughfare body corporate shall, for the purpose of paying the moneys ordered to be paid by it, levy contributions in accordance with the terms of the order and shall pay the moneys out of the contributions paid pursuant to that levy.\nThe provisions of section&#160;73 with such modifications as may be necessary apply to and in respect of contributions levied under this subsection in the same way as those provisions apply to contributions levied under that section.\n(sec.92-ssec.1) In any proceedings brought by any member against the primary thoroughfare body corporate, the court before which the proceedings are brought may order that any moneys (including costs) payable by the primary thoroughfare body corporate pursuant to an order of the court made in those proceedings shall be paid, only in respect of such members as are specified in the order and in such proportions as may be so specified, by the primary thoroughfare body corporate out of contributions levied for the purpose.\n(sec.92-ssec.2) Where a court makes an order under subsection&#160;(1) the primary thoroughfare body corporate shall, for the purpose of paying the moneys ordered to be paid by it, levy contributions in accordance with the terms of the order and shall pay the moneys out of the contributions paid pursuant to that levy.\n(sec.92-ssec.3) The provisions of section&#160;73 with such modifications as may be necessary apply to and in respect of contributions levied under this subsection in the same way as those provisions apply to contributions levied under that section.","sortOrder":181},{"sectionNumber":"sec.93","sectionType":"section","heading":"Service of documents on primary thoroughfare body corporate, members and others","content":"### sec.93 Service of documents on primary thoroughfare body corporate, members and others\n\nA summons or other legal process may be served on the primary thoroughfare body corporate by leaving it with the chairperson or secretary of the primary thoroughfare body corporate or with any member of the executive committee.\nA document other than a document referred to in subsection&#160;(1) may be served on the primary thoroughfare body corporate—\nby leaving it with any person referred to in subsection&#160;(1) ; or\nby post on the primary thoroughfare body corporate at its last address notified in the gazette.\nSubject to this Act, a notice or other document required or authorised by this Act to be served by the primary thoroughfare body corporate, the executive committee or the secretary of the executive committee or a member or proprietor, lessee or occupier of land or of a lot may be served—\nby leaving it with some person apparently of or above the age of 16 years—\nwhere the person to be served is an occupier of land or a lot, at the land or lot; or\nwhere an address for the service of notices on the person to be served is recorded in the primary thoroughfare body corporate roll, at the address so recorded; or\nby post on the person to be served, where an address for the service of notices on that person is recorded in the primary thoroughfare body corporate roll, at the address so recorded; or\nin the case of a member—in any manner authorised by the primary thoroughfare by-laws for the service of notices on members.\nNotice under section&#160;87 (5) may be served on a person—\npersonally or by post; or\nby leaving it with a person apparently of or above the age of 16 years at the place of residence or place of business of the firstmentioned person.\ns&#160;93 amd 1987 s&#160;21\n(sec.93-ssec.1) A summons or other legal process may be served on the primary thoroughfare body corporate by leaving it with the chairperson or secretary of the primary thoroughfare body corporate or with any member of the executive committee.\n(sec.93-ssec.2) A document other than a document referred to in subsection&#160;(1) may be served on the primary thoroughfare body corporate— by leaving it with any person referred to in subsection&#160;(1) ; or by post on the primary thoroughfare body corporate at its last address notified in the gazette.\n(sec.93-ssec.3) Subject to this Act, a notice or other document required or authorised by this Act to be served by the primary thoroughfare body corporate, the executive committee or the secretary of the executive committee or a member or proprietor, lessee or occupier of land or of a lot may be served— by leaving it with some person apparently of or above the age of 16 years— where the person to be served is an occupier of land or a lot, at the land or lot; or where an address for the service of notices on the person to be served is recorded in the primary thoroughfare body corporate roll, at the address so recorded; or by post on the person to be served, where an address for the service of notices on that person is recorded in the primary thoroughfare body corporate roll, at the address so recorded; or in the case of a member—in any manner authorised by the primary thoroughfare by-laws for the service of notices on members.\n(sec.93-ssec.4) Notice under section&#160;87 (5) may be served on a person— personally or by post; or by leaving it with a person apparently of or above the age of 16 years at the place of residence or place of business of the firstmentioned person.\n- (a) by leaving it with any person referred to in subsection&#160;(1) ; or\n- (b) by post on the primary thoroughfare body corporate at its last address notified in the gazette.\n- (a) by leaving it with some person apparently of or above the age of 16 years— (i) where the person to be served is an occupier of land or a lot, at the land or lot; or (ii) where an address for the service of notices on the person to be served is recorded in the primary thoroughfare body corporate roll, at the address so recorded; or\n- (i) where the person to be served is an occupier of land or a lot, at the land or lot; or\n- (ii) where an address for the service of notices on the person to be served is recorded in the primary thoroughfare body corporate roll, at the address so recorded; or\n- (b) by post on the person to be served, where an address for the service of notices on that person is recorded in the primary thoroughfare body corporate roll, at the address so recorded; or\n- (c) in the case of a member—in any manner authorised by the primary thoroughfare by-laws for the service of notices on members.\n- (i) where the person to be served is an occupier of land or a lot, at the land or lot; or\n- (ii) where an address for the service of notices on the person to be served is recorded in the primary thoroughfare body corporate roll, at the address so recorded; or\n- (a) personally or by post; or\n- (b) by leaving it with a person apparently of or above the age of 16 years at the place of residence or place of business of the firstmentioned person.","sortOrder":182},{"sectionNumber":"sec.94","sectionType":"section","heading":"Power of primary thoroughfare body corporate to convene community meetings","content":"### sec.94 Power of primary thoroughfare body corporate to convene community meetings\n\nThe primary thoroughfare body corporate may, at the request of any proprietor or occupier of land or of a lot within the site or the adjacent site, convene a meeting in respect of any matter of interest to proprietors or occupiers of land or lots within the site or the adjacent site.\nAny proprietor or occupier of land or of a lot within the site or the adjacent site may attend and vote at a meeting convened pursuant to subsection&#160;(1) .\nThe chairperson of the primary thoroughfare body corporate shall preside at the meeting for the purpose of the election of a chairperson of the meeting and until the election of a chairperson.\nA meeting convened pursuant to subsection&#160;(1) is not a meeting of the primary thoroughfare body corporate.\ns&#160;94 amd 1987 No.&#160;91 s&#160;42\n(sec.94-ssec.1) The primary thoroughfare body corporate may, at the request of any proprietor or occupier of land or of a lot within the site or the adjacent site, convene a meeting in respect of any matter of interest to proprietors or occupiers of land or lots within the site or the adjacent site.\n(sec.94-ssec.2) Any proprietor or occupier of land or of a lot within the site or the adjacent site may attend and vote at a meeting convened pursuant to subsection&#160;(1) .\n(sec.94-ssec.3) The chairperson of the primary thoroughfare body corporate shall preside at the meeting for the purpose of the election of a chairperson of the meeting and until the election of a chairperson.\n(sec.94-ssec.4) A meeting convened pursuant to subsection&#160;(1) is not a meeting of the primary thoroughfare body corporate.","sortOrder":183},{"sectionNumber":"pt.5A","sectionType":"part","heading":"Conduct of body corporate managers, service contractors and letting agents","content":"# Conduct of body corporate managers, service contractors and letting agents","sortOrder":184},{"sectionNumber":"pt.5A-div.1","sectionType":"division","heading":"Preliminary","content":"## Preliminary","sortOrder":185},{"sectionNumber":"sec.94A","sectionType":"section","heading":"Definitions for pt&#160;5A","content":"### sec.94A Definitions for pt&#160;5A\n\nIn this part—\ncaretaking service contractor , for the resort, or part of the resort, means a service contractor for the resort or part who is also—\na letting agent for the resort or part; or\nan associate of the letting agent.\nletting agent authorisation , for a letting agent, means an authorisation given by the primary thoroughfare body corporate or principal body corporate to the letting agent to conduct a letting agent business for the resort or part of the resort.\nmanagement rights , of a letting agent for the resort or part of the resort, means—\nthe letting agent business for the resort or part, including the letting agent’s authorisation; and\nthe business conducted by the letting agent under a service contract for the resort or part, including the service contract; and\nthe letting agent’s interest in a lot used for conducting a business mentioned in paragraph&#160;(a) or (b) ; and\nany right of the letting agent to use and occupy a part of the common property for a business mentioned in paragraph&#160;(a) or (b) .\nreviewable terms , for a service contract, means the terms of the contract that provide for—\nthe functions and powers of the relevant letting agent as a service contractor; or\nthe remuneration payable to the relevant letting agent as a service contractor.\nreview advice , about a service contract, means written advice about whether the contract’s reviewable terms—\nare currently fair and reasonable; and\nif the reviewable terms are not currently fair and reasonable—how the reviewable terms should be changed to ensure they are fair and reasonable.\nservice contract means a contract entered into with a person for the engagement of the person as a service contractor for the resort or part of the resort.\ns&#160;94A ins 2009 No.&#160;26 s&#160;102\n- (a) a letting agent for the resort or part; or\n- (b) an associate of the letting agent.\n- (a) the letting agent business for the resort or part, including the letting agent’s authorisation; and\n- (b) the business conducted by the letting agent under a service contract for the resort or part, including the service contract; and\n- (c) the letting agent’s interest in a lot used for conducting a business mentioned in paragraph&#160;(a) or (b) ; and\n- (d) any right of the letting agent to use and occupy a part of the common property for a business mentioned in paragraph&#160;(a) or (b) .\n- (a) the functions and powers of the relevant letting agent as a service contractor; or\n- (b) the remuneration payable to the relevant letting agent as a service contractor.\n- (a) are currently fair and reasonable; and\n- (b) if the reviewable terms are not currently fair and reasonable—how the reviewable terms should be changed to ensure they are fair and reasonable.","sortOrder":186},{"sectionNumber":"sec.94B","sectionType":"section","heading":"Meaning of financier for a letting agent’s contract","content":"### sec.94B Meaning of financier for a letting agent’s contract\n\nA person is a financier for a contract under which a letting agent is authorised by a body corporate if the letting agent and the person give written notice signed by each of them to the body corporate that the person is a financier for the contract.\nA person stops being a financier for the contract if the person gives the body corporate a written notice withdrawing the notice given under subsection&#160;(1) .\nA notice under subsection&#160;(2) may be given without the letting agent’s agreement.\nHowever, a person is a financier for the contract only if the person is—\na financial institution; or\na person who, in the ordinary course of the person’s business, supplies, or might reasonably be expected to supply, finance for business acquisitions, using charges over contracts as the whole or part of the person’s security for supplying the finance; or\nat the time the person supplied finance for a business acquisition using a charge over the contract as the whole or part of the person’s security, the person was a person to whom paragraph&#160;(b) would have applied.\ns&#160;94B ins 2009 No.&#160;26 s&#160;102\n(sec.94B-ssec.1) A person is a financier for a contract under which a letting agent is authorised by a body corporate if the letting agent and the person give written notice signed by each of them to the body corporate that the person is a financier for the contract.\n(sec.94B-ssec.2) A person stops being a financier for the contract if the person gives the body corporate a written notice withdrawing the notice given under subsection&#160;(1) .\n(sec.94B-ssec.3) A notice under subsection&#160;(2) may be given without the letting agent’s agreement.\n(sec.94B-ssec.4) However, a person is a financier for the contract only if the person is— a financial institution; or a person who, in the ordinary course of the person’s business, supplies, or might reasonably be expected to supply, finance for business acquisitions, using charges over contracts as the whole or part of the person’s security for supplying the finance; or at the time the person supplied finance for a business acquisition using a charge over the contract as the whole or part of the person’s security, the person was a person to whom paragraph&#160;(b) would have applied.\n- (a) a financial institution; or\n- (b) a person who, in the ordinary course of the person’s business, supplies, or might reasonably be expected to supply, finance for business acquisitions, using charges over contracts as the whole or part of the person’s security for supplying the finance; or\n- (c) at the time the person supplied finance for a business acquisition using a charge over the contract as the whole or part of the person’s security, the person was a person to whom paragraph&#160;(b) would have applied.","sortOrder":187},{"sectionNumber":"sec.94C","sectionType":"section","heading":"Meaning of letting agent and letting agent business","content":"### sec.94C Meaning of letting agent and letting agent business\n\nA person is a letting agent for the resort or part of the resort if the person is authorised by the primary thoroughfare body corporate or principal body corporate to conduct a letting agent business for the resort or part.\nA person conducts a letting agent business for the resort or part of the resort if—\nthe person conducts, subject to the Property Occupations Act 2014 , the business of acting as the agent of the owners of 1 or more lots included in the resort or part; and\nthe owners choose to use the person’s services for securing, negotiating or enforcing, including collecting rents or tariffs for, leases or other occupancies of lots included in the resort or part.\nIt is not relevant to the identification of a person as a letting agent under this section that the person also conducts an ancillary business or other activity.\nvideo hire, linen hire, agency for tour operator\ns&#160;94C ins 2009 No.&#160;26 s&#160;102\namd 2014 No.&#160;22 s&#160;287 sch&#160;2 pt&#160;2\n(sec.94C-ssec.1) A person is a letting agent for the resort or part of the resort if the person is authorised by the primary thoroughfare body corporate or principal body corporate to conduct a letting agent business for the resort or part.\n(sec.94C-ssec.2) A person conducts a letting agent business for the resort or part of the resort if— the person conducts, subject to the Property Occupations Act 2014 , the business of acting as the agent of the owners of 1 or more lots included in the resort or part; and the owners choose to use the person’s services for securing, negotiating or enforcing, including collecting rents or tariffs for, leases or other occupancies of lots included in the resort or part.\n(sec.94C-ssec.3) It is not relevant to the identification of a person as a letting agent under this section that the person also conducts an ancillary business or other activity. video hire, linen hire, agency for tour operator\n- (a) the person conducts, subject to the Property Occupations Act 2014 , the business of acting as the agent of the owners of 1 or more lots included in the resort or part; and\n- (b) the owners choose to use the person’s services for securing, negotiating or enforcing, including collecting rents or tariffs for, leases or other occupancies of lots included in the resort or part.","sortOrder":188},{"sectionNumber":"sec.94D","sectionType":"section","heading":"Meaning of service contractor for resort or part","content":"### sec.94D Meaning of service contractor for resort or part\n\nA person is a service contractor for the resort or part of the resort if—\nthe person is engaged by the primary thoroughfare body corporate or principal body corporate to supply services to the body corporate for the benefit of the common property or lots included in the resort or part; and\nthe person is not an employee of the primary thoroughfare body corporate or principal body corporate; and\nthe services do not include administrative services; and\nthe term of the engagement is at least 1 year.\ncaretaking services, pool cleaning services\ns&#160;94D ins 2009 No.&#160;26 s&#160;102\n- (a) the person is engaged by the primary thoroughfare body corporate or principal body corporate to supply services to the body corporate for the benefit of the common property or lots included in the resort or part; and\n- (b) the person is not an employee of the primary thoroughfare body corporate or principal body corporate; and\n- (c) the services do not include administrative services; and\n- (d) the term of the engagement is at least 1 year.","sortOrder":189},{"sectionNumber":"pt.5A-div.2","sectionType":"division","heading":"Codes of conduct","content":"## Codes of conduct","sortOrder":190},{"sectionNumber":"sec.94E","sectionType":"section","heading":"Code of conduct for body corporate manager and caretaking service contractor","content":"### sec.94E Code of conduct for body corporate manager and caretaking service contractor\n\nThe code of conduct in schedule&#160;5 applies to—\na body corporate manager appointed by the primary thoroughfare body corporate or principal body corporate in performing obligations under the person’s appointment; and\na caretaking service contractor engaged by the primary thoroughfare body corporate or principal body corporate for the resort or part of the resort in performing obligations under the person’s engagement.\nCompliance with the provisions of the code is taken to be a condition of the instrument of appointment or the contract providing for the person’s engagement.\nIf there is an inconsistency between a provision of the code and a provision in the instrument of appointment or contract, the provision of the code prevails.\nIn this section—\ninstrument of appointment , in relation to a person’s appointment as a body corporate manager, includes a contract or other document relating to the appointment.\ns&#160;94E ins 2009 No.&#160;26 s&#160;102\n(sec.94E-ssec.1) The code of conduct in schedule&#160;5 applies to— a body corporate manager appointed by the primary thoroughfare body corporate or principal body corporate in performing obligations under the person’s appointment; and a caretaking service contractor engaged by the primary thoroughfare body corporate or principal body corporate for the resort or part of the resort in performing obligations under the person’s engagement.\n(sec.94E-ssec.2) Compliance with the provisions of the code is taken to be a condition of the instrument of appointment or the contract providing for the person’s engagement.\n(sec.94E-ssec.3) If there is an inconsistency between a provision of the code and a provision in the instrument of appointment or contract, the provision of the code prevails.\n(sec.94E-ssec.4) In this section— instrument of appointment , in relation to a person’s appointment as a body corporate manager, includes a contract or other document relating to the appointment.\n- (a) a body corporate manager appointed by the primary thoroughfare body corporate or principal body corporate in performing obligations under the person’s appointment; and\n- (b) a caretaking service contractor engaged by the primary thoroughfare body corporate or principal body corporate for the resort or part of the resort in performing obligations under the person’s engagement.","sortOrder":191},{"sectionNumber":"sec.94F","sectionType":"section","heading":"Code of conduct for letting agent","content":"### sec.94F Code of conduct for letting agent\n\nThe code of conduct in schedule&#160;6 applies to a letting agent authorised by the primary thoroughfare body corporate or principal body corporate to conduct a letting agent business for the resort or part of the resort.\ns&#160;94F ins 2009 No.&#160;26 s&#160;102","sortOrder":192},{"sectionNumber":"pt.5A-div.3","sectionType":"division","heading":"Required transfer of management rights for contravention of code of conduct","content":"## Required transfer of management rights for contravention of code of conduct","sortOrder":193},{"sectionNumber":"sec.94G","sectionType":"section","heading":"Application of div&#160;3","content":"### sec.94G Application of div&#160;3\n\nThis division applies for transferring the management rights of a letting agent authorised by the primary thoroughfare body corporate or principal body corporate to conduct a letting agent business for the resort or a part of the resort.\nHowever, this division does not apply to a letting agent for conducting a letting agent business or a part of a letting agent business for a part of the resort for which a serviced strata arrangement or scheme under the Corporations Act is in operation.\ns&#160;94G ins 2009 No.&#160;26 s&#160;102\n(sec.94G-ssec.1) This division applies for transferring the management rights of a letting agent authorised by the primary thoroughfare body corporate or principal body corporate to conduct a letting agent business for the resort or a part of the resort.\n(sec.94G-ssec.2) However, this division does not apply to a letting agent for conducting a letting agent business or a part of a letting agent business for a part of the resort for which a serviced strata arrangement or scheme under the Corporations Act is in operation.","sortOrder":194},{"sectionNumber":"sec.94H","sectionType":"section","heading":"Effect of div&#160;3 on other provisions","content":"### sec.94H Effect of div&#160;3 on other provisions\n\nThe provisions of a letting agent authorisation or service contract providing for its transfer or termination are void to the extent the provisions are inconsistent with this division.\ns&#160;94H ins 2009 No.&#160;26 s&#160;102","sortOrder":195},{"sectionNumber":"sec.94I","sectionType":"section","heading":"Code contravention notice","content":"### sec.94I Code contravention notice\n\nThe body corporate must, if required by ordinary resolution decided by secret ballot, give the letting agent a signed notice under this section (a code contravention notice ).\nThe code contravention notice must state—\nthat the body corporate believes the letting agent has or is contravening a provision of the code of conduct for—\nletting agents; or\nbody corporate managers and caretaking service contractors; and\nthe provision the body corporate believes has been or is being contravened; and\ndetails sufficient to identify the contravention; and\na reasonable period within which the letting agent must remedy the contravention; and\nthat the body corporate may, without further notice, give the letting agent a transfer notice if—\nthe letting agent does not comply with the code contravention notice; or\nthe body corporate reasonably believes the letting agent, after being given the notice, has contravened a provision of a code mentioned in paragraph&#160;(a) .\ns&#160;94I ins 2009 No.&#160;26 s&#160;102\n(sec.94I-ssec.1) The body corporate must, if required by ordinary resolution decided by secret ballot, give the letting agent a signed notice under this section (a code contravention notice ).\n(sec.94I-ssec.2) The code contravention notice must state— that the body corporate believes the letting agent has or is contravening a provision of the code of conduct for— letting agents; or body corporate managers and caretaking service contractors; and the provision the body corporate believes has been or is being contravened; and details sufficient to identify the contravention; and a reasonable period within which the letting agent must remedy the contravention; and that the body corporate may, without further notice, give the letting agent a transfer notice if— the letting agent does not comply with the code contravention notice; or the body corporate reasonably believes the letting agent, after being given the notice, has contravened a provision of a code mentioned in paragraph&#160;(a) .\n- (a) that the body corporate believes the letting agent has or is contravening a provision of the code of conduct for— (i) letting agents; or (ii) body corporate managers and caretaking service contractors; and\n- (i) letting agents; or\n- (ii) body corporate managers and caretaking service contractors; and\n- (b) the provision the body corporate believes has been or is being contravened; and\n- (c) details sufficient to identify the contravention; and\n- (d) a reasonable period within which the letting agent must remedy the contravention; and\n- (e) that the body corporate may, without further notice, give the letting agent a transfer notice if— (i) the letting agent does not comply with the code contravention notice; or (ii) the body corporate reasonably believes the letting agent, after being given the notice, has contravened a provision of a code mentioned in paragraph&#160;(a) .\n- (i) the letting agent does not comply with the code contravention notice; or\n- (ii) the body corporate reasonably believes the letting agent, after being given the notice, has contravened a provision of a code mentioned in paragraph&#160;(a) .\n- (i) letting agents; or\n- (ii) body corporate managers and caretaking service contractors; and\n- (i) the letting agent does not comply with the code contravention notice; or\n- (ii) the body corporate reasonably believes the letting agent, after being given the notice, has contravened a provision of a code mentioned in paragraph&#160;(a) .","sortOrder":196},{"sectionNumber":"sec.94J","sectionType":"section","heading":"Grounds for requiring transfer","content":"### sec.94J Grounds for requiring transfer\n\nThe body corporate may require the transfer of the letting agent’s management rights under this division only if the requirement is based on either of the following grounds—\nthe letting agent failed to comply with a code contravention notice;\nthe body corporate reasonably believes the letting agent, after being given the notice, contravened a provision of the code of conduct for—\nletting agents; or\nbody corporate managers and caretaking service contractors.\ns&#160;94J ins 2009 No.&#160;26 s&#160;102\n- (a) the letting agent failed to comply with a code contravention notice;\n- (b) the body corporate reasonably believes the letting agent, after being given the notice, contravened a provision of the code of conduct for— (i) letting agents; or (ii) body corporate managers and caretaking service contractors.\n- (i) letting agents; or\n- (ii) body corporate managers and caretaking service contractors.\n- (i) letting agents; or\n- (ii) body corporate managers and caretaking service contractors.","sortOrder":197},{"sectionNumber":"sec.94K","sectionType":"section","heading":"Requirement for transfer","content":"### sec.94K Requirement for transfer\n\nThe letting agent must transfer the letting agent’s management rights for the resort or the part of the resort if—\na ground under section&#160;94J exists for the body corporate to require the transfer; and\nthe body corporate—\nby majority resolution decided by secret ballot requires the transfer; and\ngives written notice of the requirement (the transfer notice ) to the letting agent.\ns&#160;94K ins 2009 No.&#160;26 s&#160;102\n- (a) a ground under section&#160;94J exists for the body corporate to require the transfer; and\n- (b) the body corporate— (i) by majority resolution decided by secret ballot requires the transfer; and (ii) gives written notice of the requirement (the transfer notice ) to the letting agent.\n- (i) by majority resolution decided by secret ballot requires the transfer; and\n- (ii) gives written notice of the requirement (the transfer notice ) to the letting agent.\n- (i) by majority resolution decided by secret ballot requires the transfer; and\n- (ii) gives written notice of the requirement (the transfer notice ) to the letting agent.","sortOrder":198},{"sectionNumber":"sec.94L","sectionType":"section","heading":"Transfer—letting agent’s choice of transferee","content":"### sec.94L Transfer—letting agent’s choice of transferee\n\nThe letting agent must transfer the management rights—\nwithin the following period after the transfer notice is given to the letting agent—\nif section&#160;94Q does not apply—9 months;\nif section&#160;94Q applies—11 months; and\nto a person, other than an associate of the letting agent, chosen by the letting agent and approved by the body corporate.\nFor deciding whether to approve a person under subsection&#160;(1) (b) , the body corporate—\nmust act reasonably and as quickly as practicable; and\nmay have regard only to the person’s—\ncharacter; and\nfinancial standing; and\ncompetence, qualifications and experience.\nHowever, the body corporate must not—\nunreasonably withhold approval of the person; or\nrequire or receive a fee or other consideration for approving the person, other than reimbursement for legal expenses reasonably incurred by the body corporate in relation to a request for its approval.\nMaximum penalty for subsection&#160;(3) —50 penalty units.\nIf the letting agent transfers the management rights to a person who is not approved by the body corporate, the transfer is of no effect.\ns&#160;94L ins 2009 No.&#160;26 s&#160;102\n(sec.94L-ssec.1) The letting agent must transfer the management rights— within the following period after the transfer notice is given to the letting agent— if section&#160;94Q does not apply—9 months; if section&#160;94Q applies—11 months; and to a person, other than an associate of the letting agent, chosen by the letting agent and approved by the body corporate.\n(sec.94L-ssec.2) For deciding whether to approve a person under subsection&#160;(1) (b) , the body corporate— must act reasonably and as quickly as practicable; and may have regard only to the person’s— character; and financial standing; and competence, qualifications and experience.\n(sec.94L-ssec.3) However, the body corporate must not— unreasonably withhold approval of the person; or require or receive a fee or other consideration for approving the person, other than reimbursement for legal expenses reasonably incurred by the body corporate in relation to a request for its approval. Maximum penalty for subsection&#160;(3) —50 penalty units.\n(sec.94L-ssec.4) If the letting agent transfers the management rights to a person who is not approved by the body corporate, the transfer is of no effect.\n- (a) within the following period after the transfer notice is given to the letting agent— (i) if section&#160;94Q does not apply—9 months; (ii) if section&#160;94Q applies—11 months; and\n- (i) if section&#160;94Q does not apply—9 months;\n- (ii) if section&#160;94Q applies—11 months; and\n- (b) to a person, other than an associate of the letting agent, chosen by the letting agent and approved by the body corporate.\n- (i) if section&#160;94Q does not apply—9 months;\n- (ii) if section&#160;94Q applies—11 months; and\n- (a) must act reasonably and as quickly as practicable; and\n- (b) may have regard only to the person’s— (i) character; and (ii) financial standing; and (iii) competence, qualifications and experience.\n- (i) character; and\n- (ii) financial standing; and\n- (iii) competence, qualifications and experience.\n- (i) character; and\n- (ii) financial standing; and\n- (iii) competence, qualifications and experience.\n- (a) unreasonably withhold approval of the person; or\n- (b) require or receive a fee or other consideration for approving the person, other than reimbursement for legal expenses reasonably incurred by the body corporate in relation to a request for its approval.","sortOrder":199},{"sectionNumber":"sec.94M","sectionType":"section","heading":"Giving financier copy of transfer notice","content":"### sec.94M Giving financier copy of transfer notice\n\nWhen the body corporate gives the transfer notice to the letting agent, the body corporate must give a copy of it to each person who is a financier for the contract under which the letting agent is authorised as the letting agent.\ns&#160;94M ins 2009 No.&#160;26 s&#160;102","sortOrder":200},{"sectionNumber":"sec.94N","sectionType":"section","heading":"Transfer—body corporate’s choice of transferee","content":"### sec.94N Transfer—body corporate’s choice of transferee\n\nIf the letting agent does not transfer the management rights as required under section&#160;94L , the letting agent must transfer the management rights—\nto a replacement letting agent chosen by the executive committee of the body corporate and named in a written notice given by the committee to the letting agent; and\nat the price stated in the notice; and\nwithin the period, of at least 2 months after the notice is given, stated in the notice.\nThe price stated must be 1 of the following—\nthe average of 2 valuations, obtained by the body corporate from 2 independent registered valuers, stating the value of the management rights;\nthe highest bid for the management rights, excluding a bid by the letting agent or an associate of the letting agent, made at an auction—\nconducted at the request of the body corporate; and\nof which at least 60 days notice was given;\nthe highest amount tendered, excluding by tender by the letting agent or an associate of the letting agent, for the management rights after reasonable efforts made by the body corporate to market the management rights for at least 60 days.\nThe letting agent must pay the body corporate, from the proceeds of the sale, the reasonable costs incurred by the body corporate under subsection&#160;(2) .\nIf the letting agent does not transfer the management rights as required under this section, it is a ground for giving the letting agent a remedial action notice under section&#160;94V .\ns&#160;94N ins 2009 No.&#160;26 s&#160;102\n(sec.94N-ssec.1) If the letting agent does not transfer the management rights as required under section&#160;94L , the letting agent must transfer the management rights— to a replacement letting agent chosen by the executive committee of the body corporate and named in a written notice given by the committee to the letting agent; and at the price stated in the notice; and within the period, of at least 2 months after the notice is given, stated in the notice.\n(sec.94N-ssec.2) The price stated must be 1 of the following— the average of 2 valuations, obtained by the body corporate from 2 independent registered valuers, stating the value of the management rights; the highest bid for the management rights, excluding a bid by the letting agent or an associate of the letting agent, made at an auction— conducted at the request of the body corporate; and of which at least 60 days notice was given; the highest amount tendered, excluding by tender by the letting agent or an associate of the letting agent, for the management rights after reasonable efforts made by the body corporate to market the management rights for at least 60 days.\n(sec.94N-ssec.3) The letting agent must pay the body corporate, from the proceeds of the sale, the reasonable costs incurred by the body corporate under subsection&#160;(2) . If the letting agent does not transfer the management rights as required under this section, it is a ground for giving the letting agent a remedial action notice under section&#160;94V .\n- (a) to a replacement letting agent chosen by the executive committee of the body corporate and named in a written notice given by the committee to the letting agent; and\n- (b) at the price stated in the notice; and\n- (c) within the period, of at least 2 months after the notice is given, stated in the notice.\n- (a) the average of 2 valuations, obtained by the body corporate from 2 independent registered valuers, stating the value of the management rights;\n- (b) the highest bid for the management rights, excluding a bid by the letting agent or an associate of the letting agent, made at an auction— (i) conducted at the request of the body corporate; and (ii) of which at least 60 days notice was given;\n- (i) conducted at the request of the body corporate; and\n- (ii) of which at least 60 days notice was given;\n- (c) the highest amount tendered, excluding by tender by the letting agent or an associate of the letting agent, for the management rights after reasonable efforts made by the body corporate to market the management rights for at least 60 days.\n- (i) conducted at the request of the body corporate; and\n- (ii) of which at least 60 days notice was given;","sortOrder":201},{"sectionNumber":"sec.94O","sectionType":"section","heading":"Terms of service contract on transfer","content":"### sec.94O Terms of service contract on transfer\n\nThis section applies to a service contract (the transferred service contract ) transferred to a person (the transferee ) under section&#160;94L or 94N .\nUnless the body corporate and transferee agree otherwise, the terms of the transferred service contract are—\nthe terms applying to the service contract under subsection&#160;(3) ; or\nif subsection&#160;(3) does not apply—the terms applying to the service contract immediately before the transfer (the existing terms ).\nThe terms of the transferred service contract are the existing terms as changed under a review advice about the contract if—\nthe review advice states how the contract’s reviewable terms should be changed to ensure they are fair and reasonable; and\nthe body corporate gave the letting agent a copy of the review advice as required under section&#160;94S (1) .\ns&#160;94O ins 2009 No.&#160;26 s&#160;102\n(sec.94O-ssec.1) This section applies to a service contract (the transferred service contract ) transferred to a person (the transferee ) under section&#160;94L or 94N .\n(sec.94O-ssec.2) Unless the body corporate and transferee agree otherwise, the terms of the transferred service contract are— the terms applying to the service contract under subsection&#160;(3) ; or if subsection&#160;(3) does not apply—the terms applying to the service contract immediately before the transfer (the existing terms ).\n(sec.94O-ssec.3) The terms of the transferred service contract are the existing terms as changed under a review advice about the contract if— the review advice states how the contract’s reviewable terms should be changed to ensure they are fair and reasonable; and the body corporate gave the letting agent a copy of the review advice as required under section&#160;94S (1) .\n- (a) the terms applying to the service contract under subsection&#160;(3) ; or\n- (b) if subsection&#160;(3) does not apply—the terms applying to the service contract immediately before the transfer (the existing terms ).\n- (a) the review advice states how the contract’s reviewable terms should be changed to ensure they are fair and reasonable; and\n- (b) the body corporate gave the letting agent a copy of the review advice as required under section&#160;94S (1) .","sortOrder":202},{"sectionNumber":"sec.94P","sectionType":"section","heading":"Replacement of letting agent authorisation and service contract in particular circumstances","content":"### sec.94P Replacement of letting agent authorisation and service contract in particular circumstances\n\nThis section applies if the remainder of the term of the letting agent’s authorisation (the transferred authorisation ), including any rights or options of extension or renewal, is less than 7 years when transferred to a person (the transferee ) under this division.\nA letting agent’s authorisation is given for a term of 5 years with 4 rights of renewal of 5 years each and 5 years have expired. The remainder of the term is therefore 20 years and this section does not apply.\nOn the transfer—\nthe transferred authorisation and any service contract (the transferred service contract ) forming part of the transferred management rights terminate; and\nthe body corporate must—\nauthorise the transferee to conduct a letting agent business for the resort or part; and\nif a service contract formed part of the transferred management rights—engage the transferee as a service contractor.\nThe authorisation and engagement must be given for a term of 9 years starting immediately after the transfer.\nSubject to subsection&#160;(3) —\nthe authorisation must be given on the terms applying to the transferred authorisation immediately before the transfer; and\nunless the body corporate and transferee agree otherwise, the engagement must be given on—\nthe terms applying to the transferred service contract under subsection&#160;(5) ; or\nif subsection&#160;(5) does not apply—the terms applying to the transferred service contract immediately before the transfer (the existing terms ).\nThe engagement must be given on the existing terms of the transferred service contract as changed under a review advice about the contract if—\nthe review advice states how the contract’s reviewable terms should be changed to ensure they are fair and reasonable; and\nthe body corporate gave the letting agent a copy of the review advice as required under section&#160;94S (1) .\ns&#160;94P ins 2009 No.&#160;26 s&#160;102\n(sec.94P-ssec.1) This section applies if the remainder of the term of the letting agent’s authorisation (the transferred authorisation ), including any rights or options of extension or renewal, is less than 7 years when transferred to a person (the transferee ) under this division. A letting agent’s authorisation is given for a term of 5 years with 4 rights of renewal of 5 years each and 5 years have expired. The remainder of the term is therefore 20 years and this section does not apply.\n(sec.94P-ssec.2) On the transfer— the transferred authorisation and any service contract (the transferred service contract ) forming part of the transferred management rights terminate; and the body corporate must— authorise the transferee to conduct a letting agent business for the resort or part; and if a service contract formed part of the transferred management rights—engage the transferee as a service contractor.\n(sec.94P-ssec.3) The authorisation and engagement must be given for a term of 9 years starting immediately after the transfer.\n(sec.94P-ssec.4) Subject to subsection&#160;(3) — the authorisation must be given on the terms applying to the transferred authorisation immediately before the transfer; and unless the body corporate and transferee agree otherwise, the engagement must be given on— the terms applying to the transferred service contract under subsection&#160;(5) ; or if subsection&#160;(5) does not apply—the terms applying to the transferred service contract immediately before the transfer (the existing terms ).\n(sec.94P-ssec.5) The engagement must be given on the existing terms of the transferred service contract as changed under a review advice about the contract if— the review advice states how the contract’s reviewable terms should be changed to ensure they are fair and reasonable; and the body corporate gave the letting agent a copy of the review advice as required under section&#160;94S (1) .\n- (a) the transferred authorisation and any service contract (the transferred service contract ) forming part of the transferred management rights terminate; and\n- (b) the body corporate must— (i) authorise the transferee to conduct a letting agent business for the resort or part; and (ii) if a service contract formed part of the transferred management rights—engage the transferee as a service contractor.\n- (i) authorise the transferee to conduct a letting agent business for the resort or part; and\n- (ii) if a service contract formed part of the transferred management rights—engage the transferee as a service contractor.\n- (i) authorise the transferee to conduct a letting agent business for the resort or part; and\n- (ii) if a service contract formed part of the transferred management rights—engage the transferee as a service contractor.\n- (a) the authorisation must be given on the terms applying to the transferred authorisation immediately before the transfer; and\n- (b) unless the body corporate and transferee agree otherwise, the engagement must be given on— (i) the terms applying to the transferred service contract under subsection&#160;(5) ; or (ii) if subsection&#160;(5) does not apply—the terms applying to the transferred service contract immediately before the transfer (the existing terms ).\n- (i) the terms applying to the transferred service contract under subsection&#160;(5) ; or\n- (ii) if subsection&#160;(5) does not apply—the terms applying to the transferred service contract immediately before the transfer (the existing terms ).\n- (i) the terms applying to the transferred service contract under subsection&#160;(5) ; or\n- (ii) if subsection&#160;(5) does not apply—the terms applying to the transferred service contract immediately before the transfer (the existing terms ).\n- (a) the review advice states how the contract’s reviewable terms should be changed to ensure they are fair and reasonable; and\n- (b) the body corporate gave the letting agent a copy of the review advice as required under section&#160;94S (1) .","sortOrder":203},{"sectionNumber":"sec.94Q","sectionType":"section","heading":"Reviewing terms of service contract","content":"### sec.94Q Reviewing terms of service contract\n\nThis section applies if—\nthe letting agent’s management rights include a service contract; and\nwhen the body corporate passes the majority resolution mentioned in section&#160;94K , the body corporate also passes, by ordinary resolution, a motion (a review motion ) that a review advice about the service contract be obtained.\nWithin 1 month after the review motion is passed, the body corporate must obtain the review advice from an independent appropriate person.\na person who, in the ordinary course of the person’s business, has knowledge of the functions and powers of service contractors and the remuneration for performing the functions and powers\nThe review advice must be based on the review criteria stated in section&#160;94R .\nThis section applies to the contract even if the contract also provides for either or both of the following—\nthe letting agent’s engagement as a body corporate manager;\nthe letting agent’s authorisation as a letting agent.\ns&#160;94Q ins 2009 No.&#160;26 s&#160;102\n(sec.94Q-ssec.1) This section applies if— the letting agent’s management rights include a service contract; and when the body corporate passes the majority resolution mentioned in section&#160;94K , the body corporate also passes, by ordinary resolution, a motion (a review motion ) that a review advice about the service contract be obtained.\n(sec.94Q-ssec.2) Within 1 month after the review motion is passed, the body corporate must obtain the review advice from an independent appropriate person. a person who, in the ordinary course of the person’s business, has knowledge of the functions and powers of service contractors and the remuneration for performing the functions and powers\n(sec.94Q-ssec.3) The review advice must be based on the review criteria stated in section&#160;94R .\n(sec.94Q-ssec.4) This section applies to the contract even if the contract also provides for either or both of the following— the letting agent’s engagement as a body corporate manager; the letting agent’s authorisation as a letting agent.\n- (a) the letting agent’s management rights include a service contract; and\n- (b) when the body corporate passes the majority resolution mentioned in section&#160;94K , the body corporate also passes, by ordinary resolution, a motion (a review motion ) that a review advice about the service contract be obtained.\n- (a) the letting agent’s engagement as a body corporate manager;\n- (b) the letting agent’s authorisation as a letting agent.","sortOrder":204},{"sectionNumber":"sec.94R","sectionType":"section","heading":"Review criteria","content":"### sec.94R Review criteria\n\nThe review criteria are each of the following—\nthe appropriateness of the reviewable terms for achieving a fair and reasonable balance between the interests of the body corporate and the service contractor;\nwhether the reviewable terms impose conditions that—\nare unreasonably difficult to comply with; or\nare not necessary and reasonable for the protection of the legitimate interests of the body corporate or the service contractor;\nthe consequences of complying with, or contravening, the reviewable terms and whether the consequences are unfairly harsh or beneficial to the body corporate or the service contractor;\nwhether the reviewable terms are appropriate for the resort;\nthe term of the engagement as service contractor and the period of the term remaining.\nThe review criterion mentioned in subsection&#160;(1) (d) is to be applied having regard, in particular, to the nature, features and characteristics of the resort.\ns&#160;94R ins 2009 No.&#160;26 s&#160;102\n(sec.94R-ssec.1) The review criteria are each of the following— the appropriateness of the reviewable terms for achieving a fair and reasonable balance between the interests of the body corporate and the service contractor; whether the reviewable terms impose conditions that— are unreasonably difficult to comply with; or are not necessary and reasonable for the protection of the legitimate interests of the body corporate or the service contractor; the consequences of complying with, or contravening, the reviewable terms and whether the consequences are unfairly harsh or beneficial to the body corporate or the service contractor; whether the reviewable terms are appropriate for the resort; the term of the engagement as service contractor and the period of the term remaining.\n(sec.94R-ssec.2) The review criterion mentioned in subsection&#160;(1) (d) is to be applied having regard, in particular, to the nature, features and characteristics of the resort.\n- (a) the appropriateness of the reviewable terms for achieving a fair and reasonable balance between the interests of the body corporate and the service contractor;\n- (b) whether the reviewable terms impose conditions that— (i) are unreasonably difficult to comply with; or (ii) are not necessary and reasonable for the protection of the legitimate interests of the body corporate or the service contractor;\n- (i) are unreasonably difficult to comply with; or\n- (ii) are not necessary and reasonable for the protection of the legitimate interests of the body corporate or the service contractor;\n- (c) the consequences of complying with, or contravening, the reviewable terms and whether the consequences are unfairly harsh or beneficial to the body corporate or the service contractor;\n- (d) whether the reviewable terms are appropriate for the resort;\n- (e) the term of the engagement as service contractor and the period of the term remaining.\n- (i) are unreasonably difficult to comply with; or\n- (ii) are not necessary and reasonable for the protection of the legitimate interests of the body corporate or the service contractor;","sortOrder":205},{"sectionNumber":"sec.94S","sectionType":"section","heading":"Giving copy of review advice to letting agent and prospective buyer of management rights","content":"### sec.94S Giving copy of review advice to letting agent and prospective buyer of management rights\n\nWithin 14 days after obtaining the review advice, the body corporate must give a copy of it to the letting agent.\nIf requested by a prospective buyer of the letting agent’s management rights, the body corporate must give a copy of the review advice to the prospective buyer.\ns&#160;94S ins 2009 No.&#160;26 s&#160;102\n(sec.94S-ssec.1) Within 14 days after obtaining the review advice, the body corporate must give a copy of it to the letting agent.\n(sec.94S-ssec.2) If requested by a prospective buyer of the letting agent’s management rights, the body corporate must give a copy of the review advice to the prospective buyer.","sortOrder":206},{"sectionNumber":"sec.94T","sectionType":"section","heading":"QCAT jurisdiction","content":"### sec.94T QCAT jurisdiction\n\nA dispute about the transfer, under this division, of a letting agent’s management rights may be dealt with by QCAT under the QCAT Act .\ns&#160;94T ins 2009 No.&#160;26 s&#160;102\nsub 2009 No.&#160;48 s&#160;186","sortOrder":207},{"sectionNumber":"pt.5A-div.4","sectionType":"division","heading":"Disputes about contractual matters","content":"## Disputes about contractual matters","sortOrder":208},{"sectionNumber":"sec.94U","sectionType":"section","heading":"QCAT jurisdiction","content":"### sec.94U QCAT jurisdiction\n\nThis section applies to a dispute about a claimed or anticipated contractual matter about—\nthe appointment or engagement of a person as a body corporate manager or caretaking service contractor for the resort or part of the resort; or\nthe authorisation of a person as a letting agent for the resort or part of the resort.\nA party to the dispute may apply, as provided under the QCAT Act , for an order of QCAT to resolve the dispute.\ns&#160;94U ins 2009 No.&#160;26 s&#160;102\namd 2009 No.&#160;48 s&#160;187\n(sec.94U-ssec.1) This section applies to a dispute about a claimed or anticipated contractual matter about— the appointment or engagement of a person as a body corporate manager or caretaking service contractor for the resort or part of the resort; or the authorisation of a person as a letting agent for the resort or part of the resort.\n(sec.94U-ssec.2) A party to the dispute may apply, as provided under the QCAT Act , for an order of QCAT to resolve the dispute.\n- (a) the appointment or engagement of a person as a body corporate manager or caretaking service contractor for the resort or part of the resort; or\n- (b) the authorisation of a person as a letting agent for the resort or part of the resort.","sortOrder":209},{"sectionNumber":"pt.5A-div.5","sectionType":"division","heading":"Termination of appointment, engagement or authorisation","content":"## Termination of appointment, engagement or authorisation","sortOrder":210},{"sectionNumber":"sec.94V","sectionType":"section","heading":"Termination for failure to comply with remedial action notice [SM, s&#160;131 &#93;","content":"### sec.94V Termination for failure to comply with remedial action notice [SM, s&#160;131 &#93;\n\nThe primary thoroughfare body corporate or principal body corporate may terminate a person’s appointment as a body corporate manager or engagement as a service contractor if the person or, if the person is a corporation, a director of the corporation—\nengages in misconduct, or is grossly negligent, in carrying out functions required under the appointment or engagement; or\nfails to carry out duties under the appointment or engagement; or\ncontravenes—\nfor a body corporate manager—the code of conduct for body corporate managers and caretaking service contractors; or\nfor a service contractor who is a caretaking service contractor—the code of conduct for body corporate managers and caretaking service contractors or the code of conduct for letting agents.\nAlso, the body corporate may terminate a person’s authorisation as a letting agent if—\nthe person or, if the person is a corporation, a director of the corporation—\nengages in misconduct, or is grossly negligent, in carrying out obligations, if any, under the authorisation; or\nfails to carry out duties under the authorisation; or\ncontravenes the code of conduct for letting agents or, for a caretaking service contractor, the code of conduct for body corporate managers and caretaking service contractors; or\nthe person has been given a transfer notice requiring transfer of the person’s management rights and has not transferred the management rights as required under section&#160;94N .\nThe body corporate may act under subsection&#160;(1) or (2) only if—\nthe body corporate has given the manager, contractor or agent a remedial action notice; and\nthe manager, contractor or agent fails to comply with the remedial action notice within the period stated in the notice; and\nthe termination is approved by ordinary resolution of the body corporate; and\nfor the termination of a person’s engagement as a caretaking service contractor or authorisation as a letting agent—the motion to approve the termination is decided by secret ballot.\nIn this section—\nremedial action notice means a written notice stating each of the following—\nthat the body corporate believes the person to whom the notice is given has acted—\nfor a body corporate manager or service contractor—in a way mentioned in subsection&#160;(1) ; or\nfor a letting agent—in a way mentioned in subsection&#160;(2) ;\ndetails of the action sufficient to identify—\nthe misconduct or gross negligence the body corporate believes has happened; or\nthe duties the body corporate believes have not been carried out; or\nthe provision of the code of conduct the body corporate believes has been contravened; or\nif subsection&#160;(2) (b) applies, the contravention of the code contravention notice or the relevant provision of the code of conduct that was the ground for requiring the transfer of the person’s management rights under section&#160;94J ;\nthat the person must, within the reasonable period of at least 14 days stated in the notice—\nremedy the misconduct or gross negligence; or\ncarry out the duties; or\nremedy the contravention;\nthat if the person does not comply with the notice in the stated period, the body corporate may terminate the person’s appointment, engagement or authorisation as a body corporate manager, service contractor or letting agent.\ns&#160;94V ins 2009 No.&#160;26 s&#160;102\n(sec.94V-ssec.1) The primary thoroughfare body corporate or principal body corporate may terminate a person’s appointment as a body corporate manager or engagement as a service contractor if the person or, if the person is a corporation, a director of the corporation— engages in misconduct, or is grossly negligent, in carrying out functions required under the appointment or engagement; or fails to carry out duties under the appointment or engagement; or contravenes— for a body corporate manager—the code of conduct for body corporate managers and caretaking service contractors; or for a service contractor who is a caretaking service contractor—the code of conduct for body corporate managers and caretaking service contractors or the code of conduct for letting agents.\n(sec.94V-ssec.2) Also, the body corporate may terminate a person’s authorisation as a letting agent if— the person or, if the person is a corporation, a director of the corporation— engages in misconduct, or is grossly negligent, in carrying out obligations, if any, under the authorisation; or fails to carry out duties under the authorisation; or contravenes the code of conduct for letting agents or, for a caretaking service contractor, the code of conduct for body corporate managers and caretaking service contractors; or the person has been given a transfer notice requiring transfer of the person’s management rights and has not transferred the management rights as required under section&#160;94N .\n(sec.94V-ssec.3) The body corporate may act under subsection&#160;(1) or (2) only if— the body corporate has given the manager, contractor or agent a remedial action notice; and the manager, contractor or agent fails to comply with the remedial action notice within the period stated in the notice; and the termination is approved by ordinary resolution of the body corporate; and for the termination of a person’s engagement as a caretaking service contractor or authorisation as a letting agent—the motion to approve the termination is decided by secret ballot.\n(sec.94V-ssec.4) In this section— remedial action notice means a written notice stating each of the following— that the body corporate believes the person to whom the notice is given has acted— for a body corporate manager or service contractor—in a way mentioned in subsection&#160;(1) ; or for a letting agent—in a way mentioned in subsection&#160;(2) ; details of the action sufficient to identify— the misconduct or gross negligence the body corporate believes has happened; or the duties the body corporate believes have not been carried out; or the provision of the code of conduct the body corporate believes has been contravened; or if subsection&#160;(2) (b) applies, the contravention of the code contravention notice or the relevant provision of the code of conduct that was the ground for requiring the transfer of the person’s management rights under section&#160;94J ; that the person must, within the reasonable period of at least 14 days stated in the notice— remedy the misconduct or gross negligence; or carry out the duties; or remedy the contravention; that if the person does not comply with the notice in the stated period, the body corporate may terminate the person’s appointment, engagement or authorisation as a body corporate manager, service contractor or letting agent.\n- (a) engages in misconduct, or is grossly negligent, in carrying out functions required under the appointment or engagement; or\n- (b) fails to carry out duties under the appointment or engagement; or\n- (c) contravenes— (i) for a body corporate manager—the code of conduct for body corporate managers and caretaking service contractors; or (ii) for a service contractor who is a caretaking service contractor—the code of conduct for body corporate managers and caretaking service contractors or the code of conduct for letting agents.\n- (i) for a body corporate manager—the code of conduct for body corporate managers and caretaking service contractors; or\n- (ii) for a service contractor who is a caretaking service contractor—the code of conduct for body corporate managers and caretaking service contractors or the code of conduct for letting agents.\n- (i) for a body corporate manager—the code of conduct for body corporate managers and caretaking service contractors; or\n- (ii) for a service contractor who is a caretaking service contractor—the code of conduct for body corporate managers and caretaking service contractors or the code of conduct for letting agents.\n- (a) the person or, if the person is a corporation, a director of the corporation— (i) engages in misconduct, or is grossly negligent, in carrying out obligations, if any, under the authorisation; or (ii) fails to carry out duties under the authorisation; or (iii) contravenes the code of conduct for letting agents or, for a caretaking service contractor, the code of conduct for body corporate managers and caretaking service contractors; or\n- (i) engages in misconduct, or is grossly negligent, in carrying out obligations, if any, under the authorisation; or\n- (ii) fails to carry out duties under the authorisation; or\n- (iii) contravenes the code of conduct for letting agents or, for a caretaking service contractor, the code of conduct for body corporate managers and caretaking service contractors; or\n- (b) the person has been given a transfer notice requiring transfer of the person’s management rights and has not transferred the management rights as required under section&#160;94N .\n- (i) engages in misconduct, or is grossly negligent, in carrying out obligations, if any, under the authorisation; or\n- (ii) fails to carry out duties under the authorisation; or\n- (iii) contravenes the code of conduct for letting agents or, for a caretaking service contractor, the code of conduct for body corporate managers and caretaking service contractors; or\n- (a) the body corporate has given the manager, contractor or agent a remedial action notice; and\n- (b) the manager, contractor or agent fails to comply with the remedial action notice within the period stated in the notice; and\n- (c) the termination is approved by ordinary resolution of the body corporate; and\n- (d) for the termination of a person’s engagement as a caretaking service contractor or authorisation as a letting agent—the motion to approve the termination is decided by secret ballot.\n- (a) that the body corporate believes the person to whom the notice is given has acted— (i) for a body corporate manager or service contractor—in a way mentioned in subsection&#160;(1) ; or (ii) for a letting agent—in a way mentioned in subsection&#160;(2) ;\n- (i) for a body corporate manager or service contractor—in a way mentioned in subsection&#160;(1) ; or\n- (ii) for a letting agent—in a way mentioned in subsection&#160;(2) ;\n- (b) details of the action sufficient to identify— (i) the misconduct or gross negligence the body corporate believes has happened; or (ii) the duties the body corporate believes have not been carried out; or (iii) the provision of the code of conduct the body corporate believes has been contravened; or (iv) if subsection&#160;(2) (b) applies, the contravention of the code contravention notice or the relevant provision of the code of conduct that was the ground for requiring the transfer of the person’s management rights under section&#160;94J ;\n- (i) the misconduct or gross negligence the body corporate believes has happened; or\n- (ii) the duties the body corporate believes have not been carried out; or\n- (iii) the provision of the code of conduct the body corporate believes has been contravened; or\n- (iv) if subsection&#160;(2) (b) applies, the contravention of the code contravention notice or the relevant provision of the code of conduct that was the ground for requiring the transfer of the person’s management rights under section&#160;94J ;\n- (c) that the person must, within the reasonable period of at least 14 days stated in the notice— (i) remedy the misconduct or gross negligence; or (ii) carry out the duties; or (iii) remedy the contravention;\n- (i) remedy the misconduct or gross negligence; or\n- (ii) carry out the duties; or\n- (iii) remedy the contravention;\n- (d) that if the person does not comply with the notice in the stated period, the body corporate may terminate the person’s appointment, engagement or authorisation as a body corporate manager, service contractor or letting agent.\n- (i) for a body corporate manager or service contractor—in a way mentioned in subsection&#160;(1) ; or\n- (ii) for a letting agent—in a way mentioned in subsection&#160;(2) ;\n- (i) the misconduct or gross negligence the body corporate believes has happened; or\n- (ii) the duties the body corporate believes have not been carried out; or\n- (iii) the provision of the code of conduct the body corporate believes has been contravened; or\n- (iv) if subsection&#160;(2) (b) applies, the contravention of the code contravention notice or the relevant provision of the code of conduct that was the ground for requiring the transfer of the person’s management rights under section&#160;94J ;\n- (i) remedy the misconduct or gross negligence; or\n- (ii) carry out the duties; or\n- (iii) remedy the contravention;","sortOrder":211},{"sectionNumber":"pt.6","sectionType":"part","heading":"Development control by-laws","content":"# Development control by-laws","sortOrder":212},{"sectionNumber":"sec.95","sectionType":"section","heading":"Development control by-laws","content":"### sec.95 Development control by-laws\n\nThe principal body corporate, pursuant to special resolution, may from time to time make by-laws regulating the quality of design and development within the residential zones.\nThe development control by-laws may regulate the size, shape, height, colour, texture and overall placement of buildings or other structures within the residential zones.\nA development control by-law may apply to all the residential zones or to a particular zone or part of a zone specified in the by-law.\nA development control by-law may repeal or amend an existing development control by-law.\nA development control by-law shall have no force or effect until the Minister has approved the by-law and notification of the Minister’s approval has been published in the gazette.\nA development control by-law shall not affect the operation of any other Act or law.\nWithout limiting the operation of any other provision of this Act, the development control by-laws for the time being in force bind the principal body corporate, each member of the principal body corporate and each registered proprietor and any mortgagee in possession (whether by himself or herself or any other person), lessee or occupier, of a lot within the residential zones to the same extent as if those by-laws had been signed and sealed by the principal body corporate, each member and each registered proprietor and each such mortgagee, lessee and occupier respectively and as if they contained mutual covenants to observe and perform all the provisions of those by-laws.\nNotwithstanding the provisions of the Building Units and Group Titles Act 1980 , a by-law made by a body corporate incorporated by the registration of a building units plan or group titles plan in respect of land within a residential zone that is inconsistent with the development control by-laws shall to the extent of the inconsistency have no effect.\ns&#160;95 amd 1987 s&#160;22\n(sec.95-ssec.1) The principal body corporate, pursuant to special resolution, may from time to time make by-laws regulating the quality of design and development within the residential zones.\n(sec.95-ssec.2) The development control by-laws may regulate the size, shape, height, colour, texture and overall placement of buildings or other structures within the residential zones.\n(sec.95-ssec.3) A development control by-law may apply to all the residential zones or to a particular zone or part of a zone specified in the by-law.\n(sec.95-ssec.4) A development control by-law may repeal or amend an existing development control by-law.\n(sec.95-ssec.5) A development control by-law shall have no force or effect until the Minister has approved the by-law and notification of the Minister’s approval has been published in the gazette.\n(sec.95-ssec.6) A development control by-law shall not affect the operation of any other Act or law.\n(sec.95-ssec.7) Without limiting the operation of any other provision of this Act, the development control by-laws for the time being in force bind the principal body corporate, each member of the principal body corporate and each registered proprietor and any mortgagee in possession (whether by himself or herself or any other person), lessee or occupier, of a lot within the residential zones to the same extent as if those by-laws had been signed and sealed by the principal body corporate, each member and each registered proprietor and each such mortgagee, lessee and occupier respectively and as if they contained mutual covenants to observe and perform all the provisions of those by-laws.\n(sec.95-ssec.8) Notwithstanding the provisions of the Building Units and Group Titles Act 1980 , a by-law made by a body corporate incorporated by the registration of a building units plan or group titles plan in respect of land within a residential zone that is inconsistent with the development control by-laws shall to the extent of the inconsistency have no effect.","sortOrder":213},{"sectionNumber":"sec.96","sectionType":"section","heading":"Minor noncompliance with development control by-laws","content":"### sec.96 Minor noncompliance with development control by-laws\n\nAt the request in writing of a member of the principal body corporate, the principal body corporate may permit the noncompliance by an affected person with a development control by-law in respect of the land or lot specified in the request.\nHowever, the noncompliance must be of a minor nature.\nWhere noncompliance with a development control by-law has been permitted by the principal body corporate under subsection&#160;(1) there is not a failure to comply with that by-law by reason only of that noncompliance.\nIn this section—\naffected person means any of the following—\nthe member of the principal body corporate making the request under subsection&#160;(1) ;\nthe registered proprietor, mortgagee in possession, lessee or occupier of the land or lot to which the request relates.\ns&#160;96 amd 2009 No.&#160;26 s&#160;103\n(sec.96-ssec.1) At the request in writing of a member of the principal body corporate, the principal body corporate may permit the noncompliance by an affected person with a development control by-law in respect of the land or lot specified in the request.\n(sec.96-ssec.2) However, the noncompliance must be of a minor nature.\n(sec.96-ssec.3) Where noncompliance with a development control by-law has been permitted by the principal body corporate under subsection&#160;(1) there is not a failure to comply with that by-law by reason only of that noncompliance.\n(sec.96-ssec.4) In this section— affected person means any of the following— the member of the principal body corporate making the request under subsection&#160;(1) ; the registered proprietor, mortgagee in possession, lessee or occupier of the land or lot to which the request relates.\n- (a) the member of the principal body corporate making the request under subsection&#160;(1) ;\n- (b) the registered proprietor, mortgagee in possession, lessee or occupier of the land or lot to which the request relates.","sortOrder":214},{"sectionNumber":"pt.6A","sectionType":"part","heading":"Residential zone activities by-laws","content":"# Residential zone activities by-laws","sortOrder":215},{"sectionNumber":"sec.96A","sectionType":"section","heading":"Residential zone activities by-laws","content":"### sec.96A Residential zone activities by-laws\n\nThe principal body corporate, pursuant to a special resolution, may from time to time make by-laws for the control, management, administration, use or enjoyment of land and lots (other than the secondary thoroughfare) within the residential zones.\nA residential zone activities by-law may apply to all the residential zones or to a particular zone or part of a zone specified in the by-law.\nA residential zone activities by-law may repeal or amend an existing residential zone activities by-law.\nA residential zone activities by-law shall have no force or effect until the Minister has approved the by-law and notification of the Minister’s approval has been published in the gazette.\nSubject to subsection&#160;(7) , a residential zone activities by-law shall not affect the operation of any other Act or law.\nWithout limiting the operation of any other provision of this Act, the residential zone activities by-laws for the time being in force bind the principal body corporate, the members of the principle body corporate and the registered proprietor and any mortgagee in possession (whether by himself or herself or any other person), lessee or occupier of a lot within the residential zones to the same extent as if those by-laws had been signed and sealed by the principal body corporate, each member and each registered proprietor and each such mortgagee, lessee and occupier respectively as if they contained mutual covenants to observe and perform all the provisions of those by-laws.\nNotwithstanding the provisions of the Building Units and Group Titles Act 1980 or of section&#160;28 , a by-law made by a body corporate incorporated by the registration of a building units plan or group titles plan in respect of land within a residential zone or a secondary thoroughfare by-law that is inconsistent with the residential zone activities by-laws shall to the extent of the inconsistency have no effect.\ns&#160;96A ins 1987 s&#160;23\n(sec.96A-ssec.1) The principal body corporate, pursuant to a special resolution, may from time to time make by-laws for the control, management, administration, use or enjoyment of land and lots (other than the secondary thoroughfare) within the residential zones.\n(sec.96A-ssec.2) A residential zone activities by-law may apply to all the residential zones or to a particular zone or part of a zone specified in the by-law.\n(sec.96A-ssec.3) A residential zone activities by-law may repeal or amend an existing residential zone activities by-law.\n(sec.96A-ssec.4) A residential zone activities by-law shall have no force or effect until the Minister has approved the by-law and notification of the Minister’s approval has been published in the gazette.\n(sec.96A-ssec.5) Subject to subsection&#160;(7) , a residential zone activities by-law shall not affect the operation of any other Act or law.\n(sec.96A-ssec.6) Without limiting the operation of any other provision of this Act, the residential zone activities by-laws for the time being in force bind the principal body corporate, the members of the principle body corporate and the registered proprietor and any mortgagee in possession (whether by himself or herself or any other person), lessee or occupier of a lot within the residential zones to the same extent as if those by-laws had been signed and sealed by the principal body corporate, each member and each registered proprietor and each such mortgagee, lessee and occupier respectively as if they contained mutual covenants to observe and perform all the provisions of those by-laws.\n(sec.96A-ssec.7) Notwithstanding the provisions of the Building Units and Group Titles Act 1980 or of section&#160;28 , a by-law made by a body corporate incorporated by the registration of a building units plan or group titles plan in respect of land within a residential zone or a secondary thoroughfare by-law that is inconsistent with the residential zone activities by-laws shall to the extent of the inconsistency have no effect.","sortOrder":216},{"sectionNumber":"sec.96B","sectionType":"section","heading":"Minor noncompliance with residential zone activities by-laws","content":"### sec.96B Minor noncompliance with residential zone activities by-laws\n\nAt the request in writing of a member of the principal body corporate or of a proprietor of land or a lot within a residential zone, the principal body corporate may permit the noncompliance by that member or proprietor of a residential zone activities by-law in respect of the land or lot specified in the request.\nHowever, the noncompliance is of a minor nature.\nWhere noncompliance with a residential zone activities by-law has been permitted by the principal body corporate under subsection&#160;(1) there is not a failure to comply with that by-law by reason only of that noncompliance.\ns&#160;96B ins 1987 s&#160;23\n(sec.96B-ssec.1) At the request in writing of a member of the principal body corporate or of a proprietor of land or a lot within a residential zone, the principal body corporate may permit the noncompliance by that member or proprietor of a residential zone activities by-law in respect of the land or lot specified in the request.\n(sec.96B-ssec.1A) However, the noncompliance is of a minor nature.\n(sec.96B-ssec.2) Where noncompliance with a residential zone activities by-law has been permitted by the principal body corporate under subsection&#160;(1) there is not a failure to comply with that by-law by reason only of that noncompliance.","sortOrder":217},{"sectionNumber":"pt.7","sectionType":"part","heading":"Provisions as to land subject to tidal influence","content":"# Provisions as to land subject to tidal influence","sortOrder":218},{"sectionNumber":"sec.97","sectionType":"section","heading":"Interpretation","content":"### sec.97 Interpretation\n\nFor the purposes of this part—\nfloating dwelling house ...\ns&#160;97 def floating dwelling house om 2009 No.&#160;26 s&#160;104 (1)\nsite includes adjacent site.\ns&#160;97 def site ins 1987 No.&#160;91 s&#160;43\nspecial dwelling house means a structure constructed or designed to be constructed as a dwelling house which structure is upon land comprising a lot on a group titles plan in the Harbour 1 Residential Zone or Harbour, River and Waterfront Residential Zone and the foundations of which structure extend from land above high-water mark to land below low-water mark.\ns&#160;97 def special dwelling house amd 2009 No.&#160;26 s&#160;104 (2)","sortOrder":219},{"sectionNumber":"sec.98","sectionType":"section","heading":null,"content":"### Section sec.98\n\ns&#160;98 om 1994 No.&#160;49 s&#160;6 sch&#160;2","sortOrder":220},{"sectionNumber":"sec.99","sectionType":"section","heading":"Obligation of authorities to maintain or undertake works","content":"### sec.99 Obligation of authorities to maintain or undertake works\n\nAn authority having jurisdiction over banks and foreshores of tidal waters is obliged to maintain or undertake works (including dredging) in relation to land within the site or tidal waters above land within the site, or for the Coomera River or the banks or foreshores of that river, only to the extent (if any) that it agrees in writing to accept the obligation.\ns&#160;99 sub 1994 No.&#160;49 s&#160;6 sch&#160;2","sortOrder":221},{"sectionNumber":"sec.100","sectionType":"section","heading":"Movement of vessels on tidal waters","content":"### sec.100 Movement of vessels on tidal waters\n\nThe proprietor of land within the site has the right to restrict, regulate or prohibit the use or movement of vessels on, over, through or beneath tidal waters above the land if the waters are not beyond the quay line.\nIf the proprietor of land within the site permits the mooring of a vessel in waters above the land, the proprietor of other land within the site must not restrict or prohibit the movement of the vessel over the proprietor’s land that is beyond the quay line to—\nthe mooring; or\nthe Coomera River; or\nanother place for which permission to moor the vessel has been given; or\ntidal waters outside the site.\ns&#160;100 sub 1994 No.&#160;49 s&#160;6 sch&#160;2\n(sec.100-ssec.1) The proprietor of land within the site has the right to restrict, regulate or prohibit the use or movement of vessels on, over, through or beneath tidal waters above the land if the waters are not beyond the quay line.\n(sec.100-ssec.2) If the proprietor of land within the site permits the mooring of a vessel in waters above the land, the proprietor of other land within the site must not restrict or prohibit the movement of the vessel over the proprietor’s land that is beyond the quay line to— the mooring; or the Coomera River; or another place for which permission to moor the vessel has been given; or tidal waters outside the site.\n- (a) the mooring; or\n- (b) the Coomera River; or\n- (c) another place for which permission to moor the vessel has been given; or\n- (d) tidal waters outside the site.","sortOrder":222},{"sectionNumber":"sec.101","sectionType":"section","heading":"State not to grant lease etc. within site etc.","content":"### sec.101 State not to grant lease etc. within site etc.\n\nThe State may not grant a lease, a licence to use and occupy, or a permit to use and occupy, any foreshore, tidal lands or tidal waters within the site.\ns&#160;101 sub 1994 No.&#160;49 s&#160;6 sch&#160;2","sortOrder":223},{"sectionNumber":"sec.102","sectionType":"section","heading":"Construction of special dwelling houses","content":"### sec.102 Construction of special dwelling houses\n\nThe construction of a special dwelling house within the site is not—\nthe construction of a vessel, harbour works or other works of any kind; or\nthe placing of a pile or another structure;\nin, on, over, through or across land that is submerged or subject to inundation or tidal influence.\nSubsection&#160;(1) has effect only for purposes prescribed by regulation.\ns&#160;102 sub 1994 No.&#160;49 s&#160;6 sch&#160;2\namd 2009 No.&#160;26 s&#160;105\n(sec.102-ssec.1) The construction of a special dwelling house within the site is not— the construction of a vessel, harbour works or other works of any kind; or the placing of a pile or another structure; in, on, over, through or across land that is submerged or subject to inundation or tidal influence.\n(sec.102-ssec.2) Subsection&#160;(1) has effect only for purposes prescribed by regulation.\n- (a) the construction of a vessel, harbour works or other works of any kind; or\n- (b) the placing of a pile or another structure;","sortOrder":224},{"sectionNumber":"sec.103","sectionType":"section","heading":"Application of laws of the State","content":"### sec.103 Application of laws of the State\n\nThe laws of the State relating to the design and construction and standard of construction or materials of buildings and other structures apply according to their tenor in respect of special dwelling houses so far as those laws may be sensibly so applied, as if special dwelling houses were constructed on land.\nThe Coastal Protection and Management Act 1995 and the Planning Act do not apply to the development, or proposed development, of a part of the site as a harbour facility.\nIn this section—\nharbour facility see schedule&#160;1 , part&#160;3 .\ns&#160;103 amd 2009 No.&#160;26 s&#160;106 ; 2016 No.&#160;27 s&#160;442\n(sec.103-ssec.1) The laws of the State relating to the design and construction and standard of construction or materials of buildings and other structures apply according to their tenor in respect of special dwelling houses so far as those laws may be sensibly so applied, as if special dwelling houses were constructed on land.\n(sec.103-ssec.2) The Coastal Protection and Management Act 1995 and the Planning Act do not apply to the development, or proposed development, of a part of the site as a harbour facility.\n(sec.103-ssec.3) In this section— harbour facility see schedule&#160;1 , part&#160;3 .","sortOrder":225},{"sectionNumber":"sec.104","sectionType":"section","heading":"Construction and use of structures on bank of Coomera River","content":"### sec.104 Construction and use of structures on bank of Coomera River\n\nWith the prior written approval of the chief executive, the proprietor of land within the site bounded in part by the Coomera River may erect a structure that extends from that land upon or over that part of the river or bank that abuts that land.\nAn application for approval to erect a structure referred to in subsection&#160;(1) shall be made to the chief executive and accompanied by the prescribed fee.\nA structure erected pursuant to subsection&#160;(1) shall be for the purpose of providing pedestrian access from the land abutting the structure and for such other purpose as may be approved by the chief executive.\nFor so long as the structure is maintained in a good state of repair and to the standard specified by the chief executive in giving approval for its construction or from time to time specified by the chief executive, the proprietor for the time being of the land abutting the structure shall have the right to exclusive use of the structure for the purpose specified in subsection&#160;(3) .\nIf the chief executive is of the opinion that a structure erected upon or over the part of the Coomera River bank apparently for a purpose specified in subsection&#160;(3) does not comply with this section it may by notice in writing directed to the proprietor of land within the site that abuts the river bank where the structure is erected order—\nthe demolition and removal of the structure; or\nthe structure to be repaired or other work as is necessary to comply with this section be carried out;\nwithin the time specified in the order.\nA proprietor of land shall comply with an order directed to the proprietor pursuant to subsection&#160;(5) .\nMaximum penalty—20 penalty units.\nThe chief executive may at any time enter upon land for the purpose of inspecting any structure referred to in subsection&#160;(1) or (5) and may be upon the structure for that purpose.\nA person shall not prevent the chief executive from entering land or being upon any structure for the purpose of inspecting the structure pursuant to subsection&#160;(7) or obstruct or hinder the chief executive in carrying out the chief executive’s inspection.\nMaximum penalty—20 penalty units.\ns&#160;104 amd 1987 No.&#160;91 s&#160;44 ; 1994 No.&#160;49 s&#160;6 sch&#160;2\n(sec.104-ssec.1) With the prior written approval of the chief executive, the proprietor of land within the site bounded in part by the Coomera River may erect a structure that extends from that land upon or over that part of the river or bank that abuts that land.\n(sec.104-ssec.2) An application for approval to erect a structure referred to in subsection&#160;(1) shall be made to the chief executive and accompanied by the prescribed fee.\n(sec.104-ssec.3) A structure erected pursuant to subsection&#160;(1) shall be for the purpose of providing pedestrian access from the land abutting the structure and for such other purpose as may be approved by the chief executive.\n(sec.104-ssec.4) For so long as the structure is maintained in a good state of repair and to the standard specified by the chief executive in giving approval for its construction or from time to time specified by the chief executive, the proprietor for the time being of the land abutting the structure shall have the right to exclusive use of the structure for the purpose specified in subsection&#160;(3) .\n(sec.104-ssec.5) If the chief executive is of the opinion that a structure erected upon or over the part of the Coomera River bank apparently for a purpose specified in subsection&#160;(3) does not comply with this section it may by notice in writing directed to the proprietor of land within the site that abuts the river bank where the structure is erected order— the demolition and removal of the structure; or the structure to be repaired or other work as is necessary to comply with this section be carried out; within the time specified in the order.\n(sec.104-ssec.6) A proprietor of land shall comply with an order directed to the proprietor pursuant to subsection&#160;(5) . Maximum penalty—20 penalty units.\n(sec.104-ssec.7) The chief executive may at any time enter upon land for the purpose of inspecting any structure referred to in subsection&#160;(1) or (5) and may be upon the structure for that purpose.\n(sec.104-ssec.8) A person shall not prevent the chief executive from entering land or being upon any structure for the purpose of inspecting the structure pursuant to subsection&#160;(7) or obstruct or hinder the chief executive in carrying out the chief executive’s inspection. Maximum penalty—20 penalty units.\n- (a) the demolition and removal of the structure; or\n- (b) the structure to be repaired or other work as is necessary to comply with this section be carried out;","sortOrder":226},{"sectionNumber":"pt.8","sectionType":"part","heading":"Miscellaneous provisions","content":"# Miscellaneous provisions","sortOrder":227},{"sectionNumber":"pt.8-div.1","sectionType":"division","heading":"Resolution of particular disputes","content":"## Resolution of particular disputes","sortOrder":228},{"sectionNumber":"sec.104A","sectionType":"section","heading":"Dealing with particular disputes under Building Units and Group Titles Act 1980","content":"### sec.104A Dealing with particular disputes under Building Units and Group Titles Act 1980\n\nSubject to subsection&#160;(2) , a dispute about the operation of this Act or the rights and obligations of persons under this Act may be dealt with under the Building Units and Group Titles Act 1980 , part&#160;5 .\nHowever, this section—\ndoes not apply to a dispute or matter mentioned in section&#160;94T , 94U or 104B ; and\nis subject to section&#160;104C .\ns&#160;104A ins 2003 No.&#160;6 s&#160;161\nsub 2009 No.&#160;26 s&#160;107\n(sec.104A-ssec.1) Subject to subsection&#160;(2) , a dispute about the operation of this Act or the rights and obligations of persons under this Act may be dealt with under the Building Units and Group Titles Act 1980 , part&#160;5 .\n(sec.104A-ssec.2) However, this section— does not apply to a dispute or matter mentioned in section&#160;94T , 94U or 104B ; and is subject to section&#160;104C .\n- (a) does not apply to a dispute or matter mentioned in section&#160;94T , 94U or 104B ; and\n- (b) is subject to section&#160;104C .","sortOrder":229},{"sectionNumber":"sec.104B","sectionType":"section","heading":"Dealing with matter relating to development control by-law","content":"### sec.104B Dealing with matter relating to development control by-law\n\nQCAT may deal with a matter relating to—\nthe application of a development control by-law to a person mentioned in subsection&#160;(2) (b) or (c) ; or\na contravention or alleged contravention of a development control by-law.\nEach of the following persons may apply to QCAT, as provided under the QCAT Act , to deal with a matter under subsection&#160;(1) if the person has standing to make the application—\nthe principal body corporate;\na subsidiary body corporate of the principal body corporate;\na proprietor or occupier of, or a person having an estate or interest in, a lot in a residential zone.\nFor subsection&#160;(2) , a person has standing to make the application if the person is directly and materially affected by the matter to which the application relates.\nA proprietor of a lot in a residential zone alleges the amenity of the lot has been, or will be, adversely affected by development authorised under a development control by-law in an adjoining residential zone.\nThis section is subject to section&#160;104C .\ns&#160;104B ins 2009 No.&#160;26 s&#160;107\namd 2009 No.&#160;48 s&#160;188\n(sec.104B-ssec.1) QCAT may deal with a matter relating to— the application of a development control by-law to a person mentioned in subsection&#160;(2) (b) or (c) ; or a contravention or alleged contravention of a development control by-law.\n(sec.104B-ssec.2) Each of the following persons may apply to QCAT, as provided under the QCAT Act , to deal with a matter under subsection&#160;(1) if the person has standing to make the application— the principal body corporate; a subsidiary body corporate of the principal body corporate; a proprietor or occupier of, or a person having an estate or interest in, a lot in a residential zone.\n(sec.104B-ssec.3) For subsection&#160;(2) , a person has standing to make the application if the person is directly and materially affected by the matter to which the application relates. A proprietor of a lot in a residential zone alleges the amenity of the lot has been, or will be, adversely affected by development authorised under a development control by-law in an adjoining residential zone.\n(sec.104B-ssec.4) This section is subject to section&#160;104C .\n- (a) the application of a development control by-law to a person mentioned in subsection&#160;(2) (b) or (c) ; or\n- (b) a contravention or alleged contravention of a development control by-law.\n- (a) the principal body corporate;\n- (b) a subsidiary body corporate of the principal body corporate;\n- (c) a proprietor or occupier of, or a person having an estate or interest in, a lot in a residential zone.","sortOrder":230},{"sectionNumber":"sec.104C","sectionType":"section","heading":"Internal dispute resolution processes to be used before application","content":"### sec.104C Internal dispute resolution processes to be used before application\n\nThis section applies to—\na referee for deciding an application for an order under the Building Units and Group Titles Act 1980 , part&#160;5 relating to a dispute about a matter mentioned in section&#160;104A ; and\nQCAT in deciding an application about a matter mentioned in section&#160;104B .\nThe referee or QCAT must not decide the application unless the referee or QCAT is satisfied the applicant has made reasonable attempts to resolve the dispute or matter by using internal dispute resolution processes.\nthe parties to a dispute communicating with each other\nthe applicant writing to the executive committee for the principal body corporate\nthe applicant causing a motion to be presented for consideration at a general meeting of the principal body corporate\ns&#160;104C ins 2009 No.&#160;26 s&#160;107\namd 2009 No.&#160;48 s&#160;189\n(sec.104C-ssec.1) This section applies to— a referee for deciding an application for an order under the Building Units and Group Titles Act 1980 , part&#160;5 relating to a dispute about a matter mentioned in section&#160;104A ; and QCAT in deciding an application about a matter mentioned in section&#160;104B .\n(sec.104C-ssec.2) The referee or QCAT must not decide the application unless the referee or QCAT is satisfied the applicant has made reasonable attempts to resolve the dispute or matter by using internal dispute resolution processes. the parties to a dispute communicating with each other the applicant writing to the executive committee for the principal body corporate the applicant causing a motion to be presented for consideration at a general meeting of the principal body corporate\n- (a) a referee for deciding an application for an order under the Building Units and Group Titles Act 1980 , part&#160;5 relating to a dispute about a matter mentioned in section&#160;104A ; and\n- (b) QCAT in deciding an application about a matter mentioned in section&#160;104B .\n- • the parties to a dispute communicating with each other\n- • the applicant writing to the executive committee for the principal body corporate\n- • the applicant causing a motion to be presented for consideration at a general meeting of the principal body corporate","sortOrder":231},{"sectionNumber":"pt.8-div.2","sectionType":"division","heading":"Other matters","content":"## Other matters","sortOrder":232},{"sectionNumber":"sec.104D","sectionType":"section","heading":"Associates","content":"### sec.104D Associates\n\nFor this Act, a person is associated with someone else if—\na relationship of a type to which this section applies exists between them; or\na series of relationships of a type to which this section applies can be traced between them through another person or other persons.\nThis section applies to relationships of the following types—\nmarriage, de facto relationship or civil partnership;\nthe relationship of ascendant and descendant (including the relationship of parent and child) or the relationship of persons who have a parent or grandparent in common;\nbusiness partnership;\nthe relationship of employer and employee;\na fiduciary relationship;\nthe relationship of persons, 1 of whom is accustomed, or under an obligation (whether formal or informal), to act in accordance with the directions, instructions or wishes of the other;\nthe relationship of a corporation and executive officer of the corporation;\nthe relationship of a corporation and a person who is in a position to control or substantially influence the corporation’s conduct.\nDespite subsection&#160;(2) (e) and (f) , the owner of a secondary lot or lot on a group titles plan or building units plan and a letting agent for the resort or part of the resort are not associated merely because of their relationship as owner and letting agent.\nIn this section—\nexecutive officer , of a corporation, means a person who is concerned with, or takes part in, the corporation’s management, whether or not the person is a director or the person’s position is given the name of executive officer.\ns&#160;104D ins 2009 No.&#160;26 s&#160;107\namd 2011 No.&#160;46 s&#160;78 ; 2012 No.&#160;12 s&#160;59 sch pt&#160;2 ; 2015 No.&#160;33 s&#160;52 (2) sch pt&#160;2\n(sec.104D-ssec.1) For this Act, a person is associated with someone else if— a relationship of a type to which this section applies exists between them; or a series of relationships of a type to which this section applies can be traced between them through another person or other persons.\n(sec.104D-ssec.2) This section applies to relationships of the following types— marriage, de facto relationship or civil partnership; the relationship of ascendant and descendant (including the relationship of parent and child) or the relationship of persons who have a parent or grandparent in common; business partnership; the relationship of employer and employee; a fiduciary relationship; the relationship of persons, 1 of whom is accustomed, or under an obligation (whether formal or informal), to act in accordance with the directions, instructions or wishes of the other; the relationship of a corporation and executive officer of the corporation; the relationship of a corporation and a person who is in a position to control or substantially influence the corporation’s conduct.\n(sec.104D-ssec.3) Despite subsection&#160;(2) (e) and (f) , the owner of a secondary lot or lot on a group titles plan or building units plan and a letting agent for the resort or part of the resort are not associated merely because of their relationship as owner and letting agent.\n(sec.104D-ssec.4) In this section— executive officer , of a corporation, means a person who is concerned with, or takes part in, the corporation’s management, whether or not the person is a director or the person’s position is given the name of executive officer.\n- (a) a relationship of a type to which this section applies exists between them; or\n- (b) a series of relationships of a type to which this section applies can be traced between them through another person or other persons.\n- (a) marriage, de facto relationship or civil partnership;\n- (b) the relationship of ascendant and descendant (including the relationship of parent and child) or the relationship of persons who have a parent or grandparent in common;\n- (c) business partnership;\n- (d) the relationship of employer and employee;\n- (e) a fiduciary relationship;\n- (f) the relationship of persons, 1 of whom is accustomed, or under an obligation (whether formal or informal), to act in accordance with the directions, instructions or wishes of the other;\n- (g) the relationship of a corporation and executive officer of the corporation;\n- (h) the relationship of a corporation and a person who is in a position to control or substantially influence the corporation’s conduct.","sortOrder":233},{"sectionNumber":"sec.105","sectionType":"section","heading":"Statutory charges","content":"### sec.105 Statutory charges\n\nFor the purpose of the assessment of rates, land tax and any other statutory charges payable in respect of land and for the purpose of determining the value of land, the land within the site or the adjacent site that is or may be or becomes inundated by water or subject to tidal influence shall be deemed to be land that is not and never has been so inundated or subject.\nFor ‘value’ see the Land Valuation Act 2010 , chapter&#160;2 and chapter&#160;10 , part&#160;3 .\ns&#160;105 amd 1987 No.&#160;91 s&#160;45 ; 2010 No.&#160;39 s&#160;325 sch&#160;1 pt&#160;2","sortOrder":234},{"sectionNumber":"sec.105A","sectionType":"section","heading":"Delegation by chief executive","content":"### sec.105A Delegation by chief executive\n\nThe chief executive may delegate the chief executive’s powers under this Act to an officer or employee of the public service.\ns&#160;105A ins 1994 No.&#160;49 s&#160;6 sch&#160;2","sortOrder":235},{"sectionNumber":"sec.106","sectionType":"section","heading":"Request for local government approval to be accompanied by fee","content":"### sec.106 Request for local government approval to be accompanied by fee\n\nAn application to the local government for any approval by this Act required shall be accompanied by the relevant application fee fixed from time to time by the local government.\nDifferent amounts may be fixed as application fees in respect of applications for different types of approval required by this Act or in respect of a particular application and may be fixed before or after the application is made.\ns&#160;106 amd 2009 No.&#160;26 s&#160;59 sch\n(sec.106-ssec.1) An application to the local government for any approval by this Act required shall be accompanied by the relevant application fee fixed from time to time by the local government.\n(sec.106-ssec.2) Different amounts may be fixed as application fees in respect of applications for different types of approval required by this Act or in respect of a particular application and may be fixed before or after the application is made.","sortOrder":236},{"sectionNumber":"sec.107","sectionType":"section","heading":"Offences generally and penalty","content":"### sec.107 Offences generally and penalty\n\nA person who contravenes or fails to comply with any provision of this Act commits an offence against this Act.\nWhere no penalty is expressly provided, a person who commits an offence against this Act is liable to a penalty of 20 penalty units.\ns&#160;107 amd 1987 No.&#160;91 s&#160;46\n(sec.107-ssec.1) A person who contravenes or fails to comply with any provision of this Act commits an offence against this Act.\n(sec.107-ssec.2) Where no penalty is expressly provided, a person who commits an offence against this Act is liable to a penalty of 20 penalty units.","sortOrder":237},{"sectionNumber":"sec.108","sectionType":"section","heading":"Proceedings for offences","content":"### sec.108 Proceedings for offences\n\nA prosecution for an offence against this Act shall be by way of summary proceedings under the Justices Act 1886 upon the complaint of—\nin the case of offences against the provisions of part&#160;2 , division&#160;2 —the chief executive officer of the local government or the chief executive officer’s delegate; or\nin any other case—any person authorised in writing in that behalf by the Minister.\nIn any proceedings it shall not be necessary to prove the appointment of the chief executive officer of the local government or the authority of a complainant to lay a complaint in respect of an offence against this Act in the absence of evidence that challenges that appointment or authority.\ns&#160;108 amd 2009 No.&#160;26 s&#160;59 sch\n(sec.108-ssec.1) A prosecution for an offence against this Act shall be by way of summary proceedings under the Justices Act 1886 upon the complaint of— in the case of offences against the provisions of part&#160;2 , division&#160;2 —the chief executive officer of the local government or the chief executive officer’s delegate; or in any other case—any person authorised in writing in that behalf by the Minister.\n(sec.108-ssec.2) In any proceedings it shall not be necessary to prove the appointment of the chief executive officer of the local government or the authority of a complainant to lay a complaint in respect of an offence against this Act in the absence of evidence that challenges that appointment or authority.\n- (a) in the case of offences against the provisions of part&#160;2 , division&#160;2 —the chief executive officer of the local government or the chief executive officer’s delegate; or\n- (b) in any other case—any person authorised in writing in that behalf by the Minister.","sortOrder":238},{"sectionNumber":"sec.109","sectionType":"section","heading":"Evidentiary provisions","content":"### sec.109 Evidentiary provisions\n\nIn proceedings under this Act a signature purporting to be that of the Minister shall be taken to be the signature it purports to be until the contrary is proved.","sortOrder":239},{"sectionNumber":"sec.110","sectionType":"section","heading":"Tabling of orders in council","content":"### sec.110 Tabling of orders in council\n\nSection&#160;28A of the Acts Interpretation Act 1954 (Tabling of Regulations) shall apply with respect to orders in council made for the purposes of this Act as if they were regulations.","sortOrder":240},{"sectionNumber":"sec.111","sectionType":"section","heading":"Regulation-making power","content":"### sec.111 Regulation-making power\n\nThe Governor in Council may make regulations, not inconsistent with this Act, with respect to—\nthe preparation of plans and documents for the purposes of this Act;\nthe plans and documents that under this Act may be lodged in the office of the registrar of titles;\nthe registration in the office of the registrar of titles of plans and documents;\nthe nomination and election of the offices of chairperson, secretary and treasurer of the principal body corporate or of the primary thoroughfare body corporate and of other members of the executive committee of each such body corporate;\nany matter or thing which by this Act is required or permitted to be prescribed or is necessary or convenient to be prescribed for carrying out or giving effect to any provision of this Act.\nA regulation may impose a penalty not exceeding $200 for an offence against a regulation.\ns&#160;111 amd 2004 No.&#160;53 s&#160;2 sch ; 2021 No.&#160;12 s&#160;148 sch&#160;3\n(sec.111-ssec.1) The Governor in Council may make regulations, not inconsistent with this Act, with respect to— the preparation of plans and documents for the purposes of this Act; the plans and documents that under this Act may be lodged in the office of the registrar of titles; the registration in the office of the registrar of titles of plans and documents; the nomination and election of the offices of chairperson, secretary and treasurer of the principal body corporate or of the primary thoroughfare body corporate and of other members of the executive committee of each such body corporate; any matter or thing which by this Act is required or permitted to be prescribed or is necessary or convenient to be prescribed for carrying out or giving effect to any provision of this Act.\n(sec.111-ssec.2) A regulation may impose a penalty not exceeding $200 for an offence against a regulation.\n- (a) the preparation of plans and documents for the purposes of this Act;\n- (b) the plans and documents that under this Act may be lodged in the office of the registrar of titles;\n- (c) the registration in the office of the registrar of titles of plans and documents;\n- (d) the nomination and election of the offices of chairperson, secretary and treasurer of the principal body corporate or of the primary thoroughfare body corporate and of other members of the executive committee of each such body corporate;\n- (e) any matter or thing which by this Act is required or permitted to be prescribed or is necessary or convenient to be prescribed for carrying out or giving effect to any provision of this Act.","sortOrder":241},{"sectionNumber":"pt.9","sectionType":"part","heading":"Validation","content":"# Validation","sortOrder":242},{"sectionNumber":"sec.112","sectionType":"section","heading":"Declaration about resolution of disputes under Building Units and Group Titles Act 1980","content":"### sec.112 Declaration about resolution of disputes under Building Units and Group Titles Act 1980\n\nThis section applies to all acts, matters and things done before the commencement of section&#160;104A for the resolution, under the Building Units and Group Titles Act 1980 , part&#160;5, of a dispute about the operation of this Act or the rights and obligations of persons under this Act.\nTo remove any doubt, it is declared that the acts, matters and things are taken to be, and always to have been, as validly done as if they were done after the commencement.\ns&#160;112 ins 2003 No.&#160;6 s&#160;162\n(sec.112-ssec.1) This section applies to all acts, matters and things done before the commencement of section&#160;104A for the resolution, under the Building Units and Group Titles Act 1980 , part&#160;5, of a dispute about the operation of this Act or the rights and obligations of persons under this Act.\n(sec.112-ssec.2) To remove any doubt, it is declared that the acts, matters and things are taken to be, and always to have been, as validly done as if they were done after the commencement.","sortOrder":243},{"sectionNumber":"pt.10","sectionType":"part","heading":"Transitional provisions for Resorts and Other Acts Amendment Act 2009","content":"# Transitional provisions for Resorts and Other Acts Amendment Act 2009","sortOrder":244},{"sectionNumber":"pt.10-div.1","sectionType":"division","heading":"Preliminary","content":"## Preliminary","sortOrder":245},{"sectionNumber":"sec.113","sectionType":"section","heading":"Definitions for pt&#160;10","content":"### sec.113 Definitions for pt&#160;10\n\nIn this part—\ncommencement means the commencement of this section.\neffective day means the day that is 6 months after the commencement.\ns&#160;113 ins 2009 No.&#160;26 s&#160;108","sortOrder":246},{"sectionNumber":"pt.10-div.2","sectionType":"division","heading":"Changes to zones","content":"## Changes to zones","sortOrder":247},{"sectionNumber":"sec.114","sectionType":"section","heading":"References to proposed use plan of site","content":"### sec.114 References to proposed use plan of site\n\nThis section applies—\nuntil the local government approves a plan of survey of the site under section&#160;7(4); and\ndespite section&#160;4B(1).\nParagraph&#160;(b) refers to section&#160;4B(1) as in force before the commencement of the Local Government Electoral Act 2011 , section&#160;304 .\nA reference in this Act to the proposed use plan of the site is a reference to the plan of survey of the site approved under section&#160;8(4) or (7) as it was in force immediately before the commencement.\nThis section stops applying on the commencement of section&#160;4B(1) and (2) as inserted by the Local Government Electoral Act 2011 .\ns&#160;114 ins 2009 No.&#160;26 s&#160;108\namd 2011 No.&#160;27 s&#160;333\n(sec.114-ssec.1) This section applies— until the local government approves a plan of survey of the site under section&#160;7(4); and despite section&#160;4B(1). Paragraph&#160;(b) refers to section&#160;4B(1) as in force before the commencement of the Local Government Electoral Act 2011 , section&#160;304 .\n(sec.114-ssec.2) A reference in this Act to the proposed use plan of the site is a reference to the plan of survey of the site approved under section&#160;8(4) or (7) as it was in force immediately before the commencement.\n(sec.114-ssec.3) This section stops applying on the commencement of section&#160;4B(1) and (2) as inserted by the Local Government Electoral Act 2011 .\n- (a) until the local government approves a plan of survey of the site under section&#160;7(4); and\n- (b) despite section&#160;4B(1). Note— Paragraph&#160;(b) refers to section&#160;4B(1) as in force before the commencement of the Local Government Electoral Act 2011 , section&#160;304 .","sortOrder":248},{"sectionNumber":"sec.115","sectionType":"section","heading":"References to proposed use plan of adjacent site","content":"### sec.115 References to proposed use plan of adjacent site\n\nThis section applies—\nuntil the local government approves a plan of survey of the adjacent site under section&#160;12C(4); and\ndespite section&#160;4B(2).\nParagraph&#160;(b) refers to section&#160;4B(2) as in force before the commencement of the Local Government Electoral Act 2011 , section&#160;304.\nA reference in this Act to the proposed use plan of the adjacent site is a reference to the plan of survey of the adjacent site approved under section&#160;12D(4) or (7) as it was in force immediately before the commencement.\nThis section stops applying on the commencement of section&#160;4B(3) and (4) as inserted by the Local Government Electoral Act 2011 .\ns&#160;115 ins 2009 No.&#160;26 s&#160;108\namd 2011 No.&#160;27 s&#160;334\n(sec.115-ssec.1) This section applies— until the local government approves a plan of survey of the adjacent site under section&#160;12C(4); and despite section&#160;4B(2). Paragraph&#160;(b) refers to section&#160;4B(2) as in force before the commencement of the Local Government Electoral Act 2011 , section&#160;304.\n(sec.115-ssec.2) A reference in this Act to the proposed use plan of the adjacent site is a reference to the plan of survey of the adjacent site approved under section&#160;12D(4) or (7) as it was in force immediately before the commencement.\n(sec.115-ssec.3) This section stops applying on the commencement of section&#160;4B(3) and (4) as inserted by the Local Government Electoral Act 2011 .\n- (a) until the local government approves a plan of survey of the adjacent site under section&#160;12C(4); and\n- (b) despite section&#160;4B(2). Note— Paragraph&#160;(b) refers to section&#160;4B(2) as in force before the commencement of the Local Government Electoral Act 2011 , section&#160;304.","sortOrder":249},{"sectionNumber":"sec.116","sectionType":"section","heading":"Former floating dwelling house zone","content":"### sec.116 Former floating dwelling house zone\n\nSubsections&#160;(2) and (3) apply until—\nthe local government approves a plan of survey of the site under section&#160;7(4); or\nthe beginning of the effective day.\nThe former floating dwelling house zone continues to be a residential zone of the site.\nA reference to the Harbour 1 Residential Zone in schedule&#160;1, part&#160;1 or schedule&#160;9, definition residential zone is taken to be a reference to the former floating dwelling house zone.\nIf, at the beginning of the effective day, the approval mentioned in subsection&#160;(1)(a) has not happened—\nthe name of the former floating dwelling house zone is changed to ‘Harbour 1 Residential Zone’; and\na reference in the proposed use plan of the site to the Floating Dwelling House Zone is taken to be a reference to the Harbour 1 Residential Zone.\nIn this section—\nformer floating dwelling house zone means the zone that, before the commencement, was named and shown on the proposed use plan of the site as the Floating Dwelling House Zone.\ns&#160;116 ins 2009 No.&#160;26 s&#160;108\n(sec.116-ssec.1) Subsections&#160;(2) and (3) apply until— the local government approves a plan of survey of the site under section&#160;7(4); or the beginning of the effective day.\n(sec.116-ssec.2) The former floating dwelling house zone continues to be a residential zone of the site.\n(sec.116-ssec.3) A reference to the Harbour 1 Residential Zone in schedule&#160;1, part&#160;1 or schedule&#160;9, definition residential zone is taken to be a reference to the former floating dwelling house zone.\n(sec.116-ssec.4) If, at the beginning of the effective day, the approval mentioned in subsection&#160;(1)(a) has not happened— the name of the former floating dwelling house zone is changed to ‘Harbour 1 Residential Zone’; and a reference in the proposed use plan of the site to the Floating Dwelling House Zone is taken to be a reference to the Harbour 1 Residential Zone.\n(sec.116-ssec.5) In this section— former floating dwelling house zone means the zone that, before the commencement, was named and shown on the proposed use plan of the site as the Floating Dwelling House Zone.\n- (a) the local government approves a plan of survey of the site under section&#160;7(4); or\n- (b) the beginning of the effective day.\n- (a) the name of the former floating dwelling house zone is changed to ‘Harbour 1 Residential Zone’; and\n- (b) a reference in the proposed use plan of the site to the Floating Dwelling House Zone is taken to be a reference to the Harbour 1 Residential Zone.","sortOrder":250},{"sectionNumber":"sec.117","sectionType":"section","heading":"Transitional amendment of initial plan of survey of site to reflect new zone boundaries","content":"### sec.117 Transitional amendment of initial plan of survey of site to reflect new zone boundaries\n\nThis section applies if a proposed use plan of the site is approved by the local government under section&#160;7(4).\nA plan of survey (the amending plan ) may be lodged with the registrar of titles to amend the initial plan of survey of the site in accordance with the boundaries of the zones shown on the proposed use plan.\nSection&#160;10(9) to (10) applies to the amending plan as if the amending plan had been lodged with the registrar of titles under section&#160;10(8)(b)(i).\nOnly 1 lodgement may be made under subsection&#160;(2).\ns&#160;117 ins 2009 No.&#160;26 s&#160;108\n(sec.117-ssec.1) This section applies if a proposed use plan of the site is approved by the local government under section&#160;7(4).\n(sec.117-ssec.2) A plan of survey (the amending plan ) may be lodged with the registrar of titles to amend the initial plan of survey of the site in accordance with the boundaries of the zones shown on the proposed use plan.\n(sec.117-ssec.3) Section&#160;10(9) to (10) applies to the amending plan as if the amending plan had been lodged with the registrar of titles under section&#160;10(8)(b)(i).\n(sec.117-ssec.4) Only 1 lodgement may be made under subsection&#160;(2).","sortOrder":251},{"sectionNumber":"sec.118","sectionType":"section","heading":"Transitional amendment of initial plan of survey of adjacent site to reflect new zone boundaries","content":"### sec.118 Transitional amendment of initial plan of survey of adjacent site to reflect new zone boundaries\n\nThis section applies if a proposed use plan of the adjacent site is approved by the local government under section&#160;12C(4).\nA plan of survey (the amending plan ) may be lodged with the registrar of titles to amend the initial plan of survey of the adjacent site in accordance with the boundaries of the zones shown on the proposed use plan.\nSection&#160;12F(9) to (10) applies to the amending plan as if the amending plan had been lodged with the registrar of titles under section&#160;12F(8)(b)(i).\nOnly 1 lodgement may be made under subsection&#160;(2).\ns&#160;118 ins 2009 No.&#160;26 s&#160;108\n(sec.118-ssec.1) This section applies if a proposed use plan of the adjacent site is approved by the local government under section&#160;12C(4).\n(sec.118-ssec.2) A plan of survey (the amending plan ) may be lodged with the registrar of titles to amend the initial plan of survey of the adjacent site in accordance with the boundaries of the zones shown on the proposed use plan.\n(sec.118-ssec.3) Section&#160;12F(9) to (10) applies to the amending plan as if the amending plan had been lodged with the registrar of titles under section&#160;12F(8)(b)(i).\n(sec.118-ssec.4) Only 1 lodgement may be made under subsection&#160;(2).","sortOrder":252},{"sectionNumber":"sec.119","sectionType":"section","heading":"Transitional amendment of other plans of survey or group title plans to reflect new zone boundaries","content":"### sec.119 Transitional amendment of other plans of survey or group title plans to reflect new zone boundaries\n\nThis section applies if a proposed use plan is approved by the local government under section&#160;7(4) or 12C(4).\nA plan of survey (the amending plan ) may be lodged with the registrar of titles to amend any of the following plans in accordance with the boundaries of the zones shown on the proposed use plan—\na plan of survey or group titles plan for the subdivision or resubdivision of a secondary lot;\na group titles plan for the resubdivision of a lot shown on a group titles plan.\nSection&#160;15A(2) and (4) applies to the amending plan as if the amending plan had been lodged with the registrar of titles under section&#160;15A(1).\nOnly 1 lodgement may be made under subsection&#160;(2).\ns&#160;119 ins 2009 No.&#160;26 s&#160;108\n(sec.119-ssec.1) This section applies if a proposed use plan is approved by the local government under section&#160;7(4) or 12C(4).\n(sec.119-ssec.2) A plan of survey (the amending plan ) may be lodged with the registrar of titles to amend any of the following plans in accordance with the boundaries of the zones shown on the proposed use plan— a plan of survey or group titles plan for the subdivision or resubdivision of a secondary lot; a group titles plan for the resubdivision of a lot shown on a group titles plan.\n(sec.119-ssec.3) Section&#160;15A(2) and (4) applies to the amending plan as if the amending plan had been lodged with the registrar of titles under section&#160;15A(1).\n(sec.119-ssec.4) Only 1 lodgement may be made under subsection&#160;(2).\n- (a) a plan of survey or group titles plan for the subdivision or resubdivision of a secondary lot;\n- (b) a group titles plan for the resubdivision of a lot shown on a group titles plan.","sortOrder":253},{"sectionNumber":"pt.10-div.3","sectionType":"division","heading":"Bodies corporate","content":"## Bodies corporate","sortOrder":254},{"sectionNumber":"sec.120","sectionType":"section","heading":"Existing number of committee members may continue until effective day","content":"### sec.120 Existing number of committee members may continue until effective day\n\nThis section applies if—\nthe principal body corporate or primary thoroughfare body corporate has more than 5 members; and\nthe number (the existing number ) of members of the executive committee of the body corporate is less than 5.\nDespite section&#160;41(4) or 85(4), the executive committee may continue to consist of the existing number of members.\nThis section stops applying at the beginning of the effective day.\ns&#160;120 ins 2009 No.&#160;26 s&#160;108\n(sec.120-ssec.1) This section applies if— the principal body corporate or primary thoroughfare body corporate has more than 5 members; and the number (the existing number ) of members of the executive committee of the body corporate is less than 5.\n(sec.120-ssec.2) Despite section&#160;41(4) or 85(4), the executive committee may continue to consist of the existing number of members.\n(sec.120-ssec.3) This section stops applying at the beginning of the effective day.\n- (a) the principal body corporate or primary thoroughfare body corporate has more than 5 members; and\n- (b) the number (the existing number ) of members of the executive committee of the body corporate is less than 5.","sortOrder":255},{"sectionNumber":"sec.121","sectionType":"section","heading":"Deferred application of particular provisions","content":"### sec.121 Deferred application of particular provisions\n\nThe following provisions do not apply until the effective day—\nsections&#160;41A and 85A and schedule&#160;4;\npart&#160;3, divisions&#160;2B, 2C and 2D;\npart&#160;5, divisions&#160;2B and 2C.\ns&#160;121 ins 2009 No.&#160;26 s&#160;108\n- (a) sections&#160;41A and 85A and schedule&#160;4;\n- (b) part&#160;3, divisions&#160;2B, 2C and 2D;\n- (c) part&#160;5, divisions&#160;2B and 2C.","sortOrder":256},{"sectionNumber":"sec.122","sectionType":"section","heading":"Application of code of conduct for existing voting members of executive committees","content":"### sec.122 Application of code of conduct for existing voting members of executive committees\n\nThis section applies to a person who, before the effective day, was a voting member of the executive committee of the primary thoroughfare body corporate or principal body corporate.\nThe code of conduct for voting members of the executive committee applies to the person only in relation to acts done or omissions made on or after the effective day.\ns&#160;122 ins 2009 No.&#160;26 s&#160;108\n(sec.122-ssec.1) This section applies to a person who, before the effective day, was a voting member of the executive committee of the primary thoroughfare body corporate or principal body corporate.\n(sec.122-ssec.2) The code of conduct for voting members of the executive committee applies to the person only in relation to acts done or omissions made on or after the effective day.","sortOrder":257},{"sectionNumber":"sec.123","sectionType":"section","heading":"Auditing accounts for first annual general meeting after evaluation day","content":"### sec.123 Auditing accounts for first annual general meeting after evaluation day\n\nThis section applies if—\nbefore the effective day—\nthe principal body corporate authorised a person to prepare a statement of accounts under section&#160;33(1)(f) for adoption at the body corporate’s annual general meeting; and\nthe person started to prepare the statement of accounts; and\nthe annual general meeting has not happened.\nSection&#160;47J does not apply for auditing the statement of accounts for the period to which the authorisation relates.\ns&#160;123 ins 2009 No.&#160;26 s&#160;108\n(sec.123-ssec.1) This section applies if— before the effective day— the principal body corporate authorised a person to prepare a statement of accounts under section&#160;33(1)(f) for adoption at the body corporate’s annual general meeting; and the person started to prepare the statement of accounts; and the annual general meeting has not happened.\n(sec.123-ssec.2) Section&#160;47J does not apply for auditing the statement of accounts for the period to which the authorisation relates.\n- (a) before the effective day— (i) the principal body corporate authorised a person to prepare a statement of accounts under section&#160;33(1)(f) for adoption at the body corporate’s annual general meeting; and (ii) the person started to prepare the statement of accounts; and\n- (i) the principal body corporate authorised a person to prepare a statement of accounts under section&#160;33(1)(f) for adoption at the body corporate’s annual general meeting; and\n- (ii) the person started to prepare the statement of accounts; and\n- (b) the annual general meeting has not happened.\n- (i) the principal body corporate authorised a person to prepare a statement of accounts under section&#160;33(1)(f) for adoption at the body corporate’s annual general meeting; and\n- (ii) the person started to prepare the statement of accounts; and","sortOrder":258},{"sectionNumber":"sec.124","sectionType":"section","heading":"End of appointment of original owner of secondary lot as nominee for subsidiary body corporate","content":"### sec.124 End of appointment of original owner of secondary lot as nominee for subsidiary body corporate\n\nThis section applies if—\nbefore the commencement—\na subsidiary body corporate under a building units or group titles plan appointed as its nominee, under section&#160;24, the original owner of the secondary lot subdivided by the plan or an ineligible associate of the original owner; and\nthe original owner ceased to own more than 50% of the lots; and\nimmediately before the commencement, the original owner or ineligible associate was still the nominee for the subsidiary body corporate.\nDespite section&#160;24A, the owner’s or associate’s appointment as the nominee for the subsidiary body corporate ends when the first of the following happens—\nthe beginning of the effective day;\nthe secretary of the principal body corporate receives a written notice under section&#160;24(7)(b) of—\nthe cancellation of the appointment; or\nthe appointment of another nominee for the subsidiary body corporate.\nIn this section—\nineligible associate see section&#160;24A(2)(b).\nsubsidiary body corporate , under a building units or group titles plan subdividing a secondary lot within a residential zone, means the body corporate created by the registration of the plan.\ns&#160;124 ins 2009 No.&#160;26 s&#160;108\n(sec.124-ssec.1) This section applies if— before the commencement— a subsidiary body corporate under a building units or group titles plan appointed as its nominee, under section&#160;24, the original owner of the secondary lot subdivided by the plan or an ineligible associate of the original owner; and the original owner ceased to own more than 50% of the lots; and immediately before the commencement, the original owner or ineligible associate was still the nominee for the subsidiary body corporate.\n(sec.124-ssec.2) Despite section&#160;24A, the owner’s or associate’s appointment as the nominee for the subsidiary body corporate ends when the first of the following happens— the beginning of the effective day; the secretary of the principal body corporate receives a written notice under section&#160;24(7)(b) of— the cancellation of the appointment; or the appointment of another nominee for the subsidiary body corporate.\n(sec.124-ssec.3) In this section— ineligible associate see section&#160;24A(2)(b). subsidiary body corporate , under a building units or group titles plan subdividing a secondary lot within a residential zone, means the body corporate created by the registration of the plan.\n- (a) before the commencement— (i) a subsidiary body corporate under a building units or group titles plan appointed as its nominee, under section&#160;24, the original owner of the secondary lot subdivided by the plan or an ineligible associate of the original owner; and (ii) the original owner ceased to own more than 50% of the lots; and\n- (i) a subsidiary body corporate under a building units or group titles plan appointed as its nominee, under section&#160;24, the original owner of the secondary lot subdivided by the plan or an ineligible associate of the original owner; and\n- (ii) the original owner ceased to own more than 50% of the lots; and\n- (b) immediately before the commencement, the original owner or ineligible associate was still the nominee for the subsidiary body corporate.\n- (i) a subsidiary body corporate under a building units or group titles plan appointed as its nominee, under section&#160;24, the original owner of the secondary lot subdivided by the plan or an ineligible associate of the original owner; and\n- (ii) the original owner ceased to own more than 50% of the lots; and\n- (a) the beginning of the effective day;\n- (b) the secretary of the principal body corporate receives a written notice under section&#160;24(7)(b) of— (i) the cancellation of the appointment; or (ii) the appointment of another nominee for the subsidiary body corporate.\n- (i) the cancellation of the appointment; or\n- (ii) the appointment of another nominee for the subsidiary body corporate.\n- (i) the cancellation of the appointment; or\n- (ii) the appointment of another nominee for the subsidiary body corporate.","sortOrder":259},{"sectionNumber":"pt.10-div.4","sectionType":"division","heading":"Body corporate managers, service contractors and letting agents","content":"## Body corporate managers, service contractors and letting agents","sortOrder":260},{"sectionNumber":"sec.125","sectionType":"section","heading":"Deferred application of particular provisions","content":"### sec.125 Deferred application of particular provisions\n\nThe following provisions do not apply until the effective day—\npart&#160;5A, divisions&#160;2, 3, 4 and 5;\nschedules&#160;5 and 6.\ns&#160;125 ins 2009 No.&#160;26 s&#160;108\n- (a) part&#160;5A, divisions&#160;2, 3, 4 and 5;\n- (b) schedules&#160;5 and 6.","sortOrder":261},{"sectionNumber":"sec.126","sectionType":"section","heading":"Application of code of conduct for existing managers and contractors","content":"### sec.126 Application of code of conduct for existing managers and contractors\n\nThis section applies to a person who, before the effective day—\nwas appointed as the body corporate manager of the primary thoroughfare body corporate or principal body corporate; or\nwas engaged as a caretaking service contractor for the resort or part of the resort.\nThe code of conduct for body corporate managers and caretaking service contractors applies to the person only in relation to acts done or omissions made on or after the effective day.\ns&#160;126 ins 2009 No.&#160;26 s&#160;108\n(sec.126-ssec.1) This section applies to a person who, before the effective day— was appointed as the body corporate manager of the primary thoroughfare body corporate or principal body corporate; or was engaged as a caretaking service contractor for the resort or part of the resort.\n(sec.126-ssec.2) The code of conduct for body corporate managers and caretaking service contractors applies to the person only in relation to acts done or omissions made on or after the effective day.\n- (a) was appointed as the body corporate manager of the primary thoroughfare body corporate or principal body corporate; or\n- (b) was engaged as a caretaking service contractor for the resort or part of the resort.","sortOrder":262},{"sectionNumber":"sec.127","sectionType":"section","heading":"Application of code of conduct for existing letting agents","content":"### sec.127 Application of code of conduct for existing letting agents\n\nThis section applies to a person who, before the effective day, was a letting agent for the resort or part of the resort.\nThe code of conduct for letting agents applies to the person only in relation to acts done or omissions made on or after the effective day.\ns&#160;127 ins 2009 No.&#160;26 s&#160;108\n(sec.127-ssec.1) This section applies to a person who, before the effective day, was a letting agent for the resort or part of the resort.\n(sec.127-ssec.2) The code of conduct for letting agents applies to the person only in relation to acts done or omissions made on or after the effective day.","sortOrder":263},{"sectionNumber":"sec.128","sectionType":"section","heading":"Existing term of appointment for body corporate manager","content":"### sec.128 Existing term of appointment for body corporate manager\n\nThis section applies if—\nbefore the commencement, a body corporate manager was appointed for—\nthe principal body corporate under former section&#160;47A; or\nthe primary thoroughfare body corporate under former section&#160;91A; and\nthe term of the appointment has not ended.\nThe term of the appointment ends on the day provided for in the instrument of appointment.\nFor subsection&#160;(2), the term of the appointment provided for in the instrument of appointment includes rights or options of extension or renewal provided for in the instrument of appointment.\nThis section applies despite sections&#160;47AB(8) and (9) and 91AB(8) and (9).\nIn this section—\nformer section&#160;47A means section&#160;47A as it was in force immediately before the commencement.\nformer section&#160;91A means section&#160;91A as it was in force immediately before the commencement.\ns&#160;128 ins 2009 No.&#160;26 s&#160;108\n(sec.128-ssec.1) This section applies if— before the commencement, a body corporate manager was appointed for— the principal body corporate under former section&#160;47A; or the primary thoroughfare body corporate under former section&#160;91A; and the term of the appointment has not ended.\n(sec.128-ssec.2) The term of the appointment ends on the day provided for in the instrument of appointment.\n(sec.128-ssec.3) For subsection&#160;(2), the term of the appointment provided for in the instrument of appointment includes rights or options of extension or renewal provided for in the instrument of appointment.\n(sec.128-ssec.4) This section applies despite sections&#160;47AB(8) and (9) and 91AB(8) and (9).\n(sec.128-ssec.5) In this section— former section&#160;47A means section&#160;47A as it was in force immediately before the commencement. former section&#160;91A means section&#160;91A as it was in force immediately before the commencement.\n- (a) before the commencement, a body corporate manager was appointed for— (i) the principal body corporate under former section&#160;47A; or (ii) the primary thoroughfare body corporate under former section&#160;91A; and\n- (i) the principal body corporate under former section&#160;47A; or\n- (ii) the primary thoroughfare body corporate under former section&#160;91A; and\n- (b) the term of the appointment has not ended.\n- (i) the principal body corporate under former section&#160;47A; or\n- (ii) the primary thoroughfare body corporate under former section&#160;91A; and","sortOrder":264},{"sectionNumber":"sch.1-pt.1","sectionType":"part","heading":"Names of zones","content":"# Names of zones","sortOrder":265},{"sectionNumber":"sch.1-pt.2","sectionType":"part","heading":"Uses for zones","content":"# Uses for zones","sortOrder":266},{"sectionNumber":"sch.1-pt.3","sectionType":"part","heading":"Definitions of uses for zones","content":"# Definitions of uses for zones","sortOrder":267}],"analysis":{"summary":{"complexity_score":8,"scope_assessment":{"changed":true,"description":"The original 1985 Act was designed to facilitate the development of a single resort site (the 'site') by a single company. Through amendments in 1987 and 1989, the scope was materially expanded to include an 'adjacent site' with its own full subdivision and governance framework, effectively doubling the geographic footprint of the special regime. Further amendments in 2009 and 2011 introduced an entirely new Part 2AA allowing the primary thoroughfare body corporate — rather than just the original developer company — to apply for amendments to zone uses and boundaries, shifting governance power from the original developer to the ongoing community body. These changes represent a significant broadening of the Act's scope beyond its original purpose as a development facilitation tool for a single company building a single resort."},"complexity_factors":["Multiple overlapping legal frameworks — the Act displaces standard Queensland planning law and interacts with the Building Units and Group Titles Act 1980, the Land Act 1962, the Local Government Act 2009, and the Planning Act","Multi-tier body corporate structure with different roles and obligations for the primary thoroughfare body corporate, the principal body corporate, and individual scheme body corporates","Two distinct but legally connected land areas (the 'site' and the 'adjacent site') each with their own subdivision rules, zone maps, plans of survey, and approval pathways","Complex subdivision rules with numerical caps, percentage floors (e.g. 90% of specified zone numbers), and lot-counting rules for group title and building unit lots","Multiple amendment pathways for plans and uses, with different approval authorities (local government for minor boundary changes, Governor in Council for significant changes, Minister as intermediary)","Extensive cross-referencing between sections — provisions frequently depend on other sections being triggered first (e.g. section 11, section 12G), creating conditional chains of effect","Significant legislative history — the Act has been amended many times since 1985 (1987, 1989, 2009, 2011, 2016, 2019), with some sections omitted, substituted or replaced, creating interpretation challenges","Definitions relocated to a schedule (schedule 9) rather than the body of the Act, adding navigation complexity","Transitional and savings provisions mixed throughout the substantive sections (e.g. references to pre-2009 approvals and prior council agreements still having effect)"],"plain_english_summary":"## Sanctuary Cove Resort Act 1985 — What Is This Law?\n\nThis is a **Queensland-specific law** that creates a unique legal framework for the development and management of **Sanctuary Cove Resort** on the Gold Coast — a large, master-planned private resort community.\n\n### Who does it affect?\n- **Property owners and residents** at Sanctuary Cove (current and future)\n- **The developer/company** that originally built the resort\n- **Body corporates** (the governing organisations for shared property, similar to homeowners' associations)\n- **Gold Coast City Council** (local government with limited planning powers over the resort)\n- The **Queensland Government** and relevant Ministers\n\n### What does it actually do?\n\n**1. Creates a special planning zone outside normal rules**\nNormally, Queensland's Planning Act (which controls what you can build and where) applies to all land. This Act **carves out Sanctuary Cove** from those normal rules. Instead of Council's standard planning scheme applying, a special system of **approved uses per zone** applies. If you use land for something not specifically approved for your zone, you can be fined (up to 20 penalty units).\n\n**2. Sets up a unique land ownership and subdivision system**\nThe resort is divided into **zones** (residential, commercial, etc.). Land can only be subdivided (broken into smaller lots for sale) in specific, controlled ways. There are strict caps on how many residential lots can be created — **up to 1,100 for the main site** and **up to 900 for the adjacent site**.\n\n**3. Establishes a hierarchy of 'body corporates'**\nThe Act creates a multi-layered management structure:\n- A **primary thoroughfare body corporate** — manages the main roads and common areas\n- A **principal body corporate** — manages secondary roads/thoroughfares within residential zones\n- Individual **building/group title body corporates** for specific apartment or housing complexes\n\nRoads and shared infrastructure are transferred to these body corporates (for free) once built by the developer.\n\n**4. Allows the resort boundaries and zones to be changed — but with strict controls**\nChanges to zone uses or boundaries require an application process involving:\n- Written notice to all members (residents/lot owners) with at least 30 business days for submissions\n- Signage placed on the affected land\n- Ministerial review and **Governor in Council approval** (i.e., Cabinet-level sign-off)\n\n**5. Locks in the resort's location within Gold Coast City**\nDespite changes to local government boundaries over the years, the Act explicitly keeps Sanctuary Cove within Gold Coast City's jurisdiction.\n\n### Why does this matter to you?\nIf you **own property at Sanctuary Cove**, your rights and obligations are governed by this special Act — not just standard Queensland property or planning law. What you can build, how you can use your land, and how the shared areas around you are managed are all controlled by this legislation and its associated regulations.\n\nIf you're **considering buying** at Sanctuary Cove, be aware that this unique legal framework affects resale, development rights, and community governance in ways that don't apply to ordinary Queensland residential properties."},"issue_detection":{"absurdities":[{"type":"self_contradicting","section":"sec.12C(3)(b)","severity":"high","reasoning":"The original plan of survey for the adjacent site is capped at 900 lots (sec.12C(3)(b)), but the amendment mechanism in sec.12D(5)(a) sets a 'relevant maximum' of 1,100 where the proposed use plan is under sec.4B(3). This means a minor boundary variation amendment could allow more lots than the original approval ever permitted, inverting the usual logic that amendments are constrained within the original approval envelope.","confidence":0.87,"description":"Section 12C(3)(b) caps the maximum number of lots in the adjacent site at 'not more than 900', but section 12D(5)(a) defines the 'relevant maximum' for the adjacent site under the section 4B(3) proposed use plan as 1,100. This means the plan lodged under sec.12C can never state a number exceeding 900, yet the amendment process under sec.12D could apparently approve up to 1,100 — creating a higher ceiling through amendment than through original approval."},{"type":"retroactive_impossibility","section":"sec.12E(4A)","severity":"medium","reasoning":"The sunset clause expired in 1996 and no further extension is possible. Any building that was used outside approved uses after that date would fall under sec.12E(4) with no transitional protection. The provision remains in the Act but is wholly inoperative, creating confusion about the current legal status of affected structures.","confidence":0.92,"description":"Section 12E(4A) permits buildings in the administration zone to be used for any permitted purpose 'until 31 December 1996 or such later date as is declared by order in council made before 31 December 1996.' The Act continues in force but this transitional provision expired in 1996. Any order extending the date had to be made before 31 December 1996. The provision now has no operative effect and creates a permanent dead letter in the legislation — structures either complied or did not, with no current mechanism for resolution."},{"type":"circular_definition","section":"sec.10(4)","severity":"medium","reasoning":"The proposed use plan under sec.4B(1) references sec.8(4) or (7) 'as in force immediately before 2 October 2009' — these are omitted provisions. The proposed use plan under sec.4B(2) references sec.7(4). If neither historical plan exists and sec.7(4) has not yet been exercised, the 90% floor in sec.10(4) has no reference point, making compliance mathematically impossible to determine.","confidence":0.75,"description":"Section 10(4) requires that the maximum number of lots in a zone 'does not exceed and is not less than 90% of the number specified for that zone in the proposed use plan.' This creates a mandatory band — the number must simultaneously be not more than 100% and not less than 90% of the proposed use plan figure. However, the proposed use plan itself is defined partly by reference to plans that may not yet exist (sec.4B(2) referring to sec.7(4)), creating a situation where the benchmark figure against which the 90% floor is measured may be indeterminate at the time of approval."},{"type":"impossible_compliance","section":"sec.12N(2)(b) and sec.12N(2)(a)(ii)","severity":"medium","reasoning":"If the boundary varies to include new land (the only reason for the provision), the area changes. 'Not materially changed' is undefined and subjective. Adding land without changing lot numbers means the new land would have no registered lots, producing an unregistered sliver within the site boundary — an anomalous outcome the provision does not address.","confidence":0.72,"description":"Section 12N(2) requires simultaneously that the total area of the site 'will not be materially changed' AND that 'neither the aggregate number of the lots nor the aggregate voting entitlements will be changed.' These conditions are logically in tension: a boundary variation that adds or removes land without changing lot numbers or voting entitlements would necessarily change the area of the site, yet the section contemplates approving such amendments. In practice, any meaningful boundary change that satisfies (a)(ii) would struggle to also satisfy (a)(i), making the combined conditions near-impossible to satisfy."},{"type":"other","section":"sec.4C","severity":"low","reasoning":"A provision explaining the meaning of typographical features that do not appear in the Act as presented is self-referentially vacuous. It neither harms nor helps anyone but occupies legislative space interpreting phantom content.","confidence":0.65,"description":"Section 4C states that information in square brackets after section headings is a reference to the Body Corporate and Community Management (Standard Module) Regulation 2008, and that the brackets and information 'do not form part of this Act.' However, the legislation as presented does not appear to contain any such square-bracketed references in section headings in the excerpted portions. The section purports to interpret notations that may not exist in the current text, or existed only in a prior form of the Act."},{"type":"self_contradicting","section":"sec.12A(5) and sec.12A(6)","severity":"high","reasoning":"A parcel cannot logically be in two defined areas simultaneously under the one Act. The sec.12A(5) mechanism creates a legal fiction that land within 'the site' is 'within a zone of the adjacent site', meaning it counts against the adjacent site's lot cap but remains physically within the site. This dual status creates uncertainty as to which body corporate, which approved uses, and which subdivision rules apply to the land.","confidence":0.83,"description":"Section 12A(5) allows land within 'the site' (as defined in sec.5) to be treated as within a zone of 'the adjacent site' if certain conditions are met. Section 12A(6) then prohibits plan approval if various lot maximums would be exceeded. However, this mechanism allows the same physical parcel of land to simultaneously be part of 'the site' for the purposes of the Act (sec.5) and to be treated as within 'the adjacent site' for subdivision purposes — meaning the land belongs to two legally distinct areas at once, with different governance regimes, body corporates, and lot caps applying."}],"contradictions":[{"severity":"high","section_a":"sec.7(3)(b)","section_b":"sec.12C(3)(b)","confidence":0.85,"description":"Section 7(3)(b) caps the total maximum lots for residential zones within the site at 'not more than 1,100', while section 12C(3)(b) caps the adjacent site at 'not more than 900'. However, section 12D(5)(a) sets the 'relevant maximum' for the adjacent site under the sec.4B(3) plan at 1,100, and section 8(5)(b) sets the relevant maximum for the site under the sec.4B(2) plan also at 1,100. This means the caps stated in the original approval sections (sec.7 and sec.12C) can be exceeded through the amendment pathway (sec.8 and sec.12D), undermining the caps entirely."},{"severity":"medium","section_a":"sec.8(5)(a)","section_b":"sec.4B(1)","confidence":0.78,"description":"Section 8(5)(a) states that if the proposed use plan of the site is the plan under sec.4B(1), the relevant maximum is 900. But sec.4B(1) refers to the plan approved under sec.8(4) or (7) 'as in force immediately before 2 October 2009' — provisions that have been omitted from the Act (section 3 was omitted on 31 October 1989 and the prior sec.8 was omitted in 2009). The relevant maximum of 900 applies to a plan defined by reference to repealed provisions, creating a situation where the applicable maximum depends on historically omitted law."},{"severity":"medium","section_a":"sec.12D(5)(a)","section_b":"sec.4B(3)","confidence":0.76,"description":"Section 12D(5)(a) provides that where the proposed use plan of the adjacent site is the plan under sec.4B(3), the relevant maximum is 1,100. However, sec.4B(3)(a) defines that plan as the plan approved under sec.12D(4) or (7) 'as in force immediately before 2 October 2009' — the prior sec.12D was omitted by the 2009 amendments. This creates a circular and inoperative definition: the relevant maximum of 1,100 is triggered by a plan defined by reference to a repealed provision, making it uncertain whether this maximum can ever apply."},{"severity":"medium","section_a":"sec.9(1)","section_b":"sec.9(3)","confidence":0.8,"description":"Section 9(1) states that 'the local government's planning scheme under [the Planning Act] does not apply to the site.' Section 9(3) then states that 'for the Planning Act, the use of land... for an approved use for the part is taken to be a lawful use under that Act.' This creates a tension: the Planning Act does not apply (sec.9(1)), yet the Act simultaneously characterises uses as 'lawful' under the very Act declared inapplicable (sec.9(3)). A use cannot be 'lawful under' an Act that does not apply to the relevant land."},{"severity":"medium","section_a":"sec.12E(1)","section_b":"sec.12E(3)","confidence":0.8,"description":"The same logical contradiction identified in sec.9(1) vs sec.9(3) is replicated verbatim in sec.12E(1) and sec.12E(3) in relation to the adjacent site. The Planning Act is declared inapplicable to the adjacent site, yet uses are characterised as lawful under that Act. This is a systemic drafting inconsistency reproduced across both provisions."},{"severity":"medium","section_a":"sec.10(8)(b)(i)","section_b":"sec.8(2)","confidence":0.7,"description":"Section 10(8)(b)(i) allows the initial plan of survey to be amended to reflect a zone boundary variation 'approved by the local government under section 8(2)'. However, sec.8(2) refers to the local government approving an 'amending plan' of the 'proposed use plan of the site' — not the initial plan of survey. These are distinct documents under the Act. An approval of an amendment to the proposed use plan does not automatically constitute approval of an amendment to the initial plan of survey, yet sec.10(8)(b)(i) treats one as sufficient authority for the other."},{"severity":"high","section_a":"sec.12I(1)(b)(ii)","section_b":"sec.8(2) and sec.12D(2)","confidence":0.82,"description":"Section 12I(1)(b)(ii) allows the primary thoroughfare body corporate to apply to the Minister to vary zone boundaries 'other than a variation to which section 8(2) or 12D(2) applies.' Sections 8(2) and 12D(2) cover 'minor' boundary variations. Section 12I therefore covers non-minor variations. However, section 12N restricts Governor in Council approval of site boundary changes only to variations that are 'of a minor nature' (sec.12N(2)(a)(i)). This means that non-minor zone boundary variations can be applied for under sec.12I but can never be approved under sec.12N, making the application pathway for such variations futile."}]},"kimi_summary":{"_metrics":{"completionTokens":704},"content_quality":"ok","complexity_score":9,"scope_assessment":{"changed":true,"description":"The legislation has expanded significantly from its original 1985 scope. Originally focused on the single 'site', it was amended in 1987 to add the 'adjacent site' (Part 2A), effectively doubling the regulated area. Later amendments added Part 2AA for Ministerial amendment applications, extensive governance reforms in 2009 (proxy rules, audit requirements, code of conduct for committee members), and ongoing refinements to body corporate management. The Act has evolved from a simple development approval mechanism into a comprehensive ongoing governance regime with detailed corporate governance, financial management, and dispute resolution provisions."},"complexity_factors":["Multiple overlapping body corporates with different membership rules and voting systems","Extensive cross-referencing to the Building Units and Group Titles Act 1980 with modified definitions","Nested conditional logic for subdivision approvals (e.g., 90% minimum of maximum lots, multiple approval layers)","Temporal complexity with different rules applying before/after registration of initial plans and before/after 2009 amendments","Dual site structure (original 'site' and 'adjacent site') with parallel but not identical provisions","Multiple amendment mechanisms with different thresholds (local government vs Minister vs Governor in Council)","Intricate proxy voting restrictions and executive committee election procedures","Defined terms scattered across sections 4, 22, 65 and Schedule 9","Layered approval requirements for by-laws, pedestrian malls, and infrastructure changes","Complex lot entitlement calculations involving initial lots, secondary lots, group title lots and building unit lots"],"plain_english_summary":"This legislation establishes a comprehensive framework for developing and managing the Sanctuary Cove Resort, a master-planned community on Queensland's Gold Coast. It creates a unique governance structure with two special body corporates: the **Principal Body Corporate** (managing residential zones and secondary roads) and the **Primary Thoroughfare Body Corporate** (managing main roads and commercial areas).\n\n**Key elements:**\n- **Land subdivision**: The Act governs how the \"site\" (original resort) and \"adjacent site\" (later expansion) are divided into zones with specific uses—residential zones for housing, plus commercial zones like Village, Harbour, Golf Course, and International Hotel zones\n- **Development control**: The local government's normal planning scheme doesn't apply; instead, a special \"proposed use plan\" approved under this Act determines what can be built where\n- **Body corporate governance**: Property owners automatically become members of the relevant body corporate, with voting rights based on \"lot entitlements\" or \"voting entitlements\" that vary by zone\n- **Infrastructure management**: The body corporates are responsible for constructing and maintaining roads, with the developer initially building everything to approved standards\n- **Amendment process**: Changes to zone boundaries or approved uses require Ministerial approval after consultation with affected owners\n\n**Who it affects**: Property owners, developers, the Gold Coast City Council, and anyone living in or doing business at Sanctuary Cove. The Act essentially creates a private local government structure for the resort, with detailed rules for meetings, voting, levies, by-laws, and dispute resolution.\n\n**Why it matters**: This is a bespoke legal regime that overrides normal planning and body corporate laws for one specific development, giving residents and businesses a direct say in how their community is run while ensuring coordinated infrastructure and amenity provision."},"flash_summary_failed":{"failed":true,"reason":"A positive credit balance is required for all requests, including BYOK, so fallback providers remain available. Add credits at https://vercel.com/d?to=%2F%5Bteam%5D%2F%7E%2Fai%3Fmodal%3Dtop-up to continue.","source":"analysis-cron"}},"importantCases":[],"_links":{"self":"/api/acts/sanctuary-cove-resort-act-1985","history":"/api/acts/sanctuary-cove-resort-act-1985/history","analysis":"/api/acts/sanctuary-cove-resort-act-1985/analysis","conflicts":"/api/acts/sanctuary-cove-resort-act-1985/conflicts","importantCases":"/api/acts/sanctuary-cove-resort-act-1985/important-cases","documents":"/api/acts/sanctuary-cove-resort-act-1985/documents"}}