{"id":"qld:act-1994-014","name":"Transport Operations (Marine Safety) Act 1994","slug":"transport-operations-marine-safety-act-1994","collection":"act","jurisdiction":"qld","status":"in_force","isInForce":true,"actNumber":"14 of 1994","makingDate":null,"administeringDepartment":null,"currentVersion":{"id":104768,"registerId":"qld-act-1994-014-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":"pt.1-div.1","sectionType":"division","heading":"Introduction","content":"## Introduction","sortOrder":1},{"sectionNumber":"sec.1","sectionType":"section","heading":"Short title","content":"### sec.1 Short title\n\nThis Act may be cited as the Transport Operations (Marine Safety) Act 1994 .\ns&#160;1 amd 1994 No.&#160;87 s&#160;3 sch&#160;1","sortOrder":2},{"sectionNumber":"sec.2","sectionType":"section","heading":"Commencement","content":"### sec.2 Commencement\n\ns&#160;2 om R3 (see RA s&#160;37)","sortOrder":3},{"sectionNumber":"pt.1-div.2","sectionType":"division","heading":"Objectives of Act","content":"## Objectives of Act","sortOrder":4},{"sectionNumber":"sec.3","sectionType":"section","heading":"Objectives of this Act","content":"### sec.3 Objectives of this Act\n\nThe overall primary objective of this Act is, consistent with the objectives of the Transport Planning and Coordination Act 1994 , to provide a system that achieves an appropriate balance between—\nregulating the maritime industry to ensure marine safety; and\nenabling the effectiveness and efficiency of the Queensland maritime industry to be further developed.\nIn particular, the objectives of this Act are—\nto allow the Government to have a strategic overview of marine safety and related marine operational issues; and\nto establish a system under which—\nmarine safety and related marine operational issues can be effectively planned and efficiently managed; and\ninfluence can be exercised over marine safety and related marine operational issues in a way that contributes to overall transport efficiency; and\naccount is taken of the need to provide adequate levels of safety with an appropriate balance between safety and cost.\nThese objectives are to be achieved for Queensland regulated ships mainly by—\nimposing general safety obligations to ensure seaworthiness and other aspects of marine safety; and\nallowing a general safety obligation to be discharged by complying with relevant standards or in other appropriate ways chosen by the person on whom the obligation is imposed.\nIn particular, a Queensland regulated ship may be taken to sufficiently comply with a general safety obligation even though a competent person has not issued a survey report for the ship.\nA further objective of this Act is to manage the operation and activities of ships.\nThe objectives of the Act , and how they are achieved, are further explained in part&#160;3 .\ns&#160;3 amd 1994 No.&#160;49 s&#160;6 sch&#160;2 ; 1996 No.&#160;63 s&#160;4 ; 2005 No.&#160;22 s&#160;19 ; 2010 No.&#160;19 s&#160;236 ; 2016 No.&#160;3 s&#160;4\n(sec.3-ssec.1) The overall primary objective of this Act is, consistent with the objectives of the Transport Planning and Coordination Act 1994 , to provide a system that achieves an appropriate balance between— regulating the maritime industry to ensure marine safety; and enabling the effectiveness and efficiency of the Queensland maritime industry to be further developed.\n(sec.3-ssec.2) In particular, the objectives of this Act are— to allow the Government to have a strategic overview of marine safety and related marine operational issues; and to establish a system under which— marine safety and related marine operational issues can be effectively planned and efficiently managed; and influence can be exercised over marine safety and related marine operational issues in a way that contributes to overall transport efficiency; and account is taken of the need to provide adequate levels of safety with an appropriate balance between safety and cost.\n(sec.3-ssec.3) These objectives are to be achieved for Queensland regulated ships mainly by— imposing general safety obligations to ensure seaworthiness and other aspects of marine safety; and allowing a general safety obligation to be discharged by complying with relevant standards or in other appropriate ways chosen by the person on whom the obligation is imposed.\n(sec.3-ssec.4) In particular, a Queensland regulated ship may be taken to sufficiently comply with a general safety obligation even though a competent person has not issued a survey report for the ship.\n(sec.3-ssec.5) A further objective of this Act is to manage the operation and activities of ships.\n(sec.3-ssec.6) The objectives of the Act , and how they are achieved, are further explained in part&#160;3 .\n- (a) regulating the maritime industry to ensure marine safety; and\n- (b) enabling the effectiveness and efficiency of the Queensland maritime industry to be further developed.\n- (a) to allow the Government to have a strategic overview of marine safety and related marine operational issues; and\n- (b) to establish a system under which— (i) marine safety and related marine operational issues can be effectively planned and efficiently managed; and (ii) influence can be exercised over marine safety and related marine operational issues in a way that contributes to overall transport efficiency; and (iii) account is taken of the need to provide adequate levels of safety with an appropriate balance between safety and cost.\n- (i) marine safety and related marine operational issues can be effectively planned and efficiently managed; and\n- (ii) influence can be exercised over marine safety and related marine operational issues in a way that contributes to overall transport efficiency; and\n- (iii) account is taken of the need to provide adequate levels of safety with an appropriate balance between safety and cost.\n- (i) marine safety and related marine operational issues can be effectively planned and efficiently managed; and\n- (ii) influence can be exercised over marine safety and related marine operational issues in a way that contributes to overall transport efficiency; and\n- (iii) account is taken of the need to provide adequate levels of safety with an appropriate balance between safety and cost.\n- (a) imposing general safety obligations to ensure seaworthiness and other aspects of marine safety; and\n- (b) allowing a general safety obligation to be discharged by complying with relevant standards or in other appropriate ways chosen by the person on whom the obligation is imposed.","sortOrder":5},{"sectionNumber":"pt.1-div.3","sectionType":"division","heading":"Interpretation and basic concepts","content":"## Interpretation and basic concepts","sortOrder":6},{"sectionNumber":"sec.4","sectionType":"section","heading":"Dictionary","content":"### sec.4 Dictionary\n\nThe dictionary in schedule&#160;1 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;1 (Dictionary). Annotations for definitions contained in prev s&#160;4 are located in annotations for schedule&#160;1.\npres s&#160;4 sub 2006 No.&#160;21 s&#160;47\namd 2016 No.&#160;3 s&#160;76 sch&#160;1","sortOrder":7},{"sectionNumber":"sec.5","sectionType":"section","heading":"Meaning of certificate of compliance","content":"### sec.5 Meaning of certificate of compliance\n\ns&#160;5 amd 2006 No.&#160;21 s&#160;48\nom 2016 No.&#160;3 s&#160;5","sortOrder":8},{"sectionNumber":"sec.6","sectionType":"section","heading":"Meaning of ship connected with Queensland","content":"### sec.6 Meaning of ship connected with Queensland\n\nA ship is connected with Queensland if—\nit is registered under the Shipping Registration Act 1981 (Cwlth) with a home port in Queensland; or\nit is, or is required to be, registered or licensed under this or another Act; or\nit is owned or chartered by—\nan individual whose place of residence, or principal place of residence, is in Queensland; or\na person whose place of business, or principal place of business, is in Queensland; or\na person whose principal place of business for managing the ship’s operations is in Queensland; or\nit is a ship declared by regulation to be a ship connected with Queensland.\n- (a) it is registered under the Shipping Registration Act 1981 (Cwlth) with a home port in Queensland; or\n- (b) it is, or is required to be, registered or licensed under this or another Act; or\n- (c) it is owned or chartered by— (i) an individual whose place of residence, or principal place of residence, is in Queensland; or (ii) a person whose place of business, or principal place of business, is in Queensland; or (iii) a person whose principal place of business for managing the ship’s operations is in Queensland; or\n- (i) an individual whose place of residence, or principal place of residence, is in Queensland; or\n- (ii) a person whose place of business, or principal place of business, is in Queensland; or\n- (iii) a person whose principal place of business for managing the ship’s operations is in Queensland; or\n- (d) it is a ship declared by regulation to be a ship connected with Queensland.\n- (i) an individual whose place of residence, or principal place of residence, is in Queensland; or\n- (ii) a person whose place of business, or principal place of business, is in Queensland; or\n- (iii) a person whose principal place of business for managing the ship’s operations is in Queensland; or","sortOrder":9},{"sectionNumber":"sec.7","sectionType":"section","heading":"Meaning of master","content":"### sec.7 Meaning of master\n\nThe master of a ship is the person having command or charge of the ship.\nA pilot having the conduct of a ship, but not belonging to the ship, is not the master of the ship.\n(sec.7-ssec.1) The master of a ship is the person having command or charge of the ship.\n(sec.7-ssec.2) A pilot having the conduct of a ship, but not belonging to the ship, is not the master of the ship.","sortOrder":10},{"sectionNumber":"sec.8","sectionType":"section","heading":"Meaning of operates a ship","content":"### sec.8 Meaning of operates a ship\n\nAn owner of a ship operates the ship if the owner operates the ship or causes or allows it to be operated by someone else.","sortOrder":11},{"sectionNumber":"sec.9","sectionType":"section","heading":"Meaning of owner","content":"### sec.9 Meaning of owner\n\nThe owner of a ship is the person who owns the ship, whether or not—\nthe person is registered as the ship’s owner under this Act or a law of another jurisdiction; or\nfor a ship that is a domestic commercial vessel—the person holds a certificate of operation for the ship under the national law .\nThe owner of a ship includes a person who—\nexercises, or purports to exercise, powers of the owner; and\noperates the ship or causes or allows it to be operated by someone else.\nIf a ship’s owner lives outside Queensland, and the owner appoints an agent in Queensland to exercise the owner’s powers and operate the ship, the agent is an owner of the ship.\nIf, under a charter, a person has exclusive possession of a ship and may operate the ship, the person is an owner of the ship.\nIf a bank becomes the mortgagee in possession of a ship and operates it, the bank is an owner of the ship.\ns&#160;9 amd 2016 No.&#160;3 s&#160;6\n(sec.9-ssec.1) The owner of a ship is the person who owns the ship, whether or not— the person is registered as the ship’s owner under this Act or a law of another jurisdiction; or for a ship that is a domestic commercial vessel—the person holds a certificate of operation for the ship under the national law .\n(sec.9-ssec.2) The owner of a ship includes a person who— exercises, or purports to exercise, powers of the owner; and operates the ship or causes or allows it to be operated by someone else. If a ship’s owner lives outside Queensland, and the owner appoints an agent in Queensland to exercise the owner’s powers and operate the ship, the agent is an owner of the ship. If, under a charter, a person has exclusive possession of a ship and may operate the ship, the person is an owner of the ship. If a bank becomes the mortgagee in possession of a ship and operates it, the bank is an owner of the ship.\n- (a) the person is registered as the ship’s owner under this Act or a law of another jurisdiction; or\n- (b) for a ship that is a domestic commercial vessel—the person holds a certificate of operation for the ship under the national law .\n- (a) exercises, or purports to exercise, powers of the owner; and\n- (b) operates the ship or causes or allows it to be operated by someone else.","sortOrder":12},{"sectionNumber":"sec.10","sectionType":"section","heading":"Meaning of ship","content":"### sec.10 Meaning of ship\n\nA ship is any kind of boat or other vessel used, or intended to be used, in navigation by water or for any other purpose on water.\nWithout limiting subsection&#160;(1) , a ship includes a boat or other vessel—\nwhatever its size; and\nhowever it is propelled or moved; and\nwhether it is on land or in water.\nA ship includes, for example—\na barge, lighter or other floating vessel; and\na hovercraft or other surface effect craft.\nA ship does not include a vessel declared by regulation not to be a ship.\nA regulation may provide that a ship includes an aircraft when it is on water or is taking off, or landing on, water.\nExcept as provided by a regulation under subsection&#160;(5) , a ship does not include an aircraft.\nA reference to a ship includes the ship’s equipment.\ns&#160;10 amd 2006 No.&#160;21 s&#160;49\n(sec.10-ssec.1) A ship is any kind of boat or other vessel used, or intended to be used, in navigation by water or for any other purpose on water.\n(sec.10-ssec.2) Without limiting subsection&#160;(1) , a ship includes a boat or other vessel— whatever its size; and however it is propelled or moved; and whether it is on land or in water.\n(sec.10-ssec.3) A ship includes, for example— a barge, lighter or other floating vessel; and a hovercraft or other surface effect craft.\n(sec.10-ssec.4) A ship does not include a vessel declared by regulation not to be a ship.\n(sec.10-ssec.5) A regulation may provide that a ship includes an aircraft when it is on water or is taking off, or landing on, water.\n(sec.10-ssec.6) Except as provided by a regulation under subsection&#160;(5) , a ship does not include an aircraft.\n(sec.10-ssec.7) A reference to a ship includes the ship’s equipment.\n- (a) whatever its size; and\n- (b) however it is propelled or moved; and\n- (c) whether it is on land or in water.\n- (a) a barge, lighter or other floating vessel; and\n- (b) a hovercraft or other surface effect craft.","sortOrder":13},{"sectionNumber":"sec.10A","sectionType":"section","heading":"Meaning of Queensland regulated ship","content":"### sec.10A Meaning of Queensland regulated ship\n\nA Queensland regulated ship is—\na recreational ship; or\nan other Queensland regulated ship.\ns&#160;10A ins 2006 No.&#160;21 s&#160;50\namd 2009 No.&#160;36 s&#160;872 sch&#160;2\nsub 2016 No.&#160;3 s&#160;7 ; 2017 No.&#160;25 s&#160;60\n- (a) a recreational ship; or\n- (b) an other Queensland regulated ship.","sortOrder":14},{"sectionNumber":"sec.10B","sectionType":"section","heading":"Meaning of recreational ship","content":"### sec.10B Meaning of recreational ship\n\nA recreational ship is—\na ship used only for private recreation; or\na tender to a ship mentioned in paragraph&#160;(a) .\nA regulation may prescribe circumstances in which a ship may be taken to be used only for private recreation.\ns&#160;10B ins 2016 No.&#160;3 s&#160;7\n(sec.10B-ssec.1) A recreational ship is— a ship used only for private recreation; or a tender to a ship mentioned in paragraph&#160;(a) .\n(sec.10B-ssec.2) A regulation may prescribe circumstances in which a ship may be taken to be used only for private recreation.\n- (a) a ship used only for private recreation; or\n- (b) a tender to a ship mentioned in paragraph&#160;(a) .","sortOrder":15},{"sectionNumber":"sec.10C","sectionType":"section","heading":"Meaning of other Queensland regulated ship","content":"### sec.10C Meaning of other Queensland regulated ship\n\nAn other Queensland regulated ship is—\na ship that is not a recreational ship or domestic commercial vessel; or\na tender to a ship to which paragraph&#160;(a) applies.\ns&#160;10C ins 2017 No.&#160;25 s&#160;61\n- (a) a ship that is not a recreational ship or domestic commercial vessel; or\n- (b) a tender to a ship to which paragraph&#160;(a) applies.","sortOrder":16},{"sectionNumber":"pt.1-div.4","sectionType":"division","heading":"Application of Act","content":"## Application of Act","sortOrder":17},{"sectionNumber":"sec.11","sectionType":"section","heading":"General application of Act to ships","content":"### sec.11 General application of Act to ships\n\nThis Act applies to the following ships—\nall ships connected with Queensland, wherever they may be, including while they are outside Queensland waters;\nall ships in a pilotage area or port;\nall ships on Queensland intrastate voyages, including while they are outside Queensland waters;\nall ships on interstate voyages while they are in Queensland waters;\nall ships on overseas voyages while they are in Queensland waters.\nSubsection&#160;(1) is subject to this division.\nFor the purposes of this section, a ship is taken to be on a voyage from when it gets under way for the voyage until it gets under way for another voyage.\ns&#160;11 amd 2006 No.&#160;21 s&#160;51\n(sec.11-ssec.1) This Act applies to the following ships— all ships connected with Queensland, wherever they may be, including while they are outside Queensland waters; all ships in a pilotage area or port; all ships on Queensland intrastate voyages, including while they are outside Queensland waters; all ships on interstate voyages while they are in Queensland waters; all ships on overseas voyages while they are in Queensland waters.\n(sec.11-ssec.2) Subsection&#160;(1) is subject to this division.\n(sec.11-ssec.3) For the purposes of this section, a ship is taken to be on a voyage from when it gets under way for the voyage until it gets under way for another voyage.\n- (a) all ships connected with Queensland, wherever they may be, including while they are outside Queensland waters;\n- (b) all ships in a pilotage area or port;\n- (c) all ships on Queensland intrastate voyages, including while they are outside Queensland waters;\n- (d) all ships on interstate voyages while they are in Queensland waters;\n- (e) all ships on overseas voyages while they are in Queensland waters.","sortOrder":18},{"sectionNumber":"sec.12","sectionType":"section","heading":"Relationship with Commonwealth Navigation Act generally","content":"### sec.12 Relationship with Commonwealth Navigation Act generally\n\nThis Act does not apply to a ship to the extent that the Commonwealth Navigation Act applies to the ship.\nHowever, if the Commonwealth Navigation Act provides that it does not apply to a matter if a State Act deals with the matter and this Act makes provision for the matter, this Act applies to the ship to the extent of the provision made for the matter.\ns&#160;12 amd 2001 No.&#160;79 s&#160;69\n(sec.12-ssec.1) This Act does not apply to a ship to the extent that the Commonwealth Navigation Act applies to the ship.\n(sec.12-ssec.2) However, if the Commonwealth Navigation Act provides that it does not apply to a matter if a State Act deals with the matter and this Act makes provision for the matter, this Act applies to the ship to the extent of the provision made for the matter.","sortOrder":19},{"sectionNumber":"sec.13","sectionType":"section","heading":"Aids to navigation—relationship with Commonwealth Acts","content":"### sec.13 Aids to navigation—relationship with Commonwealth Acts\n\nThis Act does not apply to an aid to navigation to the extent to which the Commonwealth Navigation Act or another Commonwealth Act applies to the aid to navigation.","sortOrder":20},{"sectionNumber":"sec.14","sectionType":"section","heading":"Relationship with the national law","content":"### sec.14 Relationship with the national law\n\nThe national law applies to particular activities of, and matters relating to, domestic commercial vessels.\nThis Act does not apply to a domestic commercial vessel to the extent the national law applies to the vessel.\nSee the Marine Safety (Domestic Commercial Vessel) National Law Act 2012 (Cwlth) , section&#160;6 (2) for circumstances in which a law of the State may apply in relation to domestic commercial vessels.\nGenerally, this Act expressly identifies a provision that does not apply to a domestic commercial vessel by stating the provision applies only to a Queensland regulated ship (which does not include a domestic commercial vessel).\nHowever, the absence of a statement of a kind mentioned in subsection&#160;(3) does not limit the operation of subsection&#160;(2) .\ns&#160;14 prev s&#160;14 om 2002 No.&#160;15 s&#160;42\npres s&#160;14 ins 2016 No.&#160;3 s&#160;8\n(sec.14-ssec.1) The national law applies to particular activities of, and matters relating to, domestic commercial vessels.\n(sec.14-ssec.2) This Act does not apply to a domestic commercial vessel to the extent the national law applies to the vessel. See the Marine Safety (Domestic Commercial Vessel) National Law Act 2012 (Cwlth) , section&#160;6 (2) for circumstances in which a law of the State may apply in relation to domestic commercial vessels.\n(sec.14-ssec.3) Generally, this Act expressly identifies a provision that does not apply to a domestic commercial vessel by stating the provision applies only to a Queensland regulated ship (which does not include a domestic commercial vessel).\n(sec.14-ssec.4) However, the absence of a statement of a kind mentioned in subsection&#160;(3) does not limit the operation of subsection&#160;(2) .","sortOrder":21},{"sectionNumber":"sec.15","sectionType":"section","heading":"Section&#160;11 subject to certain provisions","content":"### sec.15 Section&#160;11 subject to certain provisions\n\nThe provisions of this Act to which section&#160;11 is subject include the following provisions—\nsection&#160;54 (that deals with the application of part&#160;5 , division&#160;1 )\nsection&#160;59A (that deals with the application of part&#160;5 , division&#160;2 )\nsection&#160;61A (that deals with the application of part&#160;5 , division&#160;3 )\nsection&#160;98 (that deals with the application of part&#160;8 )\nsection&#160;187 (that deals with the application of part&#160;14 , division&#160;2 ).\nSection&#160;11 is also subject to a regulation that expressly excludes the application of this section, in whole or in part.\ns&#160;15 amd 2016 No.&#160;3 s&#160;9\n(sec.15-ssec.1) The provisions of this Act to which section&#160;11 is subject include the following provisions— section&#160;54 (that deals with the application of part&#160;5 , division&#160;1 ) section&#160;59A (that deals with the application of part&#160;5 , division&#160;2 ) section&#160;61A (that deals with the application of part&#160;5 , division&#160;3 ) section&#160;98 (that deals with the application of part&#160;8 ) section&#160;187 (that deals with the application of part&#160;14 , division&#160;2 ).\n(sec.15-ssec.2) Section&#160;11 is also subject to a regulation that expressly excludes the application of this section, in whole or in part.\n- • section&#160;54 (that deals with the application of part&#160;5 , division&#160;1 )\n- • section&#160;59A (that deals with the application of part&#160;5 , division&#160;2 )\n- • section&#160;61A (that deals with the application of part&#160;5 , division&#160;3 )\n- • section&#160;98 (that deals with the application of part&#160;8 )\n- • section&#160;187 (that deals with the application of part&#160;14 , division&#160;2 ).","sortOrder":22},{"sectionNumber":"sec.16","sectionType":"section","heading":"Defence ships","content":"### sec.16 Defence ships\n\nThis Act does not apply to a ship belonging to—\nthe Australian Defence Force; or\nthe naval, military or air forces of a foreign country.\nHowever, if the master of a ship mentioned in subsection&#160;(1) voluntarily uses the services of a pilot, the master and owner of the ship are liable for pilotage fees under this Act.\n(sec.16-ssec.1) This Act does not apply to a ship belonging to— the Australian Defence Force; or the naval, military or air forces of a foreign country.\n(sec.16-ssec.2) However, if the master of a ship mentioned in subsection&#160;(1) voluntarily uses the services of a pilot, the master and owner of the ship are liable for pilotage fees under this Act.\n- (a) the Australian Defence Force; or\n- (b) the naval, military or air forces of a foreign country.","sortOrder":23},{"sectionNumber":"pt.1-div.5","sectionType":"division","heading":"Operation of Act","content":"## Operation of Act","sortOrder":24},{"sectionNumber":"sec.17","sectionType":"section","heading":"Act binds all persons","content":"### sec.17 Act binds all persons\n\nThis Act binds all persons, including the State and, so far as the legislative power of the Parliament permits, the Commonwealth, the other States and the Territories.","sortOrder":25},{"sectionNumber":"sec.18","sectionType":"section","heading":"Exemption of person or ship from Act","content":"### sec.18 Exemption of person or ship from Act\n\nA regulation may exempt a person or ship from this Act or any of its provisions.\nThe exemption may be given on specified conditions.\nIf an exemption is given on conditions, the exemption operates only if the conditions are complied with.\n(sec.18-ssec.1) A regulation may exempt a person or ship from this Act or any of its provisions.\n(sec.18-ssec.2) The exemption may be given on specified conditions.\n(sec.18-ssec.3) If an exemption is given on conditions, the exemption operates only if the conditions are complied with.","sortOrder":26},{"sectionNumber":"sec.18A","sectionType":"section","heading":"Exempting of person or ship from regulatory provision","content":"### sec.18A Exempting of person or ship from regulatory provision\n\nThe general manager may exempt a person or ship from a provision of a regulation or a speed limit fixed under section&#160;206A or 206AA (a regulatory provision ).\nThe general manager must consider all relevant matters in deciding whether or not to give an exemption, including, for example, the following—\nwhether the regulatory provision has been substantially complied with;\nwhether compliance with the regulatory provision is unnecessary in the particular circumstances;\nwhether the action taken or proposed to be taken for the matter that is the subject of the exemption is as effective as, or more effective than, compliance with the regulatory provision.\nHowever, the general manager may give an exemption only if the general manager is satisfied giving it will not adversely affect marine safety or the effectiveness and efficiency of the Queensland maritime industry.\nIf an exemption is given on conditions, the exemption operates only if the conditions are complied with.\nThe general manager must, as soon as is practicable after giving an exemption, give notice of it in the gazette.\nThe notice must state the following—\nthe person or ship the exemption is given for;\nthe regulatory provision from which the exemption is given;\nany conditions on which the exemption is given;\nany other details the general manager considers relevant.\nThe Statutory Instruments Act 1992 , sections&#160;24 to 26 apply to an exemption as if it were a regulation.\nA regulation may regulate the giving of an exemption.\nAlso, if a provision of a regulation is repealed, a regulation may declare that—\nan exemption in force for the repealed provision, immediately before its repeal, is taken to be given for a provision of a regulation corresponding to the repealed provision; and\nfor the purpose of a declaration under paragraph&#160;(a) , a reference in the exemption to the repealed provision is taken to be a reference to the corresponding provision.\ns&#160;18A ins 1996 No.&#160;63 s&#160;5\namd 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2012 No.&#160;38 s&#160;122 ; 2016 No.&#160;3 s&#160;10\n(sec.18A-ssec.1) The general manager may exempt a person or ship from a provision of a regulation or a speed limit fixed under section&#160;206A or 206AA (a regulatory provision ).\n(sec.18A-ssec.2) The general manager must consider all relevant matters in deciding whether or not to give an exemption, including, for example, the following— whether the regulatory provision has been substantially complied with; whether compliance with the regulatory provision is unnecessary in the particular circumstances; whether the action taken or proposed to be taken for the matter that is the subject of the exemption is as effective as, or more effective than, compliance with the regulatory provision.\n(sec.18A-ssec.3) However, the general manager may give an exemption only if the general manager is satisfied giving it will not adversely affect marine safety or the effectiveness and efficiency of the Queensland maritime industry.\n(sec.18A-ssec.4) If an exemption is given on conditions, the exemption operates only if the conditions are complied with.\n(sec.18A-ssec.5) The general manager must, as soon as is practicable after giving an exemption, give notice of it in the gazette.\n(sec.18A-ssec.6) The notice must state the following— the person or ship the exemption is given for; the regulatory provision from which the exemption is given; any conditions on which the exemption is given; any other details the general manager considers relevant.\n(sec.18A-ssec.7) The Statutory Instruments Act 1992 , sections&#160;24 to 26 apply to an exemption as if it were a regulation.\n(sec.18A-ssec.8) A regulation may regulate the giving of an exemption.\n(sec.18A-ssec.9) Also, if a provision of a regulation is repealed, a regulation may declare that— an exemption in force for the repealed provision, immediately before its repeal, is taken to be given for a provision of a regulation corresponding to the repealed provision; and for the purpose of a declaration under paragraph&#160;(a) , a reference in the exemption to the repealed provision is taken to be a reference to the corresponding provision.\n- (a) whether the regulatory provision has been substantially complied with;\n- (b) whether compliance with the regulatory provision is unnecessary in the particular circumstances;\n- (c) whether the action taken or proposed to be taken for the matter that is the subject of the exemption is as effective as, or more effective than, compliance with the regulatory provision.\n- (a) the person or ship the exemption is given for;\n- (b) the regulatory provision from which the exemption is given;\n- (c) any conditions on which the exemption is given;\n- (d) any other details the general manager considers relevant.\n- (a) an exemption in force for the repealed provision, immediately before its repeal, is taken to be given for a provision of a regulation corresponding to the repealed provision; and\n- (b) for the purpose of a declaration under paragraph&#160;(a) , a reference in the exemption to the repealed provision is taken to be a reference to the corresponding provision.","sortOrder":27},{"sectionNumber":"pt.2","sectionType":"part","heading":"Marine safety strategies","content":"# Marine safety strategies","sortOrder":28},{"sectionNumber":"pt.2-div.1","sectionType":"division","heading":"Development and approval of strategies","content":"## Development and approval of strategies","sortOrder":29},{"sectionNumber":"sec.19","sectionType":"section","heading":"Development of marine safety strategies","content":"### sec.19 Development of marine safety strategies\n\ns&#160;19 amd 2006 No.&#160;21 s&#160;52\nom 2016 No.&#160;3 s&#160;11","sortOrder":30},{"sectionNumber":"sec.20","sectionType":"section","heading":"Contents of marine safety strategies","content":"### sec.20 Contents of marine safety strategies\n\ns&#160;20 om 2016 No.&#160;3 s&#160;11","sortOrder":31},{"sectionNumber":"sec.21","sectionType":"section","heading":"Tabling of marine safety strategies","content":"### sec.21 Tabling of marine safety strategies\n\ns&#160;21 om 2016 No.&#160;3 s&#160;11","sortOrder":32},{"sectionNumber":"pt.2-div.2","sectionType":"division","heading":"Obligations of marine safety strategies","content":"## Obligations of marine safety strategies","sortOrder":33},{"sectionNumber":"sec.22","sectionType":"section","heading":"Objective of division","content":"### sec.22 Objective of division\n\ns&#160;22 om 2016 No.&#160;3 s&#160;11","sortOrder":34},{"sectionNumber":"sec.23","sectionType":"section","heading":"Obligations about marine safety","content":"### sec.23 Obligations about marine safety\n\ns&#160;23 om 2016 No.&#160;3 s&#160;11","sortOrder":35},{"sectionNumber":"sec.24","sectionType":"section","heading":"Report on giving effect to s&#160;23","content":"### sec.24 Report on giving effect to s&#160;23\n\ns&#160;24 om 2016 No.&#160;3 s&#160;11","sortOrder":36},{"sectionNumber":"pt.2-div.3","sectionType":"division","heading":"Implementation of safety strategies","content":"## Implementation of safety strategies","sortOrder":37},{"sectionNumber":"sec.25","sectionType":"section","heading":"Development of marine safety implementation programs","content":"### sec.25 Development of marine safety implementation programs\n\ns&#160;25 amd 2010 No.&#160;19 s&#160;146\nom 2016 No.&#160;3 s&#160;11","sortOrder":38},{"sectionNumber":"sec.26","sectionType":"section","heading":"Consistency with marine safety strategies","content":"### sec.26 Consistency with marine safety strategies\n\ns&#160;26 om 2016 No.&#160;3 s&#160;11","sortOrder":39},{"sectionNumber":"sec.27","sectionType":"section","heading":"Report on operation of marine safety implementation programs","content":"### sec.27 Report on operation of marine safety implementation programs\n\ns&#160;27 om 2016 No.&#160;3 s&#160;11","sortOrder":40},{"sectionNumber":"pt.3","sectionType":"part","heading":"How to understand this Act","content":"# How to understand this Act","sortOrder":41},{"sectionNumber":"sec.28","sectionType":"section","heading":"To which ships does this Act apply","content":"### sec.28 To which ships does this Act apply\n\nThe power to legislate for ships is shared between the Commonwealth and the States and Territories.\nAs a general rule, this Act does not apply to a ship to the extent to which the Commonwealth Navigation Act or the national law applies to the ship.\nSee sections&#160;12 (1) and 14 .\nThe application of the Commonwealth Navigation Act or the national law to ships varies throughout the Act depending on the subject matter of the provisions concerned.\nSection&#160;11 (1) provides a general statement of the ships to which this Act applies.\nIn general terms, these are ships with a sufficient ownership, operational or registration connection with Queensland, ships in Queensland pilotage areas, ports and waters and ships on Queensland intrastate voyages.\nThis general statement is, however, subject to the application of the Commonwealth Navigation Act , the national law and certain provisions of the Act and regulations.\nSection&#160;15 specifies the main exceptions to the general statement.\nSee also section&#160;16 .\ns&#160;28 amd 2016 No.&#160;3 s&#160;12\n(sec.28-ssec.1) The power to legislate for ships is shared between the Commonwealth and the States and Territories.\n(sec.28-ssec.2) As a general rule, this Act does not apply to a ship to the extent to which the Commonwealth Navigation Act or the national law applies to the ship. See sections&#160;12 (1) and 14 .\n(sec.28-ssec.3) The application of the Commonwealth Navigation Act or the national law to ships varies throughout the Act depending on the subject matter of the provisions concerned.\n(sec.28-ssec.4) Section&#160;11 (1) provides a general statement of the ships to which this Act applies. In general terms, these are ships with a sufficient ownership, operational or registration connection with Queensland, ships in Queensland pilotage areas, ports and waters and ships on Queensland intrastate voyages.\n(sec.28-ssec.5) This general statement is, however, subject to the application of the Commonwealth Navigation Act , the national law and certain provisions of the Act and regulations.\n(sec.28-ssec.6) Section&#160;15 specifies the main exceptions to the general statement. See also section&#160;16 .","sortOrder":42},{"sectionNumber":"sec.29","sectionType":"section","heading":"Achieving an appropriate balance between safety and cost","content":"### sec.29 Achieving an appropriate balance between safety and cost\n\nThis Act is primarily about marine safety.\nEven though it is possible to regulate to achieve the highest level of safety, this would ignore the impact of the regulation on the effectiveness and efficiency on the Queensland maritime industry.\nTherefore, this Act establishes a system to achieve an appropriate balance between safety and cost.\ns&#160;29 amd 2005 No.&#160;22 s&#160;20\n(sec.29-ssec.1) This Act is primarily about marine safety.\n(sec.29-ssec.2) Even though it is possible to regulate to achieve the highest level of safety, this would ignore the impact of the regulation on the effectiveness and efficiency on the Queensland maritime industry.\n(sec.29-ssec.3) Therefore, this Act establishes a system to achieve an appropriate balance between safety and cost.","sortOrder":43},{"sectionNumber":"sec.30","sectionType":"section","heading":"What is the system established","content":"### sec.30 What is the system established\n\nPart&#160;4 , division&#160;1 imposes general safety obligations for Queensland regulated ships on the following people in the maritime industry—\na competent person who issues a survey report for a ship;\na ship’s owner (including an operator);\na ship’s master and crew.\nPart&#160;4 , division&#160;2 imposes general safety obligations for all ships on the following people in the maritime industry—\na ship’s pilot;\nthe managing pilotage entity for a ship in a compulsory pilotage area.\nThese general safety obligations are generally intended to be performance based rather than prescriptive and to allow people to find more cost efficient ways of achieving safety.\ns&#160;30 amd 2013 No.&#160;40 s&#160;17\nsub 2016 No.&#160;3 s&#160;13\n(sec.30-ssec.1) Part&#160;4 , division&#160;1 imposes general safety obligations for Queensland regulated ships on the following people in the maritime industry— a competent person who issues a survey report for a ship; a ship’s owner (including an operator); a ship’s master and crew.\n(sec.30-ssec.2) Part&#160;4 , division&#160;2 imposes general safety obligations for all ships on the following people in the maritime industry— a ship’s pilot; the managing pilotage entity for a ship in a compulsory pilotage area.\n(sec.30-ssec.3) These general safety obligations are generally intended to be performance based rather than prescriptive and to allow people to find more cost efficient ways of achieving safety.\n- (a) a competent person who issues a survey report for a ship;\n- (b) a ship’s owner (including an operator);\n- (c) a ship’s master and crew.\n- (a) a ship’s pilot;\n- (b) the managing pilotage entity for a ship in a compulsory pilotage area.","sortOrder":44},{"sectionNumber":"sec.31","sectionType":"section","heading":"What is a standard","content":"### sec.31 What is a standard\n\nStandards will help people to understand the general safety obligations for Queensland regulated ships in part&#160;4 , division&#160;1 .\nStandards may deal with most matters about marine safety and issues affecting marine safety that may be dealt with by regulation, including, for example, the crewing and operation of Queensland regulated ships.\nHowever, a standard may not prescribe offences, fees or charges.\nStandards are made by the general manager and approved by the Governor in Council.\nThe general manager must go through a consultation process before a standard can be approved.\nThis consultation process allows people in the maritime industry to comment on a standard and make suggestions for changes, including changes that may result in a more effective and efficient maritime industry.\ns&#160;31 amd 1994 No.&#160;49 s&#160;6 sch&#160;2 ; 1996 No.&#160;63 s&#160;6 ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2010 No.&#160;19 s&#160;237 ; 2016 No.&#160;3 s&#160;14\n(sec.31-ssec.1) Standards will help people to understand the general safety obligations for Queensland regulated ships in part&#160;4 , division&#160;1 .\n(sec.31-ssec.2) Standards may deal with most matters about marine safety and issues affecting marine safety that may be dealt with by regulation, including, for example, the crewing and operation of Queensland regulated ships.\n(sec.31-ssec.3) However, a standard may not prescribe offences, fees or charges.\n(sec.31-ssec.4) Standards are made by the general manager and approved by the Governor in Council.\n(sec.31-ssec.5) The general manager must go through a consultation process before a standard can be approved.\n(sec.31-ssec.6) This consultation process allows people in the maritime industry to comment on a standard and make suggestions for changes, including changes that may result in a more effective and efficient maritime industry.","sortOrder":45},{"sectionNumber":"sec.32","sectionType":"section","heading":"What happens if a person does not comply with a relevant standard","content":"### sec.32 What happens if a person does not comply with a relevant standard\n\nIf a person does not comply with a relevant standard, this may establish noncompliance with a general safety obligation under section&#160;40 or 41 .\nHowever, the court may be satisfied that the ship was safe even though the standard was not complied with.\nIf a ship owner or master operates a recreational ship that does not comply with a standard about the equipment the ship should be equipped with to achieve safety, the noncompliance with the standard may mean section&#160;41 has been contravened. However, the ship owner may satisfy the court the ship was safe, despite noncompliance with the standard.\nSee section&#160;42 for a fuller statement.\ns&#160;32 amd 2016 No.&#160;3 s&#160;15\n(sec.32-ssec.1) If a person does not comply with a relevant standard, this may establish noncompliance with a general safety obligation under section&#160;40 or 41 .\n(sec.32-ssec.2) However, the court may be satisfied that the ship was safe even though the standard was not complied with. If a ship owner or master operates a recreational ship that does not comply with a standard about the equipment the ship should be equipped with to achieve safety, the noncompliance with the standard may mean section&#160;41 has been contravened. However, the ship owner may satisfy the court the ship was safe, despite noncompliance with the standard. See section&#160;42 for a fuller statement.","sortOrder":46},{"sectionNumber":"sec.33","sectionType":"section","heading":"Role of survey reports in satisfying general safety obligations","content":"### sec.33 Role of survey reports in satisfying general safety obligations\n\nA survey report issued by a competent person for a Queensland regulated ship may be used to establish that a general safety obligation under section&#160;40 or 41 has been complied with in whole or part.\nSee section&#160;42 (3) (a) .\ns&#160;33 sub 2016 No.&#160;3 s&#160;16","sortOrder":47},{"sectionNumber":"sec.34","sectionType":"section","heading":"What mechanisms ensure safety","content":"### sec.34 What mechanisms ensure safety\n\nThere are various mechanisms in the Act to ensure safety, including, for example, the following—\ncertain key groups of people need to be licensed under the Act and will be regulated under the licensing system;\nowners and masters of Queensland regulated ships are responsible for ensuring the ships are safe;\nowners, masters, crew members and other persons involved with the operation of Queensland regulated ships are responsible for ensuring the ships are operated safely;\npilots who have the conduct of ships are responsible for ensuring the ships are operated safely;\nQueensland regulated ships must have the required safety equipment;\nsome Queensland regulated ships need to be registered under this Act;\nshipping inspectors are to be appointed and have the power to monitor ships to see if they are safe and are operated safely;\nthe general manager may require a shipping inspector to investigate a marine incident, or suspected marine incident, involving a Queensland regulated ship;\nthe chief executive or general manager may suspend or cancel an approval;\nthe maximum penalties are substantial if a person is found guilty of contravening the Act .\nIf a provision of this Act provides that the maximum penalty for an offence may be a fine or imprisonment, the court may impose both ( Penalties and Sentences Act 1992 , section&#160;180A ). If a body corporate is convicted of an offence against this Act, the court may impose a fine of 5 times the maximum fine that could be imposed on an individual ( Penalties and Sentences Act 1992 , section&#160;181B ). Thus, for example, the maximum fine that could be imposed on summary conviction on a body corporate ship owner for an offence against section&#160;41 is 2,500 penalty units. If the contravention causes death or grievous bodily harm, the maximum fine on conviction on indictment is 25,000 penalty units.\ns&#160;34 amd 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2006 No.&#160;21 s&#160;53 ; 2016 No.&#160;3 s&#160;17\n- (a) certain key groups of people need to be licensed under the Act and will be regulated under the licensing system;\n- (b) owners and masters of Queensland regulated ships are responsible for ensuring the ships are safe;\n- (c) owners, masters, crew members and other persons involved with the operation of Queensland regulated ships are responsible for ensuring the ships are operated safely;\n- (d) pilots who have the conduct of ships are responsible for ensuring the ships are operated safely;\n- (e) Queensland regulated ships must have the required safety equipment;\n- (f) some Queensland regulated ships need to be registered under this Act;\n- (g) shipping inspectors are to be appointed and have the power to monitor ships to see if they are safe and are operated safely;\n- (h) the general manager may require a shipping inspector to investigate a marine incident, or suspected marine incident, involving a Queensland regulated ship;\n- (i) the chief executive or general manager may suspend or cancel an approval;\n- (j) the maximum penalties are substantial if a person is found guilty of contravening the Act . Note— If a provision of this Act provides that the maximum penalty for an offence may be a fine or imprisonment, the court may impose both ( Penalties and Sentences Act 1992 , section&#160;180A ). If a body corporate is convicted of an offence against this Act, the court may impose a fine of 5 times the maximum fine that could be imposed on an individual ( Penalties and Sentences Act 1992 , section&#160;181B ). Thus, for example, the maximum fine that could be imposed on summary conviction on a body corporate ship owner for an offence against section&#160;41 is 2,500 penalty units. If the contravention causes death or grievous bodily harm, the maximum fine on conviction on indictment is 25,000 penalty units.","sortOrder":48},{"sectionNumber":"sec.35","sectionType":"section","heading":"How is safety in Queensland waters achieved","content":"### sec.35 How is safety in Queensland waters achieved\n\nSome Queensland waters need to be controlled to ensure safety.\nThe Act , therefore, allows areas of Queensland waters to be declared as pilotage areas.\nThe Act also allows a pilotage area, or part of a pilotage area, to be declared as a compulsory pilotage area.\nControl in pilotage areas is achieved by requiring certain ships to use a pilot when the ship is entering, leaving or navigating within a compulsory pilotage area.\nControl is also achieved by appointing harbour masters and authorising them to give directions about ships and their navigation.\nPart&#160;7 sets out the powers of harbour masters.\ns&#160;35 amd 2001 No.&#160;79 s&#160;70\n(sec.35-ssec.1) Some Queensland waters need to be controlled to ensure safety.\n(sec.35-ssec.2) The Act , therefore, allows areas of Queensland waters to be declared as pilotage areas.\n(sec.35-ssec.2A) The Act also allows a pilotage area, or part of a pilotage area, to be declared as a compulsory pilotage area.\n(sec.35-ssec.3) Control in pilotage areas is achieved by requiring certain ships to use a pilot when the ship is entering, leaving or navigating within a compulsory pilotage area.\n(sec.35-ssec.4) Control is also achieved by appointing harbour masters and authorising them to give directions about ships and their navigation.\n(sec.35-ssec.5) Part&#160;7 sets out the powers of harbour masters.","sortOrder":49},{"sectionNumber":"sec.36","sectionType":"section","heading":"How are harbour masters and shipping inspectors accountable","content":"### sec.36 How are harbour masters and shipping inspectors accountable\n\nIn exercising a power, harbour masters are accountable to the general manager under the Public Sector Act 2022 and must comply with part&#160;7 .\nIn exercising a power, shipping inspectors are accountable to the general manager under the Public Sector Act 2022 and must comply with part&#160;13 .\nHarbour masters and shipping inspectors are also subject to controls under other laws, including, for example, the Judicial Review Act 1991 .\ns&#160;36 amd 1996 No.&#160;37 s&#160;147 , sch&#160;2 ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2009 No.&#160;25 s&#160;83 sch ; 2022 No.&#160;34 s&#160;365 sch&#160;3\n(sec.36-ssec.1) In exercising a power, harbour masters are accountable to the general manager under the Public Sector Act 2022 and must comply with part&#160;7 .\n(sec.36-ssec.2) In exercising a power, shipping inspectors are accountable to the general manager under the Public Sector Act 2022 and must comply with part&#160;13 .\n(sec.36-ssec.3) Harbour masters and shipping inspectors are also subject to controls under other laws, including, for example, the Judicial Review Act 1991 .","sortOrder":50},{"sectionNumber":"sec.37","sectionType":"section","heading":"How is the chief executive accountable","content":"### sec.37 How is the chief executive accountable\n\nThe chief executive must report annually to Parliament through the Minister on the Act ’s operation.","sortOrder":51},{"sectionNumber":"sec.38","sectionType":"section","heading":"Does the Act mention everything that will appear in the regulations and standards","content":"### sec.38 Does the Act mention everything that will appear in the regulations and standards\n\nThe Act allows for matters to be provided by regulation or standard even though express reference may not be made to the matters in the Act .\nReference is made in the Act to the registration of a Queensland regulated ship, the amendment, renewal, or transfer of the registration of the ship or the exemption of the ship from registration. However, details about these matters are to be found in regulations or standards and not the Act .\ns&#160;38 amd 2016 No.&#160;3 s&#160;18","sortOrder":52},{"sectionNumber":"sec.39","sectionType":"section","heading":"Operation of part","content":"### sec.39 Operation of part\n\nThis part does not limit, but may extend, the meaning of—\na provision of another part of this Act; or\na provision of a regulation or standard.\nIf a regulation provides for a matter and this part mentions the matter, this part cannot be used to limit, but may extend, the regulation making power or the regulation.\n- (a) a provision of another part of this Act; or\n- (b) a provision of a regulation or standard. Example— If a regulation provides for a matter and this part mentions the matter, this part cannot be used to limit, but may extend, the regulation making power or the regulation.","sortOrder":53},{"sectionNumber":"pt.4","sectionType":"part","heading":"General safety obligations","content":"# General safety obligations","sortOrder":54},{"sectionNumber":"pt.4-div.1","sectionType":"division","heading":"General safety obligations for Queensland regulated ships","content":"## General safety obligations for Queensland regulated ships","sortOrder":55},{"sectionNumber":"sec.39A","sectionType":"section","heading":"Application of div&#160;1","content":"### sec.39A Application of div&#160;1\n\nThis division applies only to Queensland regulated ships.\nSee the national law , part&#160;3 for general safety duties relating to domestic commercial vessels.\ns&#160;39A ins 2016 No.&#160;3 s&#160;19","sortOrder":56},{"sectionNumber":"sec.40","sectionType":"section","heading":"General safety obligation of competent persons about condition of ships","content":"### sec.40 General safety obligation of competent persons about condition of ships\n\nA competent person who issues a survey report for a ship must ensure that each statement made in the report about the ship’s seaworthiness is correct in every material particular.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nHowever, if—\na particular that was incorrectly declared in the survey report causes a marine incident; and\nthe marine incident involves the death of, or grievous bodily harm to, a person;\nthe competent person commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\ns&#160;40 amd 2006 No.&#160;21 s&#160;54 ; 2016 No.&#160;3 s&#160;20\n(sec.40-ssec.1) A competent person who issues a survey report for a ship must ensure that each statement made in the report about the ship’s seaworthiness is correct in every material particular. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.40-ssec.2) However, if— a particular that was incorrectly declared in the survey report causes a marine incident; and the marine incident involves the death of, or grievous bodily harm to, a person; the competent person commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n- (a) a particular that was incorrectly declared in the survey report causes a marine incident; and\n- (b) the marine incident involves the death of, or grievous bodily harm to, a person;","sortOrder":57},{"sectionNumber":"sec.41","sectionType":"section","heading":"General safety obligation of ship owners and masters about condition of ships","content":"### sec.41 General safety obligation of ship owners and masters about condition of ships\n\nThe owner and master of a ship must not operate the ship unless the ship is safe.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nHowever, if the contravention of subsection&#160;(1) causes a marine incident involving the death of, or grievous bodily harm to, a person, the owner and master commit an indictable offence and are liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\nFor the purposes of this section, a ship is safe if it is seaworthy, and is appropriately equipped and crewed, to meet the ordinary perils of the voyage on which the ship is proceeding or about to proceed.\n(sec.41-ssec.1) The owner and master of a ship must not operate the ship unless the ship is safe. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.41-ssec.2) However, if the contravention of subsection&#160;(1) causes a marine incident involving the death of, or grievous bodily harm to, a person, the owner and master commit an indictable offence and are liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n(sec.41-ssec.3) For the purposes of this section, a ship is safe if it is seaworthy, and is appropriately equipped and crewed, to meet the ordinary perils of the voyage on which the ship is proceeding or about to proceed.","sortOrder":58},{"sectionNumber":"sec.42","sectionType":"section","heading":"Relationship between regulatory provisions and general safety obligations for competent persons and ship owners and masters","content":"### sec.42 Relationship between regulatory provisions and general safety obligations for competent persons and ship owners and masters\n\nIn this section—\ngeneral safety provision means section&#160;40 or 41 .\nregulatory provision means a provision of a regulation or standard about the condition, equipping or crewing of ships.\nThis section applies if—\nit is claimed in a proceeding that a person contravened a general safety provision because of the condition of a ship or its equipping or crewing (the safety issue ); and\na regulatory provision provided a way of dealing with the safety issue to achieve safety.\nIf it is proved that the safety issue was not dealt with in the way provided by the regulatory provision, the general safety provision is taken to have been contravened unless the court is satisfied that—\nto satisfy compliance with the general safety provision, it was reasonable for the person to rely on a survey report issued by a competent person, other than the person, that was in force for the ship and covered the safety issue (completely or partly); or\nthe general safety provision was complied with, despite noncompliance with the regulatory provision.\nIn deciding whether the general safety provision had been complied with despite noncompliance with the regulatory provision, the court must have regard to the objectives of this Act.\ns&#160;42 amd 1995 No.&#160;9 s&#160;92 sch&#160;1 ; 1995 No.&#160;58 s&#160;3 sch ; 1996 No.&#160;63 s&#160;7 ; 2000 No.&#160;46 s&#160;3 sch ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2006 No.&#160;21 s&#160;55 ; 2016 No.&#160;3 s&#160;21\n(sec.42-ssec.1) In this section— general safety provision means section&#160;40 or 41 . regulatory provision means a provision of a regulation or standard about the condition, equipping or crewing of ships.\n(sec.42-ssec.2) This section applies if— it is claimed in a proceeding that a person contravened a general safety provision because of the condition of a ship or its equipping or crewing (the safety issue ); and a regulatory provision provided a way of dealing with the safety issue to achieve safety.\n(sec.42-ssec.3) If it is proved that the safety issue was not dealt with in the way provided by the regulatory provision, the general safety provision is taken to have been contravened unless the court is satisfied that— to satisfy compliance with the general safety provision, it was reasonable for the person to rely on a survey report issued by a competent person, other than the person, that was in force for the ship and covered the safety issue (completely or partly); or the general safety provision was complied with, despite noncompliance with the regulatory provision.\n(sec.42-ssec.4) In deciding whether the general safety provision had been complied with despite noncompliance with the regulatory provision, the court must have regard to the objectives of this Act.\n- (a) it is claimed in a proceeding that a person contravened a general safety provision because of the condition of a ship or its equipping or crewing (the safety issue ); and\n- (b) a regulatory provision provided a way of dealing with the safety issue to achieve safety.\n- (a) to satisfy compliance with the general safety provision, it was reasonable for the person to rely on a survey report issued by a competent person, other than the person, that was in force for the ship and covered the safety issue (completely or partly); or\n- (b) the general safety provision was complied with, despite noncompliance with the regulatory provision.","sortOrder":59},{"sectionNumber":"sec.43","sectionType":"section","heading":"General safety obligation on persons involved with operation of ship","content":"### sec.43 General safety obligation on persons involved with operation of ship\n\nA person involved with a ship’s operation (including the owner, master and crew members) must not cause the ship to be operated unsafely.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nWithout limiting subsection&#160;(1) , a person causes a ship to be operated unsafely if the person causes the ship to be operated in a way that—\ncauses a marine incident; or\ncontravenes—\na condition of the ship’s registration under this Act that is about safety; or\na provision of a regulation that is declared by a regulation to be a provision to which this section applies.\nHowever, if the contravention of subsection&#160;(1) causes the death of, or grievous bodily harm to, a person, the owner, master, crew member or other person commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\nA person does not contravene this section because of subsection&#160;(2) (a) if the only basis for holding that a marine incident has been caused is lawful damage to, or danger of lawful damage to, property of which the person is the sole owner.\nThis section does not apply to a ship’s pilot.\nSee section&#160;45 for the obligation on pilots of ships.\nIn this section—\nlawful damage means damage that is not unlawful under the Criminal Code , section&#160;469 .\ns&#160;43 amd 2016 No.&#160;3 s&#160;22\n(sec.43-ssec.1) A person involved with a ship’s operation (including the owner, master and crew members) must not cause the ship to be operated unsafely. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.43-ssec.2) Without limiting subsection&#160;(1) , a person causes a ship to be operated unsafely if the person causes the ship to be operated in a way that— causes a marine incident; or contravenes— a condition of the ship’s registration under this Act that is about safety; or a provision of a regulation that is declared by a regulation to be a provision to which this section applies.\n(sec.43-ssec.3) However, if the contravention of subsection&#160;(1) causes the death of, or grievous bodily harm to, a person, the owner, master, crew member or other person commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n(sec.43-ssec.4) A person does not contravene this section because of subsection&#160;(2) (a) if the only basis for holding that a marine incident has been caused is lawful damage to, or danger of lawful damage to, property of which the person is the sole owner.\n(sec.43-ssec.5) This section does not apply to a ship’s pilot. See section&#160;45 for the obligation on pilots of ships.\n(sec.43-ssec.6) In this section— lawful damage means damage that is not unlawful under the Criminal Code , section&#160;469 .\n- (a) causes a marine incident; or\n- (b) contravenes— (i) a condition of the ship’s registration under this Act that is about safety; or (ii) a provision of a regulation that is declared by a regulation to be a provision to which this section applies.\n- (i) a condition of the ship’s registration under this Act that is about safety; or\n- (ii) a provision of a regulation that is declared by a regulation to be a provision to which this section applies.\n- (i) a condition of the ship’s registration under this Act that is about safety; or\n- (ii) a provision of a regulation that is declared by a regulation to be a provision to which this section applies.","sortOrder":60},{"sectionNumber":"sec.44","sectionType":"section","heading":"Safety equipment obligation","content":"### sec.44 Safety equipment obligation\n\nThe owner or master of a ship must not operate a ship if—\nthe ship is required by a regulation to be equipped with safety equipment; and\nthe ship is not equipped with the safety equipment.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nHowever, if the contravention of subsection&#160;(1) causes the death of, or grievous bodily harm to, a person, the owner or master commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\nIn this section—\nsafety equipment means equipment that is declared by a regulation to be safety equipment to which this section applies.\n(sec.44-ssec.1) The owner or master of a ship must not operate a ship if— the ship is required by a regulation to be equipped with safety equipment; and the ship is not equipped with the safety equipment. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.44-ssec.2) However, if the contravention of subsection&#160;(1) causes the death of, or grievous bodily harm to, a person, the owner or master commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n(sec.44-ssec.3) In this section— safety equipment means equipment that is declared by a regulation to be safety equipment to which this section applies.\n- (a) the ship is required by a regulation to be equipped with safety equipment; and\n- (b) the ship is not equipped with the safety equipment.","sortOrder":61},{"sectionNumber":"pt.4-div.2","sectionType":"division","heading":"Other general safety obligations","content":"## Other general safety obligations","sortOrder":62},{"sectionNumber":"sec.45","sectionType":"section","heading":"General safety obligation on pilot who has conduct of ship","content":"### sec.45 General safety obligation on pilot who has conduct of ship\n\nA pilot who has the conduct of a ship must not cause the ship to be operated unsafely.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nWithout limiting subsection&#160;(1) , a pilot causes a ship to be operated unsafely if the pilot causes the ship to be operated in a way that—\ncauses a marine incident; or\ncontravenes—\na condition of the ship’s registration under this Act that is about safety; or\na provision of a regulation that is declared by a regulation to be a provision to which this section applies.\nHowever, if the contravention of subsection&#160;(1) causes the death of, or grievous bodily harm to, a person, the pilot commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\ns&#160;45 ins 2016 No.&#160;3 s&#160;25\n(sec.45-ssec.1) A pilot who has the conduct of a ship must not cause the ship to be operated unsafely. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.45-ssec.2) Without limiting subsection&#160;(1) , a pilot causes a ship to be operated unsafely if the pilot causes the ship to be operated in a way that— causes a marine incident; or contravenes— a condition of the ship’s registration under this Act that is about safety; or a provision of a regulation that is declared by a regulation to be a provision to which this section applies.\n(sec.45-ssec.3) However, if the contravention of subsection&#160;(1) causes the death of, or grievous bodily harm to, a person, the pilot commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n- (a) causes a marine incident; or\n- (b) contravenes— (i) a condition of the ship’s registration under this Act that is about safety; or (ii) a provision of a regulation that is declared by a regulation to be a provision to which this section applies.\n- (i) a condition of the ship’s registration under this Act that is about safety; or\n- (ii) a provision of a regulation that is declared by a regulation to be a provision to which this section applies.\n- (i) a condition of the ship’s registration under this Act that is about safety; or\n- (ii) a provision of a regulation that is declared by a regulation to be a provision to which this section applies.","sortOrder":63},{"sectionNumber":"sec.46","sectionType":"section","heading":"General safety obligation on managing pilotage entity","content":"### sec.46 General safety obligation on managing pilotage entity\n\nA managing pilotage entity for a compulsory pilotage area must not provide for the piloted movement of ships in the pilotage area in an unsafe way.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nWithout limiting subsection&#160;(1) , a managing pilotage entity causes the piloted movement of ships to be provided in an unsafe way if—\nthe managing pilotage entity employs an individual as a pilot; and\nthe individual is not appropriately licensed.\nHowever, if the contravention of subsection&#160;(1) causes the death of, or grievous bodily harm to, a person, the managing pilotage entity commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\ns&#160;46 (prev s&#160;43A) ins 2013 No.&#160;40 s&#160;18\namd 2016 No.&#160;3 s&#160;76 sch&#160;1\nreloc and renum 2016 No.&#160;3 s&#160;24\n(sec.46-ssec.1) A managing pilotage entity for a compulsory pilotage area must not provide for the piloted movement of ships in the pilotage area in an unsafe way. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.46-ssec.2) Without limiting subsection&#160;(1) , a managing pilotage entity causes the piloted movement of ships to be provided in an unsafe way if— the managing pilotage entity employs an individual as a pilot; and the individual is not appropriately licensed.\n(sec.46-ssec.3) However, if the contravention of subsection&#160;(1) causes the death of, or grievous bodily harm to, a person, the managing pilotage entity commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n- (a) the managing pilotage entity employs an individual as a pilot; and\n- (b) the individual is not appropriately licensed.","sortOrder":64},{"sectionNumber":"sec.52","sectionType":"section","heading":"Approval of standard","content":"### sec.52 Approval of standard\n\ns&#160;52 om 1994 No.&#160;49 s&#160;6 sch&#160;2","sortOrder":65},{"sectionNumber":"pt.5","sectionType":"part","heading":"Registration, licensing and permits","content":"# Registration, licensing and permits","sortOrder":66},{"sectionNumber":"pt.5-div.1","sectionType":"division","heading":"Registration of Queensland regulated ships","content":"## Registration of Queensland regulated ships","sortOrder":67},{"sectionNumber":"sec.54","sectionType":"section","heading":"Application of div&#160;1","content":"### sec.54 Application of div&#160;1\n\nA provision of this division applies only to Queensland regulated ships declared by regulation to be ships to which the provision applies.\nSee the national law , part&#160;4 , division&#160;3 for provisions about certificates of operation for domestic commercial vessels.\ns&#160;54 ins 2016 No.&#160;3 s&#160;26","sortOrder":68},{"sectionNumber":"sec.55","sectionType":"section","heading":"Definition for div&#160;1","content":"### sec.55 Definition for div&#160;1\n\nIn this division—\nregistered means registered under this Act.\ns&#160;55 sub 2016 No.&#160;3 s&#160;26","sortOrder":69},{"sectionNumber":"sec.56","sectionType":"section","heading":"Regulation may require registration of ship","content":"### sec.56 Regulation may require registration of ship\n\nA regulation may require that a ship be registered as a recreational ship or an other Queensland regulated ship.\ns&#160;56 amd 2006 No.&#160;21 s&#160;57\nsub 2016 No.&#160;3 s&#160;26","sortOrder":70},{"sectionNumber":"sec.57","sectionType":"section","heading":"Contravention of registration obligations","content":"### sec.57 Contravention of registration obligations\n\nThe owner or master of a ship must not operate the ship if the ship is required to be registered, but is not registered.\nMaximum penalty—200 penalty units.\nIf a ship is registered as a recreational ship, the ship’s owner or master must not operate the ship other than as a recreational ship or as otherwise provided for under a regulation.\nMaximum penalty—200 penalty units.\nIf a ship is registered as an other Queensland regulated ship, the ship’s owner or master must not operate the ship for private recreation other than as provided for under a regulation.\nMaximum penalty—200 penalty units.\nIf a ship is registered on conditions, the owner or master must not operate it in contravention of the conditions.\nMaximum penalty—200 penalty units.\ns&#160;57 amd 2006 No.&#160;21 s&#160;58\nsub 2016 No.&#160;3 s&#160;26\n(sec.57-ssec.1) The owner or master of a ship must not operate the ship if the ship is required to be registered, but is not registered. Maximum penalty—200 penalty units.\n(sec.57-ssec.2) If a ship is registered as a recreational ship, the ship’s owner or master must not operate the ship other than as a recreational ship or as otherwise provided for under a regulation. Maximum penalty—200 penalty units.\n(sec.57-ssec.3) If a ship is registered as an other Queensland regulated ship, the ship’s owner or master must not operate the ship for private recreation other than as provided for under a regulation. Maximum penalty—200 penalty units.\n(sec.57-ssec.4) If a ship is registered on conditions, the owner or master must not operate it in contravention of the conditions. Maximum penalty—200 penalty units.","sortOrder":71},{"sectionNumber":"sec.58","sectionType":"section","heading":"Registration, amendment, renewal and transfer etc.","content":"### sec.58 Registration, amendment, renewal and transfer etc.\n\nRegistration, amendment of registration, renewal of registration, transfer of registration or exemption from registration may be applied for, and granted or refused, as prescribed by regulation.","sortOrder":72},{"sectionNumber":"sec.59","sectionType":"section","heading":"Cancellation, suspension and amendment of registration","content":"### sec.59 Cancellation, suspension and amendment of registration\n\nThe chief executive or general manager may cancel or suspend the registration of a ship, or amend the registration of a ship without application by the owner, only by fair procedures prescribed by regulation.\ns&#160;59 amd 2002 No.&#160;29 s&#160;16 sch&#160;1","sortOrder":73},{"sectionNumber":"pt.5-div.2","sectionType":"division","heading":"Licensing of masters and crew members of Queensland regulated ships","content":"## Licensing of masters and crew members of Queensland regulated ships","sortOrder":74},{"sectionNumber":"sec.59A","sectionType":"section","heading":"Application of div&#160;2","content":"### sec.59A Application of div&#160;2\n\nA provision of this division applies only to Queensland regulated ships declared by regulation to be ships to which the provision applies.\nSee the national law , part&#160;4 , division&#160;4 for provisions about certificates of competency for particular duties or functions for domestic commercial vessels.\ns&#160;59A ins 2016 No.&#160;3 s&#160;27","sortOrder":75},{"sectionNumber":"sec.60","sectionType":"section","heading":"Regulation may require licences","content":"### sec.60 Regulation may require licences\n\nA regulation may require a person to hold a licence—\nto operate a ship as its master; or\nto act as a crew member of a ship.\nIn this section—\nlicence includes a certificate of competency, service or recognition and a permit.\ns&#160;60 amd 1995 No.&#160;9 s&#160;92 sch&#160;1 ; 2001 No.&#160;36 s&#160;10 ; 2006 No.&#160;21 s&#160;59 ; 2016 No.&#160;3 s&#160;28\n(sec.60-ssec.1) A regulation may require a person to hold a licence— to operate a ship as its master; or to act as a crew member of a ship.\n(sec.60-ssec.2) In this section— licence includes a certificate of competency, service or recognition and a permit.\n- (a) to operate a ship as its master; or\n- (b) to act as a crew member of a ship.","sortOrder":76},{"sectionNumber":"sec.61","sectionType":"section","heading":"Operation of ship as master etc. without required licence","content":"### sec.61 Operation of ship as master etc. without required licence\n\nA person must not operate a ship as its master if the person is required to be licensed, but is not appropriately licensed.\nMaximum penalty—40 penalty units.\nA person must not act as a crew member of a ship if the person is required to be licensed, but is not appropriately licensed.\nMaximum penalty—40 penalty units.\ns&#160;61 amd 2016 No.&#160;3 s&#160;29\n(sec.61-ssec.1) A person must not operate a ship as its master if the person is required to be licensed, but is not appropriately licensed. Maximum penalty—40 penalty units.\n(sec.61-ssec.2) A person must not act as a crew member of a ship if the person is required to be licensed, but is not appropriately licensed. Maximum penalty—40 penalty units.","sortOrder":77},{"sectionNumber":"pt.5-div.3","sectionType":"division","heading":"Licensing of pilots","content":"## Licensing of pilots","sortOrder":78},{"sectionNumber":"sec.61A","sectionType":"section","heading":"Application of div&#160;3","content":"### sec.61A Application of div&#160;3\n\nA provision of this division applies only to ships declared by regulation to be ships to which the provision applies.\ns&#160;61A ins 2016 No.&#160;3 s&#160;30","sortOrder":79},{"sectionNumber":"sec.61B","sectionType":"section","heading":"Regulation may require pilot licence","content":"### sec.61B Regulation may require pilot licence\n\nA regulation may require a person to hold a licence to have the conduct of a ship as its pilot.\nIn this section—\nlicence includes a certificate of competency, service or recognition and a permit.\ns&#160;61B ins 2016 No.&#160;3 s&#160;30\n(sec.61B-ssec.1) A regulation may require a person to hold a licence to have the conduct of a ship as its pilot.\n(sec.61B-ssec.2) In this section— licence includes a certificate of competency, service or recognition and a permit.","sortOrder":80},{"sectionNumber":"sec.61C","sectionType":"section","heading":"Operation of ship as pilot without required licence","content":"### sec.61C Operation of ship as pilot without required licence\n\nA person must not have the conduct of a ship as its pilot if the person is required to be licensed, but is not appropriately licensed.\nMaximum penalty—40 penalty units.\ns&#160;61C ins 2016 No.&#160;3 s&#160;30","sortOrder":81},{"sectionNumber":"pt.5-div.4","sectionType":"division","heading":"General licence provisions","content":"## General licence provisions","sortOrder":82},{"sectionNumber":"sec.62","sectionType":"section","heading":"Grant, amendment and renewal of licences","content":"### sec.62 Grant, amendment and renewal of licences\n\nThe grant, amendment or renewal of a licence may be applied for, and granted or refused, as prescribed by regulation.\nA regulation may make provision for licences to be granted, amended or renewed—\nby the chief executive or general manager; or\nby an entity accredited, under the regulation, by the chief executive or general manager.\nAlso, a regulation may provide for either the chief executive or the general manager—\nto conduct examinations, or to approve an entity to conduct examinations, to establish whether a person meets a requirement under a regulation; or\nto approve an entity to conduct training programs about the operation of Queensland regulated ships.\nWithout limiting subsection&#160;(2) , a regulation may provide for the following—\na marine licence indicator to be in the form approved by the chief executive or general manager, including a card on which information may be stored electronically;\na PIN to be used by the holder of a smartcard marine licence indicator as a security measure to protect information stored electronically on the smartcard marine licence indicator.\ns&#160;62 amd 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2006 No.&#160;21 s&#160;60 ; 2008 No.&#160;71 s&#160;14 (amd 2010 No.&#160;13 s&#160;66 ); 2016 No.&#160;3 s&#160;31\n(sec.62-ssec.1) The grant, amendment or renewal of a licence may be applied for, and granted or refused, as prescribed by regulation.\n(sec.62-ssec.2) A regulation may make provision for licences to be granted, amended or renewed— by the chief executive or general manager; or by an entity accredited, under the regulation, by the chief executive or general manager.\n(sec.62-ssec.3) Also, a regulation may provide for either the chief executive or the general manager— to conduct examinations, or to approve an entity to conduct examinations, to establish whether a person meets a requirement under a regulation; or to approve an entity to conduct training programs about the operation of Queensland regulated ships.\n(sec.62-ssec.4) Without limiting subsection&#160;(2) , a regulation may provide for the following— a marine licence indicator to be in the form approved by the chief executive or general manager, including a card on which information may be stored electronically; a PIN to be used by the holder of a smartcard marine licence indicator as a security measure to protect information stored electronically on the smartcard marine licence indicator.\n- (a) by the chief executive or general manager; or\n- (b) by an entity accredited, under the regulation, by the chief executive or general manager.\n- (a) to conduct examinations, or to approve an entity to conduct examinations, to establish whether a person meets a requirement under a regulation; or\n- (b) to approve an entity to conduct training programs about the operation of Queensland regulated ships.\n- (a) a marine licence indicator to be in the form approved by the chief executive or general manager, including a card on which information may be stored electronically;\n- (b) a PIN to be used by the holder of a smartcard marine licence indicator as a security measure to protect information stored electronically on the smartcard marine licence indicator.","sortOrder":83},{"sectionNumber":"sec.62A","sectionType":"section","heading":"When licence is void","content":"### sec.62A When licence is void\n\nA licence obtained by a false statement or misrepresentation is void.\ns&#160;62A ins 2010 No.&#160;13 s&#160;80","sortOrder":84},{"sectionNumber":"sec.63","sectionType":"section","heading":"Cancellation, suspension and amendment of licences","content":"### sec.63 Cancellation, suspension and amendment of licences\n\nThe chief executive or general manager may cancel or suspend a licence, or amend a licence or marine licence indicator without application by the licensee, only by fair procedures prescribed by regulation.\nSection&#160;202C (1) provides that, when an order is made under section&#160;202A for a person, a licence, and any subsisting licence, held by the person for whom the order is made is cancelled. Also, section&#160;202I provides for a regulation-making power for cancelling or suspending a restricted licence.\ns&#160;63 amd 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2006 No.&#160;21 s&#160;61 ; 2010 No.&#160;13 s&#160;81","sortOrder":85},{"sectionNumber":"sec.63AA","sectionType":"section","heading":"Smartcard marine licence indicator is property of the State","content":"### sec.63AA Smartcard marine licence indicator is property of the State\n\nA smartcard marine licence indicator is and remains the property of the State.\nSubsection&#160;(1) applies even though a person other than the State—\nhas the right to use information that is on the smartcard marine licence indicator or stored electronically on it; or\nhas the right to have information stored on the smartcard marine licence indicator.\nThe State is not legally liable for an act or omission relating to the keeping or use of the smartcard marine licence indicator.\ns&#160;63AA ins 2008 No.&#160;71 s&#160;14A (amd 2010 No.&#160;13 s&#160;67 )\n(sec.63AA-ssec.1) A smartcard marine licence indicator is and remains the property of the State.\n(sec.63AA-ssec.2) Subsection&#160;(1) applies even though a person other than the State— has the right to use information that is on the smartcard marine licence indicator or stored electronically on it; or has the right to have information stored on the smartcard marine licence indicator.\n(sec.63AA-ssec.3) The State is not legally liable for an act or omission relating to the keeping or use of the smartcard marine licence indicator.\n- (a) has the right to use information that is on the smartcard marine licence indicator or stored electronically on it; or\n- (b) has the right to have information stored on the smartcard marine licence indicator.","sortOrder":86},{"sectionNumber":"sec.63A","sectionType":"section","heading":"Obtaining digital photo and digitised signature","content":"### sec.63A Obtaining digital photo and digitised signature\n\ns&#160;63A ins 2008 No.&#160;71 s&#160;15 (amd 2010 No.&#160;13 s&#160;68 (1) )\nom 2015 No.&#160;14 s&#160;27","sortOrder":87},{"sectionNumber":"sec.63AB","sectionType":"section","heading":"Extending shelf life of digital photo and digitised signature","content":"### sec.63AB Extending shelf life of digital photo and digitised signature\n\ns&#160;63AB ins 2008 No.&#160;71 s&#160;15 (amd 2010 No.&#160;13 s&#160;68 (1) )\nom 2015 No.&#160;14 s&#160;27","sortOrder":88},{"sectionNumber":"sec.63B","sectionType":"section","heading":"Using digital photo and digitised signature","content":"### sec.63B Using digital photo and digitised signature\n\ns&#160;63B ins 2008 No.&#160;71 s&#160;15 (amd 2010 No.&#160;13 s&#160;68 (1) )\nom 2015 No.&#160;14 s&#160;27","sortOrder":89},{"sectionNumber":"sec.63C","sectionType":"section","heading":"Restricted access to a digital photo","content":"### sec.63C Restricted access to a digital photo\n\ns&#160;63C ins 2008 No.&#160;71 s&#160;15 (amd 2010 No.&#160;13 s&#160;68 (2) )\nom 2015 No.&#160;14 s&#160;27","sortOrder":90},{"sectionNumber":"sec.63D","sectionType":"section","heading":"Deleting digital photo and digitised signature from register or similar record","content":"### sec.63D Deleting digital photo and digitised signature from register or similar record\n\ns&#160;63D ins 2008 No.&#160;71 s&#160;15\nom 2015 No.&#160;14 s&#160;27","sortOrder":91},{"sectionNumber":"sec.63F","sectionType":"section","heading":"Restricted access to information stored electronically on a smartcard marine licence indicator","content":"### sec.63F Restricted access to information stored electronically on a smartcard marine licence indicator\n\ns&#160;63F ins 2008 No.&#160;71 s&#160;15 (amd 2010 No.&#160;19 s&#160;219 (2) – (3) )\namd 2008 No.&#160;71 s&#160;17 (amd 2010 No.&#160;19 s&#160;220 ); 2014 No.&#160;43 s&#160;57\nom 2015 No.&#160;14 s&#160;27","sortOrder":92},{"sectionNumber":"sec.63G","sectionType":"section","heading":"Retention period for digital photo and digitised signature","content":"### sec.63G Retention period for digital photo and digitised signature\n\ns&#160;63G ins 2008 No.&#160;71 s&#160;15 (amd 2010 No.&#160;13 s&#160;68 (3) )\nom 2015 No.&#160;14 s&#160;27","sortOrder":93},{"sectionNumber":"sec.63H","sectionType":"section","heading":"Annual report about access to digital photos","content":"### sec.63H Annual report about access to digital photos\n\ns&#160;63H ins 2008 No.&#160;71 s&#160;15\nom 2015 No.&#160;14 s&#160;27","sortOrder":94},{"sectionNumber":"pt.5-div.5","sectionType":"division","heading":"Restricted release of information about marine licences","content":"## Restricted release of information about marine licences","sortOrder":95},{"sectionNumber":"sec.63I","sectionType":"section","heading":"Restricted written release of information","content":"### sec.63I Restricted written release of information\n\nThe chief executive or general manager may release, in writing, information kept under this Act about a person’s marine licence or marine history to—\non receiving an application in the approved form—\nthe person; or\nwith the person’s written consent—another person; or\nthe commissioner of the police service for the purpose of any function of the commissioner or any function of the police service; or\nan entity that, under an agreement between the State and other governments, maintains a database containing information about marine licences and marine histories.\nAlso, the chief executive may release, in writing, to an entity information kept under this Act about a person’s marine licence if—\nthe person produces the person’s smartcard marine licence indicator to the entity as proof of the person’s identity; and\nthe entity applies in the approved form for the information; and\nthe information is necessary to verify the validity of the smartcard marine licence indicator.\nBefore releasing information to a person or entity under subsection&#160;(1) (c) , the chief executive or general manager must be satisfied any release of the information by the person or entity will be limited to circumstances similar to those mentioned in subsection&#160;(1) .\nAn application mentioned in subsection&#160;(1) (a) or (2) (b) may be made by electronic communication.\nThis section does not limit section&#160;205B .\nSection&#160;205B deals with the electronic search of information to verify that a person is the holder of a licence under this Act.\ns&#160;63I ins 2008 No.&#160;71 s&#160;15\namd 2010 No.&#160;13 s&#160;68 (4) – (5) ; 2011 No.&#160;12 s&#160;70 ; 2015 No.&#160;14 s&#160;28\n(sec.63I-ssec.1) The chief executive or general manager may release, in writing, information kept under this Act about a person’s marine licence or marine history to— on receiving an application in the approved form— the person; or with the person’s written consent—another person; or the commissioner of the police service for the purpose of any function of the commissioner or any function of the police service; or an entity that, under an agreement between the State and other governments, maintains a database containing information about marine licences and marine histories.\n(sec.63I-ssec.2) Also, the chief executive may release, in writing, to an entity information kept under this Act about a person’s marine licence if— the person produces the person’s smartcard marine licence indicator to the entity as proof of the person’s identity; and the entity applies in the approved form for the information; and the information is necessary to verify the validity of the smartcard marine licence indicator.\n(sec.63I-ssec.3) Before releasing information to a person or entity under subsection&#160;(1) (c) , the chief executive or general manager must be satisfied any release of the information by the person or entity will be limited to circumstances similar to those mentioned in subsection&#160;(1) .\n(sec.63I-ssec.4) An application mentioned in subsection&#160;(1) (a) or (2) (b) may be made by electronic communication.\n(sec.63I-ssec.5) This section does not limit section&#160;205B . Section&#160;205B deals with the electronic search of information to verify that a person is the holder of a licence under this Act.\n- (a) on receiving an application in the approved form— (i) the person; or (ii) with the person’s written consent—another person; or\n- (i) the person; or\n- (ii) with the person’s written consent—another person; or\n- (b) the commissioner of the police service for the purpose of any function of the commissioner or any function of the police service; or\n- (c) an entity that, under an agreement between the State and other governments, maintains a database containing information about marine licences and marine histories.\n- (i) the person; or\n- (ii) with the person’s written consent—another person; or\n- (a) the person produces the person’s smartcard marine licence indicator to the entity as proof of the person’s identity; and\n- (b) the entity applies in the approved form for the information; and\n- (c) the information is necessary to verify the validity of the smartcard marine licence indicator.","sortOrder":96},{"sectionNumber":"sec.63J","sectionType":"section","heading":"Restricted oral release of particular information","content":"### sec.63J Restricted oral release of particular information\n\nThe chief executive may orally release, to a person, information kept under this Act about the person’s marine licence or marine history.\nHowever, subsection&#160;(1) applies only if the chief executive is satisfied that the person is the person to whom the information relates.\nThe chief executive may be satisfied as required under subsection&#160;(2) if the person correctly answers a series of questions, or produces a document, for identifying the person.\ns&#160;63J ins 2011 No.&#160;12 s&#160;71\n(sec.63J-ssec.1) The chief executive may orally release, to a person, information kept under this Act about the person’s marine licence or marine history.\n(sec.63J-ssec.2) However, subsection&#160;(1) applies only if the chief executive is satisfied that the person is the person to whom the information relates. The chief executive may be satisfied as required under subsection&#160;(2) if the person correctly answers a series of questions, or produces a document, for identifying the person.","sortOrder":97},{"sectionNumber":"sec.64","sectionType":"section","heading":"Object of division","content":"### sec.64 Object of division\n\ns&#160;64 amd 2006 No.&#160;21 s&#160;62\nom 2016 No.&#160;3 s&#160;32","sortOrder":98},{"sectionNumber":"sec.65","sectionType":"section","heading":"Regulation may provide for accreditation","content":"### sec.65 Regulation may provide for accreditation\n\ns&#160;65 amd 2006 No.&#160;21 s&#160;63\nom 2016 No.&#160;3 s&#160;32","sortOrder":99},{"sectionNumber":"sec.66","sectionType":"section","heading":"Design of ships","content":"### sec.66 Design of ships\n\ns&#160;66 om 2016 No.&#160;3 s&#160;32","sortOrder":100},{"sectionNumber":"sec.66A","sectionType":"section","heading":"Building of ships","content":"### sec.66A Building of ships\n\ns&#160;66A ins 1995 No.&#160;9 s&#160;92 sch&#160;1\nom 2016 No.&#160;3 s&#160;32","sortOrder":101},{"sectionNumber":"sec.67","sectionType":"section","heading":"Restriction on building of ships","content":"### sec.67 Restriction on building of ships\n\ns&#160;67 amd 1995 No.&#160;9 s&#160;92 sch&#160;1 ; 1996 No.&#160;63 s&#160;12 ; 2002 No.&#160;29 s&#160;16 sch&#160;1\nom 2016 No.&#160;3 s&#160;32","sortOrder":102},{"sectionNumber":"sec.68","sectionType":"section","heading":"Surveying of ships","content":"### sec.68 Surveying of ships\n\ns&#160;68 om 2016 No.&#160;3 s&#160;32","sortOrder":103},{"sectionNumber":"sec.69","sectionType":"section","heading":"Grant, amendment or renewal of accreditation","content":"### sec.69 Grant, amendment or renewal of accreditation\n\ns&#160;69 om 2016 No.&#160;3 s&#160;32","sortOrder":104},{"sectionNumber":"sec.70","sectionType":"section","heading":"Cancellation, suspension and amendment of accreditation","content":"### sec.70 Cancellation, suspension and amendment of accreditation\n\ns&#160;70 amd 2002 No.&#160;29 s&#160;16 sch&#160;1\nom 2016 No.&#160;3 s&#160;32","sortOrder":105},{"sectionNumber":"sec.70A","sectionType":"section","heading":"General manager may approve ship design","content":"### sec.70A General manager may approve ship design\n\ns&#160;70A ins 1996 No.&#160;63 s&#160;13\namd 2002 No.&#160;29 s&#160;16 sch&#160;1\nom 2016 No.&#160;3 s&#160;32","sortOrder":106},{"sectionNumber":"sec.70B","sectionType":"section","heading":"Statements in certificate of survey","content":"### sec.70B Statements in certificate of survey\n\ns&#160;70B ins 1996 No.&#160;63 s&#160;13\namd 2002 No.&#160;29 s&#160;16 sch&#160;1\nom 2016 No.&#160;3 s&#160;32","sortOrder":107},{"sectionNumber":"sec.70C","sectionType":"section","heading":"Protection from liability","content":"### sec.70C Protection from liability\n\ns&#160;70C ins 1996 No.&#160;63 s&#160;13\nom 2016 No.&#160;3 s&#160;32","sortOrder":108},{"sectionNumber":"pt.6","sectionType":"part","heading":"Pilotage areas","content":"# Pilotage areas","sortOrder":109},{"sectionNumber":"sec.71","sectionType":"section","heading":"Pilotage areas and compulsory pilotage areas","content":"### sec.71 Pilotage areas and compulsory pilotage areas\n\nA regulation may—\ndeclare—\nan area of Queensland waters to be a pilotage area; or\na pilotage area, or part of a pilotage area, to be a compulsory pilotage area; or\nclose a pilotage area or a part of a pilotage area.\ns&#160;71 amd 2001 No.&#160;79 s&#160;71\n- (a) declare— (i) an area of Queensland waters to be a pilotage area; or (ii) a pilotage area, or part of a pilotage area, to be a compulsory pilotage area; or\n- (i) an area of Queensland waters to be a pilotage area; or\n- (ii) a pilotage area, or part of a pilotage area, to be a compulsory pilotage area; or\n- (b) close a pilotage area or a part of a pilotage area.\n- (i) an area of Queensland waters to be a pilotage area; or\n- (ii) a pilotage area, or part of a pilotage area, to be a compulsory pilotage area; or","sortOrder":110},{"sectionNumber":"sec.71A","sectionType":"section","heading":"Who is the responsible pilotage entity for a compulsory pilotage area","content":"### sec.71A Who is the responsible pilotage entity for a compulsory pilotage area\n\nThe responsible pilotage entity for a compulsory pilotage area is the entity prescribed under a regulation as the responsible pilotage entity for the pilotage area.\nA responsible pilotage entity has the function of providing, or arranging for the provision of, pilotage services in its compulsory pilotage area.\ns&#160;71A ins 2013 No.&#160;40 s&#160;19\n(sec.71A-ssec.1) The responsible pilotage entity for a compulsory pilotage area is the entity prescribed under a regulation as the responsible pilotage entity for the pilotage area.\n(sec.71A-ssec.2) A responsible pilotage entity has the function of providing, or arranging for the provision of, pilotage services in its compulsory pilotage area.","sortOrder":111},{"sectionNumber":"sec.72","sectionType":"section","heading":"Harbour master may permit ship navigation in closed pilotage area","content":"### sec.72 Harbour master may permit ship navigation in closed pilotage area\n\nIf a pilotage area or part of a pilotage area is closed by regulation, a harbour master may permit a person to—\ncause a ship to enter, leave or navigate in the area or part; or\nanchor, berth or moor a ship in the area or part.\nIf it is not practicable for the harbour master to give the person a written permission under subsection&#160;(1) , the harbour master must make a written note of the permission and its details.\n(sec.72-ssec.1) If a pilotage area or part of a pilotage area is closed by regulation, a harbour master may permit a person to— cause a ship to enter, leave or navigate in the area or part; or anchor, berth or moor a ship in the area or part.\n(sec.72-ssec.2) If it is not practicable for the harbour master to give the person a written permission under subsection&#160;(1) , the harbour master must make a written note of the permission and its details.\n- (a) cause a ship to enter, leave or navigate in the area or part; or\n- (b) anchor, berth or moor a ship in the area or part.","sortOrder":112},{"sectionNumber":"sec.73","sectionType":"section","heading":"Failure to comply with closure of pilotage area","content":"### sec.73 Failure to comply with closure of pilotage area\n\nThis section applies if a regulation closes a pilotage area or part of a pilotage area.\nA person must not, without the permission of a harbour master—\ncause a ship to enter, leave or navigate in the pilotage area or part, unless the person has a reasonable excuse; or\nanchor, berth or moor a ship in the pilotage area or part, unless the person has a reasonable excuse.\nMaximum penalty—200 penalty units.\n(sec.73-ssec.1) This section applies if a regulation closes a pilotage area or part of a pilotage area.\n(sec.73-ssec.2) A person must not, without the permission of a harbour master— cause a ship to enter, leave or navigate in the pilotage area or part, unless the person has a reasonable excuse; or anchor, berth or moor a ship in the pilotage area or part, unless the person has a reasonable excuse. Maximum penalty—200 penalty units.\n- (a) cause a ship to enter, leave or navigate in the pilotage area or part, unless the person has a reasonable excuse; or\n- (b) anchor, berth or moor a ship in the pilotage area or part, unless the person has a reasonable excuse.","sortOrder":113},{"sectionNumber":"pt.7","sectionType":"part","heading":"Harbour masters","content":"# Harbour masters","sortOrder":114},{"sectionNumber":"pt.7-div.1","sectionType":"division","heading":"General","content":"## General","sortOrder":115},{"sectionNumber":"sec.74","sectionType":"section","heading":"Appointment of harbour masters","content":"### sec.74 Appointment of harbour masters\n\nThe chief executive may appoint an officer or employee of MSQ to be a harbour master.\nA person appointed as a harbour master is a shipping inspector without further appointment.\ns&#160;74 amd 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.74-ssec.1) The chief executive may appoint an officer or employee of MSQ to be a harbour master.\n(sec.74-ssec.2) A person appointed as a harbour master is a shipping inspector without further appointment.","sortOrder":116},{"sectionNumber":"sec.75","sectionType":"section","heading":"Only qualified persons may be appointed as harbour masters","content":"### sec.75 Only qualified persons may be appointed as harbour masters\n\nThe chief executive may appoint a person to be a harbour master only if—\nin the chief executive’s opinion, the person has the necessary expertise or experience to be a harbour master and shipping inspector; or\nthe person has satisfactorily finished training approved by the chief executive.\n- (a) in the chief executive’s opinion, the person has the necessary expertise or experience to be a harbour master and shipping inspector; or\n- (b) the person has satisfactorily finished training approved by the chief executive.","sortOrder":117},{"sectionNumber":"sec.76","sectionType":"section","heading":"Limitations on powers of a harbour master","content":"### sec.76 Limitations on powers of a harbour master\n\nThe powers of a harbour master may be limited—\nunder a regulation; or\nunder a condition of appointment; or\nby notice of the chief executive given to the harbour master.\nIn exercising a power, a harbour master is subject to the direction of the general manager.\ns&#160;76 amd 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.76-ssec.1) The powers of a harbour master may be limited— under a regulation; or under a condition of appointment; or by notice of the chief executive given to the harbour master.\n(sec.76-ssec.2) In exercising a power, a harbour master is subject to the direction of the general manager.\n- (a) under a regulation; or\n- (b) under a condition of appointment; or\n- (c) by notice of the chief executive given to the harbour master.","sortOrder":118},{"sectionNumber":"sec.77","sectionType":"section","heading":"Harbour master to consult with port authority","content":"### sec.77 Harbour master to consult with port authority\n\nBefore a harbour master exercises a power that may affect the functions of a port authority, the harbour master must consult with the port authority to the extent reasonably practicable.\nFailure to comply with subsection&#160;(1) does not affect the validity of the exercise of the power.\n(sec.77-ssec.1) Before a harbour master exercises a power that may affect the functions of a port authority, the harbour master must consult with the port authority to the extent reasonably practicable.\n(sec.77-ssec.2) Failure to comply with subsection&#160;(1) does not affect the validity of the exercise of the power.","sortOrder":119},{"sectionNumber":"sec.77A","sectionType":"section","heading":"Harbour master to consult with Gold Coast Waterways Authority","content":"### sec.77A Harbour master to consult with Gold Coast Waterways Authority\n\nBefore a harbour master exercises a power that may affect the functions of the Gold Coast Waterways Authority, the harbour master must consult with the Gold Coast Waterways Authority to the extent reasonably practicable.\nFailure to comply with subsection&#160;(1) does not affect the validity of the exercise of the power.\ns&#160;77A ins 2012 No.&#160;38 s&#160;123\n(sec.77A-ssec.1) Before a harbour master exercises a power that may affect the functions of the Gold Coast Waterways Authority, the harbour master must consult with the Gold Coast Waterways Authority to the extent reasonably practicable.\n(sec.77A-ssec.2) Failure to comply with subsection&#160;(1) does not affect the validity of the exercise of the power.","sortOrder":120},{"sectionNumber":"sec.78","sectionType":"section","heading":"End of appointment","content":"### sec.78 End of appointment\n\nThe appointment of a person as a harbour master ends if the person ceases to be an officer or employee of MSQ.\ns&#160;78 amd 2002 No.&#160;29 s&#160;16 sch&#160;1","sortOrder":121},{"sectionNumber":"sec.79","sectionType":"section","heading":"Delegation by harbour master","content":"### sec.79 Delegation by harbour master\n\nA harbour master may delegate the harbour master’s functions to—\nan officer or employee of the public service who the harbour master is satisfied has the necessary expertise or experience to exercise the functions; or\na shipping inspector; or\nan officer or employee of a port authority; or\nan employee of MSQ; or\na police officer; or\nsomeone else prescribed by regulation.\nA delegation under subsection&#160;(1) (d) has effect only if the commissioner of the police service has given written approval to the proposed delegation.\nIn this section—\nfunctions include powers.\ns&#160;79 amd 2000 No.&#160;5 s&#160;373 sch&#160;3 ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2006 No.&#160;21 s&#160;64\n(sec.79-ssec.1) A harbour master may delegate the harbour master’s functions to— an officer or employee of the public service who the harbour master is satisfied has the necessary expertise or experience to exercise the functions; or a shipping inspector; or an officer or employee of a port authority; or an employee of MSQ; or a police officer; or someone else prescribed by regulation.\n(sec.79-ssec.2) A delegation under subsection&#160;(1) (d) has effect only if the commissioner of the police service has given written approval to the proposed delegation.\n(sec.79-ssec.3) In this section— functions include powers.\n- (a) an officer or employee of the public service who the harbour master is satisfied has the necessary expertise or experience to exercise the functions; or\n- (b) a shipping inspector; or\n- (c) an officer or employee of a port authority; or\n- (ca) an employee of MSQ; or\n- (d) a police officer; or\n- (e) someone else prescribed by regulation.","sortOrder":122},{"sectionNumber":"sec.80","sectionType":"section","heading":"Identity cards","content":"### sec.80 Identity cards\n\nThe chief executive must give an identity card to each harbour master.\nA harbour master who delegates functions or powers to a person, other than a shipping inspector, must give an identity card to the person.\nThe identity card of a harbour master or a harbour master’s delegate must—\ncontain a photograph of the harbour master or delegate; and\nbe in a form approved by the chief executive; and\nbe signed by the harbour master or delegate.\nA person who ceases to be a harbour master or delegate must return the person’s identity card to the chief executive as soon as is practicable after the person ceases to be a harbour master or delegate, unless the person has a reasonable excuse for not returning it.\nMaximum penalty for subsection&#160;(4) —40 penalty units.\ns&#160;80 amd 2006 No.&#160;21 s&#160;65\n(sec.80-ssec.1) The chief executive must give an identity card to each harbour master.\n(sec.80-ssec.2) A harbour master who delegates functions or powers to a person, other than a shipping inspector, must give an identity card to the person.\n(sec.80-ssec.3) The identity card of a harbour master or a harbour master’s delegate must— contain a photograph of the harbour master or delegate; and be in a form approved by the chief executive; and be signed by the harbour master or delegate.\n(sec.80-ssec.4) A person who ceases to be a harbour master or delegate must return the person’s identity card to the chief executive as soon as is practicable after the person ceases to be a harbour master or delegate, unless the person has a reasonable excuse for not returning it. Maximum penalty for subsection&#160;(4) —40 penalty units.\n- (a) contain a photograph of the harbour master or delegate; and\n- (b) be in a form approved by the chief executive; and\n- (c) be signed by the harbour master or delegate.","sortOrder":123},{"sectionNumber":"sec.81","sectionType":"section","heading":"Proof of authority","content":"### sec.81 Proof of authority\n\nA harbour master must display the harbour master’s identity card for inspection by a person if the harbour master, in person, gives a direction to the person or exercises another power in relation to the person.\nIf, for any reason, it is not practicable to comply with subsection&#160;(1) , the harbour master must produce the identity card for inspection by the person at the first reasonable opportunity.\nIf a harbour master gives a written direction to a person, the written direction must be on letterhead approved by the chief executive.\nIf a harbour master gives a direction to a person by radio, megaphone or another form of distance communication, the harbour master must identify himself or herself as a harbour master.\n(sec.81-ssec.1) A harbour master must display the harbour master’s identity card for inspection by a person if the harbour master, in person, gives a direction to the person or exercises another power in relation to the person.\n(sec.81-ssec.2) If, for any reason, it is not practicable to comply with subsection&#160;(1) , the harbour master must produce the identity card for inspection by the person at the first reasonable opportunity.\n(sec.81-ssec.3) If a harbour master gives a written direction to a person, the written direction must be on letterhead approved by the chief executive.\n(sec.81-ssec.4) If a harbour master gives a direction to a person by radio, megaphone or another form of distance communication, the harbour master must identify himself or herself as a harbour master.","sortOrder":124},{"sectionNumber":"sec.82","sectionType":"section","heading":"Protection from liability","content":"### sec.82 Protection from liability\n\nA harbour master is not civilly liable for an act or omission done honestly and without negligence under this Act.\nIf subsection&#160;(1) prevents a civil liability attaching to a harbour master, the liability attaches instead to the State.\n(sec.82-ssec.1) A harbour master is not civilly liable for an act or omission done honestly and without negligence under this Act.\n(sec.82-ssec.2) If subsection&#160;(1) prevents a civil liability attaching to a harbour master, the liability attaches instead to the State.","sortOrder":125},{"sectionNumber":"sec.83","sectionType":"section","heading":"Harbour masters to give notice of damage","content":"### sec.83 Harbour masters to give notice of damage\n\nA harbour master who, in the exercise of a power under this part, damages anything must promptly give written notice of the particulars of the damage.\nThe notice must be given—\nif the thing is a ship or is on a ship—to the ship’s master; or\nin any other case—to the person who appears to the harbour master to be the owner of the thing.\nIf, for any reason, it is not practicable to comply with subsection&#160;(2) , the harbour master must—\nleave the notice on the thing that is damaged; and\nensure the notice is left in a reasonably secure way in a conspicuous position.\n(sec.83-ssec.1) A harbour master who, in the exercise of a power under this part, damages anything must promptly give written notice of the particulars of the damage.\n(sec.83-ssec.2) The notice must be given— if the thing is a ship or is on a ship—to the ship’s master; or in any other case—to the person who appears to the harbour master to be the owner of the thing.\n(sec.83-ssec.3) If, for any reason, it is not practicable to comply with subsection&#160;(2) , the harbour master must— leave the notice on the thing that is damaged; and ensure the notice is left in a reasonably secure way in a conspicuous position.\n- (a) if the thing is a ship or is on a ship—to the ship’s master; or\n- (b) in any other case—to the person who appears to the harbour master to be the owner of the thing.\n- (a) leave the notice on the thing that is damaged; and\n- (b) ensure the notice is left in a reasonably secure way in a conspicuous position.","sortOrder":126},{"sectionNumber":"sec.84","sectionType":"section","heading":"Impersonation of harbour master","content":"### sec.84 Impersonation of harbour master\n\nA person must not pretend to be a harbour master.\nMaximum penalty—40 penalty units.","sortOrder":127},{"sectionNumber":"sec.85","sectionType":"section","heading":"Obstruction of harbour master","content":"### sec.85 Obstruction of harbour master\n\nA person must not obstruct a harbour master in the exercise of a power, unless the person has a reasonable excuse.\nMaximum penalty—200 penalty units.","sortOrder":128},{"sectionNumber":"pt.7-div.2","sectionType":"division","heading":"Powers of harbour masters","content":"## Powers of harbour masters","sortOrder":129},{"sectionNumber":"sec.86","sectionType":"section","heading":"General limitation on harbour master’s power to give directions under subdivision","content":"### sec.86 General limitation on harbour master’s power to give directions under subdivision\n\nA harbour master may give a direction under this subdivision only if the harbour master reasonably considers it necessary to give the direction to ensure safety.\nIn giving the direction, the harbour master must have regard to the need to ensure the effectiveness and efficiency of the Queensland maritime industry.\ns&#160;86 amd 2006 No.&#160;21 s&#160;66\n(sec.86-ssec.1) A harbour master may give a direction under this subdivision only if the harbour master reasonably considers it necessary to give the direction to ensure safety.\n(sec.86-ssec.2) In giving the direction, the harbour master must have regard to the need to ensure the effectiveness and efficiency of the Queensland maritime industry.","sortOrder":130},{"sectionNumber":"sec.86A","sectionType":"section","heading":"Direction may be general or particular","content":"### sec.86A Direction may be general or particular\n\nA direction under this subdivision may be given as a general direction or particular direction.\nA general direction is a direction that—\napplies to all ship owners, ship masters, ships, other persons or matters; or\nis limited in its application to stated classes of ship owners, ship masters, ships, other persons or matters; or\notherwise applies generally or generally with stated exceptions or factors.\nA general direction may—\nmake different provision for different ship owners, ship masters, ships, other persons or matters, or different classes of ship owners, ship masters, ships, other persons or matters; or\napply differently to stated exceptions or factors.\nA particular direction is a direction that applies to—\na particular ship owner or ship master, including an owner or master mentioned in the direction only as the owner or master of a stated particular ship; or\na particular ship; or\nanother particular person or matter.\nA general direction or particular direction may be given orally, in writing or in another way.\nWithout limiting subsection&#160;(5) —\nan oral direction may be given by the harbour master, an agent of the harbour master or a shipping inspector—\npersonally to a person; or\nby phone, radio or another form of electronic communication; or\nby megaphone or another form of distance communication; or\na written direction may be given by way of a written notice published or otherwise reasonably made available or known to any person to whom it applies, including, for example, by publication in a newspaper or by a fax or email; or\na direction may be given in another way appropriate for the maritime environment by being published or otherwise reasonably made available or known to any person to whom it applies, including, for example, by use of flags or lights.\nFor a particular direction applying to a ship’s master, the direction may be given to another person in control of the ship if it is not practicable to give the particular direction to the ship’s master.\nA particular direction given under subsection&#160;(7) to a person in control of a ship, other than the ship’s master, is taken to have been given to the ship’s master.\nIn a proceeding, if an issue arises about whether a direction was given to a person, the party alleging the direction was given must prove that the person had, or reasonably ought to have had, knowledge of the direction.\ns&#160;86A ins 2006 No.&#160;21 s&#160;67\n(sec.86A-ssec.1) A direction under this subdivision may be given as a general direction or particular direction.\n(sec.86A-ssec.2) A general direction is a direction that— applies to all ship owners, ship masters, ships, other persons or matters; or is limited in its application to stated classes of ship owners, ship masters, ships, other persons or matters; or otherwise applies generally or generally with stated exceptions or factors.\n(sec.86A-ssec.3) A general direction may— make different provision for different ship owners, ship masters, ships, other persons or matters, or different classes of ship owners, ship masters, ships, other persons or matters; or apply differently to stated exceptions or factors.\n(sec.86A-ssec.4) A particular direction is a direction that applies to— a particular ship owner or ship master, including an owner or master mentioned in the direction only as the owner or master of a stated particular ship; or a particular ship; or another particular person or matter.\n(sec.86A-ssec.5) A general direction or particular direction may be given orally, in writing or in another way.\n(sec.86A-ssec.6) Without limiting subsection&#160;(5) — an oral direction may be given by the harbour master, an agent of the harbour master or a shipping inspector— personally to a person; or by phone, radio or another form of electronic communication; or by megaphone or another form of distance communication; or a written direction may be given by way of a written notice published or otherwise reasonably made available or known to any person to whom it applies, including, for example, by publication in a newspaper or by a fax or email; or a direction may be given in another way appropriate for the maritime environment by being published or otherwise reasonably made available or known to any person to whom it applies, including, for example, by use of flags or lights.\n(sec.86A-ssec.7) For a particular direction applying to a ship’s master, the direction may be given to another person in control of the ship if it is not practicable to give the particular direction to the ship’s master.\n(sec.86A-ssec.8) A particular direction given under subsection&#160;(7) to a person in control of a ship, other than the ship’s master, is taken to have been given to the ship’s master.\n(sec.86A-ssec.9) In a proceeding, if an issue arises about whether a direction was given to a person, the party alleging the direction was given must prove that the person had, or reasonably ought to have had, knowledge of the direction.\n- (a) applies to all ship owners, ship masters, ships, other persons or matters; or\n- (b) is limited in its application to stated classes of ship owners, ship masters, ships, other persons or matters; or\n- (c) otherwise applies generally or generally with stated exceptions or factors.\n- (a) make different provision for different ship owners, ship masters, ships, other persons or matters, or different classes of ship owners, ship masters, ships, other persons or matters; or\n- (b) apply differently to stated exceptions or factors.\n- (a) a particular ship owner or ship master, including an owner or master mentioned in the direction only as the owner or master of a stated particular ship; or\n- (b) a particular ship; or\n- (c) another particular person or matter.\n- (a) an oral direction may be given by the harbour master, an agent of the harbour master or a shipping inspector— (i) personally to a person; or (ii) by phone, radio or another form of electronic communication; or (iii) by megaphone or another form of distance communication; or\n- (i) personally to a person; or\n- (ii) by phone, radio or another form of electronic communication; or\n- (iii) by megaphone or another form of distance communication; or\n- (b) a written direction may be given by way of a written notice published or otherwise reasonably made available or known to any person to whom it applies, including, for example, by publication in a newspaper or by a fax or email; or\n- (c) a direction may be given in another way appropriate for the maritime environment by being published or otherwise reasonably made available or known to any person to whom it applies, including, for example, by use of flags or lights.\n- (i) personally to a person; or\n- (ii) by phone, radio or another form of electronic communication; or\n- (iii) by megaphone or another form of distance communication; or","sortOrder":131},{"sectionNumber":"sec.87","sectionType":"section","heading":"Power of Minister to require directions","content":"### sec.87 Power of Minister to require directions\n\nThe Minister may ask the chief executive to require a harbour master to give a direction under this subdivision.\nSection&#160;86 does not apply to the giving of the direction by a harbour master.\nA request may only be made by the Minister if the Minister is satisfied that exceptional circumstances exist to justify the Minister’s intervention in the public interest.\nIf the Minister makes a request under this section, the request must be—\nnotified in the gazette as soon as practicable after it is made; and\ntabled in the Legislative Assembly within 14 days after it is given.\ns&#160;87 amd 2006 No.&#160;21 s&#160;68\n(sec.87-ssec.1) The Minister may ask the chief executive to require a harbour master to give a direction under this subdivision.\n(sec.87-ssec.2) Section&#160;86 does not apply to the giving of the direction by a harbour master.\n(sec.87-ssec.3) A request may only be made by the Minister if the Minister is satisfied that exceptional circumstances exist to justify the Minister’s intervention in the public interest.\n(sec.87-ssec.4) If the Minister makes a request under this section, the request must be— notified in the gazette as soon as practicable after it is made; and tabled in the Legislative Assembly within 14 days after it is given.\n- (a) notified in the gazette as soon as practicable after it is made; and\n- (b) tabled in the Legislative Assembly within 14 days after it is given.","sortOrder":132},{"sectionNumber":"sec.87A","sectionType":"section","heading":"Owner of ship lost, abandoned or stranded","content":"### sec.87A Owner of ship lost, abandoned or stranded\n\nThis section applies if—\na ship is lost, abandoned or stranded; and\na harbour master may, or is required to, give a direction under this subdivision to a person about the ship.\nFor this division, the person who was the recorded owner of the ship immediately before the ship was lost, abandoned or stranded is taken to be the owner of the ship and the person to whom the direction may or must be given, unless the contrary is proved.\nWithout limiting subsection&#160;(2) , if a harbour master incurs expense (whether the expense is the harbour master’s expense or the State’s expense) in exercising a power under section&#160;93 in relation to the direction, the person taken to be the owner under subsection&#160;(2) is the person who is liable for the amount of the expense that may, under section&#160;94 , be recovered from the owner of the ship.\nIf, under subsection&#160;(2) , more than 1 person is taken to be the owner of the ship, on the giving of the direction to any of the owners, all of the owners are jointly and severally liable for the amount of the expense mentioned in subsection&#160;(3) .\nIn this section—\nrecorded owner means—\nfor a domestic commercial vessel—the holder of the vessel’s certificate of operation under the national law ; or\nfor another ship—the person in whose name the ship is registered under this Act or a law of another jurisdiction, whether inside or outside Australia.\ns&#160;87A ins 2005 No.&#160;49 s&#160;43\namd 2008 No.&#160;31 s&#160;35 ; 2016 No.&#160;3 s&#160;33\n(sec.87A-ssec.1) This section applies if— a ship is lost, abandoned or stranded; and a harbour master may, or is required to, give a direction under this subdivision to a person about the ship.\n(sec.87A-ssec.2) For this division, the person who was the recorded owner of the ship immediately before the ship was lost, abandoned or stranded is taken to be the owner of the ship and the person to whom the direction may or must be given, unless the contrary is proved.\n(sec.87A-ssec.3) Without limiting subsection&#160;(2) , if a harbour master incurs expense (whether the expense is the harbour master’s expense or the State’s expense) in exercising a power under section&#160;93 in relation to the direction, the person taken to be the owner under subsection&#160;(2) is the person who is liable for the amount of the expense that may, under section&#160;94 , be recovered from the owner of the ship.\n(sec.87A-ssec.4) If, under subsection&#160;(2) , more than 1 person is taken to be the owner of the ship, on the giving of the direction to any of the owners, all of the owners are jointly and severally liable for the amount of the expense mentioned in subsection&#160;(3) .\n(sec.87A-ssec.5) In this section— recorded owner means— for a domestic commercial vessel—the holder of the vessel’s certificate of operation under the national law ; or for another ship—the person in whose name the ship is registered under this Act or a law of another jurisdiction, whether inside or outside Australia.\n- (a) a ship is lost, abandoned or stranded; and\n- (b) a harbour master may, or is required to, give a direction under this subdivision to a person about the ship.\n- (a) for a domestic commercial vessel—the holder of the vessel’s certificate of operation under the national law ; or\n- (b) for another ship—the person in whose name the ship is registered under this Act or a law of another jurisdiction, whether inside or outside Australia.","sortOrder":133},{"sectionNumber":"sec.87B","sectionType":"section","heading":"Direction to master about operation of ship in relation to a marine incident area","content":"### sec.87B Direction to master about operation of ship in relation to a marine incident area\n\nA harbour master may direct the master of a ship to operate the ship in a stated way.\nWithout limiting subsection&#160;(1) , the harbour master may direct the master of a ship in or adjacent to a marine incident area to operate the ship in a stated way, including, for example, in any of the following ways—\nnot to cause the ship to enter the marine incident area;\nto cause the ship to enter the marine incident area in a stated way;\nto navigate the ship in the marine incident area in a stated way;\nto anchor, berth or moor the ship at a stated place in the marine incident area;\nto move the ship from an anchorage, berth or mooring in the marine incident area;\nto cause the ship to leave the marine incident area or to leave the marine incident area in a stated way.\nA person must not contravene a direction under this section, unless the person has a reasonable excuse.\nMaximum penalty for subsection&#160;(3) —200 penalty units.\ns&#160;87B ins 2006 No.&#160;21 s&#160;69\n(sec.87B-ssec.1) A harbour master may direct the master of a ship to operate the ship in a stated way.\n(sec.87B-ssec.2) Without limiting subsection&#160;(1) , the harbour master may direct the master of a ship in or adjacent to a marine incident area to operate the ship in a stated way, including, for example, in any of the following ways— not to cause the ship to enter the marine incident area; to cause the ship to enter the marine incident area in a stated way; to navigate the ship in the marine incident area in a stated way; to anchor, berth or moor the ship at a stated place in the marine incident area; to move the ship from an anchorage, berth or mooring in the marine incident area; to cause the ship to leave the marine incident area or to leave the marine incident area in a stated way.\n(sec.87B-ssec.3) A person must not contravene a direction under this section, unless the person has a reasonable excuse. Maximum penalty for subsection&#160;(3) —200 penalty units.\n- (a) not to cause the ship to enter the marine incident area;\n- (b) to cause the ship to enter the marine incident area in a stated way;\n- (c) to navigate the ship in the marine incident area in a stated way;\n- (d) to anchor, berth or moor the ship at a stated place in the marine incident area;\n- (e) to move the ship from an anchorage, berth or mooring in the marine incident area;\n- (f) to cause the ship to leave the marine incident area or to leave the marine incident area in a stated way.","sortOrder":134},{"sectionNumber":"sec.88","sectionType":"section","heading":"Direction to master about operation of ship in relation to pilotage area","content":"### sec.88 Direction to master about operation of ship in relation to pilotage area\n\nA harbour master may direct the master of a ship to navigate or otherwise operate the ship in relation to a pilotage area in a specified way, including, for example—\nnot to cause the ship to enter the pilotage area; or\nto cause the ship to enter the pilotage area in a specified way; or\nto navigate the ship in the pilotage area in a specified way; or\nto anchor, berth or moor the ship at a specified place in, or adjacent to, the pilotage area; or\nto move the ship from an anchorage, berth or mooring in the pilotage area; or\nto cause the ship to leave the pilotage area or to leave the pilotage area in a specified way.\nA person must not contravene a direction under subsection&#160;(1) , unless the person has a reasonable excuse for the contravention.\nMaximum penalty for subsection&#160;(2) —200 penalty units.\ns&#160;88 amd 2006 No.&#160;21 s&#160;70 ; 2009 No.&#160;47 s&#160;17\n(sec.88-ssec.1) A harbour master may direct the master of a ship to navigate or otherwise operate the ship in relation to a pilotage area in a specified way, including, for example— not to cause the ship to enter the pilotage area; or to cause the ship to enter the pilotage area in a specified way; or to navigate the ship in the pilotage area in a specified way; or to anchor, berth or moor the ship at a specified place in, or adjacent to, the pilotage area; or to move the ship from an anchorage, berth or mooring in the pilotage area; or to cause the ship to leave the pilotage area or to leave the pilotage area in a specified way.\n(sec.88-ssec.2) A person must not contravene a direction under subsection&#160;(1) , unless the person has a reasonable excuse for the contravention. Maximum penalty for subsection&#160;(2) —200 penalty units.\n- (a) not to cause the ship to enter the pilotage area; or\n- (b) to cause the ship to enter the pilotage area in a specified way; or\n- (c) to navigate the ship in the pilotage area in a specified way; or\n- (d) to anchor, berth or moor the ship at a specified place in, or adjacent to, the pilotage area; or\n- (e) to move the ship from an anchorage, berth or mooring in the pilotage area; or\n- (f) to cause the ship to leave the pilotage area or to leave the pilotage area in a specified way.","sortOrder":135},{"sectionNumber":"sec.88A","sectionType":"section","heading":"Direction to managing pilotage entity about pilotage services","content":"### sec.88A Direction to managing pilotage entity about pilotage services\n\nA harbour master may direct a managing pilotage entity for a compulsory pilotage area to provide, or arrange for the provision of, pilotage services in the pilotage area in a specified way.\nThe managing pilotage entity must not contravene a direction under subsection&#160;(1) , unless the managing pilotage entity has a reasonable excuse for the contravention.\nMaximum penalty for subsection&#160;(2) —200 penalty units.\ns&#160;88A ins 2013 No.&#160;40 s&#160;20\n(sec.88A-ssec.1) A harbour master may direct a managing pilotage entity for a compulsory pilotage area to provide, or arrange for the provision of, pilotage services in the pilotage area in a specified way.\n(sec.88A-ssec.2) The managing pilotage entity must not contravene a direction under subsection&#160;(1) , unless the managing pilotage entity has a reasonable excuse for the contravention. Maximum penalty for subsection&#160;(2) —200 penalty units.","sortOrder":136},{"sectionNumber":"sec.89","sectionType":"section","heading":"Direction to person in charge of a place","content":"### sec.89 Direction to person in charge of a place\n\nA harbour master may direct the person in charge of a place in, or adjacent to, a marine incident area or pilotage area—\nto allow a ship to be berthed at the place or moved from the place; or\nto allow access through the place to and from the ship.\nA person must comply with a direction under subsection&#160;(1) , unless the person has a reasonable excuse for not complying with it.\nMaximum penalty for subsection&#160;(2) —200 penalty units.\ns&#160;89 amd 2006 No.&#160;21 s&#160;71\n(sec.89-ssec.1) A harbour master may direct the person in charge of a place in, or adjacent to, a marine incident area or pilotage area— to allow a ship to be berthed at the place or moved from the place; or to allow access through the place to and from the ship.\n(sec.89-ssec.2) A person must comply with a direction under subsection&#160;(1) , unless the person has a reasonable excuse for not complying with it. Maximum penalty for subsection&#160;(2) —200 penalty units.\n- (a) to allow a ship to be berthed at the place or moved from the place; or\n- (b) to allow access through the place to and from the ship.","sortOrder":137},{"sectionNumber":"sec.90","sectionType":"section","heading":"Direction to person carrying out works","content":"### sec.90 Direction to person carrying out works\n\nA harbour master may direct a person who is carrying out construction work in or near a marine incident area or pilotage area to light or mark the works in a specified way.\nThe direction may specify when the action is to be taken.\nA person must comply with a direction under subsection&#160;(1) , unless the person has a reasonable excuse for not complying with it.\nMaximum penalty for subsection&#160;(3) —200 penalty units.\ns&#160;90 amd 2006 No.&#160;21 s&#160;72\n(sec.90-ssec.1) A harbour master may direct a person who is carrying out construction work in or near a marine incident area or pilotage area to light or mark the works in a specified way.\n(sec.90-ssec.2) The direction may specify when the action is to be taken.\n(sec.90-ssec.3) A person must comply with a direction under subsection&#160;(1) , unless the person has a reasonable excuse for not complying with it. Maximum penalty for subsection&#160;(3) —200 penalty units.","sortOrder":138},{"sectionNumber":"sec.91","sectionType":"section","heading":"Direction to person about obstruction","content":"### sec.91 Direction to person about obstruction\n\nA harbour master may direct a person responsible for something that is obstructing, or may obstruct, navigation to remove it.\nThe direction may specify how, when and to where the thing must be moved.\nA person must comply with a direction under subsection&#160;(1) , unless the person has a reasonable excuse for not complying with it.\nMaximum penalty for subsection&#160;(3) —200 penalty units.\ns&#160;91 amd 2006 No.&#160;21 s&#160;73\n(sec.91-ssec.1) A harbour master may direct a person responsible for something that is obstructing, or may obstruct, navigation to remove it.\n(sec.91-ssec.2) The direction may specify how, when and to where the thing must be moved.\n(sec.91-ssec.3) A person must comply with a direction under subsection&#160;(1) , unless the person has a reasonable excuse for not complying with it. Maximum penalty for subsection&#160;(3) —200 penalty units.","sortOrder":139},{"sectionNumber":"sec.92","sectionType":"section","heading":"Direction to person to put out certain lights etc.","content":"### sec.92 Direction to person to put out certain lights etc.\n\nThis section applies if a harbour master reasonably believes a light, sign, signal, electrical or radio installation or equipment or anything else (a source of interference )—\nmay be or has been mistaken for, may interfere or is interfering with, or may otherwise affect or is otherwise affecting the proper operation of, an aid to navigation; or\nmay otherwise affect the safe operation of ships.\nThe harbour master may direct the following persons to put out, remove or screen the source of interference, or to take other specified action in relation to the source of interference—\nthe owner or occupier of the place where the source of interference is situated;\nthe person the harbour master reasonably believes owns or is responsible for the source of interference.\nThe direction may specify how and when the action is to be taken.\nA person must comply with a direction under subsection&#160;(2) , unless the person has a reasonable excuse for not complying with it.\nMaximum penalty for subsection&#160;(4) —200 penalty units.\ns&#160;92 amd 2006 No.&#160;21 s&#160;74\n(sec.92-ssec.1) This section applies if a harbour master reasonably believes a light, sign, signal, electrical or radio installation or equipment or anything else (a source of interference )— may be or has been mistaken for, may interfere or is interfering with, or may otherwise affect or is otherwise affecting the proper operation of, an aid to navigation; or may otherwise affect the safe operation of ships.\n(sec.92-ssec.2) The harbour master may direct the following persons to put out, remove or screen the source of interference, or to take other specified action in relation to the source of interference— the owner or occupier of the place where the source of interference is situated; the person the harbour master reasonably believes owns or is responsible for the source of interference.\n(sec.92-ssec.3) The direction may specify how and when the action is to be taken.\n(sec.92-ssec.4) A person must comply with a direction under subsection&#160;(2) , unless the person has a reasonable excuse for not complying with it. Maximum penalty for subsection&#160;(4) —200 penalty units.\n- (a) may be or has been mistaken for, may interfere or is interfering with, or may otherwise affect or is otherwise affecting the proper operation of, an aid to navigation; or\n- (b) may otherwise affect the safe operation of ships.\n- (a) the owner or occupier of the place where the source of interference is situated;\n- (b) the person the harbour master reasonably believes owns or is responsible for the source of interference.","sortOrder":140},{"sectionNumber":"sec.93","sectionType":"section","heading":"Harbour master may carry out direction","content":"### sec.93 Harbour master may carry out direction\n\nThis section applies if—\na person has contravened a direction under subdivision&#160;1 that the person must comply with; or\na harbour master reasonably believes there is no-one to whom a proposed direction under subdivision&#160;1 may be given and, because of urgent circumstances, the harbour master must act under this section.\nThe harbour master may, to the extent necessary to ensure safety as mentioned in section&#160;86 (1) , carry out the direction or proposed direction.\nWithout limiting subsection&#160;(2) , the harbour master may—\nboard a ship and operate it, including, for example, by moving or navigating it; or\nenter or remain in a place in, or adjacent to, a marine incident area or pilotage area in order to board a ship and anchor, berth, moor or move it; or\nlight or mark construction works; or\nremove a thing that is obstructing, or may obstruct, navigation; or\nput out, remove or screen, or take other action in relation to, a source of interference.\nIf the harbour master attaches the ship (the first ship ) to another ship or a buoy, wharf or pile, this Act does not prevent the owner or master of the other ship, or the owner of the buoy, wharf or pile, from recovering damages for injury or loss suffered, because of the attachment, from the owner or master of the first ship.\ns&#160;93 sub 2006 No.&#160;21 s&#160;75\n(sec.93-ssec.1) This section applies if— a person has contravened a direction under subdivision&#160;1 that the person must comply with; or a harbour master reasonably believes there is no-one to whom a proposed direction under subdivision&#160;1 may be given and, because of urgent circumstances, the harbour master must act under this section.\n(sec.93-ssec.2) The harbour master may, to the extent necessary to ensure safety as mentioned in section&#160;86 (1) , carry out the direction or proposed direction.\n(sec.93-ssec.3) Without limiting subsection&#160;(2) , the harbour master may— board a ship and operate it, including, for example, by moving or navigating it; or enter or remain in a place in, or adjacent to, a marine incident area or pilotage area in order to board a ship and anchor, berth, moor or move it; or light or mark construction works; or remove a thing that is obstructing, or may obstruct, navigation; or put out, remove or screen, or take other action in relation to, a source of interference.\n(sec.93-ssec.4) If the harbour master attaches the ship (the first ship ) to another ship or a buoy, wharf or pile, this Act does not prevent the owner or master of the other ship, or the owner of the buoy, wharf or pile, from recovering damages for injury or loss suffered, because of the attachment, from the owner or master of the first ship.\n- (a) a person has contravened a direction under subdivision&#160;1 that the person must comply with; or\n- (b) a harbour master reasonably believes there is no-one to whom a proposed direction under subdivision&#160;1 may be given and, because of urgent circumstances, the harbour master must act under this section.\n- (a) board a ship and operate it, including, for example, by moving or navigating it; or\n- (b) enter or remain in a place in, or adjacent to, a marine incident area or pilotage area in order to board a ship and anchor, berth, moor or move it; or\n- (c) light or mark construction works; or\n- (d) remove a thing that is obstructing, or may obstruct, navigation; or\n- (e) put out, remove or screen, or take other action in relation to, a source of interference.","sortOrder":141},{"sectionNumber":"sec.94","sectionType":"section","heading":"Recovery by State of expenses of carrying out direction","content":"### sec.94 Recovery by State of expenses of carrying out direction\n\nThis section applies if a harbour master incurs expense (whether the expense is the harbour master’s expense or the State’s expense) in exercising a power under section&#160;93 .\nThe amount of the expense may be recovered as a debt by the State by action in a court of competent jurisdiction from the persons liable for the expense.\nThe following persons are liable for the expense—\nif a direction was given to a person under section&#160;87B , 89 , 90 , 91 or 92 and the person did not comply with the direction—the person;\nif a direction under section&#160;87B , 89 , 90 , 91 or 92 could have been given to a person but was not given for the reasons mentioned in section&#160;93 (1) (b) —the person;\nif a direction under section&#160;88 was given to the master of a ship and the master did not comply with the direction—the master and the owner of the ship;\nUnder section&#160;86A (8) a direction given to the person in control of a ship is taken to have been given to the ship’s master.\nif a direction under section&#160;88 could have been given to the master of a ship but was not given for the reasons mentioned in section&#160;93 (1) (b) —the master and the owner of the ship.\nIf, under subsection&#160;(3) , more than 1 person is liable for the same expense, the persons who are liable for the expense are jointly and severally liable.\nIn this section—\ndirection means—\na direction given under subdivision&#160;1 that, under the subdivision, a person must comply with; or\na direction that could have been given under subdivision&#160;1 and, if it had been given under the subdivision, a person would have been required to comply with.\ns&#160;94 amd 1995 No.&#160;9 s&#160;92 sch&#160;1 ; 2006 No.&#160;21 s&#160;76\n(sec.94-ssec.1) This section applies if a harbour master incurs expense (whether the expense is the harbour master’s expense or the State’s expense) in exercising a power under section&#160;93 .\n(sec.94-ssec.2) The amount of the expense may be recovered as a debt by the State by action in a court of competent jurisdiction from the persons liable for the expense.\n(sec.94-ssec.3) The following persons are liable for the expense— if a direction was given to a person under section&#160;87B , 89 , 90 , 91 or 92 and the person did not comply with the direction—the person; if a direction under section&#160;87B , 89 , 90 , 91 or 92 could have been given to a person but was not given for the reasons mentioned in section&#160;93 (1) (b) —the person; if a direction under section&#160;88 was given to the master of a ship and the master did not comply with the direction—the master and the owner of the ship; Under section&#160;86A (8) a direction given to the person in control of a ship is taken to have been given to the ship’s master. if a direction under section&#160;88 could have been given to the master of a ship but was not given for the reasons mentioned in section&#160;93 (1) (b) —the master and the owner of the ship.\n(sec.94-ssec.4) If, under subsection&#160;(3) , more than 1 person is liable for the same expense, the persons who are liable for the expense are jointly and severally liable.\n(sec.94-ssec.5) In this section— direction means— a direction given under subdivision&#160;1 that, under the subdivision, a person must comply with; or a direction that could have been given under subdivision&#160;1 and, if it had been given under the subdivision, a person would have been required to comply with.\n- (a) if a direction was given to a person under section&#160;87B , 89 , 90 , 91 or 92 and the person did not comply with the direction—the person;\n- (b) if a direction under section&#160;87B , 89 , 90 , 91 or 92 could have been given to a person but was not given for the reasons mentioned in section&#160;93 (1) (b) —the person;\n- (c) if a direction under section&#160;88 was given to the master of a ship and the master did not comply with the direction—the master and the owner of the ship; Note for paragraph&#160;(c) — Under section&#160;86A (8) a direction given to the person in control of a ship is taken to have been given to the ship’s master.\n- (d) if a direction under section&#160;88 could have been given to the master of a ship but was not given for the reasons mentioned in section&#160;93 (1) (b) —the master and the owner of the ship.\n- (a) a direction given under subdivision&#160;1 that, under the subdivision, a person must comply with; or\n- (b) a direction that could have been given under subdivision&#160;1 and, if it had been given under the subdivision, a person would have been required to comply with.","sortOrder":142},{"sectionNumber":"sec.95","sectionType":"section","heading":"Temporary closure of pilotage area by harbour master","content":"### sec.95 Temporary closure of pilotage area by harbour master\n\nA harbour master may close a pilotage area or a part of a pilotage area if the harbour master is satisfied that the closure is required for a limited period to ensure safety.\nThe harbour master must take the steps necessary to ensure that ships that may be affected by the closure are aware of it.\nThe harbour master must revoke the closure when the harbour master ceases to be satisfied that the closure is still required to ensure safety.\nHowever, the closure ends 14 days after the closure is made if it is not earlier revoked.\nWhen the closure ends, the harbour master must immediately take the steps necessary to ensure that ships that may be affected by the closure are aware of the ending of the closure.\ns&#160;95 amd 2005 No.&#160;49 s&#160;44\n(sec.95-ssec.1) A harbour master may close a pilotage area or a part of a pilotage area if the harbour master is satisfied that the closure is required for a limited period to ensure safety.\n(sec.95-ssec.2) The harbour master must take the steps necessary to ensure that ships that may be affected by the closure are aware of it.\n(sec.95-ssec.3) The harbour master must revoke the closure when the harbour master ceases to be satisfied that the closure is still required to ensure safety.\n(sec.95-ssec.4) However, the closure ends 14 days after the closure is made if it is not earlier revoked.\n(sec.95-ssec.5) When the closure ends, the harbour master must immediately take the steps necessary to ensure that ships that may be affected by the closure are aware of the ending of the closure.","sortOrder":143},{"sectionNumber":"sec.96","sectionType":"section","heading":"Harbour master may permit ship navigation in closed pilotage area","content":"### sec.96 Harbour master may permit ship navigation in closed pilotage area\n\nIf a pilotage area or part of a pilotage area is closed by a harbour master, a harbour master may permit a person to—\ncause a ship to enter, leave or navigate in the pilotage area or part; or\nanchor, berth or moor a ship in the pilotage area or part.\nIf it is not practicable for the harbour master to give written permission under subsection&#160;(1) , the harbour master must make a written note of the permission and its details.\n(sec.96-ssec.1) If a pilotage area or part of a pilotage area is closed by a harbour master, a harbour master may permit a person to— cause a ship to enter, leave or navigate in the pilotage area or part; or anchor, berth or moor a ship in the pilotage area or part.\n(sec.96-ssec.2) If it is not practicable for the harbour master to give written permission under subsection&#160;(1) , the harbour master must make a written note of the permission and its details.\n- (a) cause a ship to enter, leave or navigate in the pilotage area or part; or\n- (b) anchor, berth or moor a ship in the pilotage area or part.","sortOrder":144},{"sectionNumber":"sec.97","sectionType":"section","heading":"Failure to comply with closure of pilotage area by harbour master","content":"### sec.97 Failure to comply with closure of pilotage area by harbour master\n\nThis section applies if a harbour master closes the area or part of a pilotage area.\nA person must not, without a harbour master’s permission—\ncause a ship to enter, leave or navigate in the pilotage area or part, unless the person has a reasonable excuse; or\nanchor, berth or moor a ship in the pilotage area or part, unless the person has a reasonable excuse.\nMaximum penalty for subsection&#160;(2) —200 penalty units.\n(sec.97-ssec.1) This section applies if a harbour master closes the area or part of a pilotage area.\n(sec.97-ssec.2) A person must not, without a harbour master’s permission— cause a ship to enter, leave or navigate in the pilotage area or part, unless the person has a reasonable excuse; or anchor, berth or moor a ship in the pilotage area or part, unless the person has a reasonable excuse. Maximum penalty for subsection&#160;(2) —200 penalty units.\n- (a) cause a ship to enter, leave or navigate in the pilotage area or part, unless the person has a reasonable excuse; or\n- (b) anchor, berth or moor a ship in the pilotage area or part, unless the person has a reasonable excuse.","sortOrder":145},{"sectionNumber":"pt.8","sectionType":"part","heading":"Pilots","content":"# Pilots","sortOrder":146},{"sectionNumber":"sec.98","sectionType":"section","heading":"Application of part","content":"### sec.98 Application of part\n\nThis part applies only to ships declared by regulation to be ships to which the part applies.","sortOrder":147},{"sectionNumber":"sec.99","sectionType":"section","heading":"Pilots required for ship navigation in compulsory pilotage area","content":"### sec.99 Pilots required for ship navigation in compulsory pilotage area\n\nA person must not navigate a ship in a compulsory pilotage area unless the person uses the services of a pilot.\nMaximum penalty—200 penalty units.\ns&#160;99 amd 2001 No.&#160;36 s&#160;11 ; 2001 No.&#160;79 s&#160;72","sortOrder":148},{"sectionNumber":"sec.100","sectionType":"section","heading":"Regulations about pilotage","content":"### sec.100 Regulations about pilotage\n\nA regulation may provide for the duties of—\na ship’s owner and master to arrange for pilotage; and\na ship’s master to ensure the safety of a pilot when the pilot is boarding, leaving or on board the ship; and\na ship’s master to enable the pilot to discharge the pilot’s duties; and\na pilot of a ship to ensure the safety of the ship in the pilotage area, whether the use of the pilot is required or voluntary; and\na pilot’s employer—\nto equip the pilot; and\nto develop and maintain the skills needed by the pilot to discharge the pilot’s duties; and\na master exempted from pilotage under a regulation.\n- (a) a ship’s owner and master to arrange for pilotage; and\n- (b) a ship’s master to ensure the safety of a pilot when the pilot is boarding, leaving or on board the ship; and\n- (c) a ship’s master to enable the pilot to discharge the pilot’s duties; and\n- (d) a pilot of a ship to ensure the safety of the ship in the pilotage area, whether the use of the pilot is required or voluntary; and\n- (e) a pilot’s employer— (i) to equip the pilot; and (ii) to develop and maintain the skills needed by the pilot to discharge the pilot’s duties; and\n- (i) to equip the pilot; and\n- (ii) to develop and maintain the skills needed by the pilot to discharge the pilot’s duties; and\n- (f) a master exempted from pilotage under a regulation.\n- (i) to equip the pilot; and\n- (ii) to develop and maintain the skills needed by the pilot to discharge the pilot’s duties; and","sortOrder":149},{"sectionNumber":"sec.101","sectionType":"section","heading":"Immunity for pilots and general employers","content":"### sec.101 Immunity for pilots and general employers\n\nA conducting pilot is not civilly liable for damage or loss caused by an act or omission of the conducting pilot.\nA supervising pilot is not civilly liable for damage or loss caused by an act or omission of the conducting pilot or the supervising pilot.\nThe general employer of a conducting pilot or supervising pilot is not civilly liable for damage or loss caused by an act or omission of the conducting pilot or supervising pilot.\nSubsections&#160;(1) to (3) do not affect—\nany liability of a conducting pilot or supervising pilot’s general employer for not appointing a qualified and competent person as a pilot; and\nany liability of a ship’s master and owner.\nIn this section—\nconducting pilot means a pilot who has the conduct of a ship as its pilot.\ngeneral employer , of a conducting pilot or supervising pilot, means—\nthe responsible pilotage entity for the compulsory pilotage area in which the pilot is acting to supply pilotage services; or\nif the responsible pilotage entity for a compulsory pilotage area has entered into a written agreement with another entity for the other entity to supply pilotage services in the pilotage area and the pilot is acting in the supply of the services—each party to the agreement.\nsupervising pilot means a person who is licensed under a regulation as a pilot and who is on board a ship to train a conducting pilot or assess a conducting pilot’s competence as a pilot.\ns&#160;101 sub 2001 No.&#160;36 s&#160;12\namd 2001 No.&#160;79 s&#160;73 ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2013 No.&#160;40 s&#160;21\n(sec.101-ssec.1) A conducting pilot is not civilly liable for damage or loss caused by an act or omission of the conducting pilot.\n(sec.101-ssec.2) A supervising pilot is not civilly liable for damage or loss caused by an act or omission of the conducting pilot or the supervising pilot.\n(sec.101-ssec.3) The general employer of a conducting pilot or supervising pilot is not civilly liable for damage or loss caused by an act or omission of the conducting pilot or supervising pilot.\n(sec.101-ssec.4) Subsections&#160;(1) to (3) do not affect— any liability of a conducting pilot or supervising pilot’s general employer for not appointing a qualified and competent person as a pilot; and any liability of a ship’s master and owner.\n(sec.101-ssec.5) In this section— conducting pilot means a pilot who has the conduct of a ship as its pilot. general employer , of a conducting pilot or supervising pilot, means— the responsible pilotage entity for the compulsory pilotage area in which the pilot is acting to supply pilotage services; or if the responsible pilotage entity for a compulsory pilotage area has entered into a written agreement with another entity for the other entity to supply pilotage services in the pilotage area and the pilot is acting in the supply of the services—each party to the agreement. supervising pilot means a person who is licensed under a regulation as a pilot and who is on board a ship to train a conducting pilot or assess a conducting pilot’s competence as a pilot.\n- (a) any liability of a conducting pilot or supervising pilot’s general employer for not appointing a qualified and competent person as a pilot; and\n- (b) any liability of a ship’s master and owner.\n- (a) the responsible pilotage entity for the compulsory pilotage area in which the pilot is acting to supply pilotage services; or\n- (b) if the responsible pilotage entity for a compulsory pilotage area has entered into a written agreement with another entity for the other entity to supply pilotage services in the pilotage area and the pilot is acting in the supply of the services—each party to the agreement.","sortOrder":150},{"sectionNumber":"sec.102","sectionType":"section","heading":"Liability of owner or master of ship under pilotage","content":"### sec.102 Liability of owner or master of ship under pilotage\n\nThe pilot who has the conduct of a ship is subject to the master’s authority.\nThe master of a ship is not relieved from responsibility for the ship’s operation merely because the ship is under pilotage.\nThe owner and master of a ship being navigated by a pilot because the pilotage is compulsory under this Act or another Act is liable for loss or damage caused by the ship, or by a fault of the navigation of the ship, as if the pilotage were not compulsory.\n(sec.102-ssec.1) The pilot who has the conduct of a ship is subject to the master’s authority.\n(sec.102-ssec.2) The master of a ship is not relieved from responsibility for the ship’s operation merely because the ship is under pilotage.\n(sec.102-ssec.3) The owner and master of a ship being navigated by a pilot because the pilotage is compulsory under this Act or another Act is liable for loss or damage caused by the ship, or by a fault of the navigation of the ship, as if the pilotage were not compulsory.","sortOrder":151},{"sectionNumber":"sec.102A","sectionType":"section","heading":"Restriction on conduct of ship by pilot","content":"### sec.102A Restriction on conduct of ship by pilot\n\nA pilot must not have the conduct of a ship as its pilot in a compulsory pilotage area unless the pilot—\nis an employee of the responsible pilotage entity for the compulsory pilotage area; or\nis acting in the supply of pilotage services the subject of a written agreement between—\nthe responsible pilotage entity for the compulsory pilotage area; and\nthe pilot or another entity.\nMaximum penalty—40 penalty units.\nDespite subsection&#160;(1) , a pilot may have the conduct of a ship as its pilot in a compulsory pilotage area if another pilot (the supervisor ) is training the pilot, or assessing the pilot’s competence, and the supervisor—\nis an employee of the responsible pilotage entity for the compulsory pilotage area; or\nis acting in the supply of pilotage services the subject of a written agreement between—\nthe responsible pilotage entity for the compulsory pilotage area; and\nthe supervisor or another entity.\nSubsections&#160;(1) and (2) do not limit section&#160;61C .\ns&#160;102A ins 2001 No.&#160;36 s&#160;13\namd 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2013 No.&#160;40 s&#160;22 ; 2016 No.&#160;3 s&#160;76 sch&#160;1\n(sec.102A-ssec.1) A pilot must not have the conduct of a ship as its pilot in a compulsory pilotage area unless the pilot— is an employee of the responsible pilotage entity for the compulsory pilotage area; or is acting in the supply of pilotage services the subject of a written agreement between— the responsible pilotage entity for the compulsory pilotage area; and the pilot or another entity. Maximum penalty—40 penalty units.\n(sec.102A-ssec.2) Despite subsection&#160;(1) , a pilot may have the conduct of a ship as its pilot in a compulsory pilotage area if another pilot (the supervisor ) is training the pilot, or assessing the pilot’s competence, and the supervisor— is an employee of the responsible pilotage entity for the compulsory pilotage area; or is acting in the supply of pilotage services the subject of a written agreement between— the responsible pilotage entity for the compulsory pilotage area; and the supervisor or another entity.\n(sec.102A-ssec.3) Subsections&#160;(1) and (2) do not limit section&#160;61C .\n- (a) is an employee of the responsible pilotage entity for the compulsory pilotage area; or\n- (b) is acting in the supply of pilotage services the subject of a written agreement between— (i) the responsible pilotage entity for the compulsory pilotage area; and (ii) the pilot or another entity.\n- (i) the responsible pilotage entity for the compulsory pilotage area; and\n- (ii) the pilot or another entity.\n- (i) the responsible pilotage entity for the compulsory pilotage area; and\n- (ii) the pilot or another entity.\n- (a) is an employee of the responsible pilotage entity for the compulsory pilotage area; or\n- (b) is acting in the supply of pilotage services the subject of a written agreement between— (i) the responsible pilotage entity for the compulsory pilotage area; and (ii) the supervisor or another entity.\n- (i) the responsible pilotage entity for the compulsory pilotage area; and\n- (ii) the supervisor or another entity.\n- (i) the responsible pilotage entity for the compulsory pilotage area; and\n- (ii) the supervisor or another entity.","sortOrder":152},{"sectionNumber":"sec.103","sectionType":"section","heading":"Offence of impersonating a pilot","content":"### sec.103 Offence of impersonating a pilot\n\nA person must not pretend to be a pilot.\nMaximum penalty—40 penalty units.","sortOrder":153},{"sectionNumber":"pt.9","sectionType":"part","heading":"Aids to navigation","content":"# Aids to navigation","sortOrder":154},{"sectionNumber":"sec.104","sectionType":"section","heading":"Meaning of aid to navigation","content":"### sec.104 Meaning of aid to navigation\n\nAn aid to navigation is a device designed to be used for navigation or the guidance of mariners, including a device to help in—\nfixing a ship’s position; or\ndeciding a safe course for a ship; or\nwarning a ship of dangers or obstructions.\nbeacon, buoy, light, lighthouse, marine mark, radio aid or signal\nAn aid to navigation includes any structure or equipment ancillary to the aid to navigation.\nthe battery house providing a lighthouse with power\nlifesaving equipment that is part of an aid to navigation\nHowever, an aid to navigation does not include a device on board a ship.\n(sec.104-ssec.1) An aid to navigation is a device designed to be used for navigation or the guidance of mariners, including a device to help in— fixing a ship’s position; or deciding a safe course for a ship; or warning a ship of dangers or obstructions. beacon, buoy, light, lighthouse, marine mark, radio aid or signal\n(sec.104-ssec.2) An aid to navigation includes any structure or equipment ancillary to the aid to navigation. the battery house providing a lighthouse with power lifesaving equipment that is part of an aid to navigation\n(sec.104-ssec.3) However, an aid to navigation does not include a device on board a ship.\n- (a) fixing a ship’s position; or\n- (b) deciding a safe course for a ship; or\n- (c) warning a ship of dangers or obstructions.\n- 1 the battery house providing a lighthouse with power\n- 2 lifesaving equipment that is part of an aid to navigation","sortOrder":155},{"sectionNumber":"sec.105","sectionType":"section","heading":"General manager may set up aid to navigation","content":"### sec.105 General manager may set up aid to navigation\n\nThe general manager may set up an aid to navigation—\nin or near a pilotage area; and\nin any other place where the general manager considers the aid to navigation is desirable to ensure the safety of people or ships or other property.\nThe general manager may enter into agreements for setting up an aid to navigation.\nThis section does not limit other powers that the general manager has to set up aids to navigation.\ns&#160;105 amd 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.105-ssec.1) The general manager may set up an aid to navigation— in or near a pilotage area; and in any other place where the general manager considers the aid to navigation is desirable to ensure the safety of people or ships or other property.\n(sec.105-ssec.2) The general manager may enter into agreements for setting up an aid to navigation.\n(sec.105-ssec.3) This section does not limit other powers that the general manager has to set up aids to navigation.\n- (a) in or near a pilotage area; and\n- (b) in any other place where the general manager considers the aid to navigation is desirable to ensure the safety of people or ships or other property.","sortOrder":156},{"sectionNumber":"sec.105A","sectionType":"section","heading":"Gold Coast Waterways Authority may set up aid to navigation","content":"### sec.105A Gold Coast Waterways Authority may set up aid to navigation\n\nWithout limiting section&#160;105 , the Gold Coast Waterways Authority may set up an aid to navigation in Gold Coast waters—\nin or near a pilotage area; and\nin any other place where the authority considers the aid to navigation is desirable to ensure the safety of people or ships or other property.\nThe Gold Coast Waterways Authority may enter into agreements for setting up an aid to navigation.\nThis section does not limit other powers that the Gold Coast Waterways Authority has to set up aids to navigation.\ns&#160;105A ins 2012 No.&#160;38 s&#160;124\n(sec.105A-ssec.1) Without limiting section&#160;105 , the Gold Coast Waterways Authority may set up an aid to navigation in Gold Coast waters— in or near a pilotage area; and in any other place where the authority considers the aid to navigation is desirable to ensure the safety of people or ships or other property.\n(sec.105A-ssec.2) The Gold Coast Waterways Authority may enter into agreements for setting up an aid to navigation.\n(sec.105A-ssec.3) This section does not limit other powers that the Gold Coast Waterways Authority has to set up aids to navigation.\n- (a) in or near a pilotage area; and\n- (b) in any other place where the authority considers the aid to navigation is desirable to ensure the safety of people or ships or other property.","sortOrder":157},{"sectionNumber":"sec.106","sectionType":"section","heading":"Unlawful interference with an aid to navigation","content":"### sec.106 Unlawful interference with an aid to navigation\n\nA person must not unlawfully interfere with an aid to navigation.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nHowever, if—\nthe interference with the aid causes a marine incident; and\nthe marine incident involves the death of, or grievous bodily harm to, a person;\nthe person commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\nA person unlawfully interferes with an aid to navigation if the person wilfully, and without authority, justification or excuse, detrimentally interferes with the effective or efficient operation of the aid.\nA person removes, alters, damages or disturbs the aid.\nA person obstructs the operation of the aid.\n(sec.106-ssec.1) A person must not unlawfully interfere with an aid to navigation. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.106-ssec.2) However, if— the interference with the aid causes a marine incident; and the marine incident involves the death of, or grievous bodily harm to, a person; the person commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n(sec.106-ssec.3) A person unlawfully interferes with an aid to navigation if the person wilfully, and without authority, justification or excuse, detrimentally interferes with the effective or efficient operation of the aid. A person removes, alters, damages or disturbs the aid. A person obstructs the operation of the aid.\n- (a) the interference with the aid causes a marine incident; and\n- (b) the marine incident involves the death of, or grievous bodily harm to, a person;\n- 1 A person removes, alters, damages or disturbs the aid.\n- 2 A person obstructs the operation of the aid.","sortOrder":158},{"sectionNumber":"sec.107","sectionType":"section","heading":"Trespassing on aid to navigation","content":"### sec.107 Trespassing on aid to navigation\n\nA person must not—\nmoor a ship to an aid to navigation or climb the aid, unless the person has a reasonable excuse for mooring the ship or climbing the aid; or\nif the aid to navigation is a lighthouse—enter the lighthouse or any enclosed area around the lighthouse, unless the person has a reasonable excuse for entering the lighthouse or area.\nMaximum penalty—40 penalty units.\n- (a) moor a ship to an aid to navigation or climb the aid, unless the person has a reasonable excuse for mooring the ship or climbing the aid; or\n- (b) if the aid to navigation is a lighthouse—enter the lighthouse or any enclosed area around the lighthouse, unless the person has a reasonable excuse for entering the lighthouse or area.","sortOrder":159},{"sectionNumber":"sec.107A","sectionType":"section","heading":"Damage to an aid to navigation","content":"### sec.107A Damage to an aid to navigation\n\nThis section applies if a ship damages or destroys an aid to navigation.\nThe master and the owner of the ship are jointly and severally liable for the expense of repairing or reinstating the aid to navigation.\nThe amount of the expense may be recovered as a debt by the State by action in a court of competent jurisdiction from the master and the owner of the ship.\ns&#160;107A ins 2002 No.&#160;15 s&#160;43\n(sec.107A-ssec.1) This section applies if a ship damages or destroys an aid to navigation.\n(sec.107A-ssec.2) The master and the owner of the ship are jointly and severally liable for the expense of repairing or reinstating the aid to navigation.\n(sec.107A-ssec.3) The amount of the expense may be recovered as a debt by the State by action in a court of competent jurisdiction from the master and the owner of the ship.","sortOrder":160},{"sectionNumber":"pt.10","sectionType":"part","heading":"MARINE BOARD","content":"# MARINE BOARD","sortOrder":161},{"sectionNumber":"pt.10-div.1","sectionType":"division","heading":"The board","content":"## The board","sortOrder":162},{"sectionNumber":"sec.108","sectionType":"section","heading":"Establishment of board","content":"### sec.108 Establishment of board\n\ns&#160;108 sub 1996 No.&#160;63 s&#160;14\nom 2010 No.&#160;19 s&#160;244","sortOrder":163},{"sectionNumber":"sec.109","sectionType":"section","heading":"Functions of board","content":"### sec.109 Functions of board\n\ns&#160;109 sub 1996 No.&#160;63 s&#160;14\namd 2002 No.&#160;29 s&#160;16 sch&#160;1\nom 2010 No.&#160;19 s&#160;244","sortOrder":164},{"sectionNumber":"sec.110","sectionType":"section","heading":"Composition","content":"### sec.110 Composition\n\ns&#160;110 sub 1996 No.&#160;63 s&#160;14\namd 1997 No.&#160;66 s&#160;58\nom 2010 No.&#160;19 s&#160;244","sortOrder":165},{"sectionNumber":"pt.10-div.2","sectionType":"division","heading":"Meetings of board","content":"## Meetings of board","sortOrder":166},{"sectionNumber":"sec.111","sectionType":"section","heading":"Time and place of meetings","content":"### sec.111 Time and place of meetings\n\ns&#160;111 sub 1996 No.&#160;63 s&#160;14\nom 2010 No.&#160;19 s&#160;244","sortOrder":167},{"sectionNumber":"sec.112","sectionType":"section","heading":"Presiding at meetings","content":"### sec.112 Presiding at meetings\n\ns&#160;112 sub 1996 No.&#160;63 s&#160;14\nom 2010 No.&#160;19 s&#160;244","sortOrder":168},{"sectionNumber":"sec.113","sectionType":"section","heading":"Quorum","content":"### sec.113 Quorum\n\ns&#160;113 sub 1996 No.&#160;63 s&#160;14\nom 2010 No.&#160;19 s&#160;244","sortOrder":169},{"sectionNumber":"sec.113A","sectionType":"section","heading":"Voting","content":"### sec.113A Voting\n\ns&#160;113A ins 1997 No.&#160;66 s&#160;59\nom 2010 No.&#160;19 s&#160;244","sortOrder":170},{"sectionNumber":"sec.114","sectionType":"section","heading":"Conduct of meetings","content":"### sec.114 Conduct of meetings\n\ns&#160;114 sub 1996 No.&#160;63 s&#160;14\nom 2010 No.&#160;19 s&#160;244","sortOrder":171},{"sectionNumber":"sec.115","sectionType":"section","heading":"Disclosure of interests","content":"### sec.115 Disclosure of interests\n\ns&#160;115 sub 1996 No.&#160;63 s&#160;14\namd 1997 No.&#160;66 s&#160;60\nom 2010 No.&#160;19 s&#160;244","sortOrder":172},{"sectionNumber":"pt.10-div.3","sectionType":"division","heading":"Provisions about members","content":"## Provisions about members","sortOrder":173},{"sectionNumber":"sec.116","sectionType":"section","heading":"Duration of appointment","content":"### sec.116 Duration of appointment\n\ns&#160;116 sub 1996 No.&#160;63 s&#160;14\nom 2010 No.&#160;19 s&#160;244","sortOrder":174},{"sectionNumber":"sec.117","sectionType":"section","heading":"Terms of appointment","content":"### sec.117 Terms of appointment\n\ns&#160;117 sub 1996 No.&#160;63 s&#160;14\nom 2010 No.&#160;19 s&#160;244","sortOrder":175},{"sectionNumber":"sec.118","sectionType":"section","heading":"Resignation","content":"### sec.118 Resignation\n\ns&#160;118 sub 1996 No.&#160;63 s&#160;14\nom 2010 No.&#160;19 s&#160;244","sortOrder":176},{"sectionNumber":"sec.119","sectionType":"section","heading":"Termination of appointment","content":"### sec.119 Termination of appointment\n\ns&#160;119 sub 1996 No.&#160;63 s&#160;14\nom 2010 No.&#160;19 s&#160;244","sortOrder":177},{"sectionNumber":"pt.10-div.4","sectionType":"division","heading":"Miscellaneous","content":"## Miscellaneous","sortOrder":178},{"sectionNumber":"sec.120","sectionType":"section","heading":"Administrative support","content":"### sec.120 Administrative support\n\ns&#160;120 sub 1996 No.&#160;63 s&#160;14\namd 2002 No.&#160;29 s&#160;16 sch&#160;1\nom 2010 No.&#160;19 s&#160;244","sortOrder":179},{"sectionNumber":"sec.121","sectionType":"section","heading":"Annual report on operations of board","content":"### sec.121 Annual report on operations of board\n\ns&#160;121 sub 1996 No.&#160;63 s&#160;14\nom 2010 No.&#160;19 s&#160;244","sortOrder":180},{"sectionNumber":"sec.122","sectionType":"section","heading":"Annual report","content":"### sec.122 Annual report\n\ns&#160;122 om 1996 No.&#160;63 s&#160;14","sortOrder":181},{"sectionNumber":"pt.11","sectionType":"part","heading":"Marine incidents","content":"# Marine incidents","sortOrder":182},{"sectionNumber":"pt.11-div.1","sectionType":"division","heading":"Preliminary","content":"## Preliminary","sortOrder":183},{"sectionNumber":"sec.123","sectionType":"section","heading":"What is a marine incident","content":"### sec.123 What is a marine incident\n\nA marine incident is an event causing or involving—\nthe loss of a person from a ship; or\nthe death of, or grievous bodily harm to, a person caused by a ship’s operations; or\nthe loss or presumed loss or abandonment of a ship; or\na collision with a ship; or\nthe stranding of a ship; or\nsignificant damage, or danger of significant damage, to a ship; or\nsignificant damage caused by a ship’s operations; or\ndanger of significant damage to a structure caused by a ship’s operations; or\ndanger to a person caused by a ship’s operations.\nA marine incident also includes another event prescribed by regulation.\nHowever, a marine incident does not include an event declared by regulation not to be a marine incident.\ns&#160;123 amd 2016 No.&#160;3 s&#160;35\n(sec.123-ssec.1) A marine incident is an event causing or involving— the loss of a person from a ship; or the death of, or grievous bodily harm to, a person caused by a ship’s operations; or the loss or presumed loss or abandonment of a ship; or a collision with a ship; or the stranding of a ship; or significant damage, or danger of significant damage, to a ship; or significant damage caused by a ship’s operations; or danger of significant damage to a structure caused by a ship’s operations; or danger to a person caused by a ship’s operations.\n(sec.123-ssec.2) A marine incident also includes another event prescribed by regulation.\n(sec.123-ssec.3) However, a marine incident does not include an event declared by regulation not to be a marine incident.\n- (a) the loss of a person from a ship; or\n- (b) the death of, or grievous bodily harm to, a person caused by a ship’s operations; or\n- (c) the loss or presumed loss or abandonment of a ship; or\n- (d) a collision with a ship; or\n- (e) the stranding of a ship; or\n- (f) significant damage, or danger of significant damage, to a ship; or\n- (g) significant damage caused by a ship’s operations; or\n- (h) danger of significant damage to a structure caused by a ship’s operations; or\n- (i) danger to a person caused by a ship’s operations.","sortOrder":184},{"sectionNumber":"pt.11-div.2","sectionType":"division","heading":"Marine incidents involving Queensland regulated ship","content":"## Marine incidents involving Queensland regulated ship","sortOrder":185},{"sectionNumber":"sec.123A","sectionType":"section","heading":"Application of div&#160;2","content":"### sec.123A Application of div&#160;2\n\nThis division applies to a marine incident only if it involves at least 1 Queensland regulated ship.\nSee the national law , sections&#160;88 to 90 in relation to marine incidents, as defined in that law, involving domestic commercial vessels.\ns&#160;123A ins 2016 No.&#160;3 s&#160;36","sortOrder":186},{"sectionNumber":"sec.124","sectionType":"section","heading":"Duties of masters to help if a marine incident happens involving 2 or more ships","content":"### sec.124 Duties of masters to help if a marine incident happens involving 2 or more ships\n\nThis section applies to a marine incident involving 2 or more ships.\nThe master of a Queensland regulated ship involved in the marine incident must, to the extent that the master can do so without danger to the master’s ship or persons on board the master’s ship—\ngive to each other ship involved in the incident, its master and persons on board the ship the help necessary to save them from danger caused by the marine incident; and\nstay by the other ship until the other ship does not need further help; and\ngive to the master of the other ship reasonable particulars adequate to identify the ship and its owner.\nMaximum penalty—\nfor contravention of paragraph&#160;(a) or (b) —500 penalty units or imprisonment for 1 year; or\nfor contravention of paragraph&#160;(c) —40 penalty units.\nHowever, if the contravention of subsection&#160;(2) (a) or (b) causes the death of, or grievous bodily harm to, a person, the master commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\ns&#160;124 amd 2016 No.&#160;3 s&#160;37\n(sec.124-ssec.1) This section applies to a marine incident involving 2 or more ships.\n(sec.124-ssec.2) The master of a Queensland regulated ship involved in the marine incident must, to the extent that the master can do so without danger to the master’s ship or persons on board the master’s ship— give to each other ship involved in the incident, its master and persons on board the ship the help necessary to save them from danger caused by the marine incident; and stay by the other ship until the other ship does not need further help; and give to the master of the other ship reasonable particulars adequate to identify the ship and its owner. Maximum penalty— for contravention of paragraph&#160;(a) or (b) —500 penalty units or imprisonment for 1 year; or for contravention of paragraph&#160;(c) —40 penalty units.\n(sec.124-ssec.3) However, if the contravention of subsection&#160;(2) (a) or (b) causes the death of, or grievous bodily harm to, a person, the master commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n- (a) give to each other ship involved in the incident, its master and persons on board the ship the help necessary to save them from danger caused by the marine incident; and\n- (b) stay by the other ship until the other ship does not need further help; and\n- (c) give to the master of the other ship reasonable particulars adequate to identify the ship and its owner.\n- (a) for contravention of paragraph&#160;(a) or (b) —500 penalty units or imprisonment for 1 year; or\n- (b) for contravention of paragraph&#160;(c) —40 penalty units.","sortOrder":187},{"sectionNumber":"sec.125","sectionType":"section","heading":"Marine incidents must be reported","content":"### sec.125 Marine incidents must be reported\n\nIf a marine incident causing or involving the loss or presumed loss or abandonment of a Queensland regulated ship happens, the owner of the ship must report the marine incident to a shipping inspector at the earliest opportunity, but within 48 hours after the owner becomes aware of the incident, unless the owner has a reasonable excuse for not complying with this subsection.\nMaximum penalty—40 penalty units.\nIf—\na Queensland regulated ship is involved in another type of marine incident; or\na Queensland regulated ship’s master has reason to believe that the ship has been involved in another type of marine incident;\nthe master of the ship must report the marine incident to a shipping inspector within 48 hours after the incident happens, unless the master has a reasonable excuse for not complying with this subsection.\nMaximum penalty—40 penalty units.\nIf the report under subsection&#160;(1) or (2) is not made to the shipping inspector in the approved form, the owner or master must make a further report about the marine incident to a shipping inspector in the approved form at the earliest opportunity.\nMaximum penalty—40 penalty units.\nIt is a reasonable excuse if the owner under subsection&#160;(1) , or the master under subsection&#160;(2) , did not have access to a way of reporting the marine incident within the time stated in the relevant subsection.\nSubsection&#160;(4) does not limit the circumstances that may constitute a reasonable excuse under subsections&#160;(1) and (2) .\ns&#160;125 amd 2006 No.&#160;21 s&#160;77 ; 2007 No.&#160;25 s&#160;10 ; 2016 No.&#160;3 s&#160;38\n(sec.125-ssec.1) If a marine incident causing or involving the loss or presumed loss or abandonment of a Queensland regulated ship happens, the owner of the ship must report the marine incident to a shipping inspector at the earliest opportunity, but within 48 hours after the owner becomes aware of the incident, unless the owner has a reasonable excuse for not complying with this subsection. Maximum penalty—40 penalty units.\n(sec.125-ssec.2) If— a Queensland regulated ship is involved in another type of marine incident; or a Queensland regulated ship’s master has reason to believe that the ship has been involved in another type of marine incident; the master of the ship must report the marine incident to a shipping inspector within 48 hours after the incident happens, unless the master has a reasonable excuse for not complying with this subsection. Maximum penalty—40 penalty units.\n(sec.125-ssec.3) If the report under subsection&#160;(1) or (2) is not made to the shipping inspector in the approved form, the owner or master must make a further report about the marine incident to a shipping inspector in the approved form at the earliest opportunity. Maximum penalty—40 penalty units.\n(sec.125-ssec.4) It is a reasonable excuse if the owner under subsection&#160;(1) , or the master under subsection&#160;(2) , did not have access to a way of reporting the marine incident within the time stated in the relevant subsection.\n(sec.125-ssec.5) Subsection&#160;(4) does not limit the circumstances that may constitute a reasonable excuse under subsections&#160;(1) and (2) .\n- (a) a Queensland regulated ship is involved in another type of marine incident; or\n- (b) a Queensland regulated ship’s master has reason to believe that the ship has been involved in another type of marine incident;","sortOrder":188},{"sectionNumber":"sec.126","sectionType":"section","heading":"Investigation process into marine incident","content":"### sec.126 Investigation process into marine incident\n\nIf—\na marine incident happens; or\nthe general manager believes that a marine incident may have happened, even though it has not been reported;\nthe general manager may require a shipping inspector to investigate the matter.\nAfter finishing the investigation, the inspector must report the results of the investigation to the general manager.\nIf, after considering the report, the general manager is satisfied that a marine incident has happened, the general manager may, in the way prescribed by regulation, cancel, suspend or amend an approval of a Queensland regulated ship or person involved in the incident.\nSubsections&#160;(2) and (3) do not prevent the general manager from—\nrequiring the inspector to provide interim reports to the general manager; or\ntaking action mentioned in subsection&#160;(3) before the inspector has finished the inspector’s investigation.\ns&#160;126 amd 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2016 No.&#160;3 s&#160;41\n(sec.126-ssec.1) If— a marine incident happens; or the general manager believes that a marine incident may have happened, even though it has not been reported; the general manager may require a shipping inspector to investigate the matter.\n(sec.126-ssec.2) After finishing the investigation, the inspector must report the results of the investigation to the general manager.\n(sec.126-ssec.3) If, after considering the report, the general manager is satisfied that a marine incident has happened, the general manager may, in the way prescribed by regulation, cancel, suspend or amend an approval of a Queensland regulated ship or person involved in the incident.\n(sec.126-ssec.4) Subsections&#160;(2) and (3) do not prevent the general manager from— requiring the inspector to provide interim reports to the general manager; or taking action mentioned in subsection&#160;(3) before the inspector has finished the inspector’s investigation.\n- (a) a marine incident happens; or\n- (b) the general manager believes that a marine incident may have happened, even though it has not been reported;\n- (a) requiring the inspector to provide interim reports to the general manager; or\n- (b) taking action mentioned in subsection&#160;(3) before the inspector has finished the inspector’s investigation.","sortOrder":189},{"sectionNumber":"sec.127","sectionType":"section","heading":"Regular reports of marine incidents to Minister","content":"### sec.127 Regular reports of marine incidents to Minister\n\nThe chief executive must prepare a report for each calendar year about all marine incidents reported within the year.\nThe report need only contain general particulars of each marine incident and a statistical analysis.\nThe report must be given to the Minister within 6 months after the year to which the report relates.\nThe Minister may appoint a person who is not an officer or employee of a public sector unit to review the report and give the Minister any recommendations the person considers appropriate.\nThe chief executive must give the person any reasonable help the person requires.\ns&#160;127 amd 1996 No.&#160;37 s&#160;147 sch&#160;2 ; 1996 No.&#160;63 s&#160;15 ; 2006 No.&#160;21 s&#160;78\n(sec.127-ssec.1) The chief executive must prepare a report for each calendar year about all marine incidents reported within the year.\n(sec.127-ssec.2) The report need only contain general particulars of each marine incident and a statistical analysis.\n(sec.127-ssec.3) The report must be given to the Minister within 6 months after the year to which the report relates.\n(sec.127-ssec.4) The Minister may appoint a person who is not an officer or employee of a public sector unit to review the report and give the Minister any recommendations the person considers appropriate.\n(sec.127-ssec.5) The chief executive must give the person any reasonable help the person requires.","sortOrder":190},{"sectionNumber":"sec.128","sectionType":"section","heading":"Report and any recommendations to be tabled","content":"### sec.128 Report and any recommendations to be tabled\n\nThe Minister must table a copy of each report under section&#160;127 in the Legislative Assembly within 30 days after receiving the report.\nThe Minister must also table a copy of recommendations made to the Minister under section&#160;127 (4) about the report in the Legislative Assembly within 30 days after receiving the recommendations.\ns&#160;128 amd 2016 No.&#160;3 s&#160;42\n(sec.128-ssec.1) The Minister must table a copy of each report under section&#160;127 in the Legislative Assembly within 30 days after receiving the report.\n(sec.128-ssec.2) The Minister must also table a copy of recommendations made to the Minister under section&#160;127 (4) about the report in the Legislative Assembly within 30 days after receiving the recommendations.","sortOrder":191},{"sectionNumber":"pt.11-div.3","sectionType":"division","heading":"Other obligations and exclusion zones","content":"## Other obligations and exclusion zones","sortOrder":192},{"sectionNumber":"sec.129","sectionType":"section","heading":"Report of dangers to navigation","content":"### sec.129 Report of dangers to navigation\n\nThis section applies if the master of a ship becomes aware of something in the ship’s vicinity that is a danger to navigation.\nan abandoned ship\na damaged aid to navigation\na tropical storm, cyclone or similar weather conditions\nIf the ship is fitted with a working radio, the master must promptly send out the signal prescribed by regulation followed by a message giving the information required by regulation to ships in the vicinity and the nearest harbour master or coastal radio station.\nMaximum penalty for subsection&#160;(2) —40 penalty units.\nIf the ship is not fitted with a working radio, the master must promptly communicate the information required by regulation by any other available form of communication to ships in the vicinity and as soon as practicable inform a harbour master or coastal radio station of the information.\nMaximum penalty for subsection&#160;(3) —40 penalty units.\n(sec.129-ssec.1) This section applies if the master of a ship becomes aware of something in the ship’s vicinity that is a danger to navigation. an abandoned ship a damaged aid to navigation a tropical storm, cyclone or similar weather conditions\n(sec.129-ssec.2) If the ship is fitted with a working radio, the master must promptly send out the signal prescribed by regulation followed by a message giving the information required by regulation to ships in the vicinity and the nearest harbour master or coastal radio station. Maximum penalty for subsection&#160;(2) —40 penalty units.\n(sec.129-ssec.3) If the ship is not fitted with a working radio, the master must promptly communicate the information required by regulation by any other available form of communication to ships in the vicinity and as soon as practicable inform a harbour master or coastal radio station of the information. Maximum penalty for subsection&#160;(3) —40 penalty units.\n- 1 an abandoned ship\n- 2 a damaged aid to navigation\n- 3 a tropical storm, cyclone or similar weather conditions","sortOrder":193},{"sectionNumber":"sec.130","sectionType":"section","heading":"Obligation of master to give help","content":"### sec.130 Obligation of master to give help\n\nIf the master of a Queensland regulated ship at sea has reason to believe that persons on or from a ship or aircraft are in distress at sea, the master must, unless the master cannot do so or, in the special circumstances of the case, considers it unreasonable or unnecessary to do so, go as quickly as possible to help the persons and, if possible, inform them that this is happening.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nThe master of a ship or aircraft in distress at sea may, after consultation as far as practicable with the masters of ships that answer the master’s call for help, requisition any Queensland regulated ships that the master considers best able to help.\nThe master of a Queensland regulated ship requisitioned under subsection&#160;(2) must comply with the requisition by going as quickly as possible to help the persons in distress.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nHowever, if the contravention of subsection&#160;(1) or (3) causes the death of, or grievous bodily harm to, a person, the relevant master commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\nIf the master of a Queensland regulated ship that has not been requisitioned is informed of the requisition of another ship and that the requisition is being complied with by the other ship, the master is released from the master’s obligation under subsection&#160;(1) .\nIf the master of a Queensland regulated ship is informed by persons in distress, or by the master of another ship that has reached persons in distress, that help is no longer necessary, the master is released from any obligation under subsection&#160;(1) or (3) in relation to the persons.\nThe master of a Queensland regulated ship must make a record—\nof any information received by the master that persons on or from a ship or aircraft are in distress at sea; and\nif the master did not go as quickly as possible to help the persons—the master’s reasons.\nMaximum penalty—500 penalty units.\nSee also the national law , sections&#160;85 to 87 in relation to obligations on masters of domestic commercial vessels.\ns&#160;130 amd 2016 No.&#160;3 s&#160;44\n(sec.130-ssec.1) If the master of a Queensland regulated ship at sea has reason to believe that persons on or from a ship or aircraft are in distress at sea, the master must, unless the master cannot do so or, in the special circumstances of the case, considers it unreasonable or unnecessary to do so, go as quickly as possible to help the persons and, if possible, inform them that this is happening. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.130-ssec.2) The master of a ship or aircraft in distress at sea may, after consultation as far as practicable with the masters of ships that answer the master’s call for help, requisition any Queensland regulated ships that the master considers best able to help.\n(sec.130-ssec.3) The master of a Queensland regulated ship requisitioned under subsection&#160;(2) must comply with the requisition by going as quickly as possible to help the persons in distress. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.130-ssec.4) However, if the contravention of subsection&#160;(1) or (3) causes the death of, or grievous bodily harm to, a person, the relevant master commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n(sec.130-ssec.5) If the master of a Queensland regulated ship that has not been requisitioned is informed of the requisition of another ship and that the requisition is being complied with by the other ship, the master is released from the master’s obligation under subsection&#160;(1) .\n(sec.130-ssec.6) If the master of a Queensland regulated ship is informed by persons in distress, or by the master of another ship that has reached persons in distress, that help is no longer necessary, the master is released from any obligation under subsection&#160;(1) or (3) in relation to the persons.\n(sec.130-ssec.7) The master of a Queensland regulated ship must make a record— of any information received by the master that persons on or from a ship or aircraft are in distress at sea; and if the master did not go as quickly as possible to help the persons—the master’s reasons. Maximum penalty—500 penalty units. See also the national law , sections&#160;85 to 87 in relation to obligations on masters of domestic commercial vessels.\n- (a) of any information received by the master that persons on or from a ship or aircraft are in distress at sea; and\n- (b) if the master did not go as quickly as possible to help the persons—the master’s reasons.","sortOrder":194},{"sectionNumber":"sec.130A","sectionType":"section","heading":"Temporary declaration of exclusion zone by general manager","content":"### sec.130A Temporary declaration of exclusion zone by general manager\n\nThe general manager may declare a stated area around a ship involved in a marine incident to be an exclusion zone if the general manager is reasonably satisfied the declaration is required for a limited period to ensure safety.\nThe general manager must take the steps necessary to ensure ships that may be affected by the declaration are aware of it, including, for example, by a notice to mariners.\nThe general manager must revoke the declaration when the general manager ceases to be satisfied that the exclusion zone is still required to ensure safety.\nThe declaration ends 28 days after the declaration is made if it is not earlier revoked.\nWhen the declaration ends under subsection&#160;(3) or (4) , the general manager must immediately take the steps necessary to ensure ships that may be affected by the exclusion zone are aware of the ending of the exclusion zone.\ns&#160;130A (prev s&#160;125A) ins 2005 No.&#160;49 s&#160;45\nreloc and renum 2016 No.&#160;3 s&#160;40\n(sec.130A-ssec.1) The general manager may declare a stated area around a ship involved in a marine incident to be an exclusion zone if the general manager is reasonably satisfied the declaration is required for a limited period to ensure safety.\n(sec.130A-ssec.2) The general manager must take the steps necessary to ensure ships that may be affected by the declaration are aware of it, including, for example, by a notice to mariners.\n(sec.130A-ssec.3) The general manager must revoke the declaration when the general manager ceases to be satisfied that the exclusion zone is still required to ensure safety.\n(sec.130A-ssec.4) The declaration ends 28 days after the declaration is made if it is not earlier revoked.\n(sec.130A-ssec.5) When the declaration ends under subsection&#160;(3) or (4) , the general manager must immediately take the steps necessary to ensure ships that may be affected by the exclusion zone are aware of the ending of the exclusion zone.","sortOrder":195},{"sectionNumber":"sec.130B","sectionType":"section","heading":"Failure to comply with declaration of exclusion zone by general manager","content":"### sec.130B Failure to comply with declaration of exclusion zone by general manager\n\nThis section applies if the general manager declares an exclusion zone under section&#160;130A .\nA person must not, without the general manager’s permission—\ncause a ship to enter or navigate in the exclusion zone, unless the person has a reasonable excuse; or\nanchor, berth or moor a ship in the exclusion zone, unless the person has a reasonable excuse.\nMaximum penalty for subsection&#160;(2) —200 penalty units.\ns&#160;130B (prev s&#160;125B) ins 2005 No.&#160;49 s&#160;45\namd 2016 No.&#160;3 s&#160;39\nreloc and renum 2016 No.&#160;3 s&#160;40\n(sec.130B-ssec.1) This section applies if the general manager declares an exclusion zone under section&#160;130A .\n(sec.130B-ssec.2) A person must not, without the general manager’s permission— cause a ship to enter or navigate in the exclusion zone, unless the person has a reasonable excuse; or anchor, berth or moor a ship in the exclusion zone, unless the person has a reasonable excuse. Maximum penalty for subsection&#160;(2) —200 penalty units.\n- (a) cause a ship to enter or navigate in the exclusion zone, unless the person has a reasonable excuse; or\n- (b) anchor, berth or moor a ship in the exclusion zone, unless the person has a reasonable excuse.","sortOrder":196},{"sectionNumber":"pt.12","sectionType":"part","heading":"Boards of inquiry","content":"# Boards of inquiry","sortOrder":197},{"sectionNumber":"pt.12-div.1","sectionType":"division","heading":"General","content":"## General","sortOrder":198},{"sectionNumber":"sec.131","sectionType":"section","heading":"Minister may establish or re-establish boards of inquiry","content":"### sec.131 Minister may establish or re-establish boards of inquiry\n\ns&#160;131 om 2016 No.&#160;3 s&#160;45","sortOrder":199},{"sectionNumber":"sec.132","sectionType":"section","heading":"Role of board of inquiry","content":"### sec.132 Role of board of inquiry\n\ns&#160;132 om 2016 No.&#160;3 s&#160;45","sortOrder":200},{"sectionNumber":"sec.133","sectionType":"section","heading":"Conditions of appointment","content":"### sec.133 Conditions of appointment\n\ns&#160;133 om 2016 No.&#160;3 s&#160;45","sortOrder":201},{"sectionNumber":"sec.134","sectionType":"section","heading":"Chief executive to arrange for services of staff and financial matters for board of inquiry","content":"### sec.134 Chief executive to arrange for services of staff and financial matters for board of inquiry\n\ns&#160;134 amd 2002 No.&#160;29 s&#160;16 sch&#160;1\nom 2016 No.&#160;3 s&#160;45","sortOrder":202},{"sectionNumber":"sec.135","sectionType":"section","heading":"Shipping inspector may exercise powers for board’s inquiry","content":"### sec.135 Shipping inspector may exercise powers for board’s inquiry\n\ns&#160;135 om 2016 No.&#160;3 s&#160;45","sortOrder":203},{"sectionNumber":"pt.12-div.2","sectionType":"division","heading":"Conduct of inquiry","content":"## Conduct of inquiry","sortOrder":204},{"sectionNumber":"sec.136","sectionType":"section","heading":"Procedure","content":"### sec.136 Procedure\n\ns&#160;136 om 2016 No.&#160;3 s&#160;45","sortOrder":205},{"sectionNumber":"sec.137","sectionType":"section","heading":"Notice of inquiry","content":"### sec.137 Notice of inquiry\n\ns&#160;137 om 2016 No.&#160;3 s&#160;45","sortOrder":206},{"sectionNumber":"sec.138","sectionType":"section","heading":"Inquiry to be held in public other than in special circumstances","content":"### sec.138 Inquiry to be held in public other than in special circumstances\n\ns&#160;138 om 2016 No.&#160;3 s&#160;45","sortOrder":207},{"sectionNumber":"sec.139","sectionType":"section","heading":"Protection of members, legal representatives, witnesses and others","content":"### sec.139 Protection of members, legal representatives, witnesses and others\n\ns&#160;139 amd 2006 No.&#160;21 s&#160;79\nom 2016 No.&#160;3 s&#160;45","sortOrder":208},{"sectionNumber":"sec.140","sectionType":"section","heading":"Record of proceedings to be kept","content":"### sec.140 Record of proceedings to be kept\n\ns&#160;140 om 2016 No.&#160;3 s&#160;45","sortOrder":209},{"sectionNumber":"sec.141","sectionType":"section","heading":"Procedural fairness and representation","content":"### sec.141 Procedural fairness and representation\n\ns&#160;141 om 2016 No.&#160;3 s&#160;45","sortOrder":210},{"sectionNumber":"sec.142","sectionType":"section","heading":"Board’s powers on inquiry","content":"### sec.142 Board’s powers on inquiry\n\ns&#160;142 amd 2006 No.&#160;21 s&#160;80 ; 2007 No.&#160;24 s&#160;770 sch&#160;1\nom 2016 No.&#160;3 s&#160;45","sortOrder":211},{"sectionNumber":"sec.143","sectionType":"section","heading":"Notice to witness","content":"### sec.143 Notice to witness\n\ns&#160;143 om 2016 No.&#160;3 s&#160;45","sortOrder":212},{"sectionNumber":"sec.144","sectionType":"section","heading":"Inspection of documents or things","content":"### sec.144 Inspection of documents or things\n\ns&#160;144 om 2016 No.&#160;3 s&#160;45","sortOrder":213},{"sectionNumber":"sec.145","sectionType":"section","heading":"Inquiry may continue despite court proceedings unless otherwise ordered","content":"### sec.145 Inquiry may continue despite court proceedings unless otherwise ordered\n\ns&#160;145 om 2016 No.&#160;3 s&#160;45","sortOrder":214},{"sectionNumber":"sec.146","sectionType":"section","heading":"Offences by witnesses","content":"### sec.146 Offences by witnesses\n\ns&#160;146 om 2016 No.&#160;3 s&#160;45","sortOrder":215},{"sectionNumber":"sec.147","sectionType":"section","heading":"Self-incrimination","content":"### sec.147 Self-incrimination\n\ns&#160;147 om 2016 No.&#160;3 s&#160;45","sortOrder":216},{"sectionNumber":"sec.148","sectionType":"section","heading":"False or misleading statements","content":"### sec.148 False or misleading statements\n\ns&#160;148 sub 2006 No.&#160;21 s&#160;81\nom 2016 No.&#160;3 s&#160;45","sortOrder":217},{"sectionNumber":"sec.149","sectionType":"section","heading":"False or misleading documents","content":"### sec.149 False or misleading documents\n\ns&#160;149 sub 2006 No.&#160;21 s&#160;81\nom 2016 No.&#160;3 s&#160;45","sortOrder":218},{"sectionNumber":"sec.150","sectionType":"section","heading":"Contempt of board","content":"### sec.150 Contempt of board\n\ns&#160;150 om 2016 No.&#160;3 s&#160;45","sortOrder":219},{"sectionNumber":"sec.151","sectionType":"section","heading":"Report of offences","content":"### sec.151 Report of offences\n\ns&#160;151 amd 2001 No.&#160;69 s&#160;378 sch&#160;1 ; 2014 No.&#160;21 s&#160;94 (2) sch&#160;2\nom 2016 No.&#160;3 s&#160;45","sortOrder":220},{"sectionNumber":"sec.152","sectionType":"section","heading":"Change of membership of board","content":"### sec.152 Change of membership of board\n\ns&#160;152 om 2016 No.&#160;3 s&#160;45","sortOrder":221},{"sectionNumber":"pt.13","sectionType":"part","heading":"Shipping inspectors","content":"# Shipping inspectors","sortOrder":222},{"sectionNumber":"pt.13-div.1","sectionType":"division","heading":"General","content":"## General","sortOrder":223},{"sectionNumber":"sec.153","sectionType":"section","heading":"Functions of shipping inspectors","content":"### sec.153 Functions of shipping inspectors\n\nThe functions of shipping inspectors are as follows—\nto monitor ships and their operations to ensure part&#160;4 and other provisions of this Act are complied with;\nto monitor the holders of approvals and their business operations to ensure that part&#160;5 is complied with;\nto help harbour masters, including exercising any delegated powers under part&#160;7 ;\nto investigate marine incidents involving Queensland regulated ships and report the results to the general manager under part&#160;11 .\ns&#160;153 amd 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2016 No.&#160;3 s&#160;46\n- (a) to monitor ships and their operations to ensure part&#160;4 and other provisions of this Act are complied with;\n- (b) to monitor the holders of approvals and their business operations to ensure that part&#160;5 is complied with;\n- (c) to help harbour masters, including exercising any delegated powers under part&#160;7 ;\n- (d) to investigate marine incidents involving Queensland regulated ships and report the results to the general manager under part&#160;11 .","sortOrder":224},{"sectionNumber":"sec.154","sectionType":"section","heading":"Shipping inspectors subject to directions from general manager","content":"### sec.154 Shipping inspectors subject to directions from general manager\n\nA shipping inspector is subject to the directions of the general manager in exercising powers of a shipping inspector.\ns&#160;154 amd 2002 No.&#160;29 s&#160;16 sch&#160;1","sortOrder":225},{"sectionNumber":"sec.155","sectionType":"section","heading":"Powers of shipping inspectors under this part","content":"### sec.155 Powers of shipping inspectors under this part\n\nThe powers given to a shipping inspector under this part are in addition to, and do not limit, the powers given to a shipping inspector under—\nanother part of this Act; or\na condition of an approval.\nThe powers under this part may be exercised in relation to—\nships; and\nplaces mentioned as a place of business—\nin an approval; or\nin a document about a domestic commercial vessel issued by the national regulator under the national law ; and\nother premises and vehicles.\nIf a shipping inspector may exercise a power under a provision of this part and another provision of this Act, the inspector may exercise the power under either or both provisions.\nIf a shipping inspector may exercise a power under this part and under a condition of an approval, the inspector may exercise the power under either or both.\ns&#160;155 amd 2016 No.&#160;3 s&#160;47\n(sec.155-ssec.1) The powers given to a shipping inspector under this part are in addition to, and do not limit, the powers given to a shipping inspector under— another part of this Act; or a condition of an approval.\n(sec.155-ssec.2) The powers under this part may be exercised in relation to— ships; and places mentioned as a place of business— in an approval; or in a document about a domestic commercial vessel issued by the national regulator under the national law ; and other premises and vehicles.\n(sec.155-ssec.3) If a shipping inspector may exercise a power under a provision of this part and another provision of this Act, the inspector may exercise the power under either or both provisions.\n(sec.155-ssec.4) If a shipping inspector may exercise a power under this part and under a condition of an approval, the inspector may exercise the power under either or both.\n- (a) another part of this Act; or\n- (b) a condition of an approval.\n- (a) ships; and\n- (b) places mentioned as a place of business— (i) in an approval; or (ii) in a document about a domestic commercial vessel issued by the national regulator under the national law ; and\n- (i) in an approval; or\n- (ii) in a document about a domestic commercial vessel issued by the national regulator under the national law ; and\n- (c) other premises and vehicles.\n- (i) in an approval; or\n- (ii) in a document about a domestic commercial vessel issued by the national regulator under the national law ; and","sortOrder":226},{"sectionNumber":"sec.156","sectionType":"section","heading":"Limitation on powers of a shipping inspector","content":"### sec.156 Limitation on powers of a shipping inspector\n\nThe powers of a shipping inspector may be limited—\nunder a regulation; or\nunder a condition of appointment; or\nby notice of the general manager given to the shipping inspector.\ns&#160;156 amd 2002 No.&#160;29 s&#160;16 sch&#160;1\n- (a) under a regulation; or\n- (b) under a condition of appointment; or\n- (c) by notice of the general manager given to the shipping inspector.","sortOrder":227},{"sectionNumber":"pt.13-div.2","sectionType":"division","heading":"Appointment of shipping inspectors and other matters","content":"## Appointment of shipping inspectors and other matters","sortOrder":228},{"sectionNumber":"sec.157","sectionType":"section","heading":"Appointment of shipping inspectors","content":"### sec.157 Appointment of shipping inspectors\n\nThe general manager may appoint any of the following persons as shipping inspectors—\nofficers and employees of the public service;\nofficers and employees of port authorities;\nemployees of MSQ;\nemployees of the Gold Coast Waterways Authority;\npolice officers or a class of police officers;\nother persons prescribed by regulation.\nThe general manager may appoint a person (other than a police officer) as a shipping inspector only if—\nin the general manager’s opinion, the person has the necessary expertise or experience to be a shipping inspector; or\nthe person has satisfactorily finished training approved by the general manager.\ns&#160;157 amd 1995 No.&#160;50 s&#160;3 sch ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2012 No.&#160;38 s&#160;125\n(sec.157-ssec.1) The general manager may appoint any of the following persons as shipping inspectors— officers and employees of the public service; officers and employees of port authorities; employees of MSQ; employees of the Gold Coast Waterways Authority; police officers or a class of police officers; other persons prescribed by regulation.\n(sec.157-ssec.2) The general manager may appoint a person (other than a police officer) as a shipping inspector only if— in the general manager’s opinion, the person has the necessary expertise or experience to be a shipping inspector; or the person has satisfactorily finished training approved by the general manager.\n- (a) officers and employees of the public service;\n- (b) officers and employees of port authorities;\n- (c) employees of MSQ;\n- (d) employees of the Gold Coast Waterways Authority;\n- (e) police officers or a class of police officers;\n- (f) other persons prescribed by regulation.\n- (a) in the general manager’s opinion, the person has the necessary expertise or experience to be a shipping inspector; or\n- (b) the person has satisfactorily finished training approved by the general manager.","sortOrder":229},{"sectionNumber":"sec.158","sectionType":"section","heading":"Conditions of appointment of shipping inspectors","content":"### sec.158 Conditions of appointment of shipping inspectors\n\nA shipping inspector holds office on the conditions specified in the instrument of appointment.\nA shipping inspector—\nif the appointment provides for a term of appointment—ceases holding office at the end of the term; and\nmay resign by signed notice of resignation given to the general manager; and\nif the conditions of appointment provide—ceases holding office as a shipping inspector on ceasing to hold some other office specified in the conditions of appointment.\ns&#160;158 amd 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.158-ssec.1) A shipping inspector holds office on the conditions specified in the instrument of appointment.\n(sec.158-ssec.2) A shipping inspector— if the appointment provides for a term of appointment—ceases holding office at the end of the term; and may resign by signed notice of resignation given to the general manager; and if the conditions of appointment provide—ceases holding office as a shipping inspector on ceasing to hold some other office specified in the conditions of appointment.\n- (a) if the appointment provides for a term of appointment—ceases holding office at the end of the term; and\n- (b) may resign by signed notice of resignation given to the general manager; and\n- (c) if the conditions of appointment provide—ceases holding office as a shipping inspector on ceasing to hold some other office specified in the conditions of appointment.","sortOrder":230},{"sectionNumber":"sec.159","sectionType":"section","heading":"Shipping inspector’s identity card","content":"### sec.159 Shipping inspector’s identity card\n\nThe general manager must give an identity card to each shipping inspector.\nThe identity card must—\ncontain a recent photograph of the shipping inspector; and\nbe in a form approved by the general manager; and\nbe signed by the shipping inspector.\nA person who ceases to be a shipping inspector must return the person’s identity card to the general manager as soon as practicable after the person ceases to be a shipping inspector, unless the person has a reasonable excuse for not returning it.\nMaximum penalty for subsection&#160;(3) —40 penalty units.\nThis section does not apply to a shipping inspector who is a police officer.\ns&#160;159 amd 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.159-ssec.1) The general manager must give an identity card to each shipping inspector.\n(sec.159-ssec.2) The identity card must— contain a recent photograph of the shipping inspector; and be in a form approved by the general manager; and be signed by the shipping inspector.\n(sec.159-ssec.3) A person who ceases to be a shipping inspector must return the person’s identity card to the general manager as soon as practicable after the person ceases to be a shipping inspector, unless the person has a reasonable excuse for not returning it. Maximum penalty for subsection&#160;(3) —40 penalty units.\n(sec.159-ssec.4) This section does not apply to a shipping inspector who is a police officer.\n- (a) contain a recent photograph of the shipping inspector; and\n- (b) be in a form approved by the general manager; and\n- (c) be signed by the shipping inspector.","sortOrder":231},{"sectionNumber":"sec.160","sectionType":"section","heading":"Display of shipping inspector’s identity card","content":"### sec.160 Display of shipping inspector’s identity card\n\nA shipping inspector (other than a police officer) may exercise a power in relation to a person only if the inspector displays the inspector’s identity card for inspection by the person.\nIf, for any reason, it is not practicable to comply with subsection&#160;(1) , the inspector must produce the identity card for inspection by the person at the first reasonable opportunity.\ns&#160;160 amd 2000 No.&#160;5 s&#160;373 sch&#160;3\n(sec.160-ssec.1) A shipping inspector (other than a police officer) may exercise a power in relation to a person only if the inspector displays the inspector’s identity card for inspection by the person.\n(sec.160-ssec.2) If, for any reason, it is not practicable to comply with subsection&#160;(1) , the inspector must produce the identity card for inspection by the person at the first reasonable opportunity.","sortOrder":232},{"sectionNumber":"sec.161","sectionType":"section","heading":"Protection from liability","content":"### sec.161 Protection from liability\n\nA shipping inspector is not civilly liable for an act or omission done honestly and without negligence under this Act.\nIf subsection&#160;(1) prevents a civil liability attaching to a shipping inspector, the liability attaches instead to the State.\n(sec.161-ssec.1) A shipping inspector is not civilly liable for an act or omission done honestly and without negligence under this Act.\n(sec.161-ssec.2) If subsection&#160;(1) prevents a civil liability attaching to a shipping inspector, the liability attaches instead to the State.","sortOrder":233},{"sectionNumber":"pt.13-div.3","sectionType":"division","heading":"General powers of shipping inspectors","content":"## General powers of shipping inspectors","sortOrder":234},{"sectionNumber":"sec.162","sectionType":"section","heading":"Entry to place by shipping inspectors","content":"### sec.162 Entry to place by shipping inspectors\n\nA shipping inspector may enter a place if—\nthe occupier of the place consents to the entry; or\nit is a public place and the entry is made when the place is open to the public; or\nit is mentioned in an approval, or a national law document, as a place of business and the entry is made when the place is open for conduct of business or is otherwise open for entry; or\nthe entry is permitted by a warrant.\nIn this section—\nnational law document means a document about a domestic commercial vessel issued by the national regulator under the national law .\ns&#160;162 amd 2016 No.&#160;3 s&#160;49\n(sec.162-ssec.1) A shipping inspector may enter a place if— the occupier of the place consents to the entry; or it is a public place and the entry is made when the place is open to the public; or it is mentioned in an approval, or a national law document, as a place of business and the entry is made when the place is open for conduct of business or is otherwise open for entry; or the entry is permitted by a warrant.\n(sec.162-ssec.2) In this section— national law document means a document about a domestic commercial vessel issued by the national regulator under the national law .\n- (a) the occupier of the place consents to the entry; or\n- (b) it is a public place and the entry is made when the place is open to the public; or\n- (c) it is mentioned in an approval, or a national law document, as a place of business and the entry is made when the place is open for conduct of business or is otherwise open for entry; or\n- (d) the entry is permitted by a warrant.","sortOrder":235},{"sectionNumber":"sec.163","sectionType":"section","heading":"Warrants","content":"### sec.163 Warrants\n\nA shipping inspector may apply to a magistrate for a warrant for a place.\nThe application must—\nbe sworn; and\nspecify the grounds on which the warrant is sought.\nThe magistrate may refuse to consider the application until the inspector gives the magistrate all the information the magistrate requires about the application in the way the magistrate requires.\nThe magistrate may require additional information supporting the application be given by statutory declaration.\nThe magistrate may issue a warrant only if the magistrate is satisfied there are reasonable grounds for suspecting—\nthere is a particular thing or activity (the evidence ) that may provide evidence of the commission of an offence against this Act; and\nthe evidence is at the place, or may be at the place within the next 7 days.\nThe warrant must state—\nthat the inspector may, with necessary and reasonable help and force—\nenter the place; and\nexercise the inspector’s powers under this Act; and\nthe evidence for which the warrant is issued; and\nthe hours of the day when entry may be made; and\nthe day (within 14 days after the warrant’s issue) when the warrant ceases to have effect.\n(sec.163-ssec.1) A shipping inspector may apply to a magistrate for a warrant for a place.\n(sec.163-ssec.2) The application must— be sworn; and specify the grounds on which the warrant is sought.\n(sec.163-ssec.3) The magistrate may refuse to consider the application until the inspector gives the magistrate all the information the magistrate requires about the application in the way the magistrate requires. The magistrate may require additional information supporting the application be given by statutory declaration.\n(sec.163-ssec.4) The magistrate may issue a warrant only if the magistrate is satisfied there are reasonable grounds for suspecting— there is a particular thing or activity (the evidence ) that may provide evidence of the commission of an offence against this Act; and the evidence is at the place, or may be at the place within the next 7 days.\n(sec.163-ssec.5) The warrant must state— that the inspector may, with necessary and reasonable help and force— enter the place; and exercise the inspector’s powers under this Act; and the evidence for which the warrant is issued; and the hours of the day when entry may be made; and the day (within 14 days after the warrant’s issue) when the warrant ceases to have effect.\n- (a) be sworn; and\n- (b) specify the grounds on which the warrant is sought.\n- (a) there is a particular thing or activity (the evidence ) that may provide evidence of the commission of an offence against this Act; and\n- (b) the evidence is at the place, or may be at the place within the next 7 days.\n- (a) that the inspector may, with necessary and reasonable help and force— (i) enter the place; and (ii) exercise the inspector’s powers under this Act; and\n- (i) enter the place; and\n- (ii) exercise the inspector’s powers under this Act; and\n- (b) the evidence for which the warrant is issued; and\n- (c) the hours of the day when entry may be made; and\n- (d) the day (within 14 days after the warrant’s issue) when the warrant ceases to have effect.\n- (i) enter the place; and\n- (ii) exercise the inspector’s powers under this Act; and","sortOrder":236},{"sectionNumber":"sec.164","sectionType":"section","heading":"Warrants—applications made other than in person","content":"### sec.164 Warrants—applications made other than in person\n\nA shipping inspector may apply for a warrant by phone, fax, radio or another form of communication if the inspector considers it necessary because of—\nurgent circumstances; or\nother special circumstances, including, for example, the inspector’s remote location.\nBefore applying for the warrant, the inspector must prepare an application specifying the grounds on which the warrant is sought.\nThe inspector may apply for the warrant before the application is sworn.\nIf the magistrate issues the warrant and it is reasonably practicable to fax a copy of it to the inspector, the magistrate must immediately fax the copy to the inspector.\nIf the magistrate issues the warrant but it is not reasonably practicable to fax a copy of it to the inspector—\nthe magistrate must—\ntell the inspector what the terms of the warrant are; and\ntell the inspector the date and time the warrant was signed; and\nrecord the reasons for issuing the warrant on the warrant; and\nthe inspector must—\ncomplete a form of warrant ( warrant form ) in the same terms as the warrant issued by the magistrate; and\nwrite on the warrant form the name of the magistrate and the date and time the magistrate signed the warrant.\nThe facsimile warrant, or the warrant form properly completed by the inspector, is authority for the entry and the exercise of the other powers permitted by the warrant issued by the magistrate.\nThe inspector must send to the magistrate—\nthe sworn application; and\nif a warrant form was completed by the inspector—the completed warrant form.\nThe sworn application and any completed warrant form must be sent to the magistrate at the earliest practicable opportunity.\nWhen the magistrate receives the application and any warrant form, the magistrate must attach them to the warrant issued by the magistrate.\nIf—\nin a proceeding a question arises whether the exercise of a power was authorised by a warrant issued under this section; and\nthe warrant is not produced in evidence;\nthe court must presume the exercise of power was not authorised by a warrant unless the contrary is proved.\n(sec.164-ssec.1) A shipping inspector may apply for a warrant by phone, fax, radio or another form of communication if the inspector considers it necessary because of— urgent circumstances; or other special circumstances, including, for example, the inspector’s remote location.\n(sec.164-ssec.2) Before applying for the warrant, the inspector must prepare an application specifying the grounds on which the warrant is sought.\n(sec.164-ssec.3) The inspector may apply for the warrant before the application is sworn.\n(sec.164-ssec.4) If the magistrate issues the warrant and it is reasonably practicable to fax a copy of it to the inspector, the magistrate must immediately fax the copy to the inspector.\n(sec.164-ssec.5) If the magistrate issues the warrant but it is not reasonably practicable to fax a copy of it to the inspector— the magistrate must— tell the inspector what the terms of the warrant are; and tell the inspector the date and time the warrant was signed; and record the reasons for issuing the warrant on the warrant; and the inspector must— complete a form of warrant ( warrant form ) in the same terms as the warrant issued by the magistrate; and write on the warrant form the name of the magistrate and the date and time the magistrate signed the warrant.\n(sec.164-ssec.6) The facsimile warrant, or the warrant form properly completed by the inspector, is authority for the entry and the exercise of the other powers permitted by the warrant issued by the magistrate.\n(sec.164-ssec.7) The inspector must send to the magistrate— the sworn application; and if a warrant form was completed by the inspector—the completed warrant form.\n(sec.164-ssec.8) The sworn application and any completed warrant form must be sent to the magistrate at the earliest practicable opportunity.\n(sec.164-ssec.9) When the magistrate receives the application and any warrant form, the magistrate must attach them to the warrant issued by the magistrate.\n(sec.164-ssec.10) If— in a proceeding a question arises whether the exercise of a power was authorised by a warrant issued under this section; and the warrant is not produced in evidence; the court must presume the exercise of power was not authorised by a warrant unless the contrary is proved.\n- (a) urgent circumstances; or\n- (b) other special circumstances, including, for example, the inspector’s remote location.\n- (a) the magistrate must— (i) tell the inspector what the terms of the warrant are; and (ii) tell the inspector the date and time the warrant was signed; and (iii) record the reasons for issuing the warrant on the warrant; and\n- (i) tell the inspector what the terms of the warrant are; and\n- (ii) tell the inspector the date and time the warrant was signed; and\n- (iii) record the reasons for issuing the warrant on the warrant; and\n- (b) the inspector must— (i) complete a form of warrant ( warrant form ) in the same terms as the warrant issued by the magistrate; and (ii) write on the warrant form the name of the magistrate and the date and time the magistrate signed the warrant.\n- (i) complete a form of warrant ( warrant form ) in the same terms as the warrant issued by the magistrate; and\n- (ii) write on the warrant form the name of the magistrate and the date and time the magistrate signed the warrant.\n- (i) tell the inspector what the terms of the warrant are; and\n- (ii) tell the inspector the date and time the warrant was signed; and\n- (iii) record the reasons for issuing the warrant on the warrant; and\n- (i) complete a form of warrant ( warrant form ) in the same terms as the warrant issued by the magistrate; and\n- (ii) write on the warrant form the name of the magistrate and the date and time the magistrate signed the warrant.\n- (a) the sworn application; and\n- (b) if a warrant form was completed by the inspector—the completed warrant form.\n- (a) in a proceeding a question arises whether the exercise of a power was authorised by a warrant issued under this section; and\n- (b) the warrant is not produced in evidence;","sortOrder":237},{"sectionNumber":"sec.165","sectionType":"section","heading":"Boarding of ships and entry of vehicles","content":"### sec.165 Boarding of ships and entry of vehicles\n\nA shipping inspector may board a ship at any reasonable time of the day or night to find out whether this Act is being complied with.\nA shipping inspector may also board a ship or enter a vehicle at any reasonable time of the day or night if the inspector has reasonable grounds for suspecting that—\nthe ship or vehicle is being, or has been, used in the commission of an offence against this Act; or\nthe ship or vehicle, or a document or other thing in or on the ship or vehicle, may provide evidence of the commission of an offence against this Act.\n(sec.165-ssec.1) A shipping inspector may board a ship at any reasonable time of the day or night to find out whether this Act is being complied with.\n(sec.165-ssec.2) A shipping inspector may also board a ship or enter a vehicle at any reasonable time of the day or night if the inspector has reasonable grounds for suspecting that— the ship or vehicle is being, or has been, used in the commission of an offence against this Act; or the ship or vehicle, or a document or other thing in or on the ship or vehicle, may provide evidence of the commission of an offence against this Act.\n- (a) the ship or vehicle is being, or has been, used in the commission of an offence against this Act; or\n- (b) the ship or vehicle, or a document or other thing in or on the ship or vehicle, may provide evidence of the commission of an offence against this Act.","sortOrder":238},{"sectionNumber":"sec.166","sectionType":"section","heading":"Boarding of ship that is moving or about to move","content":"### sec.166 Boarding of ship that is moving or about to move\n\nThis section applies if a shipping inspector intends to board a ship under section&#160;165 , including a ship that is being carried or towed by a vehicle.\nIf the ship or the vehicle carrying or towing the ship is moving or about to move, the inspector may signal the person in control of the ship or vehicle to stop the ship or vehicle or not to move it.\nTo enable the ship to be boarded, the inspector may—\nact with any necessary and reasonable help and force; and\nrequire the person in control of the ship or vehicle to give reasonable help to the inspector.\nA person must not disobey a signal under subsection&#160;(2) , unless the person has a reasonable excuse.\nMaximum penalty—200 penalty units.\nA person must not fail to comply with a requirement under subsection&#160;(3) (b) , unless the person has a reasonable excuse.\nMaximum penalty—200 penalty units.\nIt is a reasonable excuse for a person to disobey a signal under subsection&#160;(2) if—\nthe person reasonably believes that to obey the signal immediately would have endangered the person or someone else; and\nthe person obeys the signal as soon as it is practicable to obey it.\n(sec.166-ssec.1) This section applies if a shipping inspector intends to board a ship under section&#160;165 , including a ship that is being carried or towed by a vehicle.\n(sec.166-ssec.2) If the ship or the vehicle carrying or towing the ship is moving or about to move, the inspector may signal the person in control of the ship or vehicle to stop the ship or vehicle or not to move it.\n(sec.166-ssec.3) To enable the ship to be boarded, the inspector may— act with any necessary and reasonable help and force; and require the person in control of the ship or vehicle to give reasonable help to the inspector.\n(sec.166-ssec.4) A person must not disobey a signal under subsection&#160;(2) , unless the person has a reasonable excuse. Maximum penalty—200 penalty units.\n(sec.166-ssec.5) A person must not fail to comply with a requirement under subsection&#160;(3) (b) , unless the person has a reasonable excuse. Maximum penalty—200 penalty units.\n(sec.166-ssec.6) It is a reasonable excuse for a person to disobey a signal under subsection&#160;(2) if— the person reasonably believes that to obey the signal immediately would have endangered the person or someone else; and the person obeys the signal as soon as it is practicable to obey it.\n- (a) act with any necessary and reasonable help and force; and\n- (b) require the person in control of the ship or vehicle to give reasonable help to the inspector.\n- (a) the person reasonably believes that to obey the signal immediately would have endangered the person or someone else; and\n- (b) the person obeys the signal as soon as it is practicable to obey it.","sortOrder":239},{"sectionNumber":"sec.167","sectionType":"section","heading":"Shipping inspector’s general powers for ships, vehicles and places","content":"### sec.167 Shipping inspector’s general powers for ships, vehicles and places\n\nA shipping inspector who boards a ship, or enters a vehicle or place, under this part may—\nsearch any part of the ship, vehicle or place; or\ninspect, examine, photograph or film anything in or on the ship, vehicle or place; or\ntake samples of or from anything in or on the ship, vehicle or place; or\nif the inspector boards a ship—survey the ship or any part of it; or\ntake extracts from, or make copies of, any documents in or on the ship, vehicle or place; or\ntake into or onto the ship, vehicle or place any persons, equipment and materials the inspector reasonably requires for exercising any powers in relation to the ship, vehicle or place; or\nrequire the occupier of the place, or any person in or on the ship, vehicle or place, to give the inspector reasonable help for the exercise of the powers mentioned in paragraphs&#160;(a) to (f) ; or\nif the inspector boards a ship or enters a vehicle—require the person in control of the ship or vehicle—\nto bring the ship or vehicle to a specified place; and\nto remain in control of the ship or vehicle at the place for a reasonable time;\nto enable the inspector to exercise the powers mentioned in paragraphs&#160;(a) to (f) ; or\nif the inspector boards a ship or enters a vehicle—require the person in control of the ship or vehicle to accompany the inspector to enable the inspector to comply with subsection&#160;(6) .\nA person who is required by a shipping inspector under subsection&#160;(1) (g) to give reasonable help to the inspector for the exercise of a power must comply with the requirement, unless the person has a reasonable excuse for not complying with it.\nMaximum penalty—40 penalty units.\nIf the help is required to be given by a person by—\nanswering a question; or\nproducing a document (other than a document required to be kept by the person under this Act);\nit is a reasonable excuse for the person to fail to answer the question, or produce the document, if complying with the requirement might tend to incriminate the person.\nA person who is required by a shipping inspector under subsection&#160;(1) (h) to take action in relation to a ship or vehicle must comply with the requirement, unless the person has a reasonable excuse for not complying with it.\nMaximum penalty—40 penalty units.\nA person who is required under subsection&#160;(1) (i) to accompany an inspector must comply with the requirement, unless the person has a reasonable excuse for not complying with it.\nThe inspector must not enter a part of a ship or vehicle that is used only as a living area, or exercise powers under subsection&#160;(1) (a) to (f) in relation to the part, unless the inspector is accompanied by the person in control of the ship or vehicle.\nSubsection&#160;(6) does not apply if the person in control of the ship or vehicle is unavailable or unwilling to accompany the inspector or the inspector is unable for another reason to comply with the subsection.\n(sec.167-ssec.1) A shipping inspector who boards a ship, or enters a vehicle or place, under this part may— search any part of the ship, vehicle or place; or inspect, examine, photograph or film anything in or on the ship, vehicle or place; or take samples of or from anything in or on the ship, vehicle or place; or if the inspector boards a ship—survey the ship or any part of it; or take extracts from, or make copies of, any documents in or on the ship, vehicle or place; or take into or onto the ship, vehicle or place any persons, equipment and materials the inspector reasonably requires for exercising any powers in relation to the ship, vehicle or place; or require the occupier of the place, or any person in or on the ship, vehicle or place, to give the inspector reasonable help for the exercise of the powers mentioned in paragraphs&#160;(a) to (f) ; or if the inspector boards a ship or enters a vehicle—require the person in control of the ship or vehicle— to bring the ship or vehicle to a specified place; and to remain in control of the ship or vehicle at the place for a reasonable time; to enable the inspector to exercise the powers mentioned in paragraphs&#160;(a) to (f) ; or if the inspector boards a ship or enters a vehicle—require the person in control of the ship or vehicle to accompany the inspector to enable the inspector to comply with subsection&#160;(6) .\n(sec.167-ssec.2) A person who is required by a shipping inspector under subsection&#160;(1) (g) to give reasonable help to the inspector for the exercise of a power must comply with the requirement, unless the person has a reasonable excuse for not complying with it. Maximum penalty—40 penalty units.\n(sec.167-ssec.3) If the help is required to be given by a person by— answering a question; or producing a document (other than a document required to be kept by the person under this Act); it is a reasonable excuse for the person to fail to answer the question, or produce the document, if complying with the requirement might tend to incriminate the person.\n(sec.167-ssec.4) A person who is required by a shipping inspector under subsection&#160;(1) (h) to take action in relation to a ship or vehicle must comply with the requirement, unless the person has a reasonable excuse for not complying with it. Maximum penalty—40 penalty units.\n(sec.167-ssec.5) A person who is required under subsection&#160;(1) (i) to accompany an inspector must comply with the requirement, unless the person has a reasonable excuse for not complying with it.\n(sec.167-ssec.6) The inspector must not enter a part of a ship or vehicle that is used only as a living area, or exercise powers under subsection&#160;(1) (a) to (f) in relation to the part, unless the inspector is accompanied by the person in control of the ship or vehicle.\n(sec.167-ssec.7) Subsection&#160;(6) does not apply if the person in control of the ship or vehicle is unavailable or unwilling to accompany the inspector or the inspector is unable for another reason to comply with the subsection.\n- (a) search any part of the ship, vehicle or place; or\n- (b) inspect, examine, photograph or film anything in or on the ship, vehicle or place; or\n- (c) take samples of or from anything in or on the ship, vehicle or place; or\n- (d) if the inspector boards a ship—survey the ship or any part of it; or\n- (e) take extracts from, or make copies of, any documents in or on the ship, vehicle or place; or\n- (f) take into or onto the ship, vehicle or place any persons, equipment and materials the inspector reasonably requires for exercising any powers in relation to the ship, vehicle or place; or\n- (g) require the occupier of the place, or any person in or on the ship, vehicle or place, to give the inspector reasonable help for the exercise of the powers mentioned in paragraphs&#160;(a) to (f) ; or\n- (h) if the inspector boards a ship or enters a vehicle—require the person in control of the ship or vehicle— (i) to bring the ship or vehicle to a specified place; and (ii) to remain in control of the ship or vehicle at the place for a reasonable time; to enable the inspector to exercise the powers mentioned in paragraphs&#160;(a) to (f) ; or\n- (i) to bring the ship or vehicle to a specified place; and\n- (ii) to remain in control of the ship or vehicle at the place for a reasonable time;\n- (i) if the inspector boards a ship or enters a vehicle—require the person in control of the ship or vehicle to accompany the inspector to enable the inspector to comply with subsection&#160;(6) .\n- (i) to bring the ship or vehicle to a specified place; and\n- (ii) to remain in control of the ship or vehicle at the place for a reasonable time;\n- (a) answering a question; or\n- (b) producing a document (other than a document required to be kept by the person under this Act);","sortOrder":240},{"sectionNumber":"sec.168","sectionType":"section","heading":"Power to seize after boarding ship or entering a vehicle","content":"### sec.168 Power to seize after boarding ship or entering a vehicle\n\nA shipping inspector who boards a ship or enters a vehicle under this part may—\nseize a thing in or on the ship or vehicle; or\nafter searching the ship or vehicle—seize the ship or vehicle;\nif the inspector believes, on reasonable grounds, the thing, ship or vehicle is evidence of the commission of an offence against this Act.\n- (a) seize a thing in or on the ship or vehicle; or\n- (b) after searching the ship or vehicle—seize the ship or vehicle;","sortOrder":241},{"sectionNumber":"sec.169","sectionType":"section","heading":"Power to seize evidence from places","content":"### sec.169 Power to seize evidence from places\n\nA shipping inspector who enters a place under this part under a warrant may seize the evidence for which the warrant was issued.\nA shipping inspector who enters a place under this part with the consent of the occupier may seize the particular thing for which the entry was made if the inspector believes on reasonable grounds the thing is evidence of an offence against this Act.\nA shipping inspector who enters a place under this part may also seize another thing if the inspector believes on reasonable grounds—\nthe thing is evidence of the commission of an offence against this Act; and\nthe seizure is necessary to prevent—\nthe concealment, loss, death or destruction of the thing; or\nthe use of the thing in committing, continuing or repeating the offence.\n(sec.169-ssec.1) A shipping inspector who enters a place under this part under a warrant may seize the evidence for which the warrant was issued.\n(sec.169-ssec.2) A shipping inspector who enters a place under this part with the consent of the occupier may seize the particular thing for which the entry was made if the inspector believes on reasonable grounds the thing is evidence of an offence against this Act.\n(sec.169-ssec.3) A shipping inspector who enters a place under this part may also seize another thing if the inspector believes on reasonable grounds— the thing is evidence of the commission of an offence against this Act; and the seizure is necessary to prevent— the concealment, loss, death or destruction of the thing; or the use of the thing in committing, continuing or repeating the offence.\n- (a) the thing is evidence of the commission of an offence against this Act; and\n- (b) the seizure is necessary to prevent— (i) the concealment, loss, death or destruction of the thing; or (ii) the use of the thing in committing, continuing or repeating the offence.\n- (i) the concealment, loss, death or destruction of the thing; or\n- (ii) the use of the thing in committing, continuing or repeating the offence.\n- (i) the concealment, loss, death or destruction of the thing; or\n- (ii) the use of the thing in committing, continuing or repeating the offence.","sortOrder":242},{"sectionNumber":"sec.170","sectionType":"section","heading":"Procedure after thing seized","content":"### sec.170 Procedure after thing seized\n\nAs soon as practicable after a thing (including a ship or vehicle) is seized by a shipping inspector under this part, the inspector must give a receipt for it to the person from whom it was seized.\nIf, for any reason, it is not practicable to comply with subsection&#160;(1) , the inspector must—\nleave the receipt at the place where the thing was seized; and\nensure the receipt is left in a reasonably secure way in a conspicuous position.\nThe inspector must allow a person who would be entitled to the seized thing if it were not in the inspector’s possession—\nto inspect it; or\nif it is a document—to take extracts from it or make copies of it.\nThe inspector must return the seized thing to the person at the end of—\n6 months; or\nif a prosecution for an offence involving it is started within 6 months—the prosecution for the offence and any appeal from the prosecution.\nDespite subsection&#160;(4) , the inspector must return the seized thing to the person immediately after the inspector stops being satisfied its retention as evidence is necessary.\nHowever, the inspector may keep the seized thing as mentioned in subsection&#160;(4) if the inspector believes, on reasonable grounds, that its continued retention is necessary to prevent its use in committing an offence against this Act.\ns&#160;170 amd 2016 No.&#160;3 s&#160;76 sch&#160;1\n(sec.170-ssec.1) As soon as practicable after a thing (including a ship or vehicle) is seized by a shipping inspector under this part, the inspector must give a receipt for it to the person from whom it was seized.\n(sec.170-ssec.2) If, for any reason, it is not practicable to comply with subsection&#160;(1) , the inspector must— leave the receipt at the place where the thing was seized; and ensure the receipt is left in a reasonably secure way in a conspicuous position.\n(sec.170-ssec.3) The inspector must allow a person who would be entitled to the seized thing if it were not in the inspector’s possession— to inspect it; or if it is a document—to take extracts from it or make copies of it.\n(sec.170-ssec.4) The inspector must return the seized thing to the person at the end of— 6 months; or if a prosecution for an offence involving it is started within 6 months—the prosecution for the offence and any appeal from the prosecution.\n(sec.170-ssec.5) Despite subsection&#160;(4) , the inspector must return the seized thing to the person immediately after the inspector stops being satisfied its retention as evidence is necessary.\n(sec.170-ssec.6) However, the inspector may keep the seized thing as mentioned in subsection&#160;(4) if the inspector believes, on reasonable grounds, that its continued retention is necessary to prevent its use in committing an offence against this Act.\n- (a) leave the receipt at the place where the thing was seized; and\n- (b) ensure the receipt is left in a reasonably secure way in a conspicuous position.\n- (a) to inspect it; or\n- (b) if it is a document—to take extracts from it or make copies of it.\n- (a) 6 months; or\n- (b) if a prosecution for an offence involving it is started within 6 months—the prosecution for the offence and any appeal from the prosecution.","sortOrder":243},{"sectionNumber":"pt.13-div.3A","sectionType":"division","heading":"Additional powers for Queensland regulated ships","content":"## Additional powers for Queensland regulated ships","sortOrder":244},{"sectionNumber":"sec.170A","sectionType":"section","heading":"Application of div&#160;3A","content":"### sec.170A Application of div&#160;3A\n\nThis division applies only to a Queensland regulated ship.\nFor similar powers of marine safety inspectors in relation to domestic commercial vessels, see the national law —\nsection&#160;99 (which provides for vessel monitoring powers)\nsection&#160;109 (which provides for giving directions)\nsection&#160;111 (which provides for issuing prohibition notices).\ns&#160;170A ins 2016 No.&#160;3 s&#160;51\n- • section&#160;99 (which provides for vessel monitoring powers)\n- • section&#160;109 (which provides for giving directions)\n- • section&#160;111 (which provides for issuing prohibition notices).","sortOrder":245},{"sectionNumber":"sec.170B","sectionType":"section","heading":"Power to require production of marine safety equipment","content":"### sec.170B Power to require production of marine safety equipment\n\nA shipping inspector may ask the owner or master operating a ship to make available, for the inspector’s inspection, prescribed safety equipment in a way that is reasonable having regard to the nature of the equipment.\nbringing the prescribed safety equipment to the inspector for inspection\nif the prescribed safety equipment is not easily transportable, identifying where the prescribed safety equipment is kept on the ship\nWhen making a request under subsection&#160;(1) , the shipping inspector must warn the owner or master that, under subsection&#160;(4) , the owner’s or master’s failure to comply with the request without a reasonable excuse may be used as evidence that the ship is not equipped with the prescribed safety equipment.\nThe owner or master of a ship must comply with a request made under subsection&#160;(1) , unless the owner or master has a reasonable excuse for not complying with it.\nIn a proceeding for an offence against section&#160;44 (1) , evidence that a master or owner of a ship has failed to comply with a request made under subsection&#160;(1) without providing a reasonable excuse to the shipping inspector who made the request, is evidence that the ship is not equipped with the prescribed safety equipment.\nSubsection&#160;(1) does not limit the powers of shipping inspectors under sections&#160;165 to 167 or any other provision of this Act.\nIn this section—\nprescribed safety equipment , for a ship, means safety equipment with which the ship is required to be equipped under a regulation.\ns&#160;170B (prev s&#160;167A) ins 2008 No.&#160;67 s&#160;250\nreloc and renum 2016 No.&#160;3 s&#160;50\n(sec.170B-ssec.1) A shipping inspector may ask the owner or master operating a ship to make available, for the inspector’s inspection, prescribed safety equipment in a way that is reasonable having regard to the nature of the equipment. bringing the prescribed safety equipment to the inspector for inspection if the prescribed safety equipment is not easily transportable, identifying where the prescribed safety equipment is kept on the ship\n(sec.170B-ssec.2) When making a request under subsection&#160;(1) , the shipping inspector must warn the owner or master that, under subsection&#160;(4) , the owner’s or master’s failure to comply with the request without a reasonable excuse may be used as evidence that the ship is not equipped with the prescribed safety equipment.\n(sec.170B-ssec.3) The owner or master of a ship must comply with a request made under subsection&#160;(1) , unless the owner or master has a reasonable excuse for not complying with it.\n(sec.170B-ssec.4) In a proceeding for an offence against section&#160;44 (1) , evidence that a master or owner of a ship has failed to comply with a request made under subsection&#160;(1) without providing a reasonable excuse to the shipping inspector who made the request, is evidence that the ship is not equipped with the prescribed safety equipment.\n(sec.170B-ssec.5) Subsection&#160;(1) does not limit the powers of shipping inspectors under sections&#160;165 to 167 or any other provision of this Act.\n(sec.170B-ssec.6) In this section— prescribed safety equipment , for a ship, means safety equipment with which the ship is required to be equipped under a regulation.\n- • bringing the prescribed safety equipment to the inspector for inspection\n- • if the prescribed safety equipment is not easily transportable, identifying where the prescribed safety equipment is kept on the ship","sortOrder":246},{"sectionNumber":"sec.171","sectionType":"section","heading":"Direction if shipping inspector reasonably believes ship is not safe or can not be operated safely","content":"### sec.171 Direction if shipping inspector reasonably believes ship is not safe or can not be operated safely\n\nThis section applies if a shipping inspector reasonably believes that life may be endangered because—\na ship that is being, or is intended to be, operated is not safe; or\na ship can not be operated safely.\nTo allow the ship to be further inspected and, if necessary, surveyed, the shipping inspector may give a written direction to the owner or master of the ship—\nif it is reasonable to require the ship to be inspected at an anchorage, berth, mooring or place on land—to take the ship to the anchorage, berth, mooring or place on land, as stated in the direction; or\nin any other case—to keep the ship at the ship’s current anchorage, berth, mooring or place on land, as stated in the direction, for a period of time stated in the direction.\nThe directed person for the ship must comply with the direction.\nMaximum penalty—200 penalty units.\nFor subsection&#160;(3) , if a person is required to hold a licence of a particular type or class to operate the ship and the directed person does not hold the licence, the directed person must comply with the direction by causing a person who holds the licence to take the ship to the anchorage, berth or mooring as stated in the direction.\nIn this section—\ndirected person , for a ship, means either of the following to whom a direction is given under subsection&#160;(2) —\nthe ship’s owner;\nthe ship’s master.\ns&#160;171 sub 2006 No.&#160;21 s&#160;82\namd 2016 No.&#160;3 s&#160;52\n(sec.171-ssec.1) This section applies if a shipping inspector reasonably believes that life may be endangered because— a ship that is being, or is intended to be, operated is not safe; or a ship can not be operated safely.\n(sec.171-ssec.2) To allow the ship to be further inspected and, if necessary, surveyed, the shipping inspector may give a written direction to the owner or master of the ship— if it is reasonable to require the ship to be inspected at an anchorage, berth, mooring or place on land—to take the ship to the anchorage, berth, mooring or place on land, as stated in the direction; or in any other case—to keep the ship at the ship’s current anchorage, berth, mooring or place on land, as stated in the direction, for a period of time stated in the direction.\n(sec.171-ssec.3) The directed person for the ship must comply with the direction. Maximum penalty—200 penalty units.\n(sec.171-ssec.4) For subsection&#160;(3) , if a person is required to hold a licence of a particular type or class to operate the ship and the directed person does not hold the licence, the directed person must comply with the direction by causing a person who holds the licence to take the ship to the anchorage, berth or mooring as stated in the direction.\n(sec.171-ssec.5) In this section— directed person , for a ship, means either of the following to whom a direction is given under subsection&#160;(2) — the ship’s owner; the ship’s master.\n- (a) a ship that is being, or is intended to be, operated is not safe; or\n- (b) a ship can not be operated safely.\n- (a) if it is reasonable to require the ship to be inspected at an anchorage, berth, mooring or place on land—to take the ship to the anchorage, berth, mooring or place on land, as stated in the direction; or\n- (b) in any other case—to keep the ship at the ship’s current anchorage, berth, mooring or place on land, as stated in the direction, for a period of time stated in the direction.\n- (a) the ship’s owner;\n- (b) the ship’s master.","sortOrder":247},{"sectionNumber":"sec.172","sectionType":"section","heading":"Shipping inspector may direct ship is surveyed and order repairs","content":"### sec.172 Shipping inspector may direct ship is surveyed and order repairs\n\nThis section applies to a ship mentioned in section&#160;171 (1) (a) or (b) , whether or not a direction under section&#160;171 (2) (a) has been given to the owner or master of the ship.\nA shipping inspector may board the ship, inspect it and, if the inspector considers necessary, give a direction to the owner or master to obtain a survey report for the ship, as specified by the inspector, from a competent person.\nIf the shipping inspector is satisfied that life may be endangered because of the state of the ship, the shipping inspector may, by written direction, order the owner or master—\nnot to operate the ship until specified works are carried out to the ship or the ship is provided with specified equipment; or\nto operate the ship only under specified conditions that the shipping inspector considers appropriate for its safe operation.\nAn owner or a master to whom a direction under this section is given must comply with the direction.\nMaximum penalty—500 penalty units or 1 year’s imprisonment.\nHowever, if a contravention of subsection&#160;(4) causes the death of, or grievous bodily harm to, a person, the owner or master commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\ns&#160;172 amd 1996 No.&#160;63 s&#160;16 ; 2006 No.&#160;21 s&#160;83 ; 2016 No.&#160;3 s&#160;53\n(sec.172-ssec.1) This section applies to a ship mentioned in section&#160;171 (1) (a) or (b) , whether or not a direction under section&#160;171 (2) (a) has been given to the owner or master of the ship.\n(sec.172-ssec.2) A shipping inspector may board the ship, inspect it and, if the inspector considers necessary, give a direction to the owner or master to obtain a survey report for the ship, as specified by the inspector, from a competent person.\n(sec.172-ssec.3) If the shipping inspector is satisfied that life may be endangered because of the state of the ship, the shipping inspector may, by written direction, order the owner or master— not to operate the ship until specified works are carried out to the ship or the ship is provided with specified equipment; or to operate the ship only under specified conditions that the shipping inspector considers appropriate for its safe operation.\n(sec.172-ssec.4) An owner or a master to whom a direction under this section is given must comply with the direction. Maximum penalty—500 penalty units or 1 year’s imprisonment.\n(sec.172-ssec.5) However, if a contravention of subsection&#160;(4) causes the death of, or grievous bodily harm to, a person, the owner or master commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n- (a) not to operate the ship until specified works are carried out to the ship or the ship is provided with specified equipment; or\n- (b) to operate the ship only under specified conditions that the shipping inspector considers appropriate for its safe operation.","sortOrder":248},{"sectionNumber":"sec.172AA","sectionType":"section","heading":"Shipping inspector may declare that ship is unseaworthy and must not be operated","content":"### sec.172AA Shipping inspector may declare that ship is unseaworthy and must not be operated\n\nThis section applies if a shipping inspector reasonably believes a ship is unseaworthy.\nBy written notice attached to the ship, the shipping inspector may declare the ship is unseaworthy and must not be operated, other than in a way approved by the shipping inspector.\nA person must not contravene a declaration under subsection&#160;(2) .\nMaximum penalty—200 penalty units.\nIf the identity of the owner or master of the ship is known to the shipping inspector, the shipping inspector must give the owner or master a copy of the declaration.\nAlso, the shipping inspector may, by written direction to the owner or master of the ship, require the owner or master to remove the ship from Queensland waters within a period stated in the direction and in a way approved by the shipping inspector.\nA person given a direction under subsection&#160;(5) must comply with the direction, unless the person has a reasonable excuse.\nMaximum penalty—200 penalty units.\nIf the identity of the owner or master of the ship is not known to the shipping inspector, the ship is taken to be abandoned property for the purposes of section&#160;175A .\ns&#160;172AA ins 2006 No.&#160;21 s&#160;84\n(sec.172AA-ssec.1) This section applies if a shipping inspector reasonably believes a ship is unseaworthy.\n(sec.172AA-ssec.2) By written notice attached to the ship, the shipping inspector may declare the ship is unseaworthy and must not be operated, other than in a way approved by the shipping inspector.\n(sec.172AA-ssec.3) A person must not contravene a declaration under subsection&#160;(2) . Maximum penalty—200 penalty units.\n(sec.172AA-ssec.4) If the identity of the owner or master of the ship is known to the shipping inspector, the shipping inspector must give the owner or master a copy of the declaration.\n(sec.172AA-ssec.5) Also, the shipping inspector may, by written direction to the owner or master of the ship, require the owner or master to remove the ship from Queensland waters within a period stated in the direction and in a way approved by the shipping inspector.\n(sec.172AA-ssec.6) A person given a direction under subsection&#160;(5) must comply with the direction, unless the person has a reasonable excuse. Maximum penalty—200 penalty units.\n(sec.172AA-ssec.7) If the identity of the owner or master of the ship is not known to the shipping inspector, the ship is taken to be abandoned property for the purposes of section&#160;175A .","sortOrder":249},{"sectionNumber":"sec.172A","sectionType":"section","heading":"Other directions","content":"### sec.172A Other directions\n\nThis section applies if a shipping inspector finds—\na person operating a ship that—\nis not registered under this Act; or\nis registered under this Act, but is operating in waters beyond the waters in which the ship is authorised to operate under its registration; or\na person operating a ship as its master, or acting as a crew member of the ship, and the person is not appropriately licensed; or\na person operating a ship that—\nis required by a regulation to be equipped with safety equipment for the waters in which the ship is being operated; and\nis not equipped with the safety equipment.\nIf subsection&#160;(1) (a) (i) or (b) applies, the inspector may, by written notice, require the master of the ship—\nto take the ship to a reasonable anchorage, berth or mooring stated in the notice ( stated destination ) within the reasonable time stated in the notice; and\nto not operate the ship for any purpose other than taking it to the stated destination.\nIf subsection&#160;(1) (a) (ii) applies, the inspector may, by written notice, require the master of the ship—\nto take the ship to waters in which it is authorised to operate under its registration ( operating waters ) within the reasonable time stated in the notice; and\nto not operate the ship for any purpose other than taking it to the operating waters.\nIf subsection&#160;(1) (c) applies, the inspector may, by written notice, require the master of the ship—\nto take the ship to waters for which the ship has the required safety equipment (also operating waters ) within the reasonable time stated in the notice; and\nto not operate the ship for any purpose other than taking it to the operating waters.\nThe master must comply with a requirement under subsection&#160;(2) , (3) or (3A) , unless the master has a reasonable excuse.\nMaximum penalty—200 penalty units.\nIf a master takes a ship to a stated destination as required under subsection&#160;(2) —\nthe master does not contravene section&#160;57 ; or\nthe master or crew member does not contravene section&#160;61 (1) or (2) ;\nwhile operating the ship to take it to the destination.\nIf a master takes a ship to its operating waters as required under subsection&#160;(3) , the master does not contravene section&#160;57 while operating the ship to take it to the waters.\nIf a master takes a ship to its operating waters as required under subsection&#160;(3A) , the master does not contravene section&#160;44 while operating the ship to take it to the waters.\nIf a master complies with a requirement under subsection&#160;(2) , (3) or (3A) , the requirement ceases to have effect when the ship reaches the stated destination or operating waters.\nA notice under subsection&#160;(2) , (3) or (3A) must include a brief statement of the grounds for giving the notice.\nIn this section—\nsafety equipment see section&#160;44 (3) .\ns&#160;172A ins 2001 No.&#160;79 s&#160;74\namd 2010 No.&#160;19 s&#160;245 ; 2016 No.&#160;3 s&#160;54\n(sec.172A-ssec.1) This section applies if a shipping inspector finds— a person operating a ship that— is not registered under this Act; or is registered under this Act, but is operating in waters beyond the waters in which the ship is authorised to operate under its registration; or a person operating a ship as its master, or acting as a crew member of the ship, and the person is not appropriately licensed; or a person operating a ship that— is required by a regulation to be equipped with safety equipment for the waters in which the ship is being operated; and is not equipped with the safety equipment.\n(sec.172A-ssec.2) If subsection&#160;(1) (a) (i) or (b) applies, the inspector may, by written notice, require the master of the ship— to take the ship to a reasonable anchorage, berth or mooring stated in the notice ( stated destination ) within the reasonable time stated in the notice; and to not operate the ship for any purpose other than taking it to the stated destination.\n(sec.172A-ssec.3) If subsection&#160;(1) (a) (ii) applies, the inspector may, by written notice, require the master of the ship— to take the ship to waters in which it is authorised to operate under its registration ( operating waters ) within the reasonable time stated in the notice; and to not operate the ship for any purpose other than taking it to the operating waters.\n(sec.172A-ssec.3A) If subsection&#160;(1) (c) applies, the inspector may, by written notice, require the master of the ship— to take the ship to waters for which the ship has the required safety equipment (also operating waters ) within the reasonable time stated in the notice; and to not operate the ship for any purpose other than taking it to the operating waters.\n(sec.172A-ssec.4) The master must comply with a requirement under subsection&#160;(2) , (3) or (3A) , unless the master has a reasonable excuse. Maximum penalty—200 penalty units.\n(sec.172A-ssec.5) If a master takes a ship to a stated destination as required under subsection&#160;(2) — the master does not contravene section&#160;57 ; or the master or crew member does not contravene section&#160;61 (1) or (2) ; while operating the ship to take it to the destination.\n(sec.172A-ssec.6) If a master takes a ship to its operating waters as required under subsection&#160;(3) , the master does not contravene section&#160;57 while operating the ship to take it to the waters.\n(sec.172A-ssec.6A) If a master takes a ship to its operating waters as required under subsection&#160;(3A) , the master does not contravene section&#160;44 while operating the ship to take it to the waters.\n(sec.172A-ssec.7) If a master complies with a requirement under subsection&#160;(2) , (3) or (3A) , the requirement ceases to have effect when the ship reaches the stated destination or operating waters.\n(sec.172A-ssec.8) A notice under subsection&#160;(2) , (3) or (3A) must include a brief statement of the grounds for giving the notice.\n(sec.172A-ssec.9) In this section— safety equipment see section&#160;44 (3) .\n- (a) a person operating a ship that— (i) is not registered under this Act; or (ii) is registered under this Act, but is operating in waters beyond the waters in which the ship is authorised to operate under its registration; or\n- (i) is not registered under this Act; or\n- (ii) is registered under this Act, but is operating in waters beyond the waters in which the ship is authorised to operate under its registration; or\n- (b) a person operating a ship as its master, or acting as a crew member of the ship, and the person is not appropriately licensed; or\n- (c) a person operating a ship that— (i) is required by a regulation to be equipped with safety equipment for the waters in which the ship is being operated; and (ii) is not equipped with the safety equipment.\n- (i) is required by a regulation to be equipped with safety equipment for the waters in which the ship is being operated; and\n- (ii) is not equipped with the safety equipment.\n- (i) is not registered under this Act; or\n- (ii) is registered under this Act, but is operating in waters beyond the waters in which the ship is authorised to operate under its registration; or\n- (i) is required by a regulation to be equipped with safety equipment for the waters in which the ship is being operated; and\n- (ii) is not equipped with the safety equipment.\n- (a) to take the ship to a reasonable anchorage, berth or mooring stated in the notice ( stated destination ) within the reasonable time stated in the notice; and\n- (b) to not operate the ship for any purpose other than taking it to the stated destination.\n- (a) to take the ship to waters in which it is authorised to operate under its registration ( operating waters ) within the reasonable time stated in the notice; and\n- (b) to not operate the ship for any purpose other than taking it to the operating waters.\n- (a) to take the ship to waters for which the ship has the required safety equipment (also operating waters ) within the reasonable time stated in the notice; and\n- (b) to not operate the ship for any purpose other than taking it to the operating waters.\n- (a) the master does not contravene section&#160;57 ; or\n- (b) the master or crew member does not contravene section&#160;61 (1) or (2) ;","sortOrder":250},{"sectionNumber":"pt.13-div.4","sectionType":"division","heading":"Other enforcement powers of shipping inspectors","content":"## Other enforcement powers of shipping inspectors","sortOrder":251},{"sectionNumber":"sec.173","sectionType":"section","heading":"Power to require name and address","content":"### sec.173 Power to require name and address\n\nA shipping inspector may require a person to state the person’s name and address if the inspector—\nfinds the person committing an offence against this Act; or\nfinds the person in circumstances that lead, or has information that leads, the inspector to suspect on reasonable grounds the person has just committed an offence against this Act.\nWhen making the requirement, the inspector must warn the person it is an offence to fail to state the person’s name and address, unless the person has a reasonable excuse.\nThe inspector may require the person to give evidence of the correctness of the person’s name or address if the inspector suspects, on reasonable grounds, that the name or address given is false.\nA person must comply with a shipping inspector’s requirement under subsection&#160;(1) or (3) , unless the person has a reasonable excuse for not complying with it.\nMaximum penalty—40 penalty units.\nThe person does not commit an offence against this section if—\nthe shipping inspector required the person to state the person’s name and address on suspicion of the person having committed an offence against this Act; and\nthe person is not proved to have committed the offence.\ns&#160;173 amd 2000 No.&#160;5 s&#160;373 sch&#160;3\n(sec.173-ssec.1) A shipping inspector may require a person to state the person’s name and address if the inspector— finds the person committing an offence against this Act; or finds the person in circumstances that lead, or has information that leads, the inspector to suspect on reasonable grounds the person has just committed an offence against this Act.\n(sec.173-ssec.2) When making the requirement, the inspector must warn the person it is an offence to fail to state the person’s name and address, unless the person has a reasonable excuse.\n(sec.173-ssec.3) The inspector may require the person to give evidence of the correctness of the person’s name or address if the inspector suspects, on reasonable grounds, that the name or address given is false.\n(sec.173-ssec.4) A person must comply with a shipping inspector’s requirement under subsection&#160;(1) or (3) , unless the person has a reasonable excuse for not complying with it. Maximum penalty—40 penalty units.\n(sec.173-ssec.5) The person does not commit an offence against this section if— the shipping inspector required the person to state the person’s name and address on suspicion of the person having committed an offence against this Act; and the person is not proved to have committed the offence.\n- (a) finds the person committing an offence against this Act; or\n- (b) finds the person in circumstances that lead, or has information that leads, the inspector to suspect on reasonable grounds the person has just committed an offence against this Act.\n- (a) the shipping inspector required the person to state the person’s name and address on suspicion of the person having committed an offence against this Act; and\n- (b) the person is not proved to have committed the offence.","sortOrder":252},{"sectionNumber":"sec.174","sectionType":"section","heading":"Power to require information from certain persons","content":"### sec.174 Power to require information from certain persons\n\nThis section applies if a shipping inspector suspects, on reasonable grounds—\nan offence against this Act has happened; and\na person may be able to give information about the offence.\nThe shipping inspector may require the person to give information about the offence.\nWhen making the requirement, the shipping inspector must warn the person it is an offence to fail to give the information, unless the person has a reasonable excuse.\nThe person must comply with the requirement, unless the person has a reasonable excuse for not complying with it.\nMaximum penalty—40 penalty units.\nIt is a reasonable excuse for the person to fail to give information if giving the information might tend to incriminate the person.\nThe person does not commit an offence against this section if the information sought by the shipping inspector is not in fact relevant to the offence.\n(sec.174-ssec.1) This section applies if a shipping inspector suspects, on reasonable grounds— an offence against this Act has happened; and a person may be able to give information about the offence.\n(sec.174-ssec.2) The shipping inspector may require the person to give information about the offence.\n(sec.174-ssec.3) When making the requirement, the shipping inspector must warn the person it is an offence to fail to give the information, unless the person has a reasonable excuse.\n(sec.174-ssec.4) The person must comply with the requirement, unless the person has a reasonable excuse for not complying with it. Maximum penalty—40 penalty units.\n(sec.174-ssec.5) It is a reasonable excuse for the person to fail to give information if giving the information might tend to incriminate the person.\n(sec.174-ssec.6) The person does not commit an offence against this section if the information sought by the shipping inspector is not in fact relevant to the offence.\n- (a) an offence against this Act has happened; and\n- (b) a person may be able to give information about the offence.","sortOrder":253},{"sectionNumber":"sec.175","sectionType":"section","heading":"Power to require production of documents","content":"### sec.175 Power to require production of documents\n\nA shipping inspector may require a person to produce a document required to be kept by the person under this Act or the national law to the inspector for inspection.\nThe person must, unless the person has a reasonable excuse, produce the document—\nif the shipping inspector has boarded a ship under section&#160;165 (1) and the document is required to be kept on the ship under this Act, an exemption given under section&#160;18A or the national law —immediately after the shipping inspector makes the requirement; or\notherwise—at a reasonable time and place nominated by the shipping inspector when making the requirement.\nMaximum penalty—40 penalty units.\nThe shipping inspector may keep the document to take an extract from it or make a copy of it.\nThe shipping inspector must return the document to the person as soon as practicable after taking the extract or making the copy.\ns&#160;175 amd 2016 No.&#160;3 s&#160;55\n(sec.175-ssec.1) A shipping inspector may require a person to produce a document required to be kept by the person under this Act or the national law to the inspector for inspection.\n(sec.175-ssec.2) The person must, unless the person has a reasonable excuse, produce the document— if the shipping inspector has boarded a ship under section&#160;165 (1) and the document is required to be kept on the ship under this Act, an exemption given under section&#160;18A or the national law —immediately after the shipping inspector makes the requirement; or otherwise—at a reasonable time and place nominated by the shipping inspector when making the requirement. Maximum penalty—40 penalty units.\n(sec.175-ssec.3) The shipping inspector may keep the document to take an extract from it or make a copy of it.\n(sec.175-ssec.4) The shipping inspector must return the document to the person as soon as practicable after taking the extract or making the copy.\n- (a) if the shipping inspector has boarded a ship under section&#160;165 (1) and the document is required to be kept on the ship under this Act, an exemption given under section&#160;18A or the national law —immediately after the shipping inspector makes the requirement; or\n- (b) otherwise—at a reasonable time and place nominated by the shipping inspector when making the requirement.","sortOrder":254},{"sectionNumber":"pt.13-div.4A","sectionType":"division","heading":"Removing abandoned property","content":"## Removing abandoned property","sortOrder":255},{"sectionNumber":"sec.175A","sectionType":"section","heading":"Removing abandoned property","content":"### sec.175A Removing abandoned property\n\nThis section applies if a shipping inspector reasonably believes that a ship, part of a ship or other property is abandoned property.\nThe inspector may seize the abandoned property and remove it to a place the inspector decides is appropriate.\nBefore seizing and removing the abandoned property, the inspector must—\nif practicable, attach to the abandoned property an intention to seize and remove notice in the approved form ( seizure notice ); and\npublish the seizure notice in a newspaper circulating in the locality where the abandoned property is.\nA seizure notice must include the following particulars—\nthe date the notice is given;\na description of the abandoned property;\nwhere and when the abandoned property was found;\na time, not less than 28 days after the date of the notice, after which, if no one claims the abandoned property, the inspector may seize and remove it to the place stated in the notice;\na statement to the effect of subsection&#160;(5) .\nIf the shipping inspector is reasonably satisfied about either of the following, the shipping inspector may immediately seize and remove the abandoned property without complying with subsection&#160;(3) —\nthe abandoned property is a hazard to ships or navigation or may cause damage to the environment;\nbefore a seizure notice may be published in a newspaper or a time required to be stated in a seizure notice, the abandoned property may become a hazard to ships or navigation or cause damage to the environment.\nIf the shipping inspector seizes and removes the abandoned property under subsection&#160;(4A) , the shipping inspector must publish the following information in a notice in a newspaper circulating in the locality from where the abandoned property was seized—\na description of the abandoned property;\nwhere and when the abandoned property was found;\na statement that the abandoned property was immediately seized and removed;\ninformation about the place to where the abandoned property has been removed;\na statement to the effect of subsection&#160;(5) .\nHaving regard to the abandoned property’s value and condition, the shipping inspector may sell it by public auction or destroy it if—\nno one claims the abandoned property within the time stated in a seizure notice and the shipping inspector seizes and removes the abandoned property; or\nno one claims the abandoned property within 28 days after a notice under subsection&#160;(4B) is published.\nThe proceeds from a sale of the abandoned property must be applied as follows—\nfirstly, in payment of the expenses of the sale;\nsecondly, in payment of the costs of seizing, removing and storing the abandoned property and the seizure notice;\nthirdly, in payment of the balance to the owner of the abandoned property, or if the owner can not be found, to the consolidated fund.\nHowever, if the proceeds of the sale of the abandoned property are insufficient to cover the amounts mentioned in subsection&#160;(6) (a) and (b) , the amount by which the proceeds are insufficient is a debt payable to the State—\nif the abandoned property is a ship or part of a ship and the owner or master of the ship is known—jointly and severally by the owner and master of the ship; or\nif the abandoned property is not a ship or part of a ship and the owner is known—by the owner of the abandoned property; or\nif the owner of the abandoned property is not known but a person was registered under an Act as its owner at the time of the abandonment, loss or stranding—the registered person.\nA secured party can not enforce any security interest in the proceeds of sale against an entity to whom an amount is payable under subsection&#160;(7) (a) or (b) .\nIn this section—\nabandoned property means a ship, part of a ship, or other property, that is abandoned, lost or stranded in Queensland waters or on land adjacent to Queensland waters.\nmudflats, banks of rivers, bays\nproperty does not include land or an interest in land.\nsecured party has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;10 .\nsecurity interest has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;12 .\ns&#160;175A ins 2001 No.&#160;79 s&#160;75\namd 2006 No.&#160;21 s&#160;85 ; 2010 No.&#160;44 s&#160;223\n(sec.175A-ssec.1) This section applies if a shipping inspector reasonably believes that a ship, part of a ship or other property is abandoned property.\n(sec.175A-ssec.2) The inspector may seize the abandoned property and remove it to a place the inspector decides is appropriate.\n(sec.175A-ssec.3) Before seizing and removing the abandoned property, the inspector must— if practicable, attach to the abandoned property an intention to seize and remove notice in the approved form ( seizure notice ); and publish the seizure notice in a newspaper circulating in the locality where the abandoned property is.\n(sec.175A-ssec.4) A seizure notice must include the following particulars— the date the notice is given; a description of the abandoned property; where and when the abandoned property was found; a time, not less than 28 days after the date of the notice, after which, if no one claims the abandoned property, the inspector may seize and remove it to the place stated in the notice; a statement to the effect of subsection&#160;(5) .\n(sec.175A-ssec.4A) If the shipping inspector is reasonably satisfied about either of the following, the shipping inspector may immediately seize and remove the abandoned property without complying with subsection&#160;(3) — the abandoned property is a hazard to ships or navigation or may cause damage to the environment; before a seizure notice may be published in a newspaper or a time required to be stated in a seizure notice, the abandoned property may become a hazard to ships or navigation or cause damage to the environment.\n(sec.175A-ssec.4B) If the shipping inspector seizes and removes the abandoned property under subsection&#160;(4A) , the shipping inspector must publish the following information in a notice in a newspaper circulating in the locality from where the abandoned property was seized— a description of the abandoned property; where and when the abandoned property was found; a statement that the abandoned property was immediately seized and removed; information about the place to where the abandoned property has been removed; a statement to the effect of subsection&#160;(5) .\n(sec.175A-ssec.5) Having regard to the abandoned property’s value and condition, the shipping inspector may sell it by public auction or destroy it if— no one claims the abandoned property within the time stated in a seizure notice and the shipping inspector seizes and removes the abandoned property; or no one claims the abandoned property within 28 days after a notice under subsection&#160;(4B) is published.\n(sec.175A-ssec.6) The proceeds from a sale of the abandoned property must be applied as follows— firstly, in payment of the expenses of the sale; secondly, in payment of the costs of seizing, removing and storing the abandoned property and the seizure notice; thirdly, in payment of the balance to the owner of the abandoned property, or if the owner can not be found, to the consolidated fund.\n(sec.175A-ssec.7) However, if the proceeds of the sale of the abandoned property are insufficient to cover the amounts mentioned in subsection&#160;(6) (a) and (b) , the amount by which the proceeds are insufficient is a debt payable to the State— if the abandoned property is a ship or part of a ship and the owner or master of the ship is known—jointly and severally by the owner and master of the ship; or if the abandoned property is not a ship or part of a ship and the owner is known—by the owner of the abandoned property; or if the owner of the abandoned property is not known but a person was registered under an Act as its owner at the time of the abandonment, loss or stranding—the registered person.\n(sec.175A-ssec.7A) A secured party can not enforce any security interest in the proceeds of sale against an entity to whom an amount is payable under subsection&#160;(7) (a) or (b) .\n(sec.175A-ssec.8) In this section— abandoned property means a ship, part of a ship, or other property, that is abandoned, lost or stranded in Queensland waters or on land adjacent to Queensland waters. mudflats, banks of rivers, bays property does not include land or an interest in land. secured party has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;10 . security interest has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;12 .\n- (a) if practicable, attach to the abandoned property an intention to seize and remove notice in the approved form ( seizure notice ); and\n- (b) publish the seizure notice in a newspaper circulating in the locality where the abandoned property is.\n- (a) the date the notice is given;\n- (b) a description of the abandoned property;\n- (c) where and when the abandoned property was found;\n- (d) a time, not less than 28 days after the date of the notice, after which, if no one claims the abandoned property, the inspector may seize and remove it to the place stated in the notice;\n- (e) a statement to the effect of subsection&#160;(5) .\n- (a) the abandoned property is a hazard to ships or navigation or may cause damage to the environment;\n- (b) before a seizure notice may be published in a newspaper or a time required to be stated in a seizure notice, the abandoned property may become a hazard to ships or navigation or cause damage to the environment.\n- (a) a description of the abandoned property;\n- (b) where and when the abandoned property was found;\n- (c) a statement that the abandoned property was immediately seized and removed;\n- (d) information about the place to where the abandoned property has been removed;\n- (e) a statement to the effect of subsection&#160;(5) .\n- (a) no one claims the abandoned property within the time stated in a seizure notice and the shipping inspector seizes and removes the abandoned property; or\n- (b) no one claims the abandoned property within 28 days after a notice under subsection&#160;(4B) is published.\n- (a) firstly, in payment of the expenses of the sale;\n- (b) secondly, in payment of the costs of seizing, removing and storing the abandoned property and the seizure notice;\n- (c) thirdly, in payment of the balance to the owner of the abandoned property, or if the owner can not be found, to the consolidated fund.\n- (a) if the abandoned property is a ship or part of a ship and the owner or master of the ship is known—jointly and severally by the owner and master of the ship; or\n- (b) if the abandoned property is not a ship or part of a ship and the owner is known—by the owner of the abandoned property; or\n- (c) if the owner of the abandoned property is not known but a person was registered under an Act as its owner at the time of the abandonment, loss or stranding—the registered person.","sortOrder":256},{"sectionNumber":"pt.13-div.5","sectionType":"division","heading":"Other enforcement matters","content":"## Other enforcement matters","sortOrder":257},{"sectionNumber":"sec.176","sectionType":"section","heading":"False or misleading statements","content":"### sec.176 False or misleading statements\n\nA person must not state anything to a shipping inspector that the person knows is false or misleading in a material particular.\nMaximum penalty—200 penalty units.\ns&#160;176 sub 2006 No.&#160;21 s&#160;86","sortOrder":258},{"sectionNumber":"sec.177","sectionType":"section","heading":"False or misleading documents","content":"### sec.177 False or misleading documents\n\nA person must not give a shipping inspector a document containing information the person knows is false or misleading in a material particular.\nMaximum penalty—200 penalty units.\nSubsection&#160;(1) does not apply to a person if the person, when giving the document—\ninforms the shipping inspector, to the best of the person’s ability, how it is false or misleading; and\nif the person has, or can reasonably obtain, the correct information, gives the correct information.\ns&#160;177 sub 2006 No.&#160;21 s&#160;86\n(sec.177-ssec.1) A person must not give a shipping inspector a document containing information the person knows is false or misleading in a material particular. Maximum penalty—200 penalty units.\n(sec.177-ssec.2) Subsection&#160;(1) does not apply to a person if the person, when giving the document— informs the shipping inspector, to the best of the person’s ability, how it is false or misleading; and if the person has, or can reasonably obtain, the correct information, gives the correct information.\n- (a) informs the shipping inspector, to the best of the person’s ability, how it is false or misleading; and\n- (b) if the person has, or can reasonably obtain, the correct information, gives the correct information.","sortOrder":259},{"sectionNumber":"sec.178","sectionType":"section","heading":"Compensation","content":"### sec.178 Compensation\n\nA person may claim compensation from the State if the person incurs loss or expense because of the exercise or purported exercise of a power under this part.\nPayment of compensation may be claimed and ordered in a proceeding for—\ncompensation brought in a court of competent jurisdiction; or\nan offence against this Act brought against the person making the claim for compensation.\nA court may order the payment of compensation for the loss or expense only if it is satisfied it is just to make the order in the circumstances of the particular case.\n(sec.178-ssec.1) A person may claim compensation from the State if the person incurs loss or expense because of the exercise or purported exercise of a power under this part.\n(sec.178-ssec.2) Payment of compensation may be claimed and ordered in a proceeding for— compensation brought in a court of competent jurisdiction; or an offence against this Act brought against the person making the claim for compensation.\n(sec.178-ssec.3) A court may order the payment of compensation for the loss or expense only if it is satisfied it is just to make the order in the circumstances of the particular case.\n- (a) compensation brought in a court of competent jurisdiction; or\n- (b) an offence against this Act brought against the person making the claim for compensation.","sortOrder":260},{"sectionNumber":"sec.179","sectionType":"section","heading":"Shipping inspector to give notice of damage","content":"### sec.179 Shipping inspector to give notice of damage\n\nA shipping inspector who, in the exercise of a power under this part, damages anything must promptly give written notice of the particulars of the damage.\nThe notice must be given—\nif the thing is a ship or is on a ship—to the ship’s master; or\nin any other case—to the person who appears to the inspector to be the owner of the thing.\nIf, for any reason, it is not practicable to comply with subsection&#160;(2) , the shipping inspector must—\nleave the notice at the place where the damage happened; and\nensure the notice is left in a reasonably secured way in a conspicuous position.\n(sec.179-ssec.1) A shipping inspector who, in the exercise of a power under this part, damages anything must promptly give written notice of the particulars of the damage.\n(sec.179-ssec.2) The notice must be given— if the thing is a ship or is on a ship—to the ship’s master; or in any other case—to the person who appears to the inspector to be the owner of the thing.\n(sec.179-ssec.3) If, for any reason, it is not practicable to comply with subsection&#160;(2) , the shipping inspector must— leave the notice at the place where the damage happened; and ensure the notice is left in a reasonably secured way in a conspicuous position.\n- (a) if the thing is a ship or is on a ship—to the ship’s master; or\n- (b) in any other case—to the person who appears to the inspector to be the owner of the thing.\n- (a) leave the notice at the place where the damage happened; and\n- (b) ensure the notice is left in a reasonably secured way in a conspicuous position.","sortOrder":261},{"sectionNumber":"sec.180","sectionType":"section","heading":"Consent to entry","content":"### sec.180 Consent to entry\n\nThis section applies if a shipping inspector intends to seek the consent of an occupier of a place to the entry of the place by the inspector under this part.\nBefore seeking the consent, the inspector may inform the occupier that the occupier may refuse to give the consent.\nIf the consent is given, the inspector may ask the occupier to sign an acknowledgement of the consent.\nThe acknowledgement must—\nstate the occupier was informed of the occupier’s right to refuse to give the consent; and\nstate the occupier gave the inspector consent under this part—\nto enter the place; and\nto exercise the powers mentioned in section&#160;167 ; and\nspecify the time and date when the consent was given.\n(sec.180-ssec.1) This section applies if a shipping inspector intends to seek the consent of an occupier of a place to the entry of the place by the inspector under this part.\n(sec.180-ssec.2) Before seeking the consent, the inspector may inform the occupier that the occupier may refuse to give the consent.\n(sec.180-ssec.3) If the consent is given, the inspector may ask the occupier to sign an acknowledgement of the consent.\n(sec.180-ssec.4) The acknowledgement must— state the occupier was informed of the occupier’s right to refuse to give the consent; and state the occupier gave the inspector consent under this part— to enter the place; and to exercise the powers mentioned in section&#160;167 ; and specify the time and date when the consent was given.\n- (a) state the occupier was informed of the occupier’s right to refuse to give the consent; and\n- (b) state the occupier gave the inspector consent under this part— (i) to enter the place; and (ii) to exercise the powers mentioned in section&#160;167 ; and\n- (i) to enter the place; and\n- (ii) to exercise the powers mentioned in section&#160;167 ; and\n- (c) specify the time and date when the consent was given.\n- (i) to enter the place; and\n- (ii) to exercise the powers mentioned in section&#160;167 ; and","sortOrder":262},{"sectionNumber":"sec.181","sectionType":"section","heading":"Evidence of consent","content":"### sec.181 Evidence of consent\n\nThis section applies to a proceeding if—\na question arises whether an occupier of a place consented to the entry of the place by a shipping inspector under this part; and\nan acknowledgement under section&#160;180 is not produced in evidence.\nIn a proceeding to which this section applies, the court may presume the occupier did not consent unless the contrary is proved.\n(sec.181-ssec.1) This section applies to a proceeding if— a question arises whether an occupier of a place consented to the entry of the place by a shipping inspector under this part; and an acknowledgement under section&#160;180 is not produced in evidence.\n(sec.181-ssec.2) In a proceeding to which this section applies, the court may presume the occupier did not consent unless the contrary is proved.\n- (a) a question arises whether an occupier of a place consented to the entry of the place by a shipping inspector under this part; and\n- (b) an acknowledgement under section&#160;180 is not produced in evidence.","sortOrder":263},{"sectionNumber":"sec.182","sectionType":"section","heading":"Obstruction of shipping inspectors","content":"### sec.182 Obstruction of shipping inspectors\n\nA person must not obstruct a shipping inspector in the exercise of a power, unless the person has a reasonable excuse.\nMaximum penalty—200 penalty units.\nIf a person has obstructed a shipping inspector, the inspector must—\nwarn the person it is an offence to obstruct the inspector, unless the person has a reasonable excuse; and\nidentify the act or omission that the inspector considers is the obstruction; and\ntell the person that if the person continues to obstruct the shipping inspector, the shipping inspector may ask a police officer to help the shipping inspector exercise the power.\nSubsection&#160;(2) does not apply to a shipping inspector who is a police officer.\ns&#160;182 amd 2000 No.&#160;5 s&#160;373 sch&#160;3\n(sec.182-ssec.1) A person must not obstruct a shipping inspector in the exercise of a power, unless the person has a reasonable excuse. Maximum penalty—200 penalty units.\n(sec.182-ssec.2) If a person has obstructed a shipping inspector, the inspector must— warn the person it is an offence to obstruct the inspector, unless the person has a reasonable excuse; and identify the act or omission that the inspector considers is the obstruction; and tell the person that if the person continues to obstruct the shipping inspector, the shipping inspector may ask a police officer to help the shipping inspector exercise the power.\n(sec.182-ssec.3) Subsection&#160;(2) does not apply to a shipping inspector who is a police officer.\n- (a) warn the person it is an offence to obstruct the inspector, unless the person has a reasonable excuse; and\n- (b) identify the act or omission that the inspector considers is the obstruction; and\n- (c) tell the person that if the person continues to obstruct the shipping inspector, the shipping inspector may ask a police officer to help the shipping inspector exercise the power.","sortOrder":264},{"sectionNumber":"sec.183","sectionType":"section","heading":"Impersonation of shipping inspector","content":"### sec.183 Impersonation of shipping inspector\n\nA person must not pretend to be a shipping inspector.\nMaximum penalty—40 penalty units.","sortOrder":265},{"sectionNumber":"pt.13A","sectionType":"part","heading":"Securing compliance with Act","content":"# Securing compliance with Act","sortOrder":266},{"sectionNumber":"pt.13A-div.1","sectionType":"division","heading":"Purpose","content":"## Purpose","sortOrder":267},{"sectionNumber":"sec.183A","sectionType":"section","heading":"Purpose of pt&#160;13A","content":"### sec.183A Purpose of pt&#160;13A\n\nThe purpose of this part is to provide for alternative ways of ensuring compliance with this Act.\nDivision&#160;2 provides for enforcement orders and interim enforcement orders if a person has failed to comply with any of the following—\na direction or requirement given to the person by the general manager, a harbour master or a shipping inspector;\na division&#160;3 undertaking given by the person to the general manager.\nDivision&#160;3 provides for undertakings.\npt&#160;13A div&#160;1 (s 183A) ins 2006 No.&#160;21 s&#160;87\n(sec.183A-ssec.1) The purpose of this part is to provide for alternative ways of ensuring compliance with this Act.\n(sec.183A-ssec.2) Division&#160;2 provides for enforcement orders and interim enforcement orders if a person has failed to comply with any of the following— a direction or requirement given to the person by the general manager, a harbour master or a shipping inspector; a division&#160;3 undertaking given by the person to the general manager.\n(sec.183A-ssec.3) Division&#160;3 provides for undertakings.\n- (a) a direction or requirement given to the person by the general manager, a harbour master or a shipping inspector;\n- (b) a division&#160;3 undertaking given by the person to the general manager.","sortOrder":268},{"sectionNumber":"pt.13A-div.2","sectionType":"division","heading":"Enforcement orders and interim enforcement orders","content":"## Enforcement orders and interim enforcement orders","sortOrder":269},{"sectionNumber":"sec.183B","sectionType":"section","heading":"Proceeding for enforcement order or interim enforcement order","content":"### sec.183B Proceeding for enforcement order or interim enforcement order\n\nA prescribed applicant may bring a proceeding in the District Court for any of the following—\nan enforcement order;\nan order cancelling or amending an enforcement order or interim enforcement order.\ns&#160;183B ins 2006 No.&#160;21 s&#160;87\n- (a) an enforcement order;\n- (b) an order cancelling or amending an enforcement order or interim enforcement order.","sortOrder":270},{"sectionNumber":"sec.183C","sectionType":"section","heading":"Making enforcement order","content":"### sec.183C Making enforcement order\n\nThe District Court may make an enforcement order if the court is satisfied about any of the following—\na notice offence has been committed or, unless an enforcement order is made, will be committed;\na division&#160;3 undertaking has been contravened or, unless an enforcement order is made, will be contravened.\nSubsection&#160;(1) applies whether or not there has been a prosecution for the notice offence.\ns&#160;183C ins 2006 No.&#160;21 s&#160;87\n(sec.183C-ssec.1) The District Court may make an enforcement order if the court is satisfied about any of the following— a notice offence has been committed or, unless an enforcement order is made, will be committed; a division&#160;3 undertaking has been contravened or, unless an enforcement order is made, will be contravened.\n(sec.183C-ssec.2) Subsection&#160;(1) applies whether or not there has been a prosecution for the notice offence.\n- (a) a notice offence has been committed or, unless an enforcement order is made, will be committed;\n- (b) a division&#160;3 undertaking has been contravened or, unless an enforcement order is made, will be contravened.","sortOrder":271},{"sectionNumber":"sec.183D","sectionType":"section","heading":"Making interim enforcement order","content":"### sec.183D Making interim enforcement order\n\nIf a prescribed applicant has brought a proceeding for an enforcement order but the District Court has not decided the proceeding, the court may make an interim enforcement order if it is satisfied it would be appropriate to make the interim enforcement order.\nThe District Court may make the interim enforcement order on application by the prescribed applicant or on its own initiative.\nAn interim enforcement order may be made subject to conditions.\ns&#160;183D ins 2006 No.&#160;21 s&#160;87\n(sec.183D-ssec.1) If a prescribed applicant has brought a proceeding for an enforcement order but the District Court has not decided the proceeding, the court may make an interim enforcement order if it is satisfied it would be appropriate to make the interim enforcement order.\n(sec.183D-ssec.2) The District Court may make the interim enforcement order on application by the prescribed applicant or on its own initiative.\n(sec.183D-ssec.3) An interim enforcement order may be made subject to conditions.","sortOrder":272},{"sectionNumber":"sec.183E","sectionType":"section","heading":"Effect of order","content":"### sec.183E Effect of order\n\nAn enforcement order or an interim enforcement order may direct a person (the respondent ) to do 1 or more of the following—\nto stop an activity that constitutes, or will constitute, a notice offence or a contravention of a division&#160;3 undertaking;\nnot to start an activity that will constitute a notice offence or a contravention of a division&#160;3 undertaking;\nto do anything required to stop committing a notice offence, or a contravention of a division&#160;3 undertaking, including, for example, requiring the repair, demolition or removal of a ship or a part of a ship.\nIf an enforcement order or an interim enforcement order is made as mentioned in subsection&#160;(1) , the District Court may do either or both of the following—\ndirect the respondent to give a security bond to the State for a stated period for a matter mentioned in the enforcement order or interim enforcement order;\nmake another order the court considers appropriate.\nAn enforcement order or interim enforcement order—\nmay be in terms the District Court considers appropriate to secure compliance with this Act; and\nmust state the time by which the order is to be complied with.\nA person who contravenes an enforcement order or interim enforcement order commits an offence against this Act.\nMaximum penalty—500 penalty units or 1 year’s imprisonment.\nThe District Court may order the forfeiture to the State of all or part of the security bond given by the respondent under subsection&#160;(2) (a) if—\na prescribed applicant applies to the court for an order for the forfeiture of all or part of the security bond; and\nthe court is satisfied that the respondent contravened the enforcement order or interim enforcement order during the period for which the security bond was given, whether or not the respondent has been prosecuted for an offence against subsection&#160;(4) .\ns&#160;183E ins 2006 No.&#160;21 s&#160;87\n(sec.183E-ssec.1) An enforcement order or an interim enforcement order may direct a person (the respondent ) to do 1 or more of the following— to stop an activity that constitutes, or will constitute, a notice offence or a contravention of a division&#160;3 undertaking; not to start an activity that will constitute a notice offence or a contravention of a division&#160;3 undertaking; to do anything required to stop committing a notice offence, or a contravention of a division&#160;3 undertaking, including, for example, requiring the repair, demolition or removal of a ship or a part of a ship.\n(sec.183E-ssec.2) If an enforcement order or an interim enforcement order is made as mentioned in subsection&#160;(1) , the District Court may do either or both of the following— direct the respondent to give a security bond to the State for a stated period for a matter mentioned in the enforcement order or interim enforcement order; make another order the court considers appropriate.\n(sec.183E-ssec.3) An enforcement order or interim enforcement order— may be in terms the District Court considers appropriate to secure compliance with this Act; and must state the time by which the order is to be complied with.\n(sec.183E-ssec.4) A person who contravenes an enforcement order or interim enforcement order commits an offence against this Act. Maximum penalty—500 penalty units or 1 year’s imprisonment.\n(sec.183E-ssec.5) The District Court may order the forfeiture to the State of all or part of the security bond given by the respondent under subsection&#160;(2) (a) if— a prescribed applicant applies to the court for an order for the forfeiture of all or part of the security bond; and the court is satisfied that the respondent contravened the enforcement order or interim enforcement order during the period for which the security bond was given, whether or not the respondent has been prosecuted for an offence against subsection&#160;(4) .\n- (a) to stop an activity that constitutes, or will constitute, a notice offence or a contravention of a division&#160;3 undertaking;\n- (b) not to start an activity that will constitute a notice offence or a contravention of a division&#160;3 undertaking;\n- (c) to do anything required to stop committing a notice offence, or a contravention of a division&#160;3 undertaking, including, for example, requiring the repair, demolition or removal of a ship or a part of a ship.\n- (a) direct the respondent to give a security bond to the State for a stated period for a matter mentioned in the enforcement order or interim enforcement order;\n- (b) make another order the court considers appropriate.\n- (a) may be in terms the District Court considers appropriate to secure compliance with this Act; and\n- (b) must state the time by which the order is to be complied with.\n- (a) a prescribed applicant applies to the court for an order for the forfeiture of all or part of the security bond; and\n- (b) the court is satisfied that the respondent contravened the enforcement order or interim enforcement order during the period for which the security bond was given, whether or not the respondent has been prosecuted for an offence against subsection&#160;(4) .","sortOrder":273},{"sectionNumber":"sec.183F","sectionType":"section","heading":"Powers of District Court about enforcement order or interim enforcement order","content":"### sec.183F Powers of District Court about enforcement order or interim enforcement order\n\nThe District Court’s power to make an enforcement order or interim enforcement order to stop, or not to start, an activity may be exercised whether or not—\nit appears to the court that the person against whom the order is made intends to engage, or to continue to engage, in the activity; or\nthe person has previously engaged in an activity of the kind; or\nit appears to the court a marine incident may happen if the person engages, or continues to engage, in the activity.\nThe District Court’s power to make an enforcement order or interim enforcement order to do anything may be exercised whether or not—\nit appears to the court that the person against whom the order is made intends to fail, or to continue to fail, to do the thing; or\nthe person has previously failed to do a thing of the kind; or\nit appears to the court a marine incident may happen if the person fails, or continues to fail, to do the thing.\nThe District Court may cancel or amend an enforcement order or interim enforcement order.\nThe District Court’s power under this section is in addition to its other powers.\ns&#160;183F ins 2006 No.&#160;21 s&#160;87\n(sec.183F-ssec.1) The District Court’s power to make an enforcement order or interim enforcement order to stop, or not to start, an activity may be exercised whether or not— it appears to the court that the person against whom the order is made intends to engage, or to continue to engage, in the activity; or the person has previously engaged in an activity of the kind; or it appears to the court a marine incident may happen if the person engages, or continues to engage, in the activity.\n(sec.183F-ssec.2) The District Court’s power to make an enforcement order or interim enforcement order to do anything may be exercised whether or not— it appears to the court that the person against whom the order is made intends to fail, or to continue to fail, to do the thing; or the person has previously failed to do a thing of the kind; or it appears to the court a marine incident may happen if the person fails, or continues to fail, to do the thing.\n(sec.183F-ssec.3) The District Court may cancel or amend an enforcement order or interim enforcement order.\n(sec.183F-ssec.4) The District Court’s power under this section is in addition to its other powers.\n- (a) it appears to the court that the person against whom the order is made intends to engage, or to continue to engage, in the activity; or\n- (b) the person has previously engaged in an activity of the kind; or\n- (c) it appears to the court a marine incident may happen if the person engages, or continues to engage, in the activity.\n- (a) it appears to the court that the person against whom the order is made intends to fail, or to continue to fail, to do the thing; or\n- (b) the person has previously failed to do a thing of the kind; or\n- (c) it appears to the court a marine incident may happen if the person fails, or continues to fail, to do the thing.","sortOrder":274},{"sectionNumber":"sec.183G","sectionType":"section","heading":"No undertaking as to damages or costs may be required","content":"### sec.183G No undertaking as to damages or costs may be required\n\nTo remove any doubt, it is declared that no undertaking as to damages or costs may be required of a prescribed applicant or the State in relation to an enforcement order or interim enforcement order.\ns&#160;183G ins 2006 No.&#160;21 s&#160;87","sortOrder":275},{"sectionNumber":"sec.183GA","sectionType":"section","heading":"Further power of District Court if enforcement order is contravened","content":"### sec.183GA Further power of District Court if enforcement order is contravened\n\nIf the respondent contravenes an enforcement order, the District Court may, by further order, authorise the prescribed applicant to take the action stated in the further order.\nThe District Court’s power under this section is in addition to its other powers.\nIn this section—\nprescribed applicant means the prescribed applicant for the enforcement order.\nrespondent means the person against whom the enforcement order is made.\ns&#160;183GA ins 2008 No.&#160;67 s&#160;251\n(sec.183GA-ssec.1) If the respondent contravenes an enforcement order, the District Court may, by further order, authorise the prescribed applicant to take the action stated in the further order.\n(sec.183GA-ssec.2) The District Court’s power under this section is in addition to its other powers.\n(sec.183GA-ssec.3) In this section— prescribed applicant means the prescribed applicant for the enforcement order. respondent means the person against whom the enforcement order is made.","sortOrder":276},{"sectionNumber":"sec.183GB","sectionType":"section","heading":"Recovery by State of expenses of taking authorised action","content":"### sec.183GB Recovery by State of expenses of taking authorised action\n\nThis section applies if the prescribed applicant incurs expense, whether the expense is the prescribed applicant’s expense or the State’s expense, in taking the authorised action.\nThe State may recover the amount of the expense, as a debt, from the persons liable for the expense.\nIf, under subsection&#160;(2) , more than 1 person is liable for the same expense, the persons who are liable for the expense are jointly and severally liable.\ns&#160;183GB ins 2008 No.&#160;67 s&#160;251\n(sec.183GB-ssec.1) This section applies if the prescribed applicant incurs expense, whether the expense is the prescribed applicant’s expense or the State’s expense, in taking the authorised action.\n(sec.183GB-ssec.2) The State may recover the amount of the expense, as a debt, from the persons liable for the expense.\n(sec.183GB-ssec.3) If, under subsection&#160;(2) , more than 1 person is liable for the same expense, the persons who are liable for the expense are jointly and severally liable.","sortOrder":277},{"sectionNumber":"sec.183GC","sectionType":"section","heading":"Recovery by other persons of damages in particular circumstances","content":"### sec.183GC Recovery by other persons of damages in particular circumstances\n\nIf, in taking the authorised action, the prescribed applicant attaches a ship (the first ship ) to another ship or a buoy, wharf or pile, this Act does not prevent the owner or master of the other ship, or the owner of the buoy, wharf or pile, from recovering damages for injury or loss suffered, because of the attachment, from the owner or master of the first ship.\ns&#160;183GC ins 2008 No.&#160;67 s&#160;251","sortOrder":278},{"sectionNumber":"pt.13A-div.3","sectionType":"division","heading":"Undertakings","content":"## Undertakings","sortOrder":279},{"sectionNumber":"sec.183H","sectionType":"section","heading":"General manager may seek division&#160;3 undertaking","content":"### sec.183H General manager may seek division&#160;3 undertaking\n\nThis section applies if the general manager reasonably believes a person has contravened, will contravene or will be involved in a contravention of, this Act.\nThe general manager may, by written notice given to the person—\nstate the act or omission the general manager believes is, or will constitute, the contravention or involvement with the contravention; and\nask the person to give the general manager a written undertaking under this division (a division&#160;3 undertaking ) that the person will not commit, continue to commit or repeat the act or omission.\npt&#160;13A div&#160;3 (ss 183H–183L) ins 2006 No.&#160;21 s&#160;87\n(sec.183H-ssec.1) This section applies if the general manager reasonably believes a person has contravened, will contravene or will be involved in a contravention of, this Act.\n(sec.183H-ssec.2) The general manager may, by written notice given to the person— state the act or omission the general manager believes is, or will constitute, the contravention or involvement with the contravention; and ask the person to give the general manager a written undertaking under this division (a division&#160;3 undertaking ) that the person will not commit, continue to commit or repeat the act or omission.\n- (a) state the act or omission the general manager believes is, or will constitute, the contravention or involvement with the contravention; and\n- (b) ask the person to give the general manager a written undertaking under this division (a division&#160;3 undertaking ) that the person will not commit, continue to commit or repeat the act or omission.","sortOrder":280},{"sectionNumber":"sec.183I","sectionType":"section","heading":"Undertaking about other matter","content":"### sec.183I Undertaking about other matter\n\nWithout limiting section&#160;183H , the general manager may accept a division&#160;3 undertaking given by a person for this division about anything for which the chief executive, the general manager or a harbour master has a function or power under this Act.\npt&#160;13A div&#160;3 (ss 183H–183L) ins 2006 No.&#160;21 s&#160;87","sortOrder":281},{"sectionNumber":"sec.183J","sectionType":"section","heading":"Variation and withdrawal of division&#160;3 undertaking","content":"### sec.183J Variation and withdrawal of division&#160;3 undertaking\n\nThis section applies if the general manager has accepted a division&#160;3 undertaking given by a person.\nThe person may vary or withdraw the division&#160;3 undertaking only if the general manager agrees to the variation or withdrawal.\nThe general manager may—\nvary the division&#160;3 undertaking only if the person agrees to the variation; or\nwithdraw the division&#160;3 undertaking only if the general manager reasonably believes either of the following—\nbefore the division&#160;3 undertaking was accepted, the person contravened this Act in a way unknown to the general manager and, had the general manager known about the contravention, he or she would not have accepted the division&#160;3 undertaking;\nthe division&#160;3 undertaking is no longer necessary.\nIf a division&#160;3 undertaking is varied or withdrawn under this section, the general manager must give written notice of the variation or withdrawal to the person.\nThe variation or withdrawal takes effect when written notice of the variation or withdrawal is given to the person.\npt&#160;13A div&#160;3 (ss 183H–183L) ins 2006 No.&#160;21 s&#160;87\n(sec.183J-ssec.1) This section applies if the general manager has accepted a division&#160;3 undertaking given by a person.\n(sec.183J-ssec.2) The person may vary or withdraw the division&#160;3 undertaking only if the general manager agrees to the variation or withdrawal.\n(sec.183J-ssec.3) The general manager may— vary the division&#160;3 undertaking only if the person agrees to the variation; or withdraw the division&#160;3 undertaking only if the general manager reasonably believes either of the following— before the division&#160;3 undertaking was accepted, the person contravened this Act in a way unknown to the general manager and, had the general manager known about the contravention, he or she would not have accepted the division&#160;3 undertaking; the division&#160;3 undertaking is no longer necessary.\n(sec.183J-ssec.4) If a division&#160;3 undertaking is varied or withdrawn under this section, the general manager must give written notice of the variation or withdrawal to the person.\n(sec.183J-ssec.5) The variation or withdrawal takes effect when written notice of the variation or withdrawal is given to the person.\n- (a) vary the division&#160;3 undertaking only if the person agrees to the variation; or\n- (b) withdraw the division&#160;3 undertaking only if the general manager reasonably believes either of the following— (i) before the division&#160;3 undertaking was accepted, the person contravened this Act in a way unknown to the general manager and, had the general manager known about the contravention, he or she would not have accepted the division&#160;3 undertaking; (ii) the division&#160;3 undertaking is no longer necessary.\n- (i) before the division&#160;3 undertaking was accepted, the person contravened this Act in a way unknown to the general manager and, had the general manager known about the contravention, he or she would not have accepted the division&#160;3 undertaking;\n- (ii) the division&#160;3 undertaking is no longer necessary.\n- (i) before the division&#160;3 undertaking was accepted, the person contravened this Act in a way unknown to the general manager and, had the general manager known about the contravention, he or she would not have accepted the division&#160;3 undertaking;\n- (ii) the division&#160;3 undertaking is no longer necessary.","sortOrder":282},{"sectionNumber":"sec.183K","sectionType":"section","heading":"Enforcement of division&#160;3 undertaking","content":"### sec.183K Enforcement of division&#160;3 undertaking\n\nThis section applies if the general manager reasonably believes a person—\nhas contravened a term of a division&#160;3 undertaking; or\nwill contravene a term of a division&#160;3 undertaking, unless an enforcement order is made.\nThe general manager may apply to the District Court for an enforcement order under division&#160;2 .\npt&#160;13A div&#160;3 (ss 183H–183L) ins 2006 No.&#160;21 s&#160;87\n(sec.183K-ssec.1) This section applies if the general manager reasonably believes a person— has contravened a term of a division&#160;3 undertaking; or will contravene a term of a division&#160;3 undertaking, unless an enforcement order is made.\n(sec.183K-ssec.2) The general manager may apply to the District Court for an enforcement order under division&#160;2 .\n- (a) has contravened a term of a division&#160;3 undertaking; or\n- (b) will contravene a term of a division&#160;3 undertaking, unless an enforcement order is made.","sortOrder":283},{"sectionNumber":"sec.183L","sectionType":"section","heading":"Register of division&#160;3 undertakings","content":"### sec.183L Register of division&#160;3 undertakings\n\nThe general manager must, in any way the general manager reasonably considers appropriate, keep a register of each division&#160;3 undertaking given to the general manager by a person under this division.\nAlso, the general manager must ensure the register is available for public inspection, without charge, at a place prescribed under a regulation during normal working hours.\npt&#160;13A div&#160;3 (ss 183H–183L) ins 2006 No.&#160;21 s&#160;87\n(sec.183L-ssec.1) The general manager must, in any way the general manager reasonably considers appropriate, keep a register of each division&#160;3 undertaking given to the general manager by a person under this division.\n(sec.183L-ssec.2) Also, the general manager must ensure the register is available for public inspection, without charge, at a place prescribed under a regulation during normal working hours.","sortOrder":284},{"sectionNumber":"pt.14","sectionType":"part","heading":"Orderly control over ships","content":"# Orderly control over ships","sortOrder":285},{"sectionNumber":"pt.14-div.1","sectionType":"division","heading":"General","content":"## General","sortOrder":286},{"sectionNumber":"sec.184","sectionType":"section","heading":"Illegal boarding of or remaining alongside or hovering near a ship","content":"### sec.184 Illegal boarding of or remaining alongside or hovering near a ship\n\nA person must not go on board, remain alongside or hover near a ship in a pilotage area or port unless the person—\nhas the permission of the ship’s owner or master or a person authorised by the owner or master; or\nis there on official business under an Act; or\nhas another reasonable excuse.\nMaximum penalty—40 penalty units.\n- (a) has the permission of the ship’s owner or master or a person authorised by the owner or master; or\n- (b) is there on official business under an Act; or\n- (c) has another reasonable excuse.","sortOrder":287},{"sectionNumber":"sec.185","sectionType":"section","heading":"Offence of failing to leave a ship","content":"### sec.185 Offence of failing to leave a ship\n\nA person must not remain on board a ship if—\nthe person is not entitled to be on board it; and\nthe owner or master or a person authorised by the owner or master asks the person to leave the ship;\nunless the person has a reasonable excuse for remaining on board.\nMaximum penalty—40 penalty units.\n- (a) the person is not entitled to be on board it; and\n- (b) the owner or master or a person authorised by the owner or master asks the person to leave the ship;","sortOrder":288},{"sectionNumber":"sec.186","sectionType":"section","heading":"Unlawful interference with Queensland regulated ship","content":"### sec.186 Unlawful interference with Queensland regulated ship\n\nA person must not unlawfully interfere with a Queensland regulated ship.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nHowever, if the contravention of subsection&#160;(1) causes the death of, or grievous bodily harm to, another person, the person commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\nA person unlawfully interferes with a Queensland regulated ship if the person wilfully, and without authority, justification or excuse, detrimentally interferes with the safe operation of the ship.\nA person removes, alters or damages the ship’s safety equipment.\ns&#160;186 amd 2016 No.&#160;3 s&#160;56\n(sec.186-ssec.1) A person must not unlawfully interfere with a Queensland regulated ship. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.186-ssec.2) However, if the contravention of subsection&#160;(1) causes the death of, or grievous bodily harm to, another person, the person commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n(sec.186-ssec.3) A person unlawfully interferes with a Queensland regulated ship if the person wilfully, and without authority, justification or excuse, detrimentally interferes with the safe operation of the ship. A person removes, alters or damages the ship’s safety equipment.","sortOrder":289},{"sectionNumber":"sec.186A","sectionType":"section","heading":"Chief executive (fisheries) must disclose information","content":"### sec.186A Chief executive (fisheries) must disclose information\n\nThis section applies if—\nthe chief executive (transport) is satisfied, on grounds that are reasonable in the circumstances, relevant information held by the chief executive (fisheries) would help in enhancing navigational safety and minimising the risk of marine incidents; and\nthe chief executive (transport) asks the chief executive (fisheries) for the information.\nThe chief executive (fisheries) must disclose the relevant information to the chief executive (transport).\nSubsection&#160;(2) applies despite the Fisheries Act 1994 , including section&#160;217B of that Act.\nThe chief executive (transport) must not disclose relevant information obtained under subsection&#160;(1) unless—\nthe chief executive (transport) reasonably considers the disclosure is necessary to—\nprevent a marine incident; or\nenable an entity to provide help to a person or ship in distress at sea; or\nit is authorised by the person to whom the information relates; or\nthe disclosure is required by a court or tribunal in a proceeding in which the information is relevant.\nDespite subsection&#160;(4) (c) , relevant information given to the chief executive (transport) under this section is not admissible in any proceedings under this Act against the person to whom the information relates without the person’s consent.\nIn this section—\nchief executive (fisheries) means the chief executive of the department in which the Fisheries Act 1994 is administered.\nchief executive (transport) means the chief executive of the department in which this Act is administered.\nrelevant information means data sent from approved vessel tracking equipment, within the meaning of the Fisheries Act 1994 , installed on a boat as required under section&#160;80 of that Act.\ns&#160;186A ins 2005 No.&#160;49 s&#160;46\namd 2019 No.&#160;6 s&#160;71\n(sec.186A-ssec.1) This section applies if— the chief executive (transport) is satisfied, on grounds that are reasonable in the circumstances, relevant information held by the chief executive (fisheries) would help in enhancing navigational safety and minimising the risk of marine incidents; and the chief executive (transport) asks the chief executive (fisheries) for the information.\n(sec.186A-ssec.2) The chief executive (fisheries) must disclose the relevant information to the chief executive (transport).\n(sec.186A-ssec.3) Subsection&#160;(2) applies despite the Fisheries Act 1994 , including section&#160;217B of that Act.\n(sec.186A-ssec.4) The chief executive (transport) must not disclose relevant information obtained under subsection&#160;(1) unless— the chief executive (transport) reasonably considers the disclosure is necessary to— prevent a marine incident; or enable an entity to provide help to a person or ship in distress at sea; or it is authorised by the person to whom the information relates; or the disclosure is required by a court or tribunal in a proceeding in which the information is relevant.\n(sec.186A-ssec.5) Despite subsection&#160;(4) (c) , relevant information given to the chief executive (transport) under this section is not admissible in any proceedings under this Act against the person to whom the information relates without the person’s consent.\n(sec.186A-ssec.6) In this section— chief executive (fisheries) means the chief executive of the department in which the Fisheries Act 1994 is administered. chief executive (transport) means the chief executive of the department in which this Act is administered. relevant information means data sent from approved vessel tracking equipment, within the meaning of the Fisheries Act 1994 , installed on a boat as required under section&#160;80 of that Act.\n- (a) the chief executive (transport) is satisfied, on grounds that are reasonable in the circumstances, relevant information held by the chief executive (fisheries) would help in enhancing navigational safety and minimising the risk of marine incidents; and\n- (b) the chief executive (transport) asks the chief executive (fisheries) for the information.\n- (a) the chief executive (transport) reasonably considers the disclosure is necessary to— (i) prevent a marine incident; or (ii) enable an entity to provide help to a person or ship in distress at sea; or\n- (i) prevent a marine incident; or\n- (ii) enable an entity to provide help to a person or ship in distress at sea; or\n- (b) it is authorised by the person to whom the information relates; or\n- (c) the disclosure is required by a court or tribunal in a proceeding in which the information is relevant.\n- (i) prevent a marine incident; or\n- (ii) enable an entity to provide help to a person or ship in distress at sea; or","sortOrder":290},{"sectionNumber":"pt.14-div.2","sectionType":"division","heading":"Passenger carrying ships","content":"## Passenger carrying ships","sortOrder":291},{"sectionNumber":"sec.187","sectionType":"section","heading":"Application of division","content":"### sec.187 Application of division\n\nA provision of this division applies only to a ship to which this division, or the provision, is applied by regulation.","sortOrder":292},{"sectionNumber":"sec.188","sectionType":"section","heading":"Exclusion of person from ship","content":"### sec.188 Exclusion of person from ship\n\nIn this section—\nmaster includes a person authorised by the master.\nA ship’s master may refuse to allow a person to board a ship if the master is of the opinion, on reasonable grounds, that the person may annoy or injure other persons on the ship because of the person’s intoxicated condition or disorderly or violent behaviour.\nA ship’s master may refuse to allow a person to board a ship for another reasonable reason (including, for example, that the ship was full).\nA ship’s master may ask a person to leave the ship at a convenient port if the master is of the opinion, on reasonable grounds, that the person is likely to annoy or injure, or further annoy or injure, persons on the ship because of the person’s intoxicated condition or disorderly or violent behaviour.\n(sec.188-ssec.1) In this section— master includes a person authorised by the master.\n(sec.188-ssec.2) A ship’s master may refuse to allow a person to board a ship if the master is of the opinion, on reasonable grounds, that the person may annoy or injure other persons on the ship because of the person’s intoxicated condition or disorderly or violent behaviour.\n(sec.188-ssec.3) A ship’s master may refuse to allow a person to board a ship for another reasonable reason (including, for example, that the ship was full).\n(sec.188-ssec.4) A ship’s master may ask a person to leave the ship at a convenient port if the master is of the opinion, on reasonable grounds, that the person is likely to annoy or injure, or further annoy or injure, persons on the ship because of the person’s intoxicated condition or disorderly or violent behaviour.","sortOrder":293},{"sectionNumber":"sec.189","sectionType":"section","heading":"Miscellaneous offences by passengers etc.","content":"### sec.189 Miscellaneous offences by passengers etc.\n\nIn this section—\nmaster includes a person authorised by the master.\nA person must not board or attempt to board a ship after the ship’s master has, under section&#160;188 (2) or (3) , refused to allow the person to board the ship.\nA person who is required under section&#160;188 (4) to leave a ship must leave the ship.\nA person on a ship must not annoy or injure, or continue to annoy or injure, anyone else on the ship after being warned not to do so by the ship’s master or a member of the crew.\nMaximum penalty—40 penalty units.\n(sec.189-ssec.1) In this section— master includes a person authorised by the master.\n(sec.189-ssec.2) A person must not board or attempt to board a ship after the ship’s master has, under section&#160;188 (2) or (3) , refused to allow the person to board the ship.\n(sec.189-ssec.3) A person who is required under section&#160;188 (4) to leave a ship must leave the ship.\n(sec.189-ssec.4) A person on a ship must not annoy or injure, or continue to annoy or injure, anyone else on the ship after being warned not to do so by the ship’s master or a member of the crew. Maximum penalty—40 penalty units.","sortOrder":294},{"sectionNumber":"sec.190","sectionType":"section","heading":"Obstruction of master or crew","content":"### sec.190 Obstruction of master or crew\n\nA person must not obstruct the master or a crew member of a ship in the operation of the ship or the performance of any duty on or about the ship, unless the person has a reasonable excuse.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\nIn this section—\nobstruct includes a contravention of a direction given by the master or crew member about safety.\n(sec.190-ssec.1) A person must not obstruct the master or a crew member of a ship in the operation of the ship or the performance of any duty on or about the ship, unless the person has a reasonable excuse. Maximum penalty—500 penalty units or imprisonment for 1 year.\n(sec.190-ssec.2) In this section— obstruct includes a contravention of a direction given by the master or crew member about safety.","sortOrder":295},{"sectionNumber":"sec.191","sectionType":"section","heading":"Arrest by ship’s master","content":"### sec.191 Arrest by ship’s master\n\nA person found committing an offence against this part may be arrested without warrant by the master of the ship concerned.\nA person arrested by a master must be placed, as soon as practicable, in the custody of a police officer to be promptly brought before a Magistrates Court, released under the Bail Act 1980 or released by the officer without charge.\n(sec.191-ssec.1) A person found committing an offence against this part may be arrested without warrant by the master of the ship concerned.\n(sec.191-ssec.2) A person arrested by a master must be placed, as soon as practicable, in the custody of a police officer to be promptly brought before a Magistrates Court, released under the Bail Act 1980 or released by the officer without charge.","sortOrder":296},{"sectionNumber":"pt.14A","sectionType":"part","heading":"General manager’s powers of direction","content":"# General manager’s powers of direction","sortOrder":297},{"sectionNumber":"sec.191A","sectionType":"section","heading":"Direction to master about operation of ship in relation to pilotage area","content":"### sec.191A Direction to master about operation of ship in relation to pilotage area\n\nThe general manager may give a direction under this section only if the general manager is satisfied that exceptional circumstances exist to justify the general manager’s intervention in the public interest.\ncircumstances on board a ship that pose a serious risk to public health including, for example, a contagious disease\ncircumstances where a natural disaster has affected a community and facilitating the off-loading of equipment or materials from a ship would assist the community\nThe general manager may direct the master of a ship to navigate or otherwise operate the ship in relation to a pilotage area in a stated way, including, for example, in any of the following ways—\nnot to cause the ship to enter the pilotage area;\nto cause the ship to enter the pilotage area in a stated way;\nto navigate the ship in the pilotage area in a stated way;\nto anchor, berth or moor the ship at a stated place in, or adjacent to, the pilotage area;\nto move the ship from an anchorage, berth or mooring in the pilotage area;\nto cause the ship to leave the pilotage area or to leave the pilotage area in a stated way.\nThe direction may be given orally, in writing or in another way.\nWithout limiting subsection&#160;(3) —\nsubject to the direction of the general manager, an oral direction may be communicated on the general manager’s behalf by a harbour master, an agent of a harbour master or a shipping inspector—\npersonally to a person; or\nby phone, radio or another form of electronic communication; or\nby megaphone or another form of distance communication; or\na written direction may be given by way of a written notice published or otherwise reasonably made available or known to any person to whom it applies, including, for example, by publication in a newspaper or by a fax or email; or\na direction may be given in another way appropriate for the maritime environment by being published or otherwise reasonably made available or known to the master, including, for example, by use of flags or lights.\nThe direction may be given to another person in control of the ship if it is not practicable to give the particular direction to the ship’s master.\nA direction given under subsection&#160;(5) to a person in control of a ship, other than the ship’s master, is taken to have been given to the ship’s master.\nIn a proceeding, if an issue arises about whether a direction was given to a person, the party alleging the direction was given must prove that the person had, or reasonably ought to have had, knowledge of the direction.\nA person must not contravene a direction given under this section, unless the person has a reasonable excuse for the contravention.\nMaximum penalty—500 penalty units.\npt&#160;14A (ss 191A–191B) ins 2009 No.&#160;47 s&#160;18\n(sec.191A-ssec.1) The general manager may give a direction under this section only if the general manager is satisfied that exceptional circumstances exist to justify the general manager’s intervention in the public interest. circumstances on board a ship that pose a serious risk to public health including, for example, a contagious disease circumstances where a natural disaster has affected a community and facilitating the off-loading of equipment or materials from a ship would assist the community\n(sec.191A-ssec.2) The general manager may direct the master of a ship to navigate or otherwise operate the ship in relation to a pilotage area in a stated way, including, for example, in any of the following ways— not to cause the ship to enter the pilotage area; to cause the ship to enter the pilotage area in a stated way; to navigate the ship in the pilotage area in a stated way; to anchor, berth or moor the ship at a stated place in, or adjacent to, the pilotage area; to move the ship from an anchorage, berth or mooring in the pilotage area; to cause the ship to leave the pilotage area or to leave the pilotage area in a stated way.\n(sec.191A-ssec.3) The direction may be given orally, in writing or in another way.\n(sec.191A-ssec.4) Without limiting subsection&#160;(3) — subject to the direction of the general manager, an oral direction may be communicated on the general manager’s behalf by a harbour master, an agent of a harbour master or a shipping inspector— personally to a person; or by phone, radio or another form of electronic communication; or by megaphone or another form of distance communication; or a written direction may be given by way of a written notice published or otherwise reasonably made available or known to any person to whom it applies, including, for example, by publication in a newspaper or by a fax or email; or a direction may be given in another way appropriate for the maritime environment by being published or otherwise reasonably made available or known to the master, including, for example, by use of flags or lights.\n(sec.191A-ssec.5) The direction may be given to another person in control of the ship if it is not practicable to give the particular direction to the ship’s master.\n(sec.191A-ssec.6) A direction given under subsection&#160;(5) to a person in control of a ship, other than the ship’s master, is taken to have been given to the ship’s master.\n(sec.191A-ssec.7) In a proceeding, if an issue arises about whether a direction was given to a person, the party alleging the direction was given must prove that the person had, or reasonably ought to have had, knowledge of the direction.\n(sec.191A-ssec.8) A person must not contravene a direction given under this section, unless the person has a reasonable excuse for the contravention. Maximum penalty—500 penalty units.\n- • circumstances on board a ship that pose a serious risk to public health including, for example, a contagious disease\n- • circumstances where a natural disaster has affected a community and facilitating the off-loading of equipment or materials from a ship would assist the community\n- (a) not to cause the ship to enter the pilotage area;\n- (b) to cause the ship to enter the pilotage area in a stated way;\n- (c) to navigate the ship in the pilotage area in a stated way;\n- (d) to anchor, berth or moor the ship at a stated place in, or adjacent to, the pilotage area;\n- (e) to move the ship from an anchorage, berth or mooring in the pilotage area;\n- (f) to cause the ship to leave the pilotage area or to leave the pilotage area in a stated way.\n- (a) subject to the direction of the general manager, an oral direction may be communicated on the general manager’s behalf by a harbour master, an agent of a harbour master or a shipping inspector— (i) personally to a person; or (ii) by phone, radio or another form of electronic communication; or (iii) by megaphone or another form of distance communication; or\n- (i) personally to a person; or\n- (ii) by phone, radio or another form of electronic communication; or\n- (iii) by megaphone or another form of distance communication; or\n- (b) a written direction may be given by way of a written notice published or otherwise reasonably made available or known to any person to whom it applies, including, for example, by publication in a newspaper or by a fax or email; or\n- (c) a direction may be given in another way appropriate for the maritime environment by being published or otherwise reasonably made available or known to the master, including, for example, by use of flags or lights.\n- (i) personally to a person; or\n- (ii) by phone, radio or another form of electronic communication; or\n- (iii) by megaphone or another form of distance communication; or","sortOrder":298},{"sectionNumber":"sec.191B","sectionType":"section","heading":"Direction to person in charge of a place","content":"### sec.191B Direction to person in charge of a place\n\nThis section applies if—\nthe general manager gives a direction to the master of a ship under section&#160;191A (2) ; and\nthe direction requires the master of the ship to anchor, berth or moor the ship at a stated place in, or adjacent to, a pilotage area.\nThe general manager may direct the person in charge of the stated place in, or adjacent to, the pilotage area—\nto allow a ship to be berthed at the place or moved from the place; or\nto allow access through the place to and from the ship.\nA person must comply with a direction under subsection&#160;(2) , unless the person has a reasonable excuse for not complying with it.\nMaximum penalty—500 penalty units.\npt&#160;14A (ss 191A–191B) ins 2009 No.&#160;47 s&#160;18\n(sec.191B-ssec.1) This section applies if— the general manager gives a direction to the master of a ship under section&#160;191A (2) ; and the direction requires the master of the ship to anchor, berth or moor the ship at a stated place in, or adjacent to, a pilotage area.\n(sec.191B-ssec.2) The general manager may direct the person in charge of the stated place in, or adjacent to, the pilotage area— to allow a ship to be berthed at the place or moved from the place; or to allow access through the place to and from the ship.\n(sec.191B-ssec.3) A person must comply with a direction under subsection&#160;(2) , unless the person has a reasonable excuse for not complying with it. Maximum penalty—500 penalty units.\n- (a) the general manager gives a direction to the master of a ship under section&#160;191A (2) ; and\n- (b) the direction requires the master of the ship to anchor, berth or moor the ship at a stated place in, or adjacent to, a pilotage area.\n- (a) to allow a ship to be berthed at the place or moved from the place; or\n- (b) to allow access through the place to and from the ship.","sortOrder":299},{"sectionNumber":"pt.15","sectionType":"part","heading":"Proceedings","content":"# Proceedings","sortOrder":300},{"sectionNumber":"pt.15-div.1","sectionType":"division","heading":"General","content":"## General","sortOrder":301},{"sectionNumber":"sec.192","sectionType":"section","heading":"Jurisdiction preserved","content":"### sec.192 Jurisdiction preserved\n\nThis part does not affect jurisdiction given to a court under another Act, including, for example, the Justices Act 1886 , part&#160;6 , division&#160;1 that deals with the venue of proceedings for simple offences and breaches of duty.","sortOrder":302},{"sectionNumber":"sec.193","sectionType":"section","heading":"Jurisdiction for offences","content":"### sec.193 Jurisdiction for offences\n\nTo give jurisdiction under this Act in a proceeding for an offence, a court’s jurisdiction includes the jurisdiction it would have if the offence were committed at the place where the charged person was arrested or served with the summons for the offence.","sortOrder":303},{"sectionNumber":"sec.194","sectionType":"section","heading":"Presumption of jurisdiction","content":"### sec.194 Presumption of jurisdiction\n\nIn a proceeding under this Act, if a question arises whether a ship is or is not within a provision of this Act, it must be presumed that the ship is within the provision unless the contrary is proved.","sortOrder":304},{"sectionNumber":"sec.195","sectionType":"section","heading":"Jurisdiction over ships lying or passing off the coast or in or near navigable waters","content":"### sec.195 Jurisdiction over ships lying or passing off the coast or in or near navigable waters\n\nIf a district in which a court has jurisdiction is next to the coast or navigable water, the court’s jurisdiction over—\na ship on or lying or passing off the coast or in or near the navigable water; and\nall persons on or belonging to the ship;\nincludes the jurisdiction the court would have if the ship were in the district.\nMore than 1 district in which a court has jurisdiction may satisfy the requirements under subsection&#160;(1) for jurisdiction over a ship.\n(sec.195-ssec.1) If a district in which a court has jurisdiction is next to the coast or navigable water, the court’s jurisdiction over— a ship on or lying or passing off the coast or in or near the navigable water; and all persons on or belonging to the ship; includes the jurisdiction the court would have if the ship were in the district.\n(sec.195-ssec.2) More than 1 district in which a court has jurisdiction may satisfy the requirements under subsection&#160;(1) for jurisdiction over a ship.\n- (a) a ship on or lying or passing off the coast or in or near the navigable water; and\n- (b) all persons on or belonging to the ship;","sortOrder":305},{"sectionNumber":"sec.196","sectionType":"section","heading":"Offences are summary unless expressly indictable etc.","content":"### sec.196 Offences are summary unless expressly indictable etc.\n\nAn offence against this Act is a summary offence, unless it is expressly provided to be an indictable offence.\nIn applying the Justices Act 1886 , sections&#160;161 and 161A to a proceeding for an offence against this Act committed by a person as the owner or master of a ship, the goods and chattels of the owner or master include the ship.\n(sec.196-ssec.1) An offence against this Act is a summary offence, unless it is expressly provided to be an indictable offence.\n(sec.196-ssec.2) In applying the Justices Act 1886 , sections&#160;161 and 161A to a proceeding for an offence against this Act committed by a person as the owner or master of a ship, the goods and chattels of the owner or master include the ship.","sortOrder":306},{"sectionNumber":"sec.197","sectionType":"section","heading":"Proceedings for indictable offences","content":"### sec.197 Proceedings for indictable offences\n\nA proceeding for an indictable offence against this Act may be taken, at the election of the prosecution—\nby way of summary proceedings under the Justices Act 1886 ; or\non indictment.\nA magistrate must not hear an indictable offence summarily if—\nthe defendant asks at the start of the hearing that the charge be prosecuted on indictment; or\nthe magistrate considers that the charge should be prosecuted on indictment.\nIf subsection&#160;(2) applies—\nthe magistrate must proceed by way of an examination of witnesses for an indictable offence; and\na plea of the person charged at the start of the proceeding must be disregarded; and\nevidence brought in the proceeding before the magistrate decided to act under subsection&#160;(2) is taken to be evidence in the proceeding for the committal of the person for trial or sentence; and\nbefore committing the person for trial or sentence the magistrate must make a statement to the person as required by the Justices Act 1886 , section&#160;104 (2) (b) .\nThe maximum penalty that may be summarily imposed for an indictable offence is 2,500 penalty units or imprisonment for 18 months.\ns&#160;197 amd 2005 No.&#160;22 s&#160;21\n(sec.197-ssec.1) A proceeding for an indictable offence against this Act may be taken, at the election of the prosecution— by way of summary proceedings under the Justices Act 1886 ; or on indictment.\n(sec.197-ssec.2) A magistrate must not hear an indictable offence summarily if— the defendant asks at the start of the hearing that the charge be prosecuted on indictment; or the magistrate considers that the charge should be prosecuted on indictment.\n(sec.197-ssec.3) If subsection&#160;(2) applies— the magistrate must proceed by way of an examination of witnesses for an indictable offence; and a plea of the person charged at the start of the proceeding must be disregarded; and evidence brought in the proceeding before the magistrate decided to act under subsection&#160;(2) is taken to be evidence in the proceeding for the committal of the person for trial or sentence; and before committing the person for trial or sentence the magistrate must make a statement to the person as required by the Justices Act 1886 , section&#160;104 (2) (b) .\n(sec.197-ssec.4) The maximum penalty that may be summarily imposed for an indictable offence is 2,500 penalty units or imprisonment for 18 months.\n- (a) by way of summary proceedings under the Justices Act 1886 ; or\n- (b) on indictment.\n- (a) the defendant asks at the start of the hearing that the charge be prosecuted on indictment; or\n- (b) the magistrate considers that the charge should be prosecuted on indictment.\n- (a) the magistrate must proceed by way of an examination of witnesses for an indictable offence; and\n- (b) a plea of the person charged at the start of the proceeding must be disregarded; and\n- (c) evidence brought in the proceeding before the magistrate decided to act under subsection&#160;(2) is taken to be evidence in the proceeding for the committal of the person for trial or sentence; and\n- (d) before committing the person for trial or sentence the magistrate must make a statement to the person as required by the Justices Act 1886 , section&#160;104 (2) (b) .","sortOrder":307},{"sectionNumber":"sec.198","sectionType":"section","heading":"Limitation on who may summarily hear indictable offence proceedings","content":"### sec.198 Limitation on who may summarily hear indictable offence proceedings\n\nA proceeding must be before a magistrate if it is a proceeding—\nfor the summary conviction of a person on a charge for an indictable offence; or\nfor an examination of witnesses for a charge for an indictable offence.\nHowever, if a proceeding for an indictable offence is brought before a justice who is not a magistrate, jurisdiction is limited to taking or making a procedural action or order within the meaning of the Justices of the Peace and Commissioners for Declarations Act 1991 .\n(sec.198-ssec.1) A proceeding must be before a magistrate if it is a proceeding— for the summary conviction of a person on a charge for an indictable offence; or for an examination of witnesses for a charge for an indictable offence.\n(sec.198-ssec.2) However, if a proceeding for an indictable offence is brought before a justice who is not a magistrate, jurisdiction is limited to taking or making a procedural action or order within the meaning of the Justices of the Peace and Commissioners for Declarations Act 1991 .\n- (a) for the summary conviction of a person on a charge for an indictable offence; or\n- (b) for an examination of witnesses for a charge for an indictable offence.","sortOrder":308},{"sectionNumber":"sec.199","sectionType":"section","heading":"Limitation on time for starting summary proceedings","content":"### sec.199 Limitation on time for starting summary proceedings\n\nA proceeding for an offence by way of summary proceeding under the Justices Act 1886 must start within 2 years after—\nthe commission of the offence; or\nthe offence comes to the complainant’s knowledge, but within 3 years after the commission of the offence;\nwhichever is the later.\nA statement in a complaint for an offence against this Act that the matter of the complaint came to the knowledge of the complainant on a stated day is evidence of when the matter came to the complainant’s knowledge.\ns&#160;199 amd 2001 No.&#160;79 s&#160;76 ; 2007 No.&#160;6 s&#160;31\n(sec.199-ssec.1) A proceeding for an offence by way of summary proceeding under the Justices Act 1886 must start within 2 years after— the commission of the offence; or the offence comes to the complainant’s knowledge, but within 3 years after the commission of the offence; whichever is the later.\n(sec.199-ssec.2) A statement in a complaint for an offence against this Act that the matter of the complaint came to the knowledge of the complainant on a stated day is evidence of when the matter came to the complainant’s knowledge.\n- (a) the commission of the offence; or\n- (b) the offence comes to the complainant’s knowledge, but within 3 years after the commission of the offence;","sortOrder":309},{"sectionNumber":"sec.199A","sectionType":"section","heading":"Court may make orders about compensation and other matters","content":"### sec.199A Court may make orders about compensation and other matters\n\nThis section applies to a prosecution for an offence against this Act.\nIf the court finds the defendant has contravened a direction of a harbour master in contravention of this Act, the court may order the defendant to pay to the State the amount the State could have recovered under section&#160;94 (2) .\nIf the court finds the defendant has unlawfully interfered with an aid to navigation, or moored a ship to an aid to navigation, in contravention of this Act and in a way that has damaged or destroyed the aid, the court may order the defendant to pay to the State—\nif the defendant is the master or owner of a ship that caused the damage or destruction—the amount the State could have recovered under section&#160;107A (3) ; or\notherwise—an amount for the expense of repairing and reinstating the aid to navigation.\nAn order under subsection&#160;(2) or (3) is in addition to any penalty or other order the court may make or impose under this Act.\nIn particular, this section does not limit the court’s powers under the Penalties and Sentences Act 1992 or any other law.\nHowever, if a court makes an order under subsection&#160;(2) or (3) in relation to a defendant, the State can not recover an amount, under section&#160;94 (2) or 107A (3) , from the defendant in relation to the same direction, or damage or destruction.\ns&#160;199A ins 2005 No.&#160;49 s&#160;47\n(sec.199A-ssec.1) This section applies to a prosecution for an offence against this Act.\n(sec.199A-ssec.2) If the court finds the defendant has contravened a direction of a harbour master in contravention of this Act, the court may order the defendant to pay to the State the amount the State could have recovered under section&#160;94 (2) .\n(sec.199A-ssec.3) If the court finds the defendant has unlawfully interfered with an aid to navigation, or moored a ship to an aid to navigation, in contravention of this Act and in a way that has damaged or destroyed the aid, the court may order the defendant to pay to the State— if the defendant is the master or owner of a ship that caused the damage or destruction—the amount the State could have recovered under section&#160;107A (3) ; or otherwise—an amount for the expense of repairing and reinstating the aid to navigation.\n(sec.199A-ssec.4) An order under subsection&#160;(2) or (3) is in addition to any penalty or other order the court may make or impose under this Act.\n(sec.199A-ssec.5) In particular, this section does not limit the court’s powers under the Penalties and Sentences Act 1992 or any other law.\n(sec.199A-ssec.6) However, if a court makes an order under subsection&#160;(2) or (3) in relation to a defendant, the State can not recover an amount, under section&#160;94 (2) or 107A (3) , from the defendant in relation to the same direction, or damage or destruction.\n- (a) if the defendant is the master or owner of a ship that caused the damage or destruction—the amount the State could have recovered under section&#160;107A (3) ; or\n- (b) otherwise—an amount for the expense of repairing and reinstating the aid to navigation.","sortOrder":310},{"sectionNumber":"sec.199B","sectionType":"section","heading":"Court may make orders about apologies and other matters","content":"### sec.199B Court may make orders about apologies and other matters\n\nIf a person is convicted of an offence against this Act, the court dealing with the matter may make an order under this section in addition to—\nany other penalty the court may impose under this Act, the Penalties and Sentences Act 1992 or another Act; or\nany other order the court may make under this Act, the Penalties and Sentences Act 1992 or another Act.\nThe court may order the defendant—\non application only by the prosecution, to do 1 or more of the following—\nto conduct a stated advertising or education campaign to promote compliance with this Act;\nto make a stated private apology or publish a stated public apology to persons affected by the contravention;\nto operate a stated ship in a particular way, including putting a stated procedure or system in place for or on the ship to ensure compliance with this Act;\nto repair, modify or replace a stated ship or part of a ship, or repair, modify, install or replace stated machinery or equipment on a stated ship, to ensure compliance with this Act;\nto start or stop a stated activity in relation to a stated ship;\nnot to own or operate any ship unless the general manager has given written consent for the ownership or operation; or\nto comply with another order the court considers appropriate.\nAn order under this section is subject to any limitation of liability that may apply under a law of the State or the Commonwealth.\nLimitation of Liability for Maritime Claims Act 1989 (Cwlth)\nA person who contravenes an order under this section commits an offence against this Act.\nMaximum penalty—3,500 penalty units or 2 years imprisonment.\ns&#160;199B ins 2008 No.&#160;31 s&#160;36\namd 2016 No.&#160;3 s&#160;76 sch&#160;1\n(sec.199B-ssec.1) If a person is convicted of an offence against this Act, the court dealing with the matter may make an order under this section in addition to— any other penalty the court may impose under this Act, the Penalties and Sentences Act 1992 or another Act; or any other order the court may make under this Act, the Penalties and Sentences Act 1992 or another Act.\n(sec.199B-ssec.2) The court may order the defendant— on application only by the prosecution, to do 1 or more of the following— to conduct a stated advertising or education campaign to promote compliance with this Act; to make a stated private apology or publish a stated public apology to persons affected by the contravention; to operate a stated ship in a particular way, including putting a stated procedure or system in place for or on the ship to ensure compliance with this Act; to repair, modify or replace a stated ship or part of a ship, or repair, modify, install or replace stated machinery or equipment on a stated ship, to ensure compliance with this Act; to start or stop a stated activity in relation to a stated ship; not to own or operate any ship unless the general manager has given written consent for the ownership or operation; or to comply with another order the court considers appropriate.\n(sec.199B-ssec.3) An order under this section is subject to any limitation of liability that may apply under a law of the State or the Commonwealth. Limitation of Liability for Maritime Claims Act 1989 (Cwlth)\n(sec.199B-ssec.4) A person who contravenes an order under this section commits an offence against this Act. Maximum penalty—3,500 penalty units or 2 years imprisonment.\n- (a) any other penalty the court may impose under this Act, the Penalties and Sentences Act 1992 or another Act; or\n- (b) any other order the court may make under this Act, the Penalties and Sentences Act 1992 or another Act.\n- (a) on application only by the prosecution, to do 1 or more of the following— (i) to conduct a stated advertising or education campaign to promote compliance with this Act; (ii) to make a stated private apology or publish a stated public apology to persons affected by the contravention; (iii) to operate a stated ship in a particular way, including putting a stated procedure or system in place for or on the ship to ensure compliance with this Act; (iv) to repair, modify or replace a stated ship or part of a ship, or repair, modify, install or replace stated machinery or equipment on a stated ship, to ensure compliance with this Act; (v) to start or stop a stated activity in relation to a stated ship; (vi) not to own or operate any ship unless the general manager has given written consent for the ownership or operation; or\n- (i) to conduct a stated advertising or education campaign to promote compliance with this Act;\n- (ii) to make a stated private apology or publish a stated public apology to persons affected by the contravention;\n- (iii) to operate a stated ship in a particular way, including putting a stated procedure or system in place for or on the ship to ensure compliance with this Act;\n- (iv) to repair, modify or replace a stated ship or part of a ship, or repair, modify, install or replace stated machinery or equipment on a stated ship, to ensure compliance with this Act;\n- (v) to start or stop a stated activity in relation to a stated ship;\n- (vi) not to own or operate any ship unless the general manager has given written consent for the ownership or operation; or\n- (b) to comply with another order the court considers appropriate.\n- (i) to conduct a stated advertising or education campaign to promote compliance with this Act;\n- (ii) to make a stated private apology or publish a stated public apology to persons affected by the contravention;\n- (iii) to operate a stated ship in a particular way, including putting a stated procedure or system in place for or on the ship to ensure compliance with this Act;\n- (iv) to repair, modify or replace a stated ship or part of a ship, or repair, modify, install or replace stated machinery or equipment on a stated ship, to ensure compliance with this Act;\n- (v) to start or stop a stated activity in relation to a stated ship;\n- (vi) not to own or operate any ship unless the general manager has given written consent for the ownership or operation; or","sortOrder":311},{"sectionNumber":"sec.200","sectionType":"section","heading":"Special provision for service of documents","content":"### sec.200 Special provision for service of documents\n\nA document may be served on the master of a ship or a member of the ship’s crew by leaving it—\nif, at the time of service, there is a person on board who is apparently in charge of the ship—with the person after explaining to the person the purpose of the document; or\nin any other case—in a reasonably secure way in a conspicuous position near the ship’s controls.\nIf a document is required or permitted to be served on the master of a ship and there is no master or apparently there is no master, the document may be served on the owner of the ship.\nA document is served on all owners of a ship if it is served on any person mentioned in section&#160;9 .\nSection&#160;9 defines owner .\nNothing in this section affects—\nthe operation of another law that requires or permits service of a document other than as provided in this section; or\nthe power of a court or tribunal to authorise service of a document other than as provided in this section.\ns&#160;200 amd 2008 No.&#160;67 s&#160;252\n(sec.200-ssec.1) A document may be served on the master of a ship or a member of the ship’s crew by leaving it— if, at the time of service, there is a person on board who is apparently in charge of the ship—with the person after explaining to the person the purpose of the document; or in any other case—in a reasonably secure way in a conspicuous position near the ship’s controls.\n(sec.200-ssec.2) If a document is required or permitted to be served on the master of a ship and there is no master or apparently there is no master, the document may be served on the owner of the ship.\n(sec.200-ssec.3) A document is served on all owners of a ship if it is served on any person mentioned in section&#160;9 . Section&#160;9 defines owner .\n(sec.200-ssec.4) Nothing in this section affects— the operation of another law that requires or permits service of a document other than as provided in this section; or the power of a court or tribunal to authorise service of a document other than as provided in this section.\n- (a) if, at the time of service, there is a person on board who is apparently in charge of the ship—with the person after explaining to the person the purpose of the document; or\n- (b) in any other case—in a reasonably secure way in a conspicuous position near the ship’s controls.\n- (a) the operation of another law that requires or permits service of a document other than as provided in this section; or\n- (b) the power of a court or tribunal to authorise service of a document other than as provided in this section.","sortOrder":312},{"sectionNumber":"sec.200A","sectionType":"section","heading":"Allegations of false or misleading statements or documents","content":"### sec.200A Allegations of false or misleading statements or documents\n\nIt is enough for a complaint for an offence against section&#160; 176 , 177 , 202T , 202U or 205 to state the statement made, or document given, was ‘false or misleading’ to the person’s knowledge, without specifying whether it was false or whether it was misleading.\ns&#160;200A ins 2006 No.&#160;21 s&#160;89\namd 2016 No.&#160;3 s&#160;76 sch&#160;1","sortOrder":313},{"sectionNumber":"sec.201","sectionType":"section","heading":"Evidentiary provisions","content":"### sec.201 Evidentiary provisions\n\nThis section applies to a proceeding under this Act or another Act prescribed by regulation.\nUnless a party, by reasonable notice, requires proof of—\nthe appointment of the chief executive, the general manager, a harbour master or a shipping inspector; or\nthe authority of the chief executive, the general manager, a harbour master or a shipping inspector to do anything under this Act;\nthe appointment or authority must be presumed.\nA signature purporting to be the signature of the chief executive, the general manager, a harbour master or a shipping inspector is evidence of the signature it purports to be.\nA certificate purporting to be signed by the chief executive, the general manager, a harbour master or a shipping inspector and stating any of the following matters is evidence of the matter—\na specified document is—\nan approval or a copy of an approval; or\na direction or decision, or a copy of a direction or decision, given or made under this Act; or\na record or document, a copy of a record or document, or an extract from a record or document, kept under this Act;\non a specified day, or during a specified period, a specified person was or was not the holder of an approval or a specified approval;\na specified approval was or was not in force on a specified day or during a specified period;\non a specified day, a specified approval—\nwas suspended for a specified period; or\nwas cancelled;\non a specified day, a specified person was given a specified direction under this Act;\na specified fee or other amount is payable under this Act by a specified person and has not been paid.\nA certificate purporting to be signed by the chief executive, the general manager or a shipping inspector certifying that a laser speed detection device ( device ) has been—\ntested at a specified time—\nin accordance with the appropriate Australian Standard that was in force at the time; or\nif there was no appropriate standard—in accordance with the manufacturer’s specifications; and\nfound to produce accurate results at the specified time;\nis evidence of the matters stated and evidence that the device was producing accurate results at the time of testing and for 1 year after the time.\nA certificate purporting to be signed by a shipping inspector stating that a specified device was used by the inspector—\nat a specified time; and\nin accordance with—\nthe appropriate Australian Standard that was in force at the time; or\nif there was no appropriate standard—the manufacturer’s specifications;\nis evidence of the matters stated.\nIf a defendant intends to challenge—\nthe accuracy of a device; or\nthe time at which, or the way in which, the device was used;\nat the hearing of a charge against the defendant under an Act mentioned in subsection&#160;(1) , the defendant must give written notice of the challenge to the prosecution ( challenge notice ).\nThe challenge notice must be—\nsigned by the defendant; and\ngiven at least 14 days before the day fixed for the hearing.\nA statement in a complaint for an offence against this Act that a person is or is not, or was or was not, at any time or date stated in the complaint of, under or over a stated age is evidence of the matter stated, and in the absence of evidence to the contrary is conclusive evidence of the matter.\ns&#160;201 amd 2001 No.&#160;79 s&#160;77 ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2006 No.&#160;21 s&#160;90 ; 2010 No.&#160;13 s&#160;113\n(sec.201-ssec.1) This section applies to a proceeding under this Act or another Act prescribed by regulation.\n(sec.201-ssec.2) Unless a party, by reasonable notice, requires proof of— the appointment of the chief executive, the general manager, a harbour master or a shipping inspector; or the authority of the chief executive, the general manager, a harbour master or a shipping inspector to do anything under this Act; the appointment or authority must be presumed.\n(sec.201-ssec.3) A signature purporting to be the signature of the chief executive, the general manager, a harbour master or a shipping inspector is evidence of the signature it purports to be.\n(sec.201-ssec.4) A certificate purporting to be signed by the chief executive, the general manager, a harbour master or a shipping inspector and stating any of the following matters is evidence of the matter— a specified document is— an approval or a copy of an approval; or a direction or decision, or a copy of a direction or decision, given or made under this Act; or a record or document, a copy of a record or document, or an extract from a record or document, kept under this Act; on a specified day, or during a specified period, a specified person was or was not the holder of an approval or a specified approval; a specified approval was or was not in force on a specified day or during a specified period; on a specified day, a specified approval— was suspended for a specified period; or was cancelled; on a specified day, a specified person was given a specified direction under this Act; a specified fee or other amount is payable under this Act by a specified person and has not been paid.\n(sec.201-ssec.5) A certificate purporting to be signed by the chief executive, the general manager or a shipping inspector certifying that a laser speed detection device ( device ) has been— tested at a specified time— in accordance with the appropriate Australian Standard that was in force at the time; or if there was no appropriate standard—in accordance with the manufacturer’s specifications; and found to produce accurate results at the specified time; is evidence of the matters stated and evidence that the device was producing accurate results at the time of testing and for 1 year after the time.\n(sec.201-ssec.6) A certificate purporting to be signed by a shipping inspector stating that a specified device was used by the inspector— at a specified time; and in accordance with— the appropriate Australian Standard that was in force at the time; or if there was no appropriate standard—the manufacturer’s specifications; is evidence of the matters stated.\n(sec.201-ssec.7) If a defendant intends to challenge— the accuracy of a device; or the time at which, or the way in which, the device was used; at the hearing of a charge against the defendant under an Act mentioned in subsection&#160;(1) , the defendant must give written notice of the challenge to the prosecution ( challenge notice ).\n(sec.201-ssec.8) The challenge notice must be— signed by the defendant; and given at least 14 days before the day fixed for the hearing.\n(sec.201-ssec.9) A statement in a complaint for an offence against this Act that a person is or is not, or was or was not, at any time or date stated in the complaint of, under or over a stated age is evidence of the matter stated, and in the absence of evidence to the contrary is conclusive evidence of the matter.\n- (a) the appointment of the chief executive, the general manager, a harbour master or a shipping inspector; or\n- (b) the authority of the chief executive, the general manager, a harbour master or a shipping inspector to do anything under this Act;\n- (a) a specified document is— (i) an approval or a copy of an approval; or (ii) a direction or decision, or a copy of a direction or decision, given or made under this Act; or (iii) a record or document, a copy of a record or document, or an extract from a record or document, kept under this Act;\n- (i) an approval or a copy of an approval; or\n- (ii) a direction or decision, or a copy of a direction or decision, given or made under this Act; or\n- (iii) a record or document, a copy of a record or document, or an extract from a record or document, kept under this Act;\n- (b) on a specified day, or during a specified period, a specified person was or was not the holder of an approval or a specified approval;\n- (c) a specified approval was or was not in force on a specified day or during a specified period;\n- (d) on a specified day, a specified approval— (i) was suspended for a specified period; or (ii) was cancelled;\n- (i) was suspended for a specified period; or\n- (ii) was cancelled;\n- (e) on a specified day, a specified person was given a specified direction under this Act;\n- (f) a specified fee or other amount is payable under this Act by a specified person and has not been paid.\n- (i) an approval or a copy of an approval; or\n- (ii) a direction or decision, or a copy of a direction or decision, given or made under this Act; or\n- (iii) a record or document, a copy of a record or document, or an extract from a record or document, kept under this Act;\n- (i) was suspended for a specified period; or\n- (ii) was cancelled;\n- (a) tested at a specified time— (i) in accordance with the appropriate Australian Standard that was in force at the time; or (ii) if there was no appropriate standard—in accordance with the manufacturer’s specifications; and\n- (i) in accordance with the appropriate Australian Standard that was in force at the time; or\n- (ii) if there was no appropriate standard—in accordance with the manufacturer’s specifications; and\n- (b) found to produce accurate results at the specified time;\n- (i) in accordance with the appropriate Australian Standard that was in force at the time; or\n- (ii) if there was no appropriate standard—in accordance with the manufacturer’s specifications; and\n- (a) at a specified time; and\n- (b) in accordance with— (i) the appropriate Australian Standard that was in force at the time; or (ii) if there was no appropriate standard—the manufacturer’s specifications;\n- (i) the appropriate Australian Standard that was in force at the time; or\n- (ii) if there was no appropriate standard—the manufacturer’s specifications;\n- (i) the appropriate Australian Standard that was in force at the time; or\n- (ii) if there was no appropriate standard—the manufacturer’s specifications;\n- (a) the accuracy of a device; or\n- (b) the time at which, or the way in which, the device was used;\n- (a) signed by the defendant; and\n- (b) given at least 14 days before the day fixed for the hearing.","sortOrder":314},{"sectionNumber":"sec.202","sectionType":"section","heading":"Conduct of company directors, employees or agents","content":"### sec.202 Conduct of company directors, employees or agents\n\nIn this section—\nengaging in conduct includes failing to engage in conduct.\nrepresentative means—\nfor a corporation—an executive officer, employee or agent of the corporation; or\nfor an individual—an employee or agent of the individual.\nstate of mind of a person includes—\nthe person’s knowledge, intention, opinion, belief or purpose; and\nthe person’s reasons for the intention, opinion, belief or purpose.\nIf, in a proceeding for an offence against this Act, it is necessary to establish the state of mind of a corporation about particular conduct, it is enough to show—\nthe conduct was engaged in by a representative of the corporation within the scope of the representative’s actual or apparent authority; and\nthe representative had the state of mind.\nConduct engaged in for a corporation by a representative of the corporation within the scope of the representative’s actual or apparent authority is taken, in a proceeding for an offence against this Act, to have been engaged in also by the corporation unless the corporation establishes it took reasonable precautions and exercised proper diligence to avoid the conduct.\nIf, in a proceeding for an offence against this Act, it is necessary to establish the state of mind of an individual about particular conduct, it is enough to show—\nthe conduct was engaged in by a representative of the individual within the scope of the representative’s actual or apparent authority; and\nthe representative had the state of mind.\nConduct engaged in for an individual by a representative of the individual within the scope of the representative’s actual or apparent authority is taken, in a proceeding for an offence against this Act, to have been engaged in also by the individual unless the individual establishes the individual took reasonable precautions and exercised proper diligence to avoid the conduct.\n(sec.202-ssec.1) In this section— engaging in conduct includes failing to engage in conduct. representative means— for a corporation—an executive officer, employee or agent of the corporation; or for an individual—an employee or agent of the individual. state of mind of a person includes— the person’s knowledge, intention, opinion, belief or purpose; and the person’s reasons for the intention, opinion, belief or purpose.\n(sec.202-ssec.2) If, in a proceeding for an offence against this Act, it is necessary to establish the state of mind of a corporation about particular conduct, it is enough to show— the conduct was engaged in by a representative of the corporation within the scope of the representative’s actual or apparent authority; and the representative had the state of mind.\n(sec.202-ssec.3) Conduct engaged in for a corporation by a representative of the corporation within the scope of the representative’s actual or apparent authority is taken, in a proceeding for an offence against this Act, to have been engaged in also by the corporation unless the corporation establishes it took reasonable precautions and exercised proper diligence to avoid the conduct.\n(sec.202-ssec.4) If, in a proceeding for an offence against this Act, it is necessary to establish the state of mind of an individual about particular conduct, it is enough to show— the conduct was engaged in by a representative of the individual within the scope of the representative’s actual or apparent authority; and the representative had the state of mind.\n(sec.202-ssec.5) Conduct engaged in for an individual by a representative of the individual within the scope of the representative’s actual or apparent authority is taken, in a proceeding for an offence against this Act, to have been engaged in also by the individual unless the individual establishes the individual took reasonable precautions and exercised proper diligence to avoid the conduct.\n- (a) for a corporation—an executive officer, employee or agent of the corporation; or\n- (b) for an individual—an employee or agent of the individual.\n- (a) the person’s knowledge, intention, opinion, belief or purpose; and\n- (b) the person’s reasons for the intention, opinion, belief or purpose.\n- (a) the conduct was engaged in by a representative of the corporation within the scope of the representative’s actual or apparent authority; and\n- (b) the representative had the state of mind.\n- (a) the conduct was engaged in by a representative of the individual within the scope of the representative’s actual or apparent authority; and\n- (b) the representative had the state of mind.","sortOrder":315},{"sectionNumber":"pt.15-div.2","sectionType":"division","heading":"Licence disqualifications, cancellations and suspensions","content":"## Licence disqualifications, cancellations and suspensions","sortOrder":316},{"sectionNumber":"sec.202A","sectionType":"section","heading":"Disqualifying person from holding licence and cancelling or suspending current licence","content":"### sec.202A Disqualifying person from holding licence and cancelling or suspending current licence\n\nThis section applies if—\na person is convicted of an offence against—\nsection&#160;41 , 43 , 44 , 45 , 57 , 61 , 61C , 186 , 202J or 211 ; or\nthe Transport Operations (Road Use Management) Act 1995 , section&#160;79 or 80 , or the Criminal Code , section&#160;328A , that involved a ship used, being used or apparently about to be used in navigation and the person was the person in control of the ship; and\nat the time of the offence—\nthe person was required under this Act to hold a licence to operate the ship; or\nif the person had not held an authority or licence (however described) from the Commonwealth or another State, the person would have been required to hold a licence to operate the ship; and\nthe court before which the person is convicted is satisfied the person should, in the interests of marine safety, be disqualified or further disqualified from holding or obtaining a licence.\nOn application by the prosecution or on its own initiative, the court may order—\nif the person is currently disqualified absolutely from holding a licence—from the time of the conviction, the person is again disqualified absolutely from holding or obtaining a licence; or\nif the person is currently disqualified from holding a licence for a stated time—\nfrom the time of the conviction, the person is disqualified absolutely; or\nfrom a time stated by the court, the person is disqualified for a stated time from holding or obtaining a licence; or\notherwise—from the time of the conviction, the person is disqualified absolutely, or for a time stated by the court, from holding or obtaining a licence.\nA court that makes an order under subsection&#160;(2) is a disqualifying court .\nIn making an order under subsection&#160;(2) , the disqualifying court must have regard to—\nthe nature of the offence; and\nthe circumstances in which the offence was committed; and\nthe real or potential danger to other persons operating or aboard ships and the public generally; and\nwhether during the period of 5 years before the conviction, including any period before the commencement of this section, the person had been convicted of an offence mentioned in subsection&#160;(1) (a) .\nAn order under subsection&#160;(2) is in addition to any other penalty the disqualifying court may impose, or other order the disqualifying court may make, under an Act.\nIt does not matter that the person for whom an order under subsection&#160;(2) is made—\nwas not present when the disqualifying court made its order; or\nwas not called on to show cause why the order should not be made.\ns&#160;202A ins 2006 No.&#160;21 s&#160;91\namd 2016 No.&#160;3 s&#160;76 sch&#160;1\n(sec.202A-ssec.1) This section applies if— a person is convicted of an offence against— section&#160;41 , 43 , 44 , 45 , 57 , 61 , 61C , 186 , 202J or 211 ; or the Transport Operations (Road Use Management) Act 1995 , section&#160;79 or 80 , or the Criminal Code , section&#160;328A , that involved a ship used, being used or apparently about to be used in navigation and the person was the person in control of the ship; and at the time of the offence— the person was required under this Act to hold a licence to operate the ship; or if the person had not held an authority or licence (however described) from the Commonwealth or another State, the person would have been required to hold a licence to operate the ship; and the court before which the person is convicted is satisfied the person should, in the interests of marine safety, be disqualified or further disqualified from holding or obtaining a licence.\n(sec.202A-ssec.2) On application by the prosecution or on its own initiative, the court may order— if the person is currently disqualified absolutely from holding a licence—from the time of the conviction, the person is again disqualified absolutely from holding or obtaining a licence; or if the person is currently disqualified from holding a licence for a stated time— from the time of the conviction, the person is disqualified absolutely; or from a time stated by the court, the person is disqualified for a stated time from holding or obtaining a licence; or otherwise—from the time of the conviction, the person is disqualified absolutely, or for a time stated by the court, from holding or obtaining a licence.\n(sec.202A-ssec.3) A court that makes an order under subsection&#160;(2) is a disqualifying court .\n(sec.202A-ssec.4) In making an order under subsection&#160;(2) , the disqualifying court must have regard to— the nature of the offence; and the circumstances in which the offence was committed; and the real or potential danger to other persons operating or aboard ships and the public generally; and whether during the period of 5 years before the conviction, including any period before the commencement of this section, the person had been convicted of an offence mentioned in subsection&#160;(1) (a) .\n(sec.202A-ssec.5) An order under subsection&#160;(2) is in addition to any other penalty the disqualifying court may impose, or other order the disqualifying court may make, under an Act.\n(sec.202A-ssec.6) It does not matter that the person for whom an order under subsection&#160;(2) is made— was not present when the disqualifying court made its order; or was not called on to show cause why the order should not be made.\n- (a) a person is convicted of an offence against— (i) section&#160;41 , 43 , 44 , 45 , 57 , 61 , 61C , 186 , 202J or 211 ; or (ii) the Transport Operations (Road Use Management) Act 1995 , section&#160;79 or 80 , or the Criminal Code , section&#160;328A , that involved a ship used, being used or apparently about to be used in navigation and the person was the person in control of the ship; and\n- (i) section&#160;41 , 43 , 44 , 45 , 57 , 61 , 61C , 186 , 202J or 211 ; or\n- (ii) the Transport Operations (Road Use Management) Act 1995 , section&#160;79 or 80 , or the Criminal Code , section&#160;328A , that involved a ship used, being used or apparently about to be used in navigation and the person was the person in control of the ship; and\n- (b) at the time of the offence— (i) the person was required under this Act to hold a licence to operate the ship; or (ii) if the person had not held an authority or licence (however described) from the Commonwealth or another State, the person would have been required to hold a licence to operate the ship; and\n- (i) the person was required under this Act to hold a licence to operate the ship; or\n- (ii) if the person had not held an authority or licence (however described) from the Commonwealth or another State, the person would have been required to hold a licence to operate the ship; and\n- (c) the court before which the person is convicted is satisfied the person should, in the interests of marine safety, be disqualified or further disqualified from holding or obtaining a licence.\n- (i) section&#160;41 , 43 , 44 , 45 , 57 , 61 , 61C , 186 , 202J or 211 ; or\n- (ii) the Transport Operations (Road Use Management) Act 1995 , section&#160;79 or 80 , or the Criminal Code , section&#160;328A , that involved a ship used, being used or apparently about to be used in navigation and the person was the person in control of the ship; and\n- (i) the person was required under this Act to hold a licence to operate the ship; or\n- (ii) if the person had not held an authority or licence (however described) from the Commonwealth or another State, the person would have been required to hold a licence to operate the ship; and\n- (a) if the person is currently disqualified absolutely from holding a licence—from the time of the conviction, the person is again disqualified absolutely from holding or obtaining a licence; or\n- (b) if the person is currently disqualified from holding a licence for a stated time— (i) from the time of the conviction, the person is disqualified absolutely; or (ii) from a time stated by the court, the person is disqualified for a stated time from holding or obtaining a licence; or\n- (i) from the time of the conviction, the person is disqualified absolutely; or\n- (ii) from a time stated by the court, the person is disqualified for a stated time from holding or obtaining a licence; or\n- (c) otherwise—from the time of the conviction, the person is disqualified absolutely, or for a time stated by the court, from holding or obtaining a licence.\n- (i) from the time of the conviction, the person is disqualified absolutely; or\n- (ii) from a time stated by the court, the person is disqualified for a stated time from holding or obtaining a licence; or\n- (a) the nature of the offence; and\n- (b) the circumstances in which the offence was committed; and\n- (c) the real or potential danger to other persons operating or aboard ships and the public generally; and\n- (d) whether during the period of 5 years before the conviction, including any period before the commencement of this section, the person had been convicted of an offence mentioned in subsection&#160;(1) (a) .\n- (a) was not present when the disqualifying court made its order; or\n- (b) was not called on to show cause why the order should not be made.","sortOrder":317},{"sectionNumber":"sec.202B","sectionType":"section","heading":"Dealing with order under s&#160;202A","content":"### sec.202B Dealing with order under s&#160;202A\n\nA relevant clerk of the disqualifying court must send a copy of an order under section&#160;202A to the chief executive of the department in which this Act is administered.\nThe chief executive must send a copy of the order to the person for whom the order was made.\ns&#160;202B ins 2006 No.&#160;21 s&#160;91\n(sec.202B-ssec.1) A relevant clerk of the disqualifying court must send a copy of an order under section&#160;202A to the chief executive of the department in which this Act is administered.\n(sec.202B-ssec.2) The chief executive must send a copy of the order to the person for whom the order was made.","sortOrder":318},{"sectionNumber":"sec.202C","sectionType":"section","heading":"Licence cancelled when order made under s&#160;202A","content":"### sec.202C Licence cancelled when order made under s&#160;202A\n\nIf, at the time the disqualifying court makes an order under section&#160;202A , the person for whom the order is made holds a licence, the licence, and any subsisting licence, is cancelled from the day the order is made.\nThe chief executive of the department must give written notice to the person stating that the person is required to give the chief executive the person’s licence or marine licence indicator, and any subsisting licence, within 7 days after the day the notice is given to the person.\nA person given a notice under subsection&#160;(2) must comply with the notice, unless the person has a reasonable excuse.\nMaximum penalty—20 penalty units.\nDespite the cancellation of a licence under subsection&#160;(1) , if the disqualification by the order under section&#160;202A is suspended pending a decision on an appeal, as mentioned in section&#160;204 (5) , the licence, and any subsisting licence, is revived during the suspension of the disqualification.\ns&#160;202C ins 2006 No.&#160;21 s&#160;91\namd 2010 No.&#160;13 s&#160;82\n(sec.202C-ssec.1) If, at the time the disqualifying court makes an order under section&#160;202A , the person for whom the order is made holds a licence, the licence, and any subsisting licence, is cancelled from the day the order is made.\n(sec.202C-ssec.2) The chief executive of the department must give written notice to the person stating that the person is required to give the chief executive the person’s licence or marine licence indicator, and any subsisting licence, within 7 days after the day the notice is given to the person.\n(sec.202C-ssec.3) A person given a notice under subsection&#160;(2) must comply with the notice, unless the person has a reasonable excuse. Maximum penalty—20 penalty units.\n(sec.202C-ssec.4) Despite the cancellation of a licence under subsection&#160;(1) , if the disqualification by the order under section&#160;202A is suspended pending a decision on an appeal, as mentioned in section&#160;204 (5) , the licence, and any subsisting licence, is revived during the suspension of the disqualification.","sortOrder":319},{"sectionNumber":"pt.15-div.3","sectionType":"division","heading":"Restricted licences","content":"## Restricted licences","sortOrder":320},{"sectionNumber":"sec.202D","sectionType":"section","heading":"Restricted licence for disqualified person","content":"### sec.202D Restricted licence for disqualified person\n\nThis section applies if a person—\nis convicted before a court, by summary proceeding under the Justices Act 1886 , of an offence against—\nsection&#160;41 , 43 , 44 , 45 , 57 , 61 , 61C , 186 , 202J or 211 ; or\nthe Transport Operations (Road Use Management) Act 1995 , section&#160;79 , other than section&#160;79 (1) or (2D) ; or\nthe Transport Operations (Road Use Management) Act 1995 , 80(5A); and\nby order of the court (a disqualification order ) is disqualified under section&#160;202A from holding or obtaining a licence.\nThe court may, if it has received an application in the approved form from the person, make an order that the person be issued with a restricted licence.\nThe application may only be made—\nat the summary proceeding; and\nbefore the court makes the disqualification order.\nFor the application—\nthe court may hear evidence relating to all matters relevant to the application; and\nthe applicant and other persons may be called as witnesses; and\nif the court requires it, the applicant must submit himself or herself as a witness.\nThe order may only be made—\nat the summary proceeding; and\nin conjunction with the disqualification order.\nIf the court grants the application, the court must make an order directing a restricted licence be granted to the applicant during the period of the applicant’s disqualification subject to restrictions, as stated in the order, that—\nrestrict the use, under the restricted licence, of a ship by the applicant to stated circumstances directly connected with the applicant’s means of earning his or her livelihood; and\nmay include, but are not limited to, 1 or more of the following—\nthe purpose for which a ship may be operated;\nthe times at which, or period during which, a ship may be operated;\nthe waters in which a ship may be operated.\nTo remove any doubt, it is declared that if the court makes an order under subsection&#160;(2) , the applicant—\nis disqualified from holding or obtaining a licence other than the restricted licence; and\nmay not operate a ship, for the operation of which a licence is required, during the period of the disqualification unless the applicant applies for and obtains the restricted licence the court orders may be granted.\nAn order under subsection&#160;(2) may relate only to a restricted licence that is of the same type as the licence held by the applicant immediately before the disqualification in relation to which the application is made.\ns&#160;202D ins 2006 No.&#160;21 s&#160;91\namd 2016 No.&#160;3 s&#160;57\n(sec.202D-ssec.1) This section applies if a person— is convicted before a court, by summary proceeding under the Justices Act 1886 , of an offence against— section&#160;41 , 43 , 44 , 45 , 57 , 61 , 61C , 186 , 202J or 211 ; or the Transport Operations (Road Use Management) Act 1995 , section&#160;79 , other than section&#160;79 (1) or (2D) ; or the Transport Operations (Road Use Management) Act 1995 , 80(5A); and by order of the court (a disqualification order ) is disqualified under section&#160;202A from holding or obtaining a licence.\n(sec.202D-ssec.2) The court may, if it has received an application in the approved form from the person, make an order that the person be issued with a restricted licence.\n(sec.202D-ssec.3) The application may only be made— at the summary proceeding; and before the court makes the disqualification order.\n(sec.202D-ssec.4) For the application— the court may hear evidence relating to all matters relevant to the application; and the applicant and other persons may be called as witnesses; and if the court requires it, the applicant must submit himself or herself as a witness.\n(sec.202D-ssec.5) The order may only be made— at the summary proceeding; and in conjunction with the disqualification order.\n(sec.202D-ssec.6) If the court grants the application, the court must make an order directing a restricted licence be granted to the applicant during the period of the applicant’s disqualification subject to restrictions, as stated in the order, that— restrict the use, under the restricted licence, of a ship by the applicant to stated circumstances directly connected with the applicant’s means of earning his or her livelihood; and may include, but are not limited to, 1 or more of the following— the purpose for which a ship may be operated; the times at which, or period during which, a ship may be operated; the waters in which a ship may be operated.\n(sec.202D-ssec.7) To remove any doubt, it is declared that if the court makes an order under subsection&#160;(2) , the applicant— is disqualified from holding or obtaining a licence other than the restricted licence; and may not operate a ship, for the operation of which a licence is required, during the period of the disqualification unless the applicant applies for and obtains the restricted licence the court orders may be granted.\n(sec.202D-ssec.8) An order under subsection&#160;(2) may relate only to a restricted licence that is of the same type as the licence held by the applicant immediately before the disqualification in relation to which the application is made.\n- (a) is convicted before a court, by summary proceeding under the Justices Act 1886 , of an offence against— (i) section&#160;41 , 43 , 44 , 45 , 57 , 61 , 61C , 186 , 202J or 211 ; or (ii) the Transport Operations (Road Use Management) Act 1995 , section&#160;79 , other than section&#160;79 (1) or (2D) ; or (iii) the Transport Operations (Road Use Management) Act 1995 , 80(5A); and\n- (i) section&#160;41 , 43 , 44 , 45 , 57 , 61 , 61C , 186 , 202J or 211 ; or\n- (ii) the Transport Operations (Road Use Management) Act 1995 , section&#160;79 , other than section&#160;79 (1) or (2D) ; or\n- (iii) the Transport Operations (Road Use Management) Act 1995 , 80(5A); and\n- (b) by order of the court (a disqualification order ) is disqualified under section&#160;202A from holding or obtaining a licence.\n- (i) section&#160;41 , 43 , 44 , 45 , 57 , 61 , 61C , 186 , 202J or 211 ; or\n- (ii) the Transport Operations (Road Use Management) Act 1995 , section&#160;79 , other than section&#160;79 (1) or (2D) ; or\n- (iii) the Transport Operations (Road Use Management) Act 1995 , 80(5A); and\n- (a) at the summary proceeding; and\n- (b) before the court makes the disqualification order.\n- (a) the court may hear evidence relating to all matters relevant to the application; and\n- (b) the applicant and other persons may be called as witnesses; and\n- (c) if the court requires it, the applicant must submit himself or herself as a witness.\n- (a) at the summary proceeding; and\n- (b) in conjunction with the disqualification order.\n- (a) restrict the use, under the restricted licence, of a ship by the applicant to stated circumstances directly connected with the applicant’s means of earning his or her livelihood; and\n- (b) may include, but are not limited to, 1 or more of the following— (i) the purpose for which a ship may be operated; (ii) the times at which, or period during which, a ship may be operated; (iii) the waters in which a ship may be operated.\n- (i) the purpose for which a ship may be operated;\n- (ii) the times at which, or period during which, a ship may be operated;\n- (iii) the waters in which a ship may be operated.\n- (i) the purpose for which a ship may be operated;\n- (ii) the times at which, or period during which, a ship may be operated;\n- (iii) the waters in which a ship may be operated.\n- (a) is disqualified from holding or obtaining a licence other than the restricted licence; and\n- (b) may not operate a ship, for the operation of which a licence is required, during the period of the disqualification unless the applicant applies for and obtains the restricted licence the court orders may be granted.","sortOrder":321},{"sectionNumber":"sec.202E","sectionType":"section","heading":"Other limitations on ordering a restricted licence","content":"### sec.202E Other limitations on ordering a restricted licence\n\nAn application for an order under section&#160;202D for the grant of a restricted licence must not be granted unless the applicant satisfies the court that—\nthe applicant is a fit and proper person to hold a restricted licence, having regard to the safety of other operators of ships and the public generally; and\na refusal would cause extreme hardship to the applicant, or the applicant’s family, by depriving the applicant of his or her means of earning his or her livelihood; and\nthe disqualification for which the application is made resulted from the applicant’s conviction for an offence committed when the applicant held a licence; and\nthe applicant was the holder of a licence immediately before the disqualification in relation to which the application is made; and\nnone of the circumstances mentioned in subsection&#160;(2) apply to the applicant.\nFor subsection&#160;(1) (e) , the application must not be granted in any of the following circumstances—\nif, within 5 years before making the application for the order under section&#160;202D including any period before the commencement of this section, either of the following happened—\nthe applicant was disqualified from holding or obtaining a licence;\na licence held by the applicant was suspended or cancelled;\nif the applicant was previously convicted—\nin Queensland of an offence mentioned in section&#160;202A (1) (a) ; or\nelsewhere of any offence that, if committed in Queensland, would be an offence mentioned in section&#160;202A (1) (a) ;\nwithin a period of 5 years before the conviction that results in the disqualification for which the application is made, including any period before the commencement of this section;\nif the disqualification for which the application is made resulted from a conviction of the applicant for any of the following—\nan offence committed when the applicant was engaged in an activity directly connected with the applicant’s means of earning his or her livelihood;\nan offence committed by the applicant operating a ship when not holding a licence the applicant was required to hold;\nan offence committed at a time when the applicant was the holder of a restricted licence;\nif—\nthe disqualification for which the application is made resulted from the applicant’s conviction for an offence against the Transport Operations (Road Use Management) Act 1995 , section&#160;79 (1F) or (2) ; and\nthe applicant is a person to whom section&#160;79 (2D) of that Act would have applied apart from the fact that the person was over the general alcohol limit under that Act.\nFor subsection&#160;(1) (b) , if the applicant is not self-employed, the applicant must produce to the court an affidavit made by the applicant’s employer confirming the applicant would be deprived of the applicant’s means of earning his or her livelihood if the application is refused.\nIn subsection&#160;(2) (a) , the reference to a disqualification, suspension or cancellation does not include—\na disqualification, suspension or cancellation that was set aside on appeal; or\na disqualification, suspension or cancellation because of the applicant’s mental or physical disability.\nAlso, in subsection&#160;(2) (a) , the reference to a licence includes a licence of a type or class that is no longer a type or class of licence granted under this Act.\ns&#160;202E ins 2006 No.&#160;21 s&#160;91\namd 2011 No.&#160;12 s&#160;72 ; 2016 No.&#160;3 s&#160;58\n(sec.202E-ssec.1) An application for an order under section&#160;202D for the grant of a restricted licence must not be granted unless the applicant satisfies the court that— the applicant is a fit and proper person to hold a restricted licence, having regard to the safety of other operators of ships and the public generally; and a refusal would cause extreme hardship to the applicant, or the applicant’s family, by depriving the applicant of his or her means of earning his or her livelihood; and the disqualification for which the application is made resulted from the applicant’s conviction for an offence committed when the applicant held a licence; and the applicant was the holder of a licence immediately before the disqualification in relation to which the application is made; and none of the circumstances mentioned in subsection&#160;(2) apply to the applicant.\n(sec.202E-ssec.2) For subsection&#160;(1) (e) , the application must not be granted in any of the following circumstances— if, within 5 years before making the application for the order under section&#160;202D including any period before the commencement of this section, either of the following happened— the applicant was disqualified from holding or obtaining a licence; a licence held by the applicant was suspended or cancelled; if the applicant was previously convicted— in Queensland of an offence mentioned in section&#160;202A (1) (a) ; or elsewhere of any offence that, if committed in Queensland, would be an offence mentioned in section&#160;202A (1) (a) ; within a period of 5 years before the conviction that results in the disqualification for which the application is made, including any period before the commencement of this section; if the disqualification for which the application is made resulted from a conviction of the applicant for any of the following— an offence committed when the applicant was engaged in an activity directly connected with the applicant’s means of earning his or her livelihood; an offence committed by the applicant operating a ship when not holding a licence the applicant was required to hold; an offence committed at a time when the applicant was the holder of a restricted licence; if— the disqualification for which the application is made resulted from the applicant’s conviction for an offence against the Transport Operations (Road Use Management) Act 1995 , section&#160;79 (1F) or (2) ; and the applicant is a person to whom section&#160;79 (2D) of that Act would have applied apart from the fact that the person was over the general alcohol limit under that Act.\n(sec.202E-ssec.3) For subsection&#160;(1) (b) , if the applicant is not self-employed, the applicant must produce to the court an affidavit made by the applicant’s employer confirming the applicant would be deprived of the applicant’s means of earning his or her livelihood if the application is refused.\n(sec.202E-ssec.4) In subsection&#160;(2) (a) , the reference to a disqualification, suspension or cancellation does not include— a disqualification, suspension or cancellation that was set aside on appeal; or a disqualification, suspension or cancellation because of the applicant’s mental or physical disability.\n(sec.202E-ssec.5) Also, in subsection&#160;(2) (a) , the reference to a licence includes a licence of a type or class that is no longer a type or class of licence granted under this Act.\n- (a) the applicant is a fit and proper person to hold a restricted licence, having regard to the safety of other operators of ships and the public generally; and\n- (b) a refusal would cause extreme hardship to the applicant, or the applicant’s family, by depriving the applicant of his or her means of earning his or her livelihood; and\n- (c) the disqualification for which the application is made resulted from the applicant’s conviction for an offence committed when the applicant held a licence; and\n- (d) the applicant was the holder of a licence immediately before the disqualification in relation to which the application is made; and\n- (e) none of the circumstances mentioned in subsection&#160;(2) apply to the applicant.\n- (a) if, within 5 years before making the application for the order under section&#160;202D including any period before the commencement of this section, either of the following happened— (i) the applicant was disqualified from holding or obtaining a licence; (ii) a licence held by the applicant was suspended or cancelled;\n- (i) the applicant was disqualified from holding or obtaining a licence;\n- (ii) a licence held by the applicant was suspended or cancelled;\n- (b) if the applicant was previously convicted— (i) in Queensland of an offence mentioned in section&#160;202A (1) (a) ; or (ii) elsewhere of any offence that, if committed in Queensland, would be an offence mentioned in section&#160;202A (1) (a) ; within a period of 5 years before the conviction that results in the disqualification for which the application is made, including any period before the commencement of this section;\n- (i) in Queensland of an offence mentioned in section&#160;202A (1) (a) ; or\n- (ii) elsewhere of any offence that, if committed in Queensland, would be an offence mentioned in section&#160;202A (1) (a) ;\n- (c) if the disqualification for which the application is made resulted from a conviction of the applicant for any of the following— (i) an offence committed when the applicant was engaged in an activity directly connected with the applicant’s means of earning his or her livelihood; (ii) an offence committed by the applicant operating a ship when not holding a licence the applicant was required to hold; (iii) an offence committed at a time when the applicant was the holder of a restricted licence;\n- (i) an offence committed when the applicant was engaged in an activity directly connected with the applicant’s means of earning his or her livelihood;\n- (ii) an offence committed by the applicant operating a ship when not holding a licence the applicant was required to hold;\n- (iii) an offence committed at a time when the applicant was the holder of a restricted licence;\n- (d) if— (i) the disqualification for which the application is made resulted from the applicant’s conviction for an offence against the Transport Operations (Road Use Management) Act 1995 , section&#160;79 (1F) or (2) ; and (ii) the applicant is a person to whom section&#160;79 (2D) of that Act would have applied apart from the fact that the person was over the general alcohol limit under that Act.\n- (i) the disqualification for which the application is made resulted from the applicant’s conviction for an offence against the Transport Operations (Road Use Management) Act 1995 , section&#160;79 (1F) or (2) ; and\n- (ii) the applicant is a person to whom section&#160;79 (2D) of that Act would have applied apart from the fact that the person was over the general alcohol limit under that Act.\n- (i) the applicant was disqualified from holding or obtaining a licence;\n- (ii) a licence held by the applicant was suspended or cancelled;\n- (i) in Queensland of an offence mentioned in section&#160;202A (1) (a) ; or\n- (ii) elsewhere of any offence that, if committed in Queensland, would be an offence mentioned in section&#160;202A (1) (a) ;\n- (i) an offence committed when the applicant was engaged in an activity directly connected with the applicant’s means of earning his or her livelihood;\n- (ii) an offence committed by the applicant operating a ship when not holding a licence the applicant was required to hold;\n- (iii) an offence committed at a time when the applicant was the holder of a restricted licence;\n- (i) the disqualification for which the application is made resulted from the applicant’s conviction for an offence against the Transport Operations (Road Use Management) Act 1995 , section&#160;79 (1F) or (2) ; and\n- (ii) the applicant is a person to whom section&#160;79 (2D) of that Act would have applied apart from the fact that the person was over the general alcohol limit under that Act.\n- (a) a disqualification, suspension or cancellation that was set aside on appeal; or\n- (b) a disqualification, suspension or cancellation because of the applicant’s mental or physical disability.","sortOrder":322},{"sectionNumber":"sec.202F","sectionType":"section","heading":"Consideration of order for restricted licence when making order disqualifying a person","content":"### sec.202F Consideration of order for restricted licence when making order disqualifying a person\n\nA court, in considering an order it proposes to make under section&#160;202A (2) disqualifying a person from holding or obtaining a licence absolutely or for a period, must have regard to any other order it proposes to make under section&#160;202D .\ns&#160;202F ins 2006 No.&#160;21 s&#160;91","sortOrder":323},{"sectionNumber":"sec.202G","sectionType":"section","heading":"Application for, and grant of, restricted licence","content":"### sec.202G Application for, and grant of, restricted licence\n\nThis section applies if—\nan order is made under section&#160;202D ; and\nthe person for whom the order is made makes an application under a regulation for a restricted licence of the type stated in the order.\nThe person who, under a regulation, has the power of granting a licence of the type for which the application is made ( licensing entity ) must grant to the person a restricted licence of the type stated in the order subject to—\nthe restrictions imposed by the disqualifying court’s order made under section&#160;202D ; and\nother terms, provisions, conditions, limitations or restrictions, consistent with the order, as may be stated on the licence under this Act.\ns&#160;202G ins 2006 No.&#160;21 s&#160;91\n(sec.202G-ssec.1) This section applies if— an order is made under section&#160;202D ; and the person for whom the order is made makes an application under a regulation for a restricted licence of the type stated in the order.\n(sec.202G-ssec.2) The person who, under a regulation, has the power of granting a licence of the type for which the application is made ( licensing entity ) must grant to the person a restricted licence of the type stated in the order subject to— the restrictions imposed by the disqualifying court’s order made under section&#160;202D ; and other terms, provisions, conditions, limitations or restrictions, consistent with the order, as may be stated on the licence under this Act.\n- (a) an order is made under section&#160;202D ; and\n- (b) the person for whom the order is made makes an application under a regulation for a restricted licence of the type stated in the order.\n- (a) the restrictions imposed by the disqualifying court’s order made under section&#160;202D ; and\n- (b) other terms, provisions, conditions, limitations or restrictions, consistent with the order, as may be stated on the licence under this Act.","sortOrder":324},{"sectionNumber":"sec.202H","sectionType":"section","heading":"Duration of restricted licence","content":"### sec.202H Duration of restricted licence\n\nIn the first instance, a restricted licence must be granted for—\nif the licence that was cancelled under section&#160;202C (1) included a date for the expiry of the licence—the period remaining until the expiry date; or\notherwise—1 year.\nIf a restricted licence is renewed during the period of the cancellation, the restricted licence must be renewed subject to the restrictions stated in the order last made whether under section&#160;202D or 202K .\nA restricted licence remains in force until it expires or is cancelled, suspended or surrendered under this Act.\ns&#160;202H ins 2006 No.&#160;21 s&#160;91\n(sec.202H-ssec.1) In the first instance, a restricted licence must be granted for— if the licence that was cancelled under section&#160;202C (1) included a date for the expiry of the licence—the period remaining until the expiry date; or otherwise—1 year.\n(sec.202H-ssec.2) If a restricted licence is renewed during the period of the cancellation, the restricted licence must be renewed subject to the restrictions stated in the order last made whether under section&#160;202D or 202K .\n(sec.202H-ssec.3) A restricted licence remains in force until it expires or is cancelled, suspended or surrendered under this Act.\n- (a) if the licence that was cancelled under section&#160;202C (1) included a date for the expiry of the licence—the period remaining until the expiry date; or\n- (b) otherwise—1 year.","sortOrder":325},{"sectionNumber":"sec.202I","sectionType":"section","heading":"Regulation-making power in relation to restricted licence","content":"### sec.202I Regulation-making power in relation to restricted licence\n\nA regulation may be made about restricted licences.\nWithout limiting subsection&#160;(1) , a regulation about restricted licences may make provision about authorising the chief executive or the general manager to cancel or suspend a restricted licence even though the restricted licence is ordered to be granted under an order of a disqualifying court.\ns&#160;202I ins 2006 No.&#160;21 s&#160;91\n(sec.202I-ssec.1) A regulation may be made about restricted licences.\n(sec.202I-ssec.2) Without limiting subsection&#160;(1) , a regulation about restricted licences may make provision about authorising the chief executive or the general manager to cancel or suspend a restricted licence even though the restricted licence is ordered to be granted under an order of a disqualifying court.","sortOrder":326},{"sectionNumber":"sec.202J","sectionType":"section","heading":"Offence of operating ship other than under a restricted licence","content":"### sec.202J Offence of operating ship other than under a restricted licence\n\nA person who is the holder of a restricted licence must not operate a ship unless—\nthe person operates the ship under the restricted licence; or\na licence is not required by anyone to operate the ship.\nMaximum penalty—20 penalty units.\ns&#160;202J ins 2006 No.&#160;21 s&#160;91\n- (a) the person operates the ship under the restricted licence; or\n- (b) a licence is not required by anyone to operate the ship.","sortOrder":327},{"sectionNumber":"sec.202K","sectionType":"section","heading":"Variation of restrictions","content":"### sec.202K Variation of restrictions\n\nThis section applies if, after a disqualifying court makes an order under section&#160;202D or this section, the circumstances connected with the disqualified person’s means of earning his or her livelihood have changed.\nThe disqualified person (the applicant ) may apply, in the approved form, to a Magistrates Court exercising jurisdiction at the place where the applicant resides for an order to vary restrictions currently applying to the applicant’s restricted licence by an order of a court.\nFor the application, the following must give evidence relating to all matters relevant to the application and must be liable to cross-examination—\nthe applicant, if required by the court to submit himself or herself as a witness; and\nany other person, if called as a witness.\nAt least 28 days before the date of the hearing for the application, the applicant must give written notice about the application, including the time and place at which the application is to be heard, to the chief executive in a way prescribed under a regulation.\nThe chief executive is entitled to appear and be heard and to give and produce evidence at the hearing of the application, including for or against the grant of the application.\nAlso, the chief executive is entitled to be represented at the hearing.\nThe chief executive may be represented by an Australian legal practitioner or government legal officer.\nA court to which an application is made under subsection&#160;(2) may, if it considers that the justice of the case requires that it do so and having regard to the restrictions mentioned in section&#160;202D (6) , make an order varying the restrictions to which the restricted licence is subject under section&#160;202D or this section.\nIf the chief executive is given—\na copy of an order made under this section (a variation order ) certified to be a true copy by a relevant clerk of the court that made the order; and\nthe restricted licence to which the variation order relates and, if the holder of the restricted licence has a marine licence indicator, the holder’s marine licence indicator;\nthe licensing entity who dealt with the previous application for the restricted licence under section&#160;202G must vary the restrictions to which the restricted licence is subject so the restrictions accord with those imposed by the court by the variation order.\nUntil the licensing entity mentioned in subsection&#160;(8) varies the restrictions to which the restricted licence is subject, those restrictions continue to apply to the restricted licence despite any variation order.\ns&#160;202K ins 2006 No.&#160;21 s&#160;91\namd 2008 No.&#160;31 s&#160;37 ; 2010 No.&#160;13 s&#160;83\n(sec.202K-ssec.1) This section applies if, after a disqualifying court makes an order under section&#160;202D or this section, the circumstances connected with the disqualified person’s means of earning his or her livelihood have changed.\n(sec.202K-ssec.2) The disqualified person (the applicant ) may apply, in the approved form, to a Magistrates Court exercising jurisdiction at the place where the applicant resides for an order to vary restrictions currently applying to the applicant’s restricted licence by an order of a court.\n(sec.202K-ssec.3) For the application, the following must give evidence relating to all matters relevant to the application and must be liable to cross-examination— the applicant, if required by the court to submit himself or herself as a witness; and any other person, if called as a witness.\n(sec.202K-ssec.4) At least 28 days before the date of the hearing for the application, the applicant must give written notice about the application, including the time and place at which the application is to be heard, to the chief executive in a way prescribed under a regulation.\n(sec.202K-ssec.5) The chief executive is entitled to appear and be heard and to give and produce evidence at the hearing of the application, including for or against the grant of the application.\n(sec.202K-ssec.6) Also, the chief executive is entitled to be represented at the hearing. The chief executive may be represented by an Australian legal practitioner or government legal officer.\n(sec.202K-ssec.7) A court to which an application is made under subsection&#160;(2) may, if it considers that the justice of the case requires that it do so and having regard to the restrictions mentioned in section&#160;202D (6) , make an order varying the restrictions to which the restricted licence is subject under section&#160;202D or this section.\n(sec.202K-ssec.8) If the chief executive is given— a copy of an order made under this section (a variation order ) certified to be a true copy by a relevant clerk of the court that made the order; and the restricted licence to which the variation order relates and, if the holder of the restricted licence has a marine licence indicator, the holder’s marine licence indicator; the licensing entity who dealt with the previous application for the restricted licence under section&#160;202G must vary the restrictions to which the restricted licence is subject so the restrictions accord with those imposed by the court by the variation order.\n(sec.202K-ssec.9) Until the licensing entity mentioned in subsection&#160;(8) varies the restrictions to which the restricted licence is subject, those restrictions continue to apply to the restricted licence despite any variation order.\n- (a) the applicant, if required by the court to submit himself or herself as a witness; and\n- (b) any other person, if called as a witness.\n- (a) a copy of an order made under this section (a variation order ) certified to be a true copy by a relevant clerk of the court that made the order; and\n- (b) the restricted licence to which the variation order relates and, if the holder of the restricted licence has a marine licence indicator, the holder’s marine licence indicator;","sortOrder":328},{"sectionNumber":"pt.15-div.4","sectionType":"division","heading":"Removal of disqualification","content":"## Removal of disqualification","sortOrder":329},{"sectionNumber":"sec.202L","sectionType":"section","heading":"Application for removal of disqualification under div&#160;2","content":"### sec.202L Application for removal of disqualification under div&#160;2\n\nThis section applies if a person was disqualified by an order under section&#160;202A (2) from holding or obtaining a licence absolutely or for a period of more than 2 years, whether or not at the time of the order the person held a licence.\nThe person may, at any time after the expiration of 2 years from the start of the disqualification period, apply for the disqualification to be removed.\nThe application must be made to—\nif the disqualification was ordered by the Supreme Court—the Supreme Court; or\nif the disqualification was ordered by the District Court—the District Court; or\nif the disqualification was not ordered by the Supreme or District Court—\nif the person lives in Queensland—the Magistrates Court exercising jurisdiction at the place where the person lives; or\nif the person lives outside Queensland—the Magistrates Court, Central division of the Brisbane Magistrates Courts District.\nAt least 28 days before the date of the hearing of the application, the applicant must give written notice about the application, including the time and place at which the application is to be heard, to the chief executive in a way prescribed under a regulation.\nThe chief executive is entitled to appear and be heard and to give and produce evidence at the hearing of the application, including for or against the grant of the application.\nAlso, the chief executive is entitled to be represented at the hearing.\nThe chief executive may be represented by an Australian legal practitioner or government legal officer.\npt&#160;15 div&#160;4 (ss 202L–202M) ins 2006 No.&#160;21 s&#160;91\n(sec.202L-ssec.1) This section applies if a person was disqualified by an order under section&#160;202A (2) from holding or obtaining a licence absolutely or for a period of more than 2 years, whether or not at the time of the order the person held a licence.\n(sec.202L-ssec.2) The person may, at any time after the expiration of 2 years from the start of the disqualification period, apply for the disqualification to be removed.\n(sec.202L-ssec.3) The application must be made to— if the disqualification was ordered by the Supreme Court—the Supreme Court; or if the disqualification was ordered by the District Court—the District Court; or if the disqualification was not ordered by the Supreme or District Court— if the person lives in Queensland—the Magistrates Court exercising jurisdiction at the place where the person lives; or if the person lives outside Queensland—the Magistrates Court, Central division of the Brisbane Magistrates Courts District.\n(sec.202L-ssec.4) At least 28 days before the date of the hearing of the application, the applicant must give written notice about the application, including the time and place at which the application is to be heard, to the chief executive in a way prescribed under a regulation.\n(sec.202L-ssec.5) The chief executive is entitled to appear and be heard and to give and produce evidence at the hearing of the application, including for or against the grant of the application.\n(sec.202L-ssec.6) Also, the chief executive is entitled to be represented at the hearing. The chief executive may be represented by an Australian legal practitioner or government legal officer.\n- (a) if the disqualification was ordered by the Supreme Court—the Supreme Court; or\n- (b) if the disqualification was ordered by the District Court—the District Court; or\n- (c) if the disqualification was not ordered by the Supreme or District Court— (i) if the person lives in Queensland—the Magistrates Court exercising jurisdiction at the place where the person lives; or (ii) if the person lives outside Queensland—the Magistrates Court, Central division of the Brisbane Magistrates Courts District.\n- (i) if the person lives in Queensland—the Magistrates Court exercising jurisdiction at the place where the person lives; or\n- (ii) if the person lives outside Queensland—the Magistrates Court, Central division of the Brisbane Magistrates Courts District.\n- (i) if the person lives in Queensland—the Magistrates Court exercising jurisdiction at the place where the person lives; or\n- (ii) if the person lives outside Queensland—the Magistrates Court, Central division of the Brisbane Magistrates Courts District.","sortOrder":330},{"sectionNumber":"sec.202M","sectionType":"section","heading":"Court hearing an application","content":"### sec.202M Court hearing an application\n\nThis section applies to a hearing by the Supreme Court, the District Court or a Magistrates Court of an application under section&#160;202L (2) for the removal of a disqualified person’s disqualification.\nAs it considers appropriate, the court may—\nby order, remove the disqualification on and from a date stated in the order; or\nrefuse the application.\nFor subsection&#160;(2) , the court must have regard to the following—\nthe character of the disqualified person;\nthe disqualified person’s conduct after the order under section&#160;202A (2) was made;\nthe nature of the offence for which the disqualified person was convicted by the disqualifying court;\nother circumstances relating to the disqualification or application.\nIf the application is refused, a further application under section&#160;202L (2) must not be considered if made within 1 year after the date of the refusal.\nIf an order for the removal of a disqualification is made under subsection&#160;(2) (a) , the court may order the applicant to pay all or part of the costs of the application.\nA relevant clerk of the court that deals with the application must give the chief executive information about the outcome of the application.\npt&#160;15 div&#160;4 (ss 202L–202M) ins 2006 No.&#160;21 s&#160;91\n(sec.202M-ssec.1) This section applies to a hearing by the Supreme Court, the District Court or a Magistrates Court of an application under section&#160;202L (2) for the removal of a disqualified person’s disqualification.\n(sec.202M-ssec.2) As it considers appropriate, the court may— by order, remove the disqualification on and from a date stated in the order; or refuse the application.\n(sec.202M-ssec.3) For subsection&#160;(2) , the court must have regard to the following— the character of the disqualified person; the disqualified person’s conduct after the order under section&#160;202A (2) was made; the nature of the offence for which the disqualified person was convicted by the disqualifying court; other circumstances relating to the disqualification or application.\n(sec.202M-ssec.4) If the application is refused, a further application under section&#160;202L (2) must not be considered if made within 1 year after the date of the refusal.\n(sec.202M-ssec.5) If an order for the removal of a disqualification is made under subsection&#160;(2) (a) , the court may order the applicant to pay all or part of the costs of the application.\n(sec.202M-ssec.6) A relevant clerk of the court that deals with the application must give the chief executive information about the outcome of the application.\n- (a) by order, remove the disqualification on and from a date stated in the order; or\n- (b) refuse the application.\n- (a) the character of the disqualified person;\n- (b) the disqualified person’s conduct after the order under section&#160;202A (2) was made;\n- (c) the nature of the offence for which the disqualified person was convicted by the disqualifying court;\n- (d) other circumstances relating to the disqualification or application.","sortOrder":331},{"sectionNumber":"pt.15A","sectionType":"part","heading":"Protection for whistleblowers","content":"# Protection for whistleblowers","sortOrder":332},{"sectionNumber":"sec.202N","sectionType":"section","heading":"Definitions for pt&#160;15A","content":"### sec.202N Definitions for pt&#160;15A\n\nIn this part—\ndisclosing person see section&#160;202P (1) .\nofficial means—\nthe chief executive; or\nthe general manager; or\na harbour master; or\na shipping inspector.\nreprisal see section&#160;202R (3) .\ns&#160;202N ins 2006 No.&#160;21 s&#160;92\n- (a) the chief executive; or\n- (b) the general manager; or\n- (c) a harbour master; or\n- (d) a shipping inspector.","sortOrder":333},{"sectionNumber":"sec.202O","sectionType":"section","heading":"Application of pt&#160;15A","content":"### sec.202O Application of pt&#160;15A\n\nThis part applies to a person other than a person who makes a disclosure as a public officer under the Public Interest Disclosure Act 2010 .\nIf a disclosure is made under the Public Interest Disclosure Act 2010 , this part does not limit the application of that Act and that Act does limit the application of this part.\ns&#160;202O ins 2006 No.&#160;21 s&#160;92\namd 2010 No.&#160;38 s&#160;78 sch&#160;3\n(sec.202O-ssec.1) This part applies to a person other than a person who makes a disclosure as a public officer under the Public Interest Disclosure Act 2010 .\n(sec.202O-ssec.2) If a disclosure is made under the Public Interest Disclosure Act 2010 , this part does not limit the application of that Act and that Act does limit the application of this part.","sortOrder":334},{"sectionNumber":"sec.202P","sectionType":"section","heading":"General limitation","content":"### sec.202P General limitation\n\nA person (the disclosing person ) is not civilly or criminally liable for disclosing information to an official about a person’s conduct, whether committed before or after the commencement of this section, that the disclosing person honestly believes, on reasonable grounds, contravenes this Act.\nWithout limiting subsection&#160;(1) —\nin a proceeding for defamation, the disclosing person has a defence of absolute privilege for publishing the disclosed information; and\nif the disclosing person would otherwise be required to maintain confidentiality about the disclosed information under an Act, agreement, oath, rule of law or practice, the disclosing person does not—\ncontravene the Act , oath, rule of law or practice by making the disclosure; or\nbreach the agreement by making the disclosure.\nIn this section—\nagreement includes a contract or deed.\ns&#160;202P ins 2006 No.&#160;21 s&#160;92\n(sec.202P-ssec.1) A person (the disclosing person ) is not civilly or criminally liable for disclosing information to an official about a person’s conduct, whether committed before or after the commencement of this section, that the disclosing person honestly believes, on reasonable grounds, contravenes this Act.\n(sec.202P-ssec.2) Without limiting subsection&#160;(1) — in a proceeding for defamation, the disclosing person has a defence of absolute privilege for publishing the disclosed information; and if the disclosing person would otherwise be required to maintain confidentiality about the disclosed information under an Act, agreement, oath, rule of law or practice, the disclosing person does not— contravene the Act , oath, rule of law or practice by making the disclosure; or breach the agreement by making the disclosure.\n(sec.202P-ssec.3) In this section— agreement includes a contract or deed.\n- (a) in a proceeding for defamation, the disclosing person has a defence of absolute privilege for publishing the disclosed information; and\n- (b) if the disclosing person would otherwise be required to maintain confidentiality about the disclosed information under an Act, agreement, oath, rule of law or practice, the disclosing person does not— (i) contravene the Act , oath, rule of law or practice by making the disclosure; or (ii) breach the agreement by making the disclosure.\n- (i) contravene the Act , oath, rule of law or practice by making the disclosure; or\n- (ii) breach the agreement by making the disclosure.\n- (i) contravene the Act , oath, rule of law or practice by making the disclosure; or\n- (ii) breach the agreement by making the disclosure.","sortOrder":335},{"sectionNumber":"sec.202Q","sectionType":"section","heading":"Liability for conduct unaffected","content":"### sec.202Q Liability for conduct unaffected\n\nThe liability of the disclosing person for his or her own conduct is not affected only because the disclosing person discloses the conduct to an official.\nHowever, a court may have regard to the disclosure if the disclosing person is prosecuted for an offence involving the conduct and either of the following applies—\nthe disclosing person is the master of a ship and his or her conduct was in compliance with an express instruction of the owner of the ship or someone authorised by the owner to give the instruction;\nthe disclosing person is another member of a ship’s crew and his or her conduct was in compliance with an express instruction of the master of the ship or someone authorised by the master to give the instruction.\nSubsection&#160;(2) does not limit the Penalties and Sentences Act 1992 .\ns&#160;202Q ins 2006 No.&#160;21 s&#160;92\n(sec.202Q-ssec.1) The liability of the disclosing person for his or her own conduct is not affected only because the disclosing person discloses the conduct to an official.\n(sec.202Q-ssec.2) However, a court may have regard to the disclosure if the disclosing person is prosecuted for an offence involving the conduct and either of the following applies— the disclosing person is the master of a ship and his or her conduct was in compliance with an express instruction of the owner of the ship or someone authorised by the owner to give the instruction; the disclosing person is another member of a ship’s crew and his or her conduct was in compliance with an express instruction of the master of the ship or someone authorised by the master to give the instruction.\n(sec.202Q-ssec.3) Subsection&#160;(2) does not limit the Penalties and Sentences Act 1992 .\n- (a) the disclosing person is the master of a ship and his or her conduct was in compliance with an express instruction of the owner of the ship or someone authorised by the owner to give the instruction;\n- (b) the disclosing person is another member of a ship’s crew and his or her conduct was in compliance with an express instruction of the master of the ship or someone authorised by the master to give the instruction.","sortOrder":336},{"sectionNumber":"sec.202R","sectionType":"section","heading":"Reprisal and grounds for reprisal","content":"### sec.202R Reprisal and grounds for reprisal\n\nA person must not cause, or attempt or conspire to cause, detriment to another person because, or in the belief that, anybody has made, or may make, a disclosure as mentioned in section&#160;202P (1) .\nAn attempt to cause detriment includes an attempt to induce a person to cause detriment.\nA contravention of subsection&#160;(1) is a reprisal or the taking of a reprisal.\nA ground mentioned in subsection&#160;(1) as the ground for a reprisal is the unlawful ground for the reprisal.\nFor the contravention to happen, it is sufficient if the unlawful ground is a substantial ground for the act or omission that is the reprisal, even if there is another ground for the act or omission.\ns&#160;202R ins 2006 No.&#160;21 s&#160;92\n(sec.202R-ssec.1) A person must not cause, or attempt or conspire to cause, detriment to another person because, or in the belief that, anybody has made, or may make, a disclosure as mentioned in section&#160;202P (1) .\n(sec.202R-ssec.2) An attempt to cause detriment includes an attempt to induce a person to cause detriment.\n(sec.202R-ssec.3) A contravention of subsection&#160;(1) is a reprisal or the taking of a reprisal.\n(sec.202R-ssec.4) A ground mentioned in subsection&#160;(1) as the ground for a reprisal is the unlawful ground for the reprisal.\n(sec.202R-ssec.5) For the contravention to happen, it is sufficient if the unlawful ground is a substantial ground for the act or omission that is the reprisal, even if there is another ground for the act or omission.","sortOrder":337},{"sectionNumber":"sec.202S","sectionType":"section","heading":"Damages entitlement or other remedy for reprisal","content":"### sec.202S Damages entitlement or other remedy for reprisal\n\nA reprisal is a tort and a person who takes a reprisal is liable in damages to anyone who suffers detriment as a result.\nAny appropriate remedy that may be granted by a court for a tort may be granted by a court for the taking of a reprisal.\nIf the claim for damages goes to trial in the Supreme Court or the District Court, it must be decided by a judge sitting without a jury.\nThis section does not limit any other remedy that may be available at law to the person against whom the reprisal is taken.\ns&#160;202S ins 2006 No.&#160;21 s&#160;92\n(sec.202S-ssec.1) A reprisal is a tort and a person who takes a reprisal is liable in damages to anyone who suffers detriment as a result.\n(sec.202S-ssec.2) Any appropriate remedy that may be granted by a court for a tort may be granted by a court for the taking of a reprisal.\n(sec.202S-ssec.3) If the claim for damages goes to trial in the Supreme Court or the District Court, it must be decided by a judge sitting without a jury.\n(sec.202S-ssec.4) This section does not limit any other remedy that may be available at law to the person against whom the reprisal is taken.","sortOrder":338},{"sectionNumber":"sec.202T","sectionType":"section","heading":"False or misleading statements","content":"### sec.202T False or misleading statements\n\nA person must not, for section&#160;202P (1) , state anything to an official that the person knows is false or misleading in a material particular.\nMaximum penalty—200 penalty units.\ns&#160;202T ins 2006 No.&#160;21 s&#160;92","sortOrder":339},{"sectionNumber":"sec.202U","sectionType":"section","heading":"False or misleading documents","content":"### sec.202U False or misleading documents\n\nA person must not, for section&#160;202P (1) , give an official a document containing information the person knows is false or misleading in a material particular.\nMaximum penalty—200 penalty units.\nSubsection&#160;(1) does not apply to a person if the person, when giving the document—\ninforms the official, to the best of the person’s ability, how it is false or misleading; and\nif the person has, or can reasonably obtain, the correct information, gives the correct information.\ns&#160;202U ins 2006 No.&#160;21 s&#160;92\n(sec.202U-ssec.1) A person must not, for section&#160;202P (1) , give an official a document containing information the person knows is false or misleading in a material particular. Maximum penalty—200 penalty units.\n(sec.202U-ssec.2) Subsection&#160;(1) does not apply to a person if the person, when giving the document— informs the official, to the best of the person’s ability, how it is false or misleading; and if the person has, or can reasonably obtain, the correct information, gives the correct information.\n- (a) informs the official, to the best of the person’s ability, how it is false or misleading; and\n- (b) if the person has, or can reasonably obtain, the correct information, gives the correct information.","sortOrder":340},{"sectionNumber":"pt.16","sectionType":"part","heading":"Review of and appeals against particular decisions","content":"# Review of and appeals against particular decisions","sortOrder":341},{"sectionNumber":"sec.203","sectionType":"section","heading":"Definitions for pt&#160;16","content":"### sec.203 Definitions for pt&#160;16\n\nIn this part—\nappropriate appeal court ...\ndef appropriate appeal court om 2009 No.&#160;24 s&#160;1756 (1)\ndelegate , of the chief executive or general manager, means a person who makes a decision as the delegate of the chief executive or general manager.\ndef delegate amd 2009 No.&#160;24 s&#160;1756 (3)\noriginal decision means a decision made under this Act by the chief executive, the general manager, a delegate of the chief executive or general manager, a harbour master or a shipping inspector, other than a reviewed decision.\ndef original decision amd 2009 No.&#160;24 s&#160;1756 (4)\nreviewed decision means the chief executive’s or general manager’s decision made, or taken to have been made, on a review under section&#160;203B .\ndef reviewed decision sub 2009 No.&#160;24 s&#160;1756 (1) – (2)\ns&#160;203 amd 1996 No.&#160;63 s&#160;17 ; 1997 No.&#160;66 s&#160;61 ; 2002 No.&#160;29 s&#160;16 sch&#160;1\nsub 2006 No.&#160;21 s&#160;92","sortOrder":342},{"sectionNumber":"sec.203A","sectionType":"section","heading":"Main purposes of pt&#160;16","content":"### sec.203A Main purposes of pt&#160;16\n\nThe main purposes of this part are to provide for—\nreviews of particular decisions made under this Act, whether the decisions are made by the chief executive, the general manager, a delegate of the chief executive or general manager, a harbour master or a shipping inspector; and\nthe application of the Transport Planning and Coordination Act 1994 , part&#160;5 , divisions&#160;2 and 3 ; and\nappeals from decisions under section&#160;202A , including, for example, decisions disqualifying persons from holding or obtaining licences.\ns&#160;203A ins 2006 No.&#160;21 s&#160;92\namd 2009 No.&#160;24 s&#160;1757\n- (a) reviews of particular decisions made under this Act, whether the decisions are made by the chief executive, the general manager, a delegate of the chief executive or general manager, a harbour master or a shipping inspector; and\n- (b) the application of the Transport Planning and Coordination Act 1994 , part&#160;5 , divisions&#160;2 and 3 ; and\n- (c) appeals from decisions under section&#160;202A , including, for example, decisions disqualifying persons from holding or obtaining licences.","sortOrder":343},{"sectionNumber":"sec.203B","sectionType":"section","heading":"Internal review of decisions","content":"### sec.203B Internal review of decisions\n\nA person whose interests are affected by an original decision may ask the following to review it—\nif the original decision was made by the chief executive or a delegate of the chief executive—the chief executive;\nif the original decision was made by a shipping inspector who is an employee of the Gold Coast Waterways Authority—the Gold Coast Waterways Authority;\notherwise—the general manager.\nThe Transport Planning and Coordination Act 1994 , part&#160;5 , division&#160;2 —\napplies to the review; and\nprovides—\nfor the procedure for applying for the review and the way it is to be carried out; and\nthat the person may apply to QCAT to have the original decision stayed.\nFor applying the Transport Planning and Coordination Act 1994 , part&#160;5 , division&#160;2 to a person other than the chief executive, a reference to the chief executive in that division, including, for example, sections&#160;33 and 34 of that Act, is taken to be a reference to—\nif the original decision was made by the general manager or a delegate of the general manager—the general manager; or\nif the original decision was made by a shipping inspector who is an employee of the Gold Coast Waterways Authority—the Gold Coast Waterways Authority.\ns&#160;203B ins 2006 No.&#160;21 s&#160;92\namd 2009 No.&#160;24 s&#160;1758 ; 2012 No.&#160;38 s&#160;126\n(sec.203B-ssec.1) A person whose interests are affected by an original decision may ask the following to review it— if the original decision was made by the chief executive or a delegate of the chief executive—the chief executive; if the original decision was made by a shipping inspector who is an employee of the Gold Coast Waterways Authority—the Gold Coast Waterways Authority; otherwise—the general manager.\n(sec.203B-ssec.2) The Transport Planning and Coordination Act 1994 , part&#160;5 , division&#160;2 — applies to the review; and provides— for the procedure for applying for the review and the way it is to be carried out; and that the person may apply to QCAT to have the original decision stayed.\n(sec.203B-ssec.3) For applying the Transport Planning and Coordination Act 1994 , part&#160;5 , division&#160;2 to a person other than the chief executive, a reference to the chief executive in that division, including, for example, sections&#160;33 and 34 of that Act, is taken to be a reference to— if the original decision was made by the general manager or a delegate of the general manager—the general manager; or if the original decision was made by a shipping inspector who is an employee of the Gold Coast Waterways Authority—the Gold Coast Waterways Authority.\n- (a) if the original decision was made by the chief executive or a delegate of the chief executive—the chief executive;\n- (b) if the original decision was made by a shipping inspector who is an employee of the Gold Coast Waterways Authority—the Gold Coast Waterways Authority;\n- (c) otherwise—the general manager.\n- (a) applies to the review; and\n- (b) provides— (i) for the procedure for applying for the review and the way it is to be carried out; and (ii) that the person may apply to QCAT to have the original decision stayed.\n- (i) for the procedure for applying for the review and the way it is to be carried out; and\n- (ii) that the person may apply to QCAT to have the original decision stayed.\n- (i) for the procedure for applying for the review and the way it is to be carried out; and\n- (ii) that the person may apply to QCAT to have the original decision stayed.\n- (a) if the original decision was made by the general manager or a delegate of the general manager—the general manager; or\n- (b) if the original decision was made by a shipping inspector who is an employee of the Gold Coast Waterways Authority—the Gold Coast Waterways Authority.","sortOrder":344},{"sectionNumber":"sec.203C","sectionType":"section","heading":"External review of decisions","content":"### sec.203C External review of decisions\n\nIf a reviewed decision is not the decision sought by the applicant for the review, the chief executive must give the applicant a QCAT information notice for the reviewed decision.\nThe applicant may apply, as provided under the QCAT Act , to QCAT for a review of the reviewed decision.\nThe QCAT Act , section&#160;22 (3) provides that QCAT may stay the operation of the reviewed decision, either on application by a person or on its own initiative.\nIn this section—\nchief executive means—\nif the reviewed decision is made by the general manager—the general manager; or\nif the reviewed decision is made by the Gold Coast Waterways Authority—the Gold Coast Waterways Authority.\nQCAT information notice means a notice complying with the QCAT Act , section&#160;157 (2) .\ns&#160;203C ins 2006 No.&#160;21 s&#160;92\nsub 2009 No.&#160;24 s&#160;1759\namd 2012 No.&#160;38 s&#160;127 ; 2016 No.&#160;3 s&#160;76 sch&#160;1\n(sec.203C-ssec.1) If a reviewed decision is not the decision sought by the applicant for the review, the chief executive must give the applicant a QCAT information notice for the reviewed decision.\n(sec.203C-ssec.2) The applicant may apply, as provided under the QCAT Act , to QCAT for a review of the reviewed decision. The QCAT Act , section&#160;22 (3) provides that QCAT may stay the operation of the reviewed decision, either on application by a person or on its own initiative.\n(sec.203C-ssec.3) In this section— chief executive means— if the reviewed decision is made by the general manager—the general manager; or if the reviewed decision is made by the Gold Coast Waterways Authority—the Gold Coast Waterways Authority. QCAT information notice means a notice complying with the QCAT Act , section&#160;157 (2) .\n- (a) if the reviewed decision is made by the general manager—the general manager; or\n- (b) if the reviewed decision is made by the Gold Coast Waterways Authority—the Gold Coast Waterways Authority.","sortOrder":345},{"sectionNumber":"sec.203D","sectionType":"section","heading":"Decisions that can not be appealed against etc.","content":"### sec.203D Decisions that can not be appealed against etc.\n\nThe following decisions can not be appealed against or be the subject of a review—\na decision of the Governor in Council;\na decision of the chief executive or general manager about a standard.\ns&#160;203D ins 2006 No.&#160;21 s&#160;92\namd 2010 No.&#160;19 s&#160;246 ; 2016 No.&#160;3 s&#160;76 sch&#160;1\n- (a) a decision of the Governor in Council;\n- (b) a decision of the chief executive or general manager about a standard.","sortOrder":346},{"sectionNumber":"sec.203E","sectionType":"section","heading":"Appropriate appeal court","content":"### sec.203E Appropriate appeal court\n\ns&#160;203E ins 2006 No.&#160;21 s&#160;92\nom 2009 No.&#160;24 s&#160;1760","sortOrder":347},{"sectionNumber":"sec.204","sectionType":"section","heading":"Appeals in relation to disqualification under s&#160;202A","content":"### sec.204 Appeals in relation to disqualification under s&#160;202A\n\nThis section applies to a person who, because of a conviction for an offence mentioned in section&#160;202A (1) , is disqualified from holding or obtaining a licence by an order under section&#160;202A .\nThe disqualified person may appeal against the order in the same way the person may appeal against the conviction.\nThe court deciding the appeal may, having regard to the circumstances of the case and as it considers appropriate—\nby order, remove the disqualification on and from a date stated in the order; or\ndismiss the appeal.\nA relevant clerk of the court deciding the appeal must give information about the outcome of the appeal to the chief executive.\nIf the disqualified person starts an appeal against the conviction, the disqualification is suspended pending the decision on the appeal.\nHowever, subject to any decision of a court on the appeal, the part of the period of disqualification that had not expired when the suspension began to operate takes effect from the date of decision of the appeal.\ns&#160;204 sub 2006 No.&#160;21 s&#160;92\n(sec.204-ssec.1) This section applies to a person who, because of a conviction for an offence mentioned in section&#160;202A (1) , is disqualified from holding or obtaining a licence by an order under section&#160;202A .\n(sec.204-ssec.2) The disqualified person may appeal against the order in the same way the person may appeal against the conviction.\n(sec.204-ssec.3) The court deciding the appeal may, having regard to the circumstances of the case and as it considers appropriate— by order, remove the disqualification on and from a date stated in the order; or dismiss the appeal.\n(sec.204-ssec.4) A relevant clerk of the court deciding the appeal must give information about the outcome of the appeal to the chief executive.\n(sec.204-ssec.5) If the disqualified person starts an appeal against the conviction, the disqualification is suspended pending the decision on the appeal.\n(sec.204-ssec.6) However, subject to any decision of a court on the appeal, the part of the period of disqualification that had not expired when the suspension began to operate takes effect from the date of decision of the appeal.\n- (a) by order, remove the disqualification on and from a date stated in the order; or\n- (b) dismiss the appeal.","sortOrder":348},{"sectionNumber":"pt.17","sectionType":"part","heading":"Miscellaneous","content":"# Miscellaneous","sortOrder":349},{"sectionNumber":"sec.205","sectionType":"section","heading":"False or misleading documents","content":"### sec.205 False or misleading documents\n\nA person must not—\nfor the purposes of this Act, give to the chief executive, the general manager or an officer or employee of the department or of MSQ a document containing information the person knows is false or misleading in a material particular; or\nstate in a document that the person knows will, for the purposes of this Act, be given to the chief executive, the general manager or an officer or employee of the department or of MSQ by someone else (the other person ), information the person knows is false or misleading in a material particular.\nMaximum penalty—200 penalty units.\nFor subsection&#160;(1) (b) , it is immaterial whether the other person knows the information is false or misleading in a material particular.\nAlso, subsection&#160;(1) (b) does not limit the Criminal Code , section&#160;7 , 8 or 542 , in its application to subsection&#160;(1) (a) .\nSubsection&#160;(1) does not apply to a person who, when giving the document or making the statement—\ninforms the chief executive, general manager, officer or employee, to the best of the person’s ability, how it is false or misleading; and\ngives the correct information to the chief executive, general manager, officer or employee if the person has, or can reasonably obtain, the correct information.\nThis section does not apply to a document given under section&#160;202U to an official within the meaning of section&#160;202N .\ns&#160;205 amd 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2002 No.&#160;21 s&#160;93 ; 2008 No.&#160;31 s&#160;38\n(sec.205-ssec.1) A person must not— for the purposes of this Act, give to the chief executive, the general manager or an officer or employee of the department or of MSQ a document containing information the person knows is false or misleading in a material particular; or state in a document that the person knows will, for the purposes of this Act, be given to the chief executive, the general manager or an officer or employee of the department or of MSQ by someone else (the other person ), information the person knows is false or misleading in a material particular. Maximum penalty—200 penalty units.\n(sec.205-ssec.2) For subsection&#160;(1) (b) , it is immaterial whether the other person knows the information is false or misleading in a material particular.\n(sec.205-ssec.3) Also, subsection&#160;(1) (b) does not limit the Criminal Code , section&#160;7 , 8 or 542 , in its application to subsection&#160;(1) (a) .\n(sec.205-ssec.4) Subsection&#160;(1) does not apply to a person who, when giving the document or making the statement— informs the chief executive, general manager, officer or employee, to the best of the person’s ability, how it is false or misleading; and gives the correct information to the chief executive, general manager, officer or employee if the person has, or can reasonably obtain, the correct information.\n(sec.205-ssec.5) This section does not apply to a document given under section&#160;202U to an official within the meaning of section&#160;202N .\n- (a) for the purposes of this Act, give to the chief executive, the general manager or an officer or employee of the department or of MSQ a document containing information the person knows is false or misleading in a material particular; or\n- (b) state in a document that the person knows will, for the purposes of this Act, be given to the chief executive, the general manager or an officer or employee of the department or of MSQ by someone else (the other person ), information the person knows is false or misleading in a material particular.\n- (a) informs the chief executive, general manager, officer or employee, to the best of the person’s ability, how it is false or misleading; and\n- (b) gives the correct information to the chief executive, general manager, officer or employee if the person has, or can reasonably obtain, the correct information.","sortOrder":350},{"sectionNumber":"sec.205A","sectionType":"section","heading":"Inquiries about person’s suitability to conduct examinations or conduct training programs","content":"### sec.205A Inquiries about person’s suitability to conduct examinations or conduct training programs\n\nThe chief executive or the general manager may make inquiries about a person to help in deciding whether—\nthe person is a suitable person for approval, or to continue to be approved, to—\nconduct examinations for issuing licences; or\nconduct training programs in the operation of Queensland regulated ships; or\na corporation or unincorporated body for which the person is a nominee is a suitable person for approval, or to continue to be approved, to—\nconduct examinations for issuing licences; or\nconduct training programs in the operation of Queensland regulated ships; or\na corporation of which the person is an executive officer is a suitable person for approval, or to continue to be approved, to—\nconduct examinations for issuing licences; or\nconduct training programs in the operation of Queensland regulated ships.\nWithout limiting subsection&#160;(1) , the chief executive or the general manager may ask the commissioner of the police service for a written report about a person’s criminal history.\nFor subsection&#160;(1A) , the chief executive’s or general manager’s request may include the following information—\nthe person’s name and any other name the chief executive or general manager believes the person may use or may have used;\nthe person’s gender and date and place of birth;\ndetails of the person’s driver licence under the Transport Operations (Road Use Management) Act 1995 ;\ndetails of the application for approval or approval of—\nthe person; or\nthe corporation or unincorporated body for which the person is a nominee; or\nthe corporation of which the person is an executive officer.\nThe commissioner of the police service must give a written report about a person’s criminal history—\nto the chief executive if the chief executive asked the commissioner for the person’s criminal history; or\nto the general manager if the general manager asked the commissioner for the person’s criminal history.\nSubsection&#160;(2) applies to the criminal history in the commissioner’s possession or to which the commissioner has access.\ns&#160;205A ins 2005 No.&#160;49 s&#160;48\namd 2006 No.&#160;21 s&#160;96 ; 2007 No.&#160;6 s&#160;32 (1)–(2) ; 2016 No.&#160;3 s&#160;76 sch&#160;1\n(sec.205A-ssec.1) The chief executive or the general manager may make inquiries about a person to help in deciding whether— the person is a suitable person for approval, or to continue to be approved, to— conduct examinations for issuing licences; or conduct training programs in the operation of Queensland regulated ships; or a corporation or unincorporated body for which the person is a nominee is a suitable person for approval, or to continue to be approved, to— conduct examinations for issuing licences; or conduct training programs in the operation of Queensland regulated ships; or a corporation of which the person is an executive officer is a suitable person for approval, or to continue to be approved, to— conduct examinations for issuing licences; or conduct training programs in the operation of Queensland regulated ships.\n(sec.205A-ssec.1A) Without limiting subsection&#160;(1) , the chief executive or the general manager may ask the commissioner of the police service for a written report about a person’s criminal history.\n(sec.205A-ssec.1B) For subsection&#160;(1A) , the chief executive’s or general manager’s request may include the following information— the person’s name and any other name the chief executive or general manager believes the person may use or may have used; the person’s gender and date and place of birth; details of the person’s driver licence under the Transport Operations (Road Use Management) Act 1995 ; details of the application for approval or approval of— the person; or the corporation or unincorporated body for which the person is a nominee; or the corporation of which the person is an executive officer.\n(sec.205A-ssec.2) The commissioner of the police service must give a written report about a person’s criminal history— to the chief executive if the chief executive asked the commissioner for the person’s criminal history; or to the general manager if the general manager asked the commissioner for the person’s criminal history.\n(sec.205A-ssec.3) Subsection&#160;(2) applies to the criminal history in the commissioner’s possession or to which the commissioner has access.\n- (a) the person is a suitable person for approval, or to continue to be approved, to— (i) conduct examinations for issuing licences; or (ii) conduct training programs in the operation of Queensland regulated ships; or\n- (i) conduct examinations for issuing licences; or\n- (ii) conduct training programs in the operation of Queensland regulated ships; or\n- (b) a corporation or unincorporated body for which the person is a nominee is a suitable person for approval, or to continue to be approved, to— (i) conduct examinations for issuing licences; or (ii) conduct training programs in the operation of Queensland regulated ships; or\n- (i) conduct examinations for issuing licences; or\n- (ii) conduct training programs in the operation of Queensland regulated ships; or\n- (c) a corporation of which the person is an executive officer is a suitable person for approval, or to continue to be approved, to— (i) conduct examinations for issuing licences; or (ii) conduct training programs in the operation of Queensland regulated ships.\n- (i) conduct examinations for issuing licences; or\n- (ii) conduct training programs in the operation of Queensland regulated ships.\n- (i) conduct examinations for issuing licences; or\n- (ii) conduct training programs in the operation of Queensland regulated ships; or\n- (i) conduct examinations for issuing licences; or\n- (ii) conduct training programs in the operation of Queensland regulated ships; or\n- (i) conduct examinations for issuing licences; or\n- (ii) conduct training programs in the operation of Queensland regulated ships.\n- (a) the person’s name and any other name the chief executive or general manager believes the person may use or may have used;\n- (b) the person’s gender and date and place of birth;\n- (c) details of the person’s driver licence under the Transport Operations (Road Use Management) Act 1995 ;\n- (d) details of the application for approval or approval of— (i) the person; or (ii) the corporation or unincorporated body for which the person is a nominee; or (iii) the corporation of which the person is an executive officer.\n- (i) the person; or\n- (ii) the corporation or unincorporated body for which the person is a nominee; or\n- (iii) the corporation of which the person is an executive officer.\n- (i) the person; or\n- (ii) the corporation or unincorporated body for which the person is a nominee; or\n- (iii) the corporation of which the person is an executive officer.\n- (a) to the chief executive if the chief executive asked the commissioner for the person’s criminal history; or\n- (b) to the general manager if the general manager asked the commissioner for the person’s criminal history.","sortOrder":351},{"sectionNumber":"sec.205AA","sectionType":"section","heading":"Notice of change in police information about a person","content":"### sec.205AA Notice of change in police information about a person\n\nThis section applies if—\nthe commissioner of the police service reasonably suspects that a person is the holder, or is a nominee or an executive officer of an entity that is the holder, of an approval—\nto conduct examinations for issuing licences; or\nto conduct training programs in the operation of Queensland regulated ships; and\nthe person’s criminal history changes.\nThe commissioner may notify the chief executive or the general manager that the person’s criminal history has changed.\nThe commissioner’s notice to the chief executive or general manager must state the following—\nthe person’s name and any other name the commissioner believes the person may use or may have used;\nthe person’s gender and date and place of birth;\nwhether the change is—\na charge made against the person for an offence; or\na conviction of the person;\ndetails of the charge or conviction.\ns&#160;205AA ins 2007 No.&#160;6 s&#160;33\namd 2016 No.&#160;3 s&#160;76 sch&#160;1\n(sec.205AA-ssec.1) This section applies if— the commissioner of the police service reasonably suspects that a person is the holder, or is a nominee or an executive officer of an entity that is the holder, of an approval— to conduct examinations for issuing licences; or to conduct training programs in the operation of Queensland regulated ships; and the person’s criminal history changes.\n(sec.205AA-ssec.2) The commissioner may notify the chief executive or the general manager that the person’s criminal history has changed.\n(sec.205AA-ssec.3) The commissioner’s notice to the chief executive or general manager must state the following— the person’s name and any other name the commissioner believes the person may use or may have used; the person’s gender and date and place of birth; whether the change is— a charge made against the person for an offence; or a conviction of the person; details of the charge or conviction.\n- (a) the commissioner of the police service reasonably suspects that a person is the holder, or is a nominee or an executive officer of an entity that is the holder, of an approval— (i) to conduct examinations for issuing licences; or (ii) to conduct training programs in the operation of Queensland regulated ships; and\n- (i) to conduct examinations for issuing licences; or\n- (ii) to conduct training programs in the operation of Queensland regulated ships; and\n- (b) the person’s criminal history changes.\n- (i) to conduct examinations for issuing licences; or\n- (ii) to conduct training programs in the operation of Queensland regulated ships; and\n- (a) the person’s name and any other name the commissioner believes the person may use or may have used;\n- (b) the person’s gender and date and place of birth;\n- (c) whether the change is— (i) a charge made against the person for an offence; or (ii) a conviction of the person;\n- (i) a charge made against the person for an offence; or\n- (ii) a conviction of the person;\n- (d) details of the charge or conviction.\n- (i) a charge made against the person for an offence; or\n- (ii) a conviction of the person;","sortOrder":352},{"sectionNumber":"sec.205AB","sectionType":"section","heading":"Chief executive or general manager may enter into arrangement about giving and receiving information with commissioner of the police service","content":"### sec.205AB Chief executive or general manager may enter into arrangement about giving and receiving information with commissioner of the police service\n\nThis section applies only to the extent another provision of this Act allows the chief executive or general manager to give information to the commissioner of the police service or the commissioner to give information to the chief executive or the general manager.\nThe chief executive and the commissioner, or the general manager and the commissioner, may enter into a written arrangement by which the information is given or received.\nWithout limiting subsection&#160;(2) , the arrangement may provide for the electronic transfer of information, including on a daily basis.\nHowever, if information is to be electronically transferred and, under this Act, there is a limitation on who may access the information or the purposes for which the information may be used, the arrangement must provide for the limitation.\ns&#160;205AB ins 2007 No.&#160;6 s&#160;33\n(sec.205AB-ssec.1) This section applies only to the extent another provision of this Act allows the chief executive or general manager to give information to the commissioner of the police service or the commissioner to give information to the chief executive or the general manager.\n(sec.205AB-ssec.2) The chief executive and the commissioner, or the general manager and the commissioner, may enter into a written arrangement by which the information is given or received.\n(sec.205AB-ssec.3) Without limiting subsection&#160;(2) , the arrangement may provide for the electronic transfer of information, including on a daily basis.\n(sec.205AB-ssec.4) However, if information is to be electronically transferred and, under this Act, there is a limitation on who may access the information or the purposes for which the information may be used, the arrangement must provide for the limitation.","sortOrder":353},{"sectionNumber":"sec.205AC","sectionType":"section","heading":"Confidentiality","content":"### sec.205AC Confidentiality\n\nA person must not disclose, record or use information that the person gained—\nthrough involvement in the administration of this Act; or\nbecause of an opportunity provided by the involvement.\nMaximum penalty—200 penalty units.\nHowever, a person may disclose, record or use the information—\nin the discharge of a function under this Act; or\nif it is authorised—\nunder another Act or a regulation; or\nby the person to whom the information relates; or\nin a proceeding before a court or tribunal in which the information is relevant.\nIn this section—\ndisclose information means—\nintentionally or recklessly disclose the information; or\nallow access to the information.\ninformation includes a digital photo and digitised signature.\ns&#160;205AC (1)–(2) (prev s&#160;205A(4)–(5)) renum and reloc 2007 No.&#160;6 s&#160;32 (4)\namd 2007 No.&#160;6 s&#160;33\nsub 2008 No.&#160;71 s&#160;16\n(sec.205AC-ssec.1) A person must not disclose, record or use information that the person gained— through involvement in the administration of this Act; or because of an opportunity provided by the involvement. Maximum penalty—200 penalty units.\n(sec.205AC-ssec.2) However, a person may disclose, record or use the information— in the discharge of a function under this Act; or if it is authorised— under another Act or a regulation; or by the person to whom the information relates; or in a proceeding before a court or tribunal in which the information is relevant.\n(sec.205AC-ssec.3) In this section— disclose information means— intentionally or recklessly disclose the information; or allow access to the information. information includes a digital photo and digitised signature.\n- (a) through involvement in the administration of this Act; or\n- (b) because of an opportunity provided by the involvement.\n- (a) in the discharge of a function under this Act; or\n- (b) if it is authorised— (i) under another Act or a regulation; or (ii) by the person to whom the information relates; or\n- (i) under another Act or a regulation; or\n- (ii) by the person to whom the information relates; or\n- (c) in a proceeding before a court or tribunal in which the information is relevant.\n- (i) under another Act or a regulation; or\n- (ii) by the person to whom the information relates; or\n- (a) intentionally or recklessly disclose the information; or\n- (b) allow access to the information.","sortOrder":354},{"sectionNumber":"sec.205B","sectionType":"section","heading":"Electronic search to verify person is holder of licence","content":"### sec.205B Electronic search to verify person is holder of licence\n\nA person may, on payment of the fee prescribed under a regulation, electronically search information held by the department about licences to verify that a person is the holder of a licence under this Act.\nHowever, the person may search information only—\nto verify the person’s own licence; or\nwith the consent of the person to whom the search relates.\ns&#160;205B ins 2006 No.&#160;21 s&#160;95\n(sec.205B-ssec.1) A person may, on payment of the fee prescribed under a regulation, electronically search information held by the department about licences to verify that a person is the holder of a licence under this Act.\n(sec.205B-ssec.2) However, the person may search information only— to verify the person’s own licence; or with the consent of the person to whom the search relates.\n- (a) to verify the person’s own licence; or\n- (b) with the consent of the person to whom the search relates.","sortOrder":355},{"sectionNumber":"sec.206","sectionType":"section","heading":"Signals of distress","content":"### sec.206 Signals of distress\n\nA person must not—\nuse or display a prescribed signal of distress other than under a regulation; or\ncause or permit someone else to use or display a prescribed signal of distress other than under a regulation.\nMaximum penalty—200 penalty units.\nIf—\na person has, under a regulation, used or displayed a prescribed signal of distress or caused or permitted someone else to use or display the prescribed signal; and\nany prescribed circumstances arise when the prescribed signal must be revoked;\nthe person must immediately use all ways of communicating at the person’s disposal to revoke the prescribed signal.\nMaximum penalty—200 penalty units.\nHowever, if the contravention of subsection&#160;(1) or (2) by a person causes the death of, or grievous bodily harm to, someone else, the person commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\nIf a person is convicted of an offence against this section, the court may order the person to pay to the State or another person an amount that represents reasonable compensation for loss or expense suffered, work undertaken and risk incurred because of the person’s act or omission.\ns&#160;206 amd 2006 No.&#160;21 s&#160;96\n(sec.206-ssec.1) A person must not— use or display a prescribed signal of distress other than under a regulation; or cause or permit someone else to use or display a prescribed signal of distress other than under a regulation. Maximum penalty—200 penalty units.\n(sec.206-ssec.2) If— a person has, under a regulation, used or displayed a prescribed signal of distress or caused or permitted someone else to use or display the prescribed signal; and any prescribed circumstances arise when the prescribed signal must be revoked; the person must immediately use all ways of communicating at the person’s disposal to revoke the prescribed signal. Maximum penalty—200 penalty units.\n(sec.206-ssec.3) However, if the contravention of subsection&#160;(1) or (2) by a person causes the death of, or grievous bodily harm to, someone else, the person commits an indictable offence and is liable to a maximum penalty of 5,000 penalty units or imprisonment for 2 years.\n(sec.206-ssec.4) If a person is convicted of an offence against this section, the court may order the person to pay to the State or another person an amount that represents reasonable compensation for loss or expense suffered, work undertaken and risk incurred because of the person’s act or omission.\n- (a) use or display a prescribed signal of distress other than under a regulation; or\n- (b) cause or permit someone else to use or display a prescribed signal of distress other than under a regulation.\n- (a) a person has, under a regulation, used or displayed a prescribed signal of distress or caused or permitted someone else to use or display the prescribed signal; and\n- (b) any prescribed circumstances arise when the prescribed signal must be revoked;","sortOrder":356},{"sectionNumber":"sec.206A","sectionType":"section","heading":"General manager’s power to fix speed limits for ships","content":"### sec.206A General manager’s power to fix speed limits for ships\n\nThe general manager may fix speed limits for ships, other than speed limits for ships for Gold Coast waters, by gazette notice.\nThe gazette notice is not subordinate legislation.\nA person must not operate a ship at a speed of more than a speed limit fixed under this section.\nMaximum penalty—200 penalty units.\nThe general manager may erect or mark, at a place in waters for which a speed limit is fixed under subsection&#160;(1) or adjacent to the waters, a sign (a speed sign ) stating the speed limit for the waters.\nA speed sign may be an official traffic sign except that the speed indicated by the number on the sign is the speed in knots.\nThis section does not prevent a regulation making provision about speed limits.\nIf there is an inconsistency between a regulation and a gazette notice, the regulation prevails to the extent of the inconsistency.\nIt is declared that a gazette notice under this section is taken never to have been subordinate legislation.\nThe general manager must publish on MSQ’s website information about all of the speed limits for ships, other than speed limits for ships for Gold Coast waters, including speed limits for ships fixed by the general manager and by regulation.\ns&#160;206A ins 1996 No.&#160;63 s&#160;18\namd 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2004 No.&#160;9 s&#160;8A ; 2012 No.&#160;38 s&#160;128\n(sec.206A-ssec.1) The general manager may fix speed limits for ships, other than speed limits for ships for Gold Coast waters, by gazette notice.\n(sec.206A-ssec.2) The gazette notice is not subordinate legislation.\n(sec.206A-ssec.3) A person must not operate a ship at a speed of more than a speed limit fixed under this section. Maximum penalty—200 penalty units.\n(sec.206A-ssec.4) The general manager may erect or mark, at a place in waters for which a speed limit is fixed under subsection&#160;(1) or adjacent to the waters, a sign (a speed sign ) stating the speed limit for the waters.\n(sec.206A-ssec.5) A speed sign may be an official traffic sign except that the speed indicated by the number on the sign is the speed in knots.\n(sec.206A-ssec.6) This section does not prevent a regulation making provision about speed limits.\n(sec.206A-ssec.7) If there is an inconsistency between a regulation and a gazette notice, the regulation prevails to the extent of the inconsistency.\n(sec.206A-ssec.8) It is declared that a gazette notice under this section is taken never to have been subordinate legislation.\n(sec.206A-ssec.9) The general manager must publish on MSQ’s website information about all of the speed limits for ships, other than speed limits for ships for Gold Coast waters, including speed limits for ships fixed by the general manager and by regulation.","sortOrder":357},{"sectionNumber":"sec.206AA","sectionType":"section","heading":"Gold Coast Waterways Authority’s power to fix speed limits for ships","content":"### sec.206AA Gold Coast Waterways Authority’s power to fix speed limits for ships\n\nThe Gold Coast Waterways Authority may, for Gold Coast waters, fix speed limits for ships by gazette notice.\nThe gazette notice is not subordinate legislation.\nA person must not operate a ship at a speed of more than a speed limit fixed under this section.\nMaximum penalty—200 penalty units.\nThe Gold Coast Waterways Authority may erect or mark, at a place in waters for which a speed limit is fixed under subsection&#160;(1) or adjacent to the waters, a sign (a speed sign ) stating the speed limit for the waters.\nA speed sign may be an official traffic sign except that the speed indicated by the number on the sign is the speed in knots.\nThis section does not prevent a regulation making provision about speed limits.\nIf there is an inconsistency between a regulation and a gazette notice, the regulation prevails to the extent of the inconsistency.\nThe Gold Coast Waterways Authority must publish on the authority’s website information about all of the speed limits for ships for Gold Coast waters, including speed limits fixed by the authority and by regulation.\ns&#160;206AA ins 2012 No.&#160;38 s&#160;129\n(sec.206AA-ssec.1) The Gold Coast Waterways Authority may, for Gold Coast waters, fix speed limits for ships by gazette notice.\n(sec.206AA-ssec.2) The gazette notice is not subordinate legislation.\n(sec.206AA-ssec.3) A person must not operate a ship at a speed of more than a speed limit fixed under this section. Maximum penalty—200 penalty units.\n(sec.206AA-ssec.4) The Gold Coast Waterways Authority may erect or mark, at a place in waters for which a speed limit is fixed under subsection&#160;(1) or adjacent to the waters, a sign (a speed sign ) stating the speed limit for the waters.\n(sec.206AA-ssec.5) A speed sign may be an official traffic sign except that the speed indicated by the number on the sign is the speed in knots.\n(sec.206AA-ssec.6) This section does not prevent a regulation making provision about speed limits.\n(sec.206AA-ssec.7) If there is an inconsistency between a regulation and a gazette notice, the regulation prevails to the extent of the inconsistency.\n(sec.206AA-ssec.8) The Gold Coast Waterways Authority must publish on the authority’s website information about all of the speed limits for ships for Gold Coast waters, including speed limits fixed by the authority and by regulation.","sortOrder":358},{"sectionNumber":"sec.206B","sectionType":"section","heading":"Approval of forms","content":"### sec.206B Approval of forms\n\nThe chief executive may approve forms for use under this Act.\ns&#160;206B ins 2001 No.&#160;79 s&#160;78","sortOrder":359},{"sectionNumber":"pt.18","sectionType":"part","heading":"Regulations and standards","content":"# Regulations and standards","sortOrder":360},{"sectionNumber":"pt.18-div.1","sectionType":"division","heading":"Regulations","content":"## Regulations","sortOrder":361},{"sectionNumber":"sec.207","sectionType":"section","heading":"Regulation-making power","content":"### sec.207 Regulation-making power\n\nThe Governor in Council may make regulations under this Act.","sortOrder":362},{"sectionNumber":"sec.208","sectionType":"section","heading":"Marine safety regulations—generally","content":"### sec.208 Marine safety regulations—generally\n\nThe Governor in Council may make regulations about marine safety and issues affecting marine safety.\nthe establishment, registration and control of buoy moorings\nWithout limiting subsection&#160;(1) , a regulation may be made about the design, building, surveying, maintenance, equipment, crewing, and stability of Queensland regulated ships.\nA regulation may—\nspecify the objectives to be achieved and maintained under the regulation; and\nspecify indicators, parameters, factors or criteria to be used in measuring or deciding any quality or condition of the matter dealt with in the regulation; and\nestablish a program by which the specified objectives are to be achieved and maintained; and\nprovide for a program performance assessment procedure (including performance indicators).\ns&#160;208 amd 2016 No.&#160;3 s&#160;59\n(sec.208-ssec.1) The Governor in Council may make regulations about marine safety and issues affecting marine safety. the establishment, registration and control of buoy moorings\n(sec.208-ssec.2) Without limiting subsection&#160;(1) , a regulation may be made about the design, building, surveying, maintenance, equipment, crewing, and stability of Queensland regulated ships.\n(sec.208-ssec.3) A regulation may— specify the objectives to be achieved and maintained under the regulation; and specify indicators, parameters, factors or criteria to be used in measuring or deciding any quality or condition of the matter dealt with in the regulation; and establish a program by which the specified objectives are to be achieved and maintained; and provide for a program performance assessment procedure (including performance indicators).\n- (a) specify the objectives to be achieved and maintained under the regulation; and\n- (b) specify indicators, parameters, factors or criteria to be used in measuring or deciding any quality or condition of the matter dealt with in the regulation; and\n- (c) establish a program by which the specified objectives are to be achieved and maintained; and\n- (d) provide for a program performance assessment procedure (including performance indicators).","sortOrder":363},{"sectionNumber":"sec.209","sectionType":"section","heading":"Regulations about fees and charges","content":"### sec.209 Regulations about fees and charges\n\nA regulation may be made about the fees and charges payable under this Act.\nA charge may be a tax.\n(sec.209-ssec.1) A regulation may be made about the fees and charges payable under this Act.\n(sec.209-ssec.2) A charge may be a tax.","sortOrder":364},{"sectionNumber":"sec.210","sectionType":"section","heading":"Penalties under regulations to be limited","content":"### sec.210 Penalties under regulations to be limited\n\nThe maximum penalty that may be prescribed by a regulation for an offence against a regulation is 200 penalty units.","sortOrder":365},{"sectionNumber":"sec.211","sectionType":"section","heading":"Regulation may give effect to treaties, conventions or international agreements or documents","content":"### sec.211 Regulation may give effect to treaties, conventions or international agreements or documents\n\nA regulation may give effect (with or without changes and whether in whole or part) to a treaty, convention or international agreement or document about ships.\nthe Prevention of Collisions Convention (within the meaning of the Commonwealth Navigation Act , part&#160;4 )\nthe Safety Convention (also within the meaning of the Commonwealth Navigation Act , part&#160;4 )\nresolutions, codes, recommendations and other documents issued by the International Maritime Organisation\nA person must not contravene a regulation made under subsection&#160;(1) that is declared to be a regulation to which this subsection applies, unless the person has a reasonable excuse.\nMaximum penalty—500 penalty units or imprisonment for 1 year.\ns&#160;211 amd 2016 No.&#160;3 s&#160;76 sch&#160;1\n(sec.211-ssec.1) A regulation may give effect (with or without changes and whether in whole or part) to a treaty, convention or international agreement or document about ships. the Prevention of Collisions Convention (within the meaning of the Commonwealth Navigation Act , part&#160;4 ) the Safety Convention (also within the meaning of the Commonwealth Navigation Act , part&#160;4 ) resolutions, codes, recommendations and other documents issued by the International Maritime Organisation\n(sec.211-ssec.2) A person must not contravene a regulation made under subsection&#160;(1) that is declared to be a regulation to which this subsection applies, unless the person has a reasonable excuse. Maximum penalty—500 penalty units or imprisonment for 1 year.\n- 1 the Prevention of Collisions Convention (within the meaning of the Commonwealth Navigation Act , part&#160;4 )\n- 2 the Safety Convention (also within the meaning of the Commonwealth Navigation Act , part&#160;4 )\n- 3 resolutions, codes, recommendations and other documents issued by the International Maritime Organisation","sortOrder":366},{"sectionNumber":"sec.212","sectionType":"section","heading":"Regulations may give effect to agreements or documents about ships approved by Australian entity","content":"### sec.212 Regulations may give effect to agreements or documents about ships approved by Australian entity\n\nA regulation may give effect (with or without changes and whether in whole or part) to an agreement or document about ships approved by an Australian entity whose functions include matters relating to marine safety.\ns&#160;212 sub 2004 No.&#160;9 s&#160;9\namd 2016 No.&#160;3 s&#160;76 sch&#160;1","sortOrder":367},{"sectionNumber":"sec.213","sectionType":"section","heading":"Regulations about dangerous substances","content":"### sec.213 Regulations about dangerous substances\n\nA regulation may make provision about goods mentioned in the International Maritime Dangerous Goods Code issued by the International Maritime Organisation, including, for example—\nthe marking and carriage of the goods; and\nthe loading of goods onto, or discharge of goods from, a ship in a pilotage area.\nThe regulation may also make provision for the powers of harbour masters for the ships.\nA person must not contravene a regulation made under subsection&#160;(1) that is declared to be a regulation to which this subsection applies, unless the person has a reasonable excuse.\nMaximum penalty—500 penalty units.\nA regulation about a dangerous substance that is an explosive within the meaning of the Explosives Act 1999 is complementary to that Act.\ns&#160;213 amd 1999 No.&#160;15 s&#160;137 sch&#160;1 ; 2016 No.&#160;3 s&#160;76 sch&#160;1\n(sec.213-ssec.1) A regulation may make provision about goods mentioned in the International Maritime Dangerous Goods Code issued by the International Maritime Organisation, including, for example— the marking and carriage of the goods; and the loading of goods onto, or discharge of goods from, a ship in a pilotage area.\n(sec.213-ssec.2) The regulation may also make provision for the powers of harbour masters for the ships.\n(sec.213-ssec.3) A person must not contravene a regulation made under subsection&#160;(1) that is declared to be a regulation to which this subsection applies, unless the person has a reasonable excuse. Maximum penalty—500 penalty units.\n(sec.213-ssec.4) A regulation about a dangerous substance that is an explosive within the meaning of the Explosives Act 1999 is complementary to that Act.\n- (a) the marking and carriage of the goods; and\n- (b) the loading of goods onto, or discharge of goods from, a ship in a pilotage area.","sortOrder":368},{"sectionNumber":"sec.214","sectionType":"section","heading":"Regulations about signals of distress","content":"### sec.214 Regulations about signals of distress\n\nA regulation may make provision about—\nthe signals to be used as prescribed signals of distress; and\nthe circumstances when a prescribed signal of distress may be used; and\nthe circumstances when a prescribed signal of distress must be revoked.\n- (a) the signals to be used as prescribed signals of distress; and\n- (b) the circumstances when a prescribed signal of distress may be used; and\n- (c) the circumstances when a prescribed signal of distress must be revoked.","sortOrder":369},{"sectionNumber":"sec.215","sectionType":"section","heading":"Pilotage fees, conservancy dues and related matters","content":"### sec.215 Pilotage fees, conservancy dues and related matters\n\nA regulation may provide for the following—\nestablishing fees on a user pays basis—\nfor pilotage services in pilotage areas and compulsory pilotage areas; and\nfor other services for other matters incidental or related to pilotage services, including, for example, establishing other fees for delay or cancellation of pilotage services;\nestablishing conservancy dues in relation to ships;\nprocedures for the payment of pilotage fees, other fees and conservancy dues;\nprocedures for recovering pilotage fees, other fees or conservancy dues payable under this Act.\nWithout limiting the Statutory Instruments Act 1992 , section&#160;24 or 25 , for establishing a pilotage fee, other fee or conservancy due under subsection&#160;(1) , a regulation may establish the pilotage fee, other fee or conservancy due by reference to a ship’s length.\nA conservancy due may be a tax.\nIn this section—\nother fee means a fee for other services for other matters incidental or related to pilotage services, established under a regulation as mentioned in subsection&#160;(1) (a) (ii) .\npilotage fee means a fee for pilotage services, established under a regulation as mentioned in subsection&#160;(1) (a) (i) .\ns&#160;215 amd 2001 No.&#160;79 s&#160;79 ; 2004 No.&#160;40 s&#160;4B\nsub 2006 No.&#160;21 s&#160;97\n(sec.215-ssec.1) A regulation may provide for the following— establishing fees on a user pays basis— for pilotage services in pilotage areas and compulsory pilotage areas; and for other services for other matters incidental or related to pilotage services, including, for example, establishing other fees for delay or cancellation of pilotage services; establishing conservancy dues in relation to ships; procedures for the payment of pilotage fees, other fees and conservancy dues; procedures for recovering pilotage fees, other fees or conservancy dues payable under this Act.\n(sec.215-ssec.2) Without limiting the Statutory Instruments Act 1992 , section&#160;24 or 25 , for establishing a pilotage fee, other fee or conservancy due under subsection&#160;(1) , a regulation may establish the pilotage fee, other fee or conservancy due by reference to a ship’s length.\n(sec.215-ssec.3) A conservancy due may be a tax.\n(sec.215-ssec.4) In this section— other fee means a fee for other services for other matters incidental or related to pilotage services, established under a regulation as mentioned in subsection&#160;(1) (a) (ii) . pilotage fee means a fee for pilotage services, established under a regulation as mentioned in subsection&#160;(1) (a) (i) .\n- (a) establishing fees on a user pays basis— (i) for pilotage services in pilotage areas and compulsory pilotage areas; and (ii) for other services for other matters incidental or related to pilotage services, including, for example, establishing other fees for delay or cancellation of pilotage services;\n- (i) for pilotage services in pilotage areas and compulsory pilotage areas; and\n- (ii) for other services for other matters incidental or related to pilotage services, including, for example, establishing other fees for delay or cancellation of pilotage services;\n- (b) establishing conservancy dues in relation to ships;\n- (c) procedures for the payment of pilotage fees, other fees and conservancy dues;\n- (d) procedures for recovering pilotage fees, other fees or conservancy dues payable under this Act.\n- (i) for pilotage services in pilotage areas and compulsory pilotage areas; and\n- (ii) for other services for other matters incidental or related to pilotage services, including, for example, establishing other fees for delay or cancellation of pilotage services;","sortOrder":370},{"sectionNumber":"sec.216","sectionType":"section","heading":"Detention of ships for unpaid fees etc.","content":"### sec.216 Detention of ships for unpaid fees etc.\n\nA regulation may make provision for the detention of a ship because—\npilotage fees, conservancy dues or other fees, charges or amounts payable for the ship have not been paid; or\na penalty payable by the owner or master of the ship has not been paid.\nThe regulation must provide for fair procedures for the detention of a ship, including, for example, the giving of notice to the owner or master of the ship about the detention.\nThe notice about the detention must be signed by—\nif the ship is in a port—the general manager; or\nif the ship is in a pilotage area—the general manager or a harbour master.\nThe notice must also contain information about—\nthe reasons for the detention; and\nthe way the owner or master of the ship can give security for the payment of the amounts payable to the State in relation to the ship; and\nthe way the detention can be appealed against; and\nother relevant matters.\nA person must not cause a ship to leave the port or pilotage area where it has been detained unless—\nthe general manager or a harbour master has released the ship from detention; or\na harbour master has directed the ship to depart the pilotage area because of safety considerations; or\na court has ordered that the ship may leave the port or pilotage area.\nMaximum penalty—the number of penalty units (rounded upwards to the next number if necessary) obtained by using the following formula—\nThe owner of a ship is liable for the costs, under a regulation, of detaining the ship.\nIn this section—\namount owing , for a ship detained under this section, means the total of—\nthe amount owing to the State for which the ship has been detained (including any interest payable on the amount); and\ncosts payable for the detention of the ship.\ns&#160;216 amd 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.216-ssec.1) A regulation may make provision for the detention of a ship because— pilotage fees, conservancy dues or other fees, charges or amounts payable for the ship have not been paid; or a penalty payable by the owner or master of the ship has not been paid.\n(sec.216-ssec.2) The regulation must provide for fair procedures for the detention of a ship, including, for example, the giving of notice to the owner or master of the ship about the detention.\n(sec.216-ssec.3) The notice about the detention must be signed by— if the ship is in a port—the general manager; or if the ship is in a pilotage area—the general manager or a harbour master.\n(sec.216-ssec.4) The notice must also contain information about— the reasons for the detention; and the way the owner or master of the ship can give security for the payment of the amounts payable to the State in relation to the ship; and the way the detention can be appealed against; and other relevant matters.\n(sec.216-ssec.5) A person must not cause a ship to leave the port or pilotage area where it has been detained unless— the general manager or a harbour master has released the ship from detention; or a harbour master has directed the ship to depart the pilotage area because of safety considerations; or a court has ordered that the ship may leave the port or pilotage area. Maximum penalty—the number of penalty units (rounded upwards to the next number if necessary) obtained by using the following formula—\n(sec.216-ssec.6) The owner of a ship is liable for the costs, under a regulation, of detaining the ship.\n(sec.216-ssec.7) In this section— amount owing , for a ship detained under this section, means the total of— the amount owing to the State for which the ship has been detained (including any interest payable on the amount); and costs payable for the detention of the ship.\n- (a) pilotage fees, conservancy dues or other fees, charges or amounts payable for the ship have not been paid; or\n- (b) a penalty payable by the owner or master of the ship has not been paid.\n- (a) if the ship is in a port—the general manager; or\n- (b) if the ship is in a pilotage area—the general manager or a harbour master.\n- (a) the reasons for the detention; and\n- (b) the way the owner or master of the ship can give security for the payment of the amounts payable to the State in relation to the ship; and\n- (c) the way the detention can be appealed against; and\n- (d) other relevant matters.\n- (a) the general manager or a harbour master has released the ship from detention; or\n- (b) a harbour master has directed the ship to depart the pilotage area because of safety considerations; or\n- (c) a court has ordered that the ship may leave the port or pilotage area.\n- (a) the amount owing to the State for which the ship has been detained (including any interest payable on the amount); and\n- (b) costs payable for the detention of the ship.","sortOrder":371},{"sectionNumber":"sec.217","sectionType":"section","heading":"Regulations about aquatic events and activities","content":"### sec.217 Regulations about aquatic events and activities\n\nA regulation may make provision in relation to any of the following events or activities—\na race, or speed trial, for any type of ship;\na water skiing competition or display;\nany other type of display on water, including, for example, a fireworks display;\na swimming race or other organised activity on water, including, for example, the swimming leg of a triathlon or an attempt to establish a long distance swimming record;\nan event involving people on the water in or on a thing as part of a carnival, competition, fun race or other activity;\nanother event or activity that takes place wholly or partly on or in water, including, for example, white water rafting, parasailing, canoeing and kayaking.\nIf a regulation requires a person (an applicant ) to obtain the consent of a stated person under the regulation before holding an event or activity mentioned in subsection&#160;(1) , neither the State or the stated person—\nis responsible for supervising the holding of the event or activity; or\nis liable in relation to the holding or conduct of the event or activity.\nSubsection&#160;(2) does not prevent the State being held liable in relation to the grant of the consent to the applicant to hold the event or activity by a person whose consent was required under a regulation.\ns&#160;217 amd 2006 No.&#160;21 s&#160;98\n(sec.217-ssec.1) A regulation may make provision in relation to any of the following events or activities— a race, or speed trial, for any type of ship; a water skiing competition or display; any other type of display on water, including, for example, a fireworks display; a swimming race or other organised activity on water, including, for example, the swimming leg of a triathlon or an attempt to establish a long distance swimming record; an event involving people on the water in or on a thing as part of a carnival, competition, fun race or other activity; another event or activity that takes place wholly or partly on or in water, including, for example, white water rafting, parasailing, canoeing and kayaking.\n(sec.217-ssec.2) If a regulation requires a person (an applicant ) to obtain the consent of a stated person under the regulation before holding an event or activity mentioned in subsection&#160;(1) , neither the State or the stated person— is responsible for supervising the holding of the event or activity; or is liable in relation to the holding or conduct of the event or activity.\n(sec.217-ssec.3) Subsection&#160;(2) does not prevent the State being held liable in relation to the grant of the consent to the applicant to hold the event or activity by a person whose consent was required under a regulation.\n- (a) a race, or speed trial, for any type of ship;\n- (b) a water skiing competition or display;\n- (c) any other type of display on water, including, for example, a fireworks display;\n- (d) a swimming race or other organised activity on water, including, for example, the swimming leg of a triathlon or an attempt to establish a long distance swimming record;\n- (e) an event involving people on the water in or on a thing as part of a carnival, competition, fun race or other activity;\n- (f) another event or activity that takes place wholly or partly on or in water, including, for example, white water rafting, parasailing, canoeing and kayaking.\n- (a) is responsible for supervising the holding of the event or activity; or\n- (b) is liable in relation to the holding or conduct of the event or activity.","sortOrder":372},{"sectionNumber":"sec.218","sectionType":"section","heading":"Other matters for regulations","content":"### sec.218 Other matters for regulations\n\nA regulation may make provision about—\nspeed limits for ships and the use of devices to measure the speed of ships; and\nthe removal of obstructions to navigation outside pilotage areas; and\nthe security required by the State for the removal of obstructions to navigation (whether in or outside of a pilotage area); and\nif a harbour master or someone else removes an obstruction to navigation—selling or disposing of the thing that caused the obstruction and, if relevant, dealing with the proceeds of the sale; and\nwhere buoy moorings may be established, approvals for establishing buoy moorings at locations and other matters relating to identifying and using buoy moorings.\nAlso, a regulation may make provision about the operation and activities of ships not otherwise provided for under sections&#160;208 to 217 .\nprovision about amenity\nprovision about zones and controlling the operation of ships in the zones\nIf under a regulation, whether made before or after the commencement of this subsection, the general manager, the Gold Coast Waterways Authority or the chief executive approved the establishment of a buoy mooring or where a buoy mooring may be established, the general manager, the Gold Coast Waterways Authority, the chief executive and the State are not, and never have been, responsible—\nfor approving the structural integrity of the buoy mooring; or\nfor other matters in relation to the buoy mooring’s establishment or maintenance.\nThe general manager, the Gold Coast Waterways Authority, the chief executive and the State are not, and never have been, liable in relation to a buoy mooring’s establishment or maintenance other than in relation to the approval of the location of the buoy mooring.\nHowever if a court decided a matter before the commencement of this subsection, and the decision included a finding that the general manager, the Gold Coast Waterways Authority, the chief executive or the State was liable in relation to an approval in relation to a buoy mooring, the decision is not affected by subsections&#160;(3) and (4) .\ns&#160;218 amd 2005 No.&#160;22 s&#160;22 ; 2006 No.&#160;21 s&#160;99 ; 2012 No.&#160;38 s&#160;130\n(sec.218-ssec.1) A regulation may make provision about— speed limits for ships and the use of devices to measure the speed of ships; and the removal of obstructions to navigation outside pilotage areas; and the security required by the State for the removal of obstructions to navigation (whether in or outside of a pilotage area); and if a harbour master or someone else removes an obstruction to navigation—selling or disposing of the thing that caused the obstruction and, if relevant, dealing with the proceeds of the sale; and where buoy moorings may be established, approvals for establishing buoy moorings at locations and other matters relating to identifying and using buoy moorings.\n(sec.218-ssec.2) Also, a regulation may make provision about the operation and activities of ships not otherwise provided for under sections&#160;208 to 217 . provision about amenity provision about zones and controlling the operation of ships in the zones\n(sec.218-ssec.3) If under a regulation, whether made before or after the commencement of this subsection, the general manager, the Gold Coast Waterways Authority or the chief executive approved the establishment of a buoy mooring or where a buoy mooring may be established, the general manager, the Gold Coast Waterways Authority, the chief executive and the State are not, and never have been, responsible— for approving the structural integrity of the buoy mooring; or for other matters in relation to the buoy mooring’s establishment or maintenance.\n(sec.218-ssec.4) The general manager, the Gold Coast Waterways Authority, the chief executive and the State are not, and never have been, liable in relation to a buoy mooring’s establishment or maintenance other than in relation to the approval of the location of the buoy mooring.\n(sec.218-ssec.5) However if a court decided a matter before the commencement of this subsection, and the decision included a finding that the general manager, the Gold Coast Waterways Authority, the chief executive or the State was liable in relation to an approval in relation to a buoy mooring, the decision is not affected by subsections&#160;(3) and (4) .\n- (a) speed limits for ships and the use of devices to measure the speed of ships; and\n- (b) the removal of obstructions to navigation outside pilotage areas; and\n- (c) the security required by the State for the removal of obstructions to navigation (whether in or outside of a pilotage area); and\n- (d) if a harbour master or someone else removes an obstruction to navigation—selling or disposing of the thing that caused the obstruction and, if relevant, dealing with the proceeds of the sale; and\n- (e) where buoy moorings may be established, approvals for establishing buoy moorings at locations and other matters relating to identifying and using buoy moorings.\n- • provision about amenity\n- • provision about zones and controlling the operation of ships in the zones\n- (a) for approving the structural integrity of the buoy mooring; or\n- (b) for other matters in relation to the buoy mooring’s establishment or maintenance.","sortOrder":373},{"sectionNumber":"sec.219","sectionType":"section","heading":"General manager’s power to fix other matters by gazette notice","content":"### sec.219 General manager’s power to fix other matters by gazette notice\n\nWithout limiting the Statutory Instruments Act 1992 , section&#160;26 , a regulation may authorise the general manager to provide, by gazette notice, for an aspect of a matter prescribed in the regulation.\nchanging times prescribed in a regulation for reporting matters relevant to ships with dangerous cargo or for matters about notice requirements for amending or cancelling pilotage\ndefining areas of Queensland waters as category areas for buoy moorings\nstating waters where the presence of anchored ships involves danger to aircraft or other ships or the anchoring, berthing, mooring or operating of a ship, or type of ship, endangers marine safety\ns&#160;219 prev s&#160;219 exp 4 June 1995 (see s&#160;219(2))\npres s&#160;219 ins 2006 No.&#160;21 s&#160;100\n- • changing times prescribed in a regulation for reporting matters relevant to ships with dangerous cargo or for matters about notice requirements for amending or cancelling pilotage\n- • defining areas of Queensland waters as category areas for buoy moorings\n- • stating waters where the presence of anchored ships involves danger to aircraft or other ships or the anchoring, berthing, mooring or operating of a ship, or type of ship, endangers marine safety","sortOrder":374},{"sectionNumber":"pt.18-div.2","sectionType":"division","heading":"Standards","content":"## Standards","sortOrder":375},{"sectionNumber":"sec.219A","sectionType":"section","heading":"Standards","content":"### sec.219A Standards\n\nThe general manager may make standards under this Act.\nA standard or an amendment of a standard is subordinate legislation.\nA standard is not effective until it is approved by the Governor in Council.\ns&#160;219A (prev s&#160;45) amd 1994 No.&#160;49 s&#160;6 sch&#160;2 ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2010 No.&#160;19 s&#160;238 ; 2012 No.&#160;25 s&#160;195 sch\nreloc and renum 2016 No.&#160;3 s&#160;23 (2)\n(sec.219A-ssec.1) The general manager may make standards under this Act.\n(sec.219A-ssec.2) A standard or an amendment of a standard is subordinate legislation.\n(sec.219A-ssec.4) A standard is not effective until it is approved by the Governor in Council.","sortOrder":376},{"sectionNumber":"sec.219B","sectionType":"section","heading":"Contents of standard","content":"### sec.219B Contents of standard\n\nA standard may provide for any matter about which a regulation may be made.\nSee section&#160;208 .\nHowever, a standard may not prescribe for offences, fees or charges.\ns&#160;219B (prev s&#160;46) reloc and renum 2016 No.&#160;3 s&#160;23 (2)\n(sec.219B-ssec.1) A standard may provide for any matter about which a regulation may be made. See section&#160;208 .\n(sec.219B-ssec.2) However, a standard may not prescribe for offences, fees or charges.","sortOrder":377},{"sectionNumber":"sec.219C","sectionType":"section","heading":"Notice of proposal to prepare draft standard","content":"### sec.219C Notice of proposal to prepare draft standard\n\nBefore making a standard about a matter, the general manager must give public notice of a proposal to prepare a draft standard about the matter.\nThe notice must be published—\nonce a week for 2 consecutive weeks in a newspaper circulating generally throughout the State; and\nif the standard applies only to a particular area of the State—in a newspaper circulating generally in the area.\nIf the proposal relates only to an aspect or part of the maritime industry, the notice must also specify the aspect or part.\nThe notice must—\ninvite submissions on the proposal from public authorities, industry, interested groups and persons, and the public; and\nspecify a day, not earlier than 30 days from the first publication of the notice in the newspaper mentioned in subsection&#160;(2) (a) , by which submissions may be made to the general manager.\ns&#160;219C (prev s&#160;47) amd 1996 No.&#160;63 s&#160;8 ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2006 No.&#160;21 s&#160;56 ; 2010 No.&#160;19 s&#160;239\nreloc and renum 2016 No.&#160;3 s&#160;23 (2)\n(sec.219C-ssec.1) Before making a standard about a matter, the general manager must give public notice of a proposal to prepare a draft standard about the matter.\n(sec.219C-ssec.2) The notice must be published— once a week for 2 consecutive weeks in a newspaper circulating generally throughout the State; and if the standard applies only to a particular area of the State—in a newspaper circulating generally in the area.\n(sec.219C-ssec.3) If the proposal relates only to an aspect or part of the maritime industry, the notice must also specify the aspect or part.\n(sec.219C-ssec.4) The notice must— invite submissions on the proposal from public authorities, industry, interested groups and persons, and the public; and specify a day, not earlier than 30 days from the first publication of the notice in the newspaper mentioned in subsection&#160;(2) (a) , by which submissions may be made to the general manager.\n- (a) once a week for 2 consecutive weeks in a newspaper circulating generally throughout the State; and\n- (b) if the standard applies only to a particular area of the State—in a newspaper circulating generally in the area.\n- (a) invite submissions on the proposal from public authorities, industry, interested groups and persons, and the public; and\n- (b) specify a day, not earlier than 30 days from the first publication of the notice in the newspaper mentioned in subsection&#160;(2) (a) , by which submissions may be made to the general manager.","sortOrder":378},{"sectionNumber":"sec.219D","sectionType":"section","heading":"Preparation of draft standard","content":"### sec.219D Preparation of draft standard\n\nIn preparing the draft standard mentioned in a proposal published under section&#160;219C , the general manager must consider all submissions properly made to the general manager on the proposal.\nThe general manager must also ensure that the draft standard—\nsets out its purposes; and\ntakes into account national and international benchmarks and best practices.\ns&#160;219D (prev s&#160;48) amd 1996 No.&#160;63 s&#160;9 ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2010 No.&#160;19 s&#160;240\namd 2016 No.&#160;3 s&#160;76 sch&#160;1\nreloc and renum 2016 No.&#160;3 s&#160;23 (2)\n(sec.219D-ssec.1) In preparing the draft standard mentioned in a proposal published under section&#160;219C , the general manager must consider all submissions properly made to the general manager on the proposal.\n(sec.219D-ssec.2) The general manager must also ensure that the draft standard— sets out its purposes; and takes into account national and international benchmarks and best practices.\n- (a) sets out its purposes; and\n- (b) takes into account national and international benchmarks and best practices.","sortOrder":379},{"sectionNumber":"sec.219E","sectionType":"section","heading":"Notice of draft standard","content":"### sec.219E Notice of draft standard\n\nWhen a draft standard has been prepared, the general manager must give public notice of the draft standard.\nThe notice must be published—\nonce a week for 2 consecutive weeks in a newspaper circulating generally throughout the State; and\nif the standard applies only to a particular area of the State—in a newspaper circulating generally in the area.\nThe notice must—\nspecify the addresses where copies of the draft standard may be inspected and, on payment of the fee prescribed by regulation, purchased; and\ninvite submissions on the draft standard from public authorities, industry, interested groups and persons, and the public; and\nspecify a day, not earlier than 30 days from the first publication of the notice in the newspaper mentioned in subsection&#160;(2) (a) , by which submissions may be made to the general manager.\ns&#160;219E (prev s&#160;49) amd 1996 No.&#160;63 s&#160;10 ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2010 No.&#160;19 s&#160;241\nreloc and renum 2016 No.&#160;3 s&#160;23 (2)\n(sec.219E-ssec.1) When a draft standard has been prepared, the general manager must give public notice of the draft standard.\n(sec.219E-ssec.2) The notice must be published— once a week for 2 consecutive weeks in a newspaper circulating generally throughout the State; and if the standard applies only to a particular area of the State—in a newspaper circulating generally in the area.\n(sec.219E-ssec.3) The notice must— specify the addresses where copies of the draft standard may be inspected and, on payment of the fee prescribed by regulation, purchased; and invite submissions on the draft standard from public authorities, industry, interested groups and persons, and the public; and specify a day, not earlier than 30 days from the first publication of the notice in the newspaper mentioned in subsection&#160;(2) (a) , by which submissions may be made to the general manager.\n- (a) once a week for 2 consecutive weeks in a newspaper circulating generally throughout the State; and\n- (b) if the standard applies only to a particular area of the State—in a newspaper circulating generally in the area.\n- (a) specify the addresses where copies of the draft standard may be inspected and, on payment of the fee prescribed by regulation, purchased; and\n- (b) invite submissions on the draft standard from public authorities, industry, interested groups and persons, and the public; and\n- (c) specify a day, not earlier than 30 days from the first publication of the notice in the newspaper mentioned in subsection&#160;(2) (a) , by which submissions may be made to the general manager.","sortOrder":380},{"sectionNumber":"sec.219F","sectionType":"section","heading":"Making of standard","content":"### sec.219F Making of standard\n\nThe general manager—\nmust consider all submissions properly made to the general manager on the draft standard; and\nmust have regard to the submissions in making the standard for submission to the Governor in Council for approval.\nNo further notice under section&#160;219E is required even if the general manager changes the draft standard after considering the submissions.\ns&#160;219F (prev s&#160;50) amd 1996 No.&#160;63 s&#160;11 ; 2002 No.&#160;29 s&#160;16 sch&#160;1 ; 2010 No.&#160;19 s&#160;242\namd 2016 No.&#160;3 s&#160;76 sch&#160;1\nreloc and renum 2016 No.&#160;3 s&#160;23 (2)\n(sec.219F-ssec.1) The general manager— must consider all submissions properly made to the general manager on the draft standard; and must have regard to the submissions in making the standard for submission to the Governor in Council for approval.\n(sec.219F-ssec.2) No further notice under section&#160;219E is required even if the general manager changes the draft standard after considering the submissions.\n- (a) must consider all submissions properly made to the general manager on the draft standard; and\n- (b) must have regard to the submissions in making the standard for submission to the Governor in Council for approval.","sortOrder":381},{"sectionNumber":"sec.219G","sectionType":"section","heading":"Interim standards","content":"### sec.219G Interim standards\n\nIf the general manager is satisfied that, for reasons of urgency, it is necessary or desirable to make a standard on an interim basis, the general manager may make the standard even though sections&#160;219C to 219F have not been complied with.\nThe interim standard must include a sunset provision stating the interim standard expires 6 months after its commencement.\ns&#160;219G (prev s&#160;51) amd 2002 No.&#160;29 s&#160;16 sch&#160;1\namd 2016 No.&#160;3 s&#160;76 sch&#160;1\nreloc and renum 2016 No.&#160;3 s&#160;23 (2)\n(sec.219G-ssec.1) If the general manager is satisfied that, for reasons of urgency, it is necessary or desirable to make a standard on an interim basis, the general manager may make the standard even though sections&#160;219C to 219F have not been complied with.\n(sec.219G-ssec.2) The interim standard must include a sunset provision stating the interim standard expires 6 months after its commencement.","sortOrder":382},{"sectionNumber":"sec.219H","sectionType":"section","heading":"Regulations prevail over standards","content":"### sec.219H Regulations prevail over standards\n\nIf there is any inconsistency between a regulation and a standard, the regulation prevails to the extent of the inconsistency.\nSubsection&#160;(1) applies whether the standard was made before or after the regulation.\ns&#160;219H (prev s&#160;53) amd 1994 No.&#160;49 s&#160;6 sch&#160;2\nreloc and renum 2016 No.&#160;3 s&#160;23 (2)\n(sec.219H-ssec.1) If there is any inconsistency between a regulation and a standard, the regulation prevails to the extent of the inconsistency.\n(sec.219H-ssec.2) Subsection&#160;(1) applies whether the standard was made before or after the regulation.","sortOrder":383},{"sectionNumber":"sec.219I","sectionType":"section","heading":"Amendment of standards","content":"### sec.219I Amendment of standards\n\nThis division applies to the amendment of a standard in the same way as it applies to the making of a standard with any necessary changes.\nHowever, sections&#160;219C to 219F do not apply to the amendment of a standard if the general manager considers the proposed amendment—\nis not likely to impose appreciable costs on the community or a part of the community; or\nonly provides for, or to the extent it only provides for, any of the following—\na matter that is not of a legislative character, including, for example, a matter of a machinery, administrative, drafting or formal nature;\na matter that does not operate to the disadvantage of any person (other than a government entity) by decreasing the person’s rights;\na matter that does not operate to the disadvantage of any person (other than a government entity) by imposing liabilities on the person;\nan amendment to take account of current Queensland legislative drafting practice;\nan amendment that does not fundamentally affect the standard’s application or operation;\na matter of a savings or transitional character;\na matter that is substantially uniform or complementary with legislation of the Commonwealth or another State;\na matter involving the adoption of an Australian or international protocol, standard, code, or intergovernmental agreement or instrument, if an assessment of the benefits and costs has already been made and the assessment was made for, or is relevant to, Queensland;\na matter advance notice of which would enable someone to gain unfair advantage.\ns&#160;219I (prev s&#160;54) amd 2002 No.&#160;29 s&#160;16 sch&#160;1\nsub 2010 No.&#160;19 s&#160;243\namd 2014 No.&#160;43 s&#160;56 ; 2016 No.&#160;3 s&#160;76 sch&#160;1\nreloc and renum 2016 No.&#160;3 s&#160;23 (2)\n(sec.219I-ssec.1) This division applies to the amendment of a standard in the same way as it applies to the making of a standard with any necessary changes.\n(sec.219I-ssec.2) However, sections&#160;219C to 219F do not apply to the amendment of a standard if the general manager considers the proposed amendment— is not likely to impose appreciable costs on the community or a part of the community; or only provides for, or to the extent it only provides for, any of the following— a matter that is not of a legislative character, including, for example, a matter of a machinery, administrative, drafting or formal nature; a matter that does not operate to the disadvantage of any person (other than a government entity) by decreasing the person’s rights; a matter that does not operate to the disadvantage of any person (other than a government entity) by imposing liabilities on the person; an amendment to take account of current Queensland legislative drafting practice; an amendment that does not fundamentally affect the standard’s application or operation; a matter of a savings or transitional character; a matter that is substantially uniform or complementary with legislation of the Commonwealth or another State; a matter involving the adoption of an Australian or international protocol, standard, code, or intergovernmental agreement or instrument, if an assessment of the benefits and costs has already been made and the assessment was made for, or is relevant to, Queensland; a matter advance notice of which would enable someone to gain unfair advantage.\n- (a) is not likely to impose appreciable costs on the community or a part of the community; or\n- (b) only provides for, or to the extent it only provides for, any of the following— (i) a matter that is not of a legislative character, including, for example, a matter of a machinery, administrative, drafting or formal nature; (ii) a matter that does not operate to the disadvantage of any person (other than a government entity) by decreasing the person’s rights; (iii) a matter that does not operate to the disadvantage of any person (other than a government entity) by imposing liabilities on the person; (iv) an amendment to take account of current Queensland legislative drafting practice; (v) an amendment that does not fundamentally affect the standard’s application or operation; (vi) a matter of a savings or transitional character; (vii) a matter that is substantially uniform or complementary with legislation of the Commonwealth or another State; (viii) a matter involving the adoption of an Australian or international protocol, standard, code, or intergovernmental agreement or instrument, if an assessment of the benefits and costs has already been made and the assessment was made for, or is relevant to, Queensland; (ix) a matter advance notice of which would enable someone to gain unfair advantage.\n- (i) a matter that is not of a legislative character, including, for example, a matter of a machinery, administrative, drafting or formal nature;\n- (ii) a matter that does not operate to the disadvantage of any person (other than a government entity) by decreasing the person’s rights;\n- (iii) a matter that does not operate to the disadvantage of any person (other than a government entity) by imposing liabilities on the person;\n- (iv) an amendment to take account of current Queensland legislative drafting practice;\n- (v) an amendment that does not fundamentally affect the standard’s application or operation;\n- (vi) a matter of a savings or transitional character;\n- (vii) a matter that is substantially uniform or complementary with legislation of the Commonwealth or another State;\n- (viii) a matter involving the adoption of an Australian or international protocol, standard, code, or intergovernmental agreement or instrument, if an assessment of the benefits and costs has already been made and the assessment was made for, or is relevant to, Queensland;\n- (ix) a matter advance notice of which would enable someone to gain unfair advantage.\n- (i) a matter that is not of a legislative character, including, for example, a matter of a machinery, administrative, drafting or formal nature;\n- (ii) a matter that does not operate to the disadvantage of any person (other than a government entity) by decreasing the person’s rights;\n- (iii) a matter that does not operate to the disadvantage of any person (other than a government entity) by imposing liabilities on the person;\n- (iv) an amendment to take account of current Queensland legislative drafting practice;\n- (v) an amendment that does not fundamentally affect the standard’s application or operation;\n- (vi) a matter of a savings or transitional character;\n- (vii) a matter that is substantially uniform or complementary with legislation of the Commonwealth or another State;\n- (viii) a matter involving the adoption of an Australian or international protocol, standard, code, or intergovernmental agreement or instrument, if an assessment of the benefits and costs has already been made and the assessment was made for, or is relevant to, Queensland;\n- (ix) a matter advance notice of which would enable someone to gain unfair advantage.","sortOrder":384},{"sectionNumber":"sec.219J","sectionType":"section","heading":"Application of Acts Interpretation Act 1954","content":"### sec.219J Application of Acts Interpretation Act 1954\n\nThe Acts Interpretation Act 1954 , section&#160;24AA does not apply to the amendment or repeal of a standard under this division.\ns&#160;219J (prev s&#160;54A) ins 2010 No.&#160;19 s&#160;243\nreloc and renum 2016 No.&#160;3 s&#160;23 (2)","sortOrder":385},{"sectionNumber":"pt.19","sectionType":"part","heading":"Transitional provisions","content":"# Transitional provisions","sortOrder":386},{"sectionNumber":"pt.19-div.1","sectionType":"division","heading":"Provisions for Act No. 14 of 1994","content":"## Provisions for Act No. 14 of 1994","sortOrder":387},{"sectionNumber":"sec.220","sectionType":"section","heading":"References to former Act etc.","content":"### sec.220 References to former Act etc.\n\nA reference in an Act or document—\nto the former Act or the Marine Safety Act 1994 is a reference to this Act; and\nto the former board, a member of the former board, the secretary to the former board or the portmaster is a reference to the chief executive; and\nto a vessel (within the meaning of the former Act) is a reference to a ship (within the meaning of this Act).\ns&#160;220 amd 1994 No.&#160;87 s&#160;3 sch&#160;1\n- (a) to the former Act or the Marine Safety Act 1994 is a reference to this Act; and\n- (b) to the former board, a member of the former board, the secretary to the former board or the portmaster is a reference to the chief executive; and\n- (c) to a vessel (within the meaning of the former Act) is a reference to a ship (within the meaning of this Act).","sortOrder":388},{"sectionNumber":"sec.221","sectionType":"section","heading":"Dissolution of Board","content":"### sec.221 Dissolution of Board\n\ns&#160;221 exp 4 June 1994 (see s&#160;221(2))","sortOrder":389},{"sectionNumber":"sec.222","sectionType":"section","heading":"Vesting of assets and liabilities of Board","content":"### sec.222 Vesting of assets and liabilities of Board\n\ns&#160;222 exp 4 June 1994 (see s&#160;222(2))","sortOrder":390},{"sectionNumber":"sec.223","sectionType":"section","heading":"Pending legal proceedings","content":"### sec.223 Pending legal proceedings\n\ns&#160;223 exp 4 June 1994 (see s&#160;223(2))","sortOrder":391},{"sectionNumber":"sec.224","sectionType":"section","heading":"Existing approvals, consents, licences, permits etc.","content":"### sec.224 Existing approvals, consents, licences, permits etc.\n\ns&#160;224 amd 1995 No.&#160;50 s&#160;3 sch ; 1996 No.&#160;63 s&#160;19 (retro); 2001 No.&#160;79 s&#160;80\nexp in relation to a matter mentioned in s&#160;224(6)(a) on 31 December 1996 (see s&#160;224(6)(a))\nexp in relation to a matter mentioned in s&#160;224(6)(c) as provided in s&#160;224(6)(c) (see s&#160;224(6)(c))\nom 2006 No.&#160;21 s&#160;102","sortOrder":392},{"sectionNumber":"sec.224A","sectionType":"section","heading":"Power of chief executive to amend authorisations and standard practice instructions","content":"### sec.224A Power of chief executive to amend authorisations and standard practice instructions\n\ns&#160;224A ins 1996 No.&#160;63 s&#160;20 (retro)\nexp 31 December 1995 (see s&#160;224A(4))","sortOrder":393},{"sectionNumber":"pt.19-div.2","sectionType":"division","heading":"Provisions for Maritime Safety Queensland Act 2002","content":"## Provisions for Maritime Safety Queensland Act 2002","sortOrder":394},{"sectionNumber":"sec.225","sectionType":"section","heading":"Definitions for div&#160;2","content":"### sec.225 Definitions for div&#160;2\n\nIn this division—\ncommencement means the commencement of this division.\nformer function of the chief executive means a function that, immediately before the commencement, was a function of the chief executive but that on the commencement became a function of the general manager.\ns&#160;225 prev s&#160;225 amd 1995 No.&#160;50 s&#160;3 sch\nexp 3 June 1996 (see s&#160;225(2))\npres s&#160;225 ins 2002 No.&#160;29 s&#160;16 sch&#160;1\namd 2006 No.&#160;21 s&#160;104","sortOrder":395},{"sectionNumber":"sec.226","sectionType":"section","heading":"Transition of chief executive’s functions to general manager","content":"### sec.226 Transition of chief executive’s functions to general manager\n\nIf—\na process relating to a former function of the chief executive was started before the commencement; and\nthe process was not completed before the commencement;\nthe chief executive must complete the process.\nthe process of suspending or cancelling an approval\nHowever, subsection&#160;(1) does not limit the chief executive’s power to delegate a function under the Transport Planning and Coordination Act 1994 .\ns&#160;226 prev s&#160;226 exp 3 June 1995 (see s&#160;226(3))\npres s&#160;226 ins 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.226-ssec.1) If— a process relating to a former function of the chief executive was started before the commencement; and the process was not completed before the commencement; the chief executive must complete the process. the process of suspending or cancelling an approval\n(sec.226-ssec.2) However, subsection&#160;(1) does not limit the chief executive’s power to delegate a function under the Transport Planning and Coordination Act 1994 .\n- (a) a process relating to a former function of the chief executive was started before the commencement; and\n- (b) the process was not completed before the commencement;","sortOrder":396},{"sectionNumber":"sec.227","sectionType":"section","heading":"Exemptions","content":"### sec.227 Exemptions\n\nThis section applies to an exemption given by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\nThe exemption continues to have effect after the commencement as if it had been given by the general manager.\ns&#160;227 prev s&#160;227 exp 3 June 1995 (see s&#160;227(3))\npres s&#160;227 ins 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.227-ssec.1) This section applies to an exemption given by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\n(sec.227-ssec.2) The exemption continues to have effect after the commencement as if it had been given by the general manager.","sortOrder":397},{"sectionNumber":"sec.228","sectionType":"section","heading":"Standards","content":"### sec.228 Standards\n\nThis section applies to a standard given by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\nThe standard continues to have effect after the commencement as if it had been given by the general manager.\ns&#160;228 prev s&#160;228 amd 1995 No.&#160;50 s&#160;3 sch\nexp 3 June 1996 (see s&#160;228(3))\npres s&#160;228 ins 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.228-ssec.1) This section applies to a standard given by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\n(sec.228-ssec.2) The standard continues to have effect after the commencement as if it had been given by the general manager.","sortOrder":398},{"sectionNumber":"sec.229","sectionType":"section","heading":"Approvals","content":"### sec.229 Approvals\n\nThis section applies to an approval given by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\nThe approval continues to have effect after the commencement as if it had been given by the general manager.\ns&#160;229 prev s&#160;229 amd 1995 No.&#160;50 s&#160;3 sch\nexp 3 June 1996 (see s&#160;229(3))\npres s&#160;229 ins 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.229-ssec.1) This section applies to an approval given by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\n(sec.229-ssec.2) The approval continues to have effect after the commencement as if it had been given by the general manager.","sortOrder":399},{"sectionNumber":"sec.230","sectionType":"section","heading":"Appointments","content":"### sec.230 Appointments\n\nThis section applies to an appointment made by the chief executive when performing a former function of the chief executive that is current immediately before the commencement.\nThe appointment continues to have effect after the commencement as if it had been made by the general manager.\ns&#160;230 prev s&#160;230 ins 1996 No.&#160;63 s&#160;21\nexp 9 December 1998 (see s&#160;230(3))\npres s&#160;230 ins 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.230-ssec.1) This section applies to an appointment made by the chief executive when performing a former function of the chief executive that is current immediately before the commencement.\n(sec.230-ssec.2) The appointment continues to have effect after the commencement as if it had been made by the general manager.","sortOrder":400},{"sectionNumber":"sec.231","sectionType":"section","heading":"Agreements","content":"### sec.231 Agreements\n\nThis section applies to an agreement made by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\nThe agreement continues to have effect after the commencement as if it had been made by the general manager.\ns&#160;231 prev s&#160;231 exp 3 June 1995 (see s&#160;231(3))\npres s&#160;231 ins 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.231-ssec.1) This section applies to an agreement made by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\n(sec.231-ssec.2) The agreement continues to have effect after the commencement as if it had been made by the general manager.","sortOrder":401},{"sectionNumber":"sec.232","sectionType":"section","heading":"Fixing of speed limits for ships","content":"### sec.232 Fixing of speed limits for ships\n\nThis section applies to a speed limit fixed for a ship by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\nThe speed limit continues to have effect after the commencement as if it had been fixed by the general manager.\ns&#160;232 prev s&#160;232 exp 3 December 1995 (see s&#160;232(3))\npres s&#160;232 ins 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.232-ssec.1) This section applies to a speed limit fixed for a ship by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\n(sec.232-ssec.2) The speed limit continues to have effect after the commencement as if it had been fixed by the general manager.","sortOrder":402},{"sectionNumber":"sec.233","sectionType":"section","heading":"Notices","content":"### sec.233 Notices\n\nThis section applies to a notice made, given or signed by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\nThe notice continues to have effect after the commencement as if it had been made, given or signed by the general manager.\ns&#160;233 ins 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.233-ssec.1) This section applies to a notice made, given or signed by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement.\n(sec.233-ssec.2) The notice continues to have effect after the commencement as if it had been made, given or signed by the general manager.","sortOrder":403},{"sectionNumber":"sec.234","sectionType":"section","heading":"Other things done by chief executive","content":"### sec.234 Other things done by chief executive\n\nThis section applies to anything done, made, given or signed by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement and is not otherwise provided for under this part.\nThe thing continues to have effect after the commencement as if it had been done, made, given or signed by the general manager.\ns&#160;234 ins 2002 No.&#160;29 s&#160;16 sch&#160;1\n(sec.234-ssec.1) This section applies to anything done, made, given or signed by the chief executive when performing a former function of the chief executive that is in force immediately before the commencement and is not otherwise provided for under this part.\n(sec.234-ssec.2) The thing continues to have effect after the commencement as if it had been done, made, given or signed by the general manager.","sortOrder":404},{"sectionNumber":"sec.235","sectionType":"section","heading":"Particular references to chief executive","content":"### sec.235 Particular references to chief executive\n\nA reference in an Act or document to the chief executive may, if the context permits, be taken to be a reference to the general manager.\ns&#160;235 ins 2002 No.&#160;29 s&#160;16 sch&#160;1","sortOrder":405},{"sectionNumber":"pt.19-div.3","sectionType":"division","heading":"Provisions for Maritime and Other Legislation Amendment Act 2006","content":"## Provisions for Maritime and Other Legislation Amendment Act 2006","sortOrder":406},{"sectionNumber":"sec.236","sectionType":"section","heading":"References in other legislation to words defined in s&#160;4","content":"### sec.236 References in other legislation to words defined in s&#160;4\n\nThis section applies to a reference in another Act or statutory instrument, that is in force at the commencement of this section, to a word or expression as defined in this Act (however the reference is worded) that includes a reference to section&#160;4.\nThe Transport Infrastructure (Public Marine Facilities) Regulation 2000 , schedule&#160;4 includes a definition of ship as follows—\nship see Transport Operations (Marine Safety) Act 1994 , section&#160;4 .\nIf the context permits, the reference is taken to be a reference to that word or expression as defined in the schedule.\nIn this section—\nsection&#160;4 means section&#160;4 of this Act as the section was in force immediately before the commencement of this section.\ns&#160;236 ins 2006 No.&#160;21 s&#160;105\n(sec.236-ssec.1) This section applies to a reference in another Act or statutory instrument, that is in force at the commencement of this section, to a word or expression as defined in this Act (however the reference is worded) that includes a reference to section&#160;4. The Transport Infrastructure (Public Marine Facilities) Regulation 2000 , schedule&#160;4 includes a definition of ship as follows— ship see Transport Operations (Marine Safety) Act 1994 , section&#160;4 .\n(sec.236-ssec.2) If the context permits, the reference is taken to be a reference to that word or expression as defined in the schedule.\n(sec.236-ssec.3) In this section— section&#160;4 means section&#160;4 of this Act as the section was in force immediately before the commencement of this section.","sortOrder":407},{"sectionNumber":"sec.237","sectionType":"section","heading":"Provisions relating to the power of harbour masters before the commencement to give directions","content":"### sec.237 Provisions relating to the power of harbour masters before the commencement to give directions\n\nIf a direction was given under part&#160;7, division&#160;2 before the commencement of this section and continued to have effect immediately before the commencement—\nthe direction continues to have effect; and\nthis Act, as in force immediately before the commencement, continues to apply to the direction and the obligations of any person arising out of the direction.\nIf, before the commencement of this section, the master of a ship is taken to have been given a direction that, under section&#160;86(3), was given to a crew member, after the commencement the master continues to have an obligation to comply with the direction.\nIf, before the commencement of this section, a person is given a direction under section&#160;89, after the commencement the person continues to have an obligation to comply with the direction even though it was not in writing.\nIf a harbour master had started to carry out a direction or proposed direction as mentioned in section&#160;93 as in force immediately before the commencement, the harbour master may continue to carry out the direction or proposed direction.\nSection&#160;94, as in force immediately before the commencement, continues to apply to an expense incurred before the commencement and also applies to an expense incurred by a harbour master who, under subsection&#160;(2), continues to carry out a direction or proposed direction.\nSubsections&#160;(2) and (3) do not limit subsection&#160;(1).\ns&#160;237 ins 2006 No.&#160;21 s&#160;105\n(sec.237-ssec.1) If a direction was given under part&#160;7, division&#160;2 before the commencement of this section and continued to have effect immediately before the commencement— the direction continues to have effect; and this Act, as in force immediately before the commencement, continues to apply to the direction and the obligations of any person arising out of the direction. If, before the commencement of this section, the master of a ship is taken to have been given a direction that, under section&#160;86(3), was given to a crew member, after the commencement the master continues to have an obligation to comply with the direction. If, before the commencement of this section, a person is given a direction under section&#160;89, after the commencement the person continues to have an obligation to comply with the direction even though it was not in writing.\n(sec.237-ssec.2) If a harbour master had started to carry out a direction or proposed direction as mentioned in section&#160;93 as in force immediately before the commencement, the harbour master may continue to carry out the direction or proposed direction.\n(sec.237-ssec.3) Section&#160;94, as in force immediately before the commencement, continues to apply to an expense incurred before the commencement and also applies to an expense incurred by a harbour master who, under subsection&#160;(2), continues to carry out a direction or proposed direction.\n(sec.237-ssec.4) Subsections&#160;(2) and (3) do not limit subsection&#160;(1).\n- (a) the direction continues to have effect; and\n- (b) this Act, as in force immediately before the commencement, continues to apply to the direction and the obligations of any person arising out of the direction. Examples for paragraph&#160;(b)— 1 If, before the commencement of this section, the master of a ship is taken to have been given a direction that, under section&#160;86(3), was given to a crew member, after the commencement the master continues to have an obligation to comply with the direction. 2 If, before the commencement of this section, a person is given a direction under section&#160;89, after the commencement the person continues to have an obligation to comply with the direction even though it was not in writing.\n- 1 If, before the commencement of this section, the master of a ship is taken to have been given a direction that, under section&#160;86(3), was given to a crew member, after the commencement the master continues to have an obligation to comply with the direction.\n- 2 If, before the commencement of this section, a person is given a direction under section&#160;89, after the commencement the person continues to have an obligation to comply with the direction even though it was not in writing.\n- 1 If, before the commencement of this section, the master of a ship is taken to have been given a direction that, under section&#160;86(3), was given to a crew member, after the commencement the master continues to have an obligation to comply with the direction.\n- 2 If, before the commencement of this section, a person is given a direction under section&#160;89, after the commencement the person continues to have an obligation to comply with the direction even though it was not in writing.","sortOrder":408},{"sectionNumber":"sec.238","sectionType":"section","heading":"Reasonable excuse for not reporting marine incident","content":"### sec.238 Reasonable excuse for not reporting marine incident\n\nSection&#160;125(4) and (5) apply in relation to a marine incident even if it happened before the commencement of this section.\ns&#160;238 ins 2006 No.&#160;21 s&#160;105","sortOrder":409},{"sectionNumber":"sec.239","sectionType":"section","heading":"Direction or notice given by shipping inspector before the commencement","content":"### sec.239 Direction or notice given by shipping inspector before the commencement\n\nThis section applies to any of the following given by a shipping inspector before the commencement of this section that continues to have effect immediately before the commencement—\na direction under section&#160;171 or 172, as in force before the commencement;\na notice under section&#160;172A, as in force before the commencement.\nThis Act, as in force immediately before the commencement, continues to apply to—\nthe direction or notice; and\nthe obligations of any person arising out of the direction or notice.\ns&#160;239 ins 2006 No.&#160;21 s&#160;105\n(sec.239-ssec.1) This section applies to any of the following given by a shipping inspector before the commencement of this section that continues to have effect immediately before the commencement— a direction under section&#160;171 or 172, as in force before the commencement; a notice under section&#160;172A, as in force before the commencement.\n(sec.239-ssec.2) This Act, as in force immediately before the commencement, continues to apply to— the direction or notice; and the obligations of any person arising out of the direction or notice.\n- (a) a direction under section&#160;171 or 172, as in force before the commencement;\n- (b) a notice under section&#160;172A, as in force before the commencement.\n- (a) the direction or notice; and\n- (b) the obligations of any person arising out of the direction or notice.","sortOrder":410},{"sectionNumber":"sec.240","sectionType":"section","heading":"Property seized under s&#160;175A before the commencement","content":"### sec.240 Property seized under s&#160;175A before the commencement\n\nIf property is seized by a shipping inspector under section&#160;175A before the commencement of this section, that section as in force immediately before the commencement continues to apply in relation to the property and its seizure.\ns&#160;240 ins 2006 No.&#160;21 s&#160;105","sortOrder":411},{"sectionNumber":"sec.241","sectionType":"section","heading":"Enforcement order or interim enforcement order only if offence committed after the commencement","content":"### sec.241 Enforcement order or interim enforcement order only if offence committed after the commencement\n\nAn enforcement order or interim enforcement order may not be made under part&#160;13A, division&#160;2 in relation to an offence committed entirely before the commencement of this section.\ns&#160;241 ins 2006 No.&#160;21 s&#160;105","sortOrder":412},{"sectionNumber":"sec.242","sectionType":"section","heading":"Disqualification under s&#160;202A only if offence committed after the commencement","content":"### sec.242 Disqualification under s&#160;202A only if offence committed after the commencement\n\nSection&#160;202A does not apply to a person if the person committed an offence mentioned in section&#160;202A(1)(a) before the commencement of this section.\ns&#160;242 ins 2006 No.&#160;21 s&#160;105","sortOrder":413},{"sectionNumber":"sec.243","sectionType":"section","heading":"Decisions made before the commencement","content":"### sec.243 Decisions made before the commencement\n\nIf a person whose interests were affected by a pre-commencement decision started an appeal under previous part&#160;16 against the decision—\nprevious part&#160;16 continues to apply to the appeal; and\nprevious part&#160;16 applies in relation to any decision made on appeal about the pre-commencement decision.\nIf a person whose interests were affected by a pre-commencement decision had not started an appeal under previous part&#160;16 against the decision before the commencement of this section, the person may not start an appeal under previous part&#160;16 but may take action in relation to the pre-commencement decision under new part&#160;16.\nIn this section—\nnew part&#160;16 means part&#160;16 as in force immediately after the commencement of this section.\npre-commencement decision means a decision made under this Act before the commencement of this section that may be appealed under previous part&#160;16.\nprevious part&#160;16 means part&#160;16 as in force immediately before the commencement of this section.\ns&#160;243 ins 2006 No.&#160;21 s&#160;105\n(sec.243-ssec.1) If a person whose interests were affected by a pre-commencement decision started an appeal under previous part&#160;16 against the decision— previous part&#160;16 continues to apply to the appeal; and previous part&#160;16 applies in relation to any decision made on appeal about the pre-commencement decision.\n(sec.243-ssec.2) If a person whose interests were affected by a pre-commencement decision had not started an appeal under previous part&#160;16 against the decision before the commencement of this section, the person may not start an appeal under previous part&#160;16 but may take action in relation to the pre-commencement decision under new part&#160;16.\n(sec.243-ssec.3) In this section— new part&#160;16 means part&#160;16 as in force immediately after the commencement of this section. pre-commencement decision means a decision made under this Act before the commencement of this section that may be appealed under previous part&#160;16. previous part&#160;16 means part&#160;16 as in force immediately before the commencement of this section.\n- (a) previous part&#160;16 continues to apply to the appeal; and\n- (b) previous part&#160;16 applies in relation to any decision made on appeal about the pre-commencement decision.","sortOrder":414},{"sectionNumber":"sec.244","sectionType":"section","heading":"Existing licences to drive speedboats and other recreational ship master’s licences","content":"### sec.244 Existing licences to drive speedboats and other recreational ship master’s licences\n\nThis section applies to a person—\nwho, immediately before the commencement of this section, was taken to be the holder of a licence under this Act that was a licence to drive a speedboat; or\nRepealed section&#160;224 previously dealt with this issue.\nwho, on or after 3 June 1994, became the holder of a recreational ship master’s licence.\nIf, before the commencement, a licence mentioned in subsection&#160;(1) had not been cancelled or surrendered under this Act, the person who holds the licence is taken to be the holder of a licence under this Act to operate a recreational ship as its master as if the licence were granted under this Act.\nIf, before the commencement, a licence mentioned in subsection&#160;(1) had been suspended under this Act for a period, the person who holds the licence is taken to be the holder of a licence under this Act to operate a recreational ship as its master as if the licence were granted under this Act but suspended until the period expires.\nTo remove any doubt, it is declared that a recreational ship master’s licence granted on or after 3 June 1994 and before the commencement, has not expired even if the licence included an expiry date on the licence.\ns&#160;244 ins 2006 No.&#160;21 s&#160;105\n(sec.244-ssec.1) This section applies to a person— who, immediately before the commencement of this section, was taken to be the holder of a licence under this Act that was a licence to drive a speedboat; or Repealed section&#160;224 previously dealt with this issue. who, on or after 3 June 1994, became the holder of a recreational ship master’s licence.\n(sec.244-ssec.2) If, before the commencement, a licence mentioned in subsection&#160;(1) had not been cancelled or surrendered under this Act, the person who holds the licence is taken to be the holder of a licence under this Act to operate a recreational ship as its master as if the licence were granted under this Act.\n(sec.244-ssec.3) If, before the commencement, a licence mentioned in subsection&#160;(1) had been suspended under this Act for a period, the person who holds the licence is taken to be the holder of a licence under this Act to operate a recreational ship as its master as if the licence were granted under this Act but suspended until the period expires.\n(sec.244-ssec.4) To remove any doubt, it is declared that a recreational ship master’s licence granted on or after 3 June 1994 and before the commencement, has not expired even if the licence included an expiry date on the licence.\n- (a) who, immediately before the commencement of this section, was taken to be the holder of a licence under this Act that was a licence to drive a speedboat; or Editor’s note— Repealed section&#160;224 previously dealt with this issue.\n- (b) who, on or after 3 June 1994, became the holder of a recreational ship master’s licence.","sortOrder":415},{"sectionNumber":"pt.19-div.4","sectionType":"division","heading":"Provision for Transport Legislation Amendment Act 2008 , part&#160;6","content":"## Provision for Transport Legislation Amendment Act 2008 , part&#160;6","sortOrder":416},{"sectionNumber":"sec.245","sectionType":"section","heading":"Making orders under s&#160;199B","content":"### sec.245 Making orders under s&#160;199B\n\nAn order may not be made under section&#160;199B in relation to an offence committed entirely before the commencement of that section.\npt&#160;19 div&#160;4 (s 245) ins 2008 No.&#160;31 s&#160;39","sortOrder":417},{"sectionNumber":"pt.19-div.5","sectionType":"division","heading":"Provision for Gold Coast Waterways Authority Act 2012","content":"## Provision for Gold Coast Waterways Authority Act 2012","sortOrder":418},{"sectionNumber":"sec.246","sectionType":"section","heading":"Fixing of speed limits for ships for Gold Coast waters","content":"### sec.246 Fixing of speed limits for ships for Gold Coast waters\n\nThis section applies if, immediately before the commencement of the Gold Coast Waterways Authority Act 2012 , section&#160;129 , a speed limit was fixed under section&#160;206A for ships for Gold Coast waters.\nThe speed limit is taken to have been fixed by the Gold Coast Waterways Authority under section&#160;206AA.\npt&#160;19 div&#160;5 (s 246) ins 2012 No.&#160;38 s&#160;131\n(sec.246-ssec.1) This section applies if, immediately before the commencement of the Gold Coast Waterways Authority Act 2012 , section&#160;129 , a speed limit was fixed under section&#160;206A for ships for Gold Coast waters.\n(sec.246-ssec.2) The speed limit is taken to have been fixed by the Gold Coast Waterways Authority under section&#160;206AA.","sortOrder":419},{"sectionNumber":"pt.19-div.6","sectionType":"division","heading":"Provision for Holidays and Other Legislation Amendment Act 2015","content":"## Provision for Holidays and Other Legislation Amendment Act 2015","sortOrder":420},{"sectionNumber":"sec.247","sectionType":"section","heading":"Digital photos and digitised signatures","content":"### sec.247 Digital photos and digitised signatures\n\nA digital photo or digitised signature of a person kept under this Act by the chief executive or the general manager immediately before the commencement is, on the commencement, taken to be kept under the TPC Act by the chief executive of the department in which that Act is administered.\ns&#160;247 ins 2015 No.&#160;14 s&#160;29","sortOrder":421},{"sectionNumber":"pt.19-div.7","sectionType":"division","heading":"Provisions for Transport Operations (Marine Safety) and Other Legislation Amendment Act 2016","content":"## Provisions for Transport Operations (Marine Safety) and Other Legislation Amendment Act 2016","sortOrder":422},{"sectionNumber":"sec.248","sectionType":"section","heading":"Definitions for division","content":"### sec.248 Definitions for division\n\nIn this division—\namended Act means this Act as in force after the commencement.\namendment Act means the Transport Operations (Marine Safety) and Other Legislation Amendment Act 2016 .\nold regulation means the Transport Operations (Marine Safety) Regulation 2004 as in force before the commencement.\nrelevant ship see section&#160;249.\nunamended Act means this Act as in force before the commencement.\ns&#160;248 ins 2016 No.&#160;3 s&#160;60","sortOrder":423},{"sectionNumber":"sec.249","sectionType":"section","heading":"Purpose of subdivision","content":"### sec.249 Purpose of subdivision\n\nThe purpose of this subdivision is to transition matters about the registration under the unamended Act of a commercial ship that, on the commencement, is an other Queensland regulated ship (a relevant ship ).\nFor a ship that, on the commencement, is a domestic commercial vessel, see the national regulation , section&#160;16 and the Transport Operations (Marine Safety—Domestic Commercial Vessel National Law Application) Act 2016 .\ns&#160;249 ins 2016 No.&#160;3 s&#160;60","sortOrder":424},{"sectionNumber":"sec.250","sectionType":"section","heading":"Existing registration","content":"### sec.250 Existing registration\n\nThis section applies to a relevant ship that, immediately before the commencement, was registered under the unamended Act as a commercial ship.\nFrom the commencement, the ship is taken to be registered under the amended Act as an other Queensland regulated ship.\nThe registration—\ncontinues for the remaining term of the registration unless it is earlier cancelled or surrendered; and\nis subject to the conditions to which it was subject immediately before the commencement; and\nif, immediately before the commencement, the registration is suspended under the unamended Act—continues to be subject to the suspension; and\nmay be amended, suspended, cancelled or surrendered under the amended Act.\nHowever, the registration can not be renewed under the amended Act.\nAlso, the registration is subject to the following conditions—\nif the old regulation, section&#160;108 applied to the ship immediately before the commencement—a condition that a person who is the owner or master of the ship must not operate the ship in waters other than the following waters—\nthe waters stated in the USL code for a ship of the ship’s class;\nthe waters in any other operational area stated for the ship in the old regulation, section&#160;108;\nif, immediately before the commencement, under the unamended Act, a person must not operate the ship as its master or act as a crew member unless the person holds a particular licence—a condition that a person must not operate the ship as its master or act as a crew member unless the person holds that licence;\nIf, under the old regulation, section&#160;88(2), a person must not operate the ship as its master unless the person holds a licence of at least a particular class of certificate, the registration is subject to the condition that a person must not operate the ship as its master unless the person holds a licence of at least that class of certificate.\nIf, under an exemption under the unamended Act, section&#160;18A, a person must not operate the ship as its master unless the person holds a recreational marine driver licence, the registration is subject to the condition that a person must not operate the ship as its master unless the person holds a recreational marine driver licence.\na condition that a person who is the owner or master of the ship must not carry on the ship, or on a part of the ship, more persons than is stated for the ship, or for the part of the ship, in the ship’s registration certificate, unless the person has a reasonable excuse.\ns&#160;250 ins 2016 No.&#160;3 s&#160;60\n(sec.250-ssec.1) This section applies to a relevant ship that, immediately before the commencement, was registered under the unamended Act as a commercial ship.\n(sec.250-ssec.2) From the commencement, the ship is taken to be registered under the amended Act as an other Queensland regulated ship.\n(sec.250-ssec.3) The registration— continues for the remaining term of the registration unless it is earlier cancelled or surrendered; and is subject to the conditions to which it was subject immediately before the commencement; and if, immediately before the commencement, the registration is suspended under the unamended Act—continues to be subject to the suspension; and may be amended, suspended, cancelled or surrendered under the amended Act.\n(sec.250-ssec.4) However, the registration can not be renewed under the amended Act.\n(sec.250-ssec.5) Also, the registration is subject to the following conditions— if the old regulation, section&#160;108 applied to the ship immediately before the commencement—a condition that a person who is the owner or master of the ship must not operate the ship in waters other than the following waters— the waters stated in the USL code for a ship of the ship’s class; the waters in any other operational area stated for the ship in the old regulation, section&#160;108; if, immediately before the commencement, under the unamended Act, a person must not operate the ship as its master or act as a crew member unless the person holds a particular licence—a condition that a person must not operate the ship as its master or act as a crew member unless the person holds that licence; If, under the old regulation, section&#160;88(2), a person must not operate the ship as its master unless the person holds a licence of at least a particular class of certificate, the registration is subject to the condition that a person must not operate the ship as its master unless the person holds a licence of at least that class of certificate. If, under an exemption under the unamended Act, section&#160;18A, a person must not operate the ship as its master unless the person holds a recreational marine driver licence, the registration is subject to the condition that a person must not operate the ship as its master unless the person holds a recreational marine driver licence. a condition that a person who is the owner or master of the ship must not carry on the ship, or on a part of the ship, more persons than is stated for the ship, or for the part of the ship, in the ship’s registration certificate, unless the person has a reasonable excuse.\n- (a) continues for the remaining term of the registration unless it is earlier cancelled or surrendered; and\n- (b) is subject to the conditions to which it was subject immediately before the commencement; and\n- (c) if, immediately before the commencement, the registration is suspended under the unamended Act—continues to be subject to the suspension; and\n- (d) may be amended, suspended, cancelled or surrendered under the amended Act.\n- (a) if the old regulation, section&#160;108 applied to the ship immediately before the commencement—a condition that a person who is the owner or master of the ship must not operate the ship in waters other than the following waters— (i) the waters stated in the USL code for a ship of the ship’s class; (ii) the waters in any other operational area stated for the ship in the old regulation, section&#160;108;\n- (i) the waters stated in the USL code for a ship of the ship’s class;\n- (ii) the waters in any other operational area stated for the ship in the old regulation, section&#160;108;\n- (b) if, immediately before the commencement, under the unamended Act, a person must not operate the ship as its master or act as a crew member unless the person holds a particular licence—a condition that a person must not operate the ship as its master or act as a crew member unless the person holds that licence; Examples— 1 If, under the old regulation, section&#160;88(2), a person must not operate the ship as its master unless the person holds a licence of at least a particular class of certificate, the registration is subject to the condition that a person must not operate the ship as its master unless the person holds a licence of at least that class of certificate. 2 If, under an exemption under the unamended Act, section&#160;18A, a person must not operate the ship as its master unless the person holds a recreational marine driver licence, the registration is subject to the condition that a person must not operate the ship as its master unless the person holds a recreational marine driver licence.\n- 1 If, under the old regulation, section&#160;88(2), a person must not operate the ship as its master unless the person holds a licence of at least a particular class of certificate, the registration is subject to the condition that a person must not operate the ship as its master unless the person holds a licence of at least that class of certificate.\n- 2 If, under an exemption under the unamended Act, section&#160;18A, a person must not operate the ship as its master unless the person holds a recreational marine driver licence, the registration is subject to the condition that a person must not operate the ship as its master unless the person holds a recreational marine driver licence.\n- (c) a condition that a person who is the owner or master of the ship must not carry on the ship, or on a part of the ship, more persons than is stated for the ship, or for the part of the ship, in the ship’s registration certificate, unless the person has a reasonable excuse.\n- (i) the waters stated in the USL code for a ship of the ship’s class;\n- (ii) the waters in any other operational area stated for the ship in the old regulation, section&#160;108;\n- 1 If, under the old regulation, section&#160;88(2), a person must not operate the ship as its master unless the person holds a licence of at least a particular class of certificate, the registration is subject to the condition that a person must not operate the ship as its master unless the person holds a licence of at least that class of certificate.\n- 2 If, under an exemption under the unamended Act, section&#160;18A, a person must not operate the ship as its master unless the person holds a recreational marine driver licence, the registration is subject to the condition that a person must not operate the ship as its master unless the person holds a recreational marine driver licence.","sortOrder":425},{"sectionNumber":"sec.251","sectionType":"section","heading":"Existing applications for registration","content":"### sec.251 Existing applications for registration\n\nThis section applies to an application for registration of a relevant ship made under the unamended Act but not decided before the commencement.\nThe application—\nis taken to be an application for registration of the ship under the amended Act as an other Queensland regulated ship; and\nmust be decided under the amended Act.\ns&#160;251 ins 2016 No.&#160;3 s&#160;60\n(sec.251-ssec.1) This section applies to an application for registration of a relevant ship made under the unamended Act but not decided before the commencement.\n(sec.251-ssec.2) The application— is taken to be an application for registration of the ship under the amended Act as an other Queensland regulated ship; and must be decided under the amended Act.\n- (a) is taken to be an application for registration of the ship under the amended Act as an other Queensland regulated ship; and\n- (b) must be decided under the amended Act.","sortOrder":426},{"sectionNumber":"sec.252","sectionType":"section","heading":"Reviews of decisions about registration made before the commencement","content":"### sec.252 Reviews of decisions about registration made before the commencement\n\nThis section applies to a review relating to a decision about the registration of a relevant ship—\nstarted but not decided before the commencement; or\nstarted after the commencement.\nThe review must be decided under the unamended Act as if the amendment Act had not been enacted.\nIf the effect of the review is that the ship must be registered as a commercial ship under the unamended Act, the ship must be registered under the amended Act as an other Queensland regulated ship.\nIf the effect of the review is that the registration of the ship as a commercial ship under the unamended Act must be amended or the suspension of the registration of the ship as a commercial ship under the unamended Act must be lifted, the amendment or lifting of the suspension must be given effect in relation to the registration of the ship as continued under section&#160;250.\nIf the effect of the review is that the registration of the ship as a commercial ship under the unamended Act should not have been cancelled—\nfrom the relevant day, the ship is taken to be registered under the amended Act as an other Queensland regulated ship; and\nthe registration is subject to the conditions to which it was subject immediately before it was cancelled; and\nsection&#160;250(3)(a), (c) and (d) and (4) and (5) apply to the ship’s registration.\nIn this section—\nrelevant day means—\nif the decision of the review takes effect on a day before commencement—the commencement; or\notherwise—the day the decision of the review takes effect.\nreview means—\na review of an original decision under section&#160;203B; or\na review of a reviewed decision under section&#160;203C.\ns&#160;252 ins 2016 No.&#160;3 s&#160;60\n(sec.252-ssec.1) This section applies to a review relating to a decision about the registration of a relevant ship— started but not decided before the commencement; or started after the commencement.\n(sec.252-ssec.2) The review must be decided under the unamended Act as if the amendment Act had not been enacted.\n(sec.252-ssec.3) If the effect of the review is that the ship must be registered as a commercial ship under the unamended Act, the ship must be registered under the amended Act as an other Queensland regulated ship.\n(sec.252-ssec.4) If the effect of the review is that the registration of the ship as a commercial ship under the unamended Act must be amended or the suspension of the registration of the ship as a commercial ship under the unamended Act must be lifted, the amendment or lifting of the suspension must be given effect in relation to the registration of the ship as continued under section&#160;250.\n(sec.252-ssec.5) If the effect of the review is that the registration of the ship as a commercial ship under the unamended Act should not have been cancelled— from the relevant day, the ship is taken to be registered under the amended Act as an other Queensland regulated ship; and the registration is subject to the conditions to which it was subject immediately before it was cancelled; and section&#160;250(3)(a), (c) and (d) and (4) and (5) apply to the ship’s registration.\n(sec.252-ssec.6) In this section— relevant day means— if the decision of the review takes effect on a day before commencement—the commencement; or otherwise—the day the decision of the review takes effect. review means— a review of an original decision under section&#160;203B; or a review of a reviewed decision under section&#160;203C.\n- (a) started but not decided before the commencement; or\n- (b) started after the commencement.\n- (a) from the relevant day, the ship is taken to be registered under the amended Act as an other Queensland regulated ship; and\n- (b) the registration is subject to the conditions to which it was subject immediately before it was cancelled; and\n- (c) section&#160;250(3)(a), (c) and (d) and (4) and (5) apply to the ship’s registration.\n- (a) if the decision of the review takes effect on a day before commencement—the commencement; or\n- (b) otherwise—the day the decision of the review takes effect.\n- (a) a review of an original decision under section&#160;203B; or\n- (b) a review of a reviewed decision under section&#160;203C.","sortOrder":427},{"sectionNumber":"sec.253","sectionType":"section","heading":"Existing certificate of compliance for Queensland regulated ship","content":"### sec.253 Existing certificate of compliance for Queensland regulated ship\n\nThis section applies to a certificate of compliance for a Queensland regulated ship in force under the unamended Act immediately before the commencement.\nFrom the commencement, the certificate of compliance is taken to be a survey report issued for the ship by a competent person.\ns&#160;253 ins 2016 No.&#160;3 s&#160;60\n(sec.253-ssec.1) This section applies to a certificate of compliance for a Queensland regulated ship in force under the unamended Act immediately before the commencement.\n(sec.253-ssec.2) From the commencement, the certificate of compliance is taken to be a survey report issued for the ship by a competent person.","sortOrder":428},{"sectionNumber":"sec.254","sectionType":"section","heading":"Protection of persons continued","content":"### sec.254 Protection of persons continued\n\nThe unamended Act, sections&#160;70C and 139 continue to apply in relation to acts done or omissions made before the commencement, despite their repeal.\ns&#160;254 ins 2016 No.&#160;3 s&#160;60","sortOrder":429},{"sectionNumber":"sec.255","sectionType":"section","heading":"Existing investigations","content":"### sec.255 Existing investigations\n\nThis section applies if—\na marine incident happened before the commencement, or the general manager believes that a marine incident may have happened before the commencement even though it has not been reported; and\nthe matter does not involve a Queensland regulated ship; and\nat the commencement, an investigation of the matter has not been started, or has been started but not finished, under the unamended Act, section&#160;126.\nThe general manager may require a shipping inspector to—\ninvestigate the matter; or\nif a shipping inspector has started but not finished investigating the matter—continue to investigate the matter.\nThe amended Act, section&#160;126(2) to (4) apply in relation to the investigation despite section&#160;123A.\ns&#160;255 ins 2016 No.&#160;3 s&#160;60\n(sec.255-ssec.1) This section applies if— a marine incident happened before the commencement, or the general manager believes that a marine incident may have happened before the commencement even though it has not been reported; and the matter does not involve a Queensland regulated ship; and at the commencement, an investigation of the matter has not been started, or has been started but not finished, under the unamended Act, section&#160;126.\n(sec.255-ssec.2) The general manager may require a shipping inspector to— investigate the matter; or if a shipping inspector has started but not finished investigating the matter—continue to investigate the matter.\n(sec.255-ssec.3) The amended Act, section&#160;126(2) to (4) apply in relation to the investigation despite section&#160;123A.\n- (a) a marine incident happened before the commencement, or the general manager believes that a marine incident may have happened before the commencement even though it has not been reported; and\n- (b) the matter does not involve a Queensland regulated ship; and\n- (c) at the commencement, an investigation of the matter has not been started, or has been started but not finished, under the unamended Act, section&#160;126.\n- (a) investigate the matter; or\n- (b) if a shipping inspector has started but not finished investigating the matter—continue to investigate the matter.","sortOrder":430},{"sectionNumber":"sec.256","sectionType":"section","heading":null,"content":"### Section sec.256\n\ns&#160;256 ins 2016 No.&#160;3 s&#160;60\nexp 1 September 2017 (see s&#160;256(5))","sortOrder":431},{"sectionNumber":"sec.257","sectionType":"section","heading":"Commercial ship references","content":"### sec.257 Commercial ship references\n\nA reference in an instrument under this Act to a commercial ship is, if the context permits, taken to be—\nif the ship is a domestic commercial vessel—a reference to a domestic commercial vessel; or\notherwise—a reference to an other Queensland regulated ship.\ns&#160;257 ins 2016 No.&#160;3 s&#160;60\n- (a) if the ship is a domestic commercial vessel—a reference to a domestic commercial vessel; or\n- (b) otherwise—a reference to an other Queensland regulated ship.","sortOrder":432},{"sectionNumber":"pt.20","sectionType":"part","heading":"TRANSITIONAL PROVISIONS FOR MARITIME SAFETY QUEENSLAND ACT 2002","content":"# TRANSITIONAL PROVISIONS FOR MARITIME SAFETY QUEENSLAND ACT 2002","sortOrder":433}],"analysis":{"kimi_summary":{"_metrics":{"completionTokens":942},"content_quality":"ok","complexity_score":8,"scope_assessment":{"changed":true,"description":"The legislation has grown significantly beyond its original 1994 scope. The 2016 amendments (No. 3) substantially restructured the Act to accommodate the national law for domestic commercial vessels, creating a complex dual-track system. Parts dealing with marine safety strategies (Part 2), boards of inquiry (Part 12), and ship design/building accreditation (former sections 64-70C) were entirely removed. New parts were added for enforcement orders and undertakings (Part 13A), general manager's emergency powers (Part 14A), and detailed licence disqualification schemes (Part 15 Divisions 2-3). The scope now encompasses sophisticated administrative law mechanisms, technology-enabled licensing, and intricate relationships with federal maritime safety frameworks."},"complexity_factors":["Extensive cross-referencing with Commonwealth Navigation Act and national law for domestic commercial vessels","Multiple overlapping categories of ships (Queensland regulated ships, recreational ships, other Queensland regulated ships, domestic commercial vessels) with different rules applying to each","Nested conditional logic throughout — many provisions apply only if specific declarations are made by regulation","Significant delegation of detail to regulations and standards rather than being contained in the Act itself","Complex enforcement framework with multiple pathways: criminal penalties, enforcement orders, undertakings, licence disqualifications, and restricted licences","Detailed procedural requirements for shipping inspectors including warrant applications by remote communication (section 164)","Extensive evidentiary provisions and presumptions (section 201)","Multiple amendment history with many sections substituted or omitted over time, creating fragmentation","Part 13A creates a parallel civil enforcement regime through District Court orders that interacts with criminal penalties","Licensing provisions include smartcard technology, digital photos, and complex information sharing restrictions"],"plain_english_summary":"This is Queensland's main law for keeping boats and ships safe on the water. It sets up a system that balances safety rules with allowing the maritime industry to operate efficiently.\n\n**Who it covers:**\n- **Ship owners and masters** (captains) — must ensure their vessels are seaworthy, properly equipped and crewed\n- **Competent persons** — surveyors who inspect ships and issue safety reports\n- **Pilots** — professionals who guide ships through dangerous waters\n- **Crew members** — anyone involved in operating a ship\n- **Managing pilotage entities** — organisations responsible for providing pilot services in compulsory pilotage areas\n\n**Key things the law does:**\n\n**Safety obligations:**\n- Owners and masters cannot operate a ship unless it's safe (section 41)\n- Surveyors must ensure their reports about a ship's condition are accurate (section 40)\n- Everyone involved in operating a ship must not cause it to be operated unsafely (section 43)\n- Pilots with conduct of a ship have similar safety duties (section 45)\n\n**Registration and licensing:**\n- Certain ships must be registered as either \"recreational ships\" (private use only) or \"other Queensland regulated ships\" (commercial use)\n- Masters and crew may need licences to operate ships\n- Pilots need licences to guide ships in compulsory pilotage areas\n\n**Harbour masters and shipping inspectors:**\n- Harbour masters can give directions to ships to ensure safety, including ordering them to enter/leave areas, anchor at specific places, or stop navigation\n- Shipping inspectors can board ships, inspect them, seize evidence, and issue directions if they believe a ship is unsafe\n- Both have significant powers but must follow procedures and are protected from liability if they act honestly\n\n**Pilotage areas:**\n- Regulations can declare areas where ships must use pilots\n- Harbour masters can temporarily close areas for safety\n\n**Marine incidents:**\n- Masters must report incidents (collisions, strandings, injuries, etc.) within 48 hours\n- The general manager can investigate and take action against approvals\n\n**Penalties:**\n- Serious safety breaches can attract fines up to 5,000 penalty units or 2 years imprisonment if death or serious injury results\n- Most offences carry maximum penalties of 500 penalty units or 1 year imprisonment\n\n**Relationship with other laws:**\n- The Act does not apply to ships covered by Commonwealth navigation laws or the national law for domestic commercial vessels\n- Defence force ships are exempt\n\nThe law uses a \"performance-based\" approach — it sets safety outcomes but allows flexibility in how they're achieved, rather than prescribing every detail."},"flash_summary":{"complexity_score":9,"scope_assessment":{"changed":true,"description":"The Act has grown from a basic marine safety framework in 1994 to a comprehensive regulatory regime. It originally focused on general safety obligations and registration, but has expanded to include pilotage areas, harbour master powers, shipping inspector enforcement, compliance tools like enforcement orders and undertakings, whistleblower protections, and detailed licensing disqualification processes. The scope now covers recreational as well as commercial ships, and interacts with the national law for domestic commercial vessels, significantly broadening its original intent."},"complexity_factors":["Lengthy Act with over 250 sections and multiple parts","Numerous defined terms (over 50) in a separate dictionary schedule","Frequent cross-references between sections and parts","Different rules for different ship types (recreational, other Queensland regulated, domestic commercial vessels)","Interaction with Commonwealth and national laws (Navigation Act, National Law)","Nested conditions and exceptions in safety obligations (e.g., section 42)","Extensive enforcement powers with multiple mechanisms (directions, seizure, warrants, enforcement orders, undertakings)","Complex licensing and disqualification procedures (restricted licences, appeals)","Detailed transitional provisions for amendments","Standards-making process with public consultation requirements"],"plain_english_summary":"This Queensland Act sets out the rules for making ships safe on the water. It applies to most ships that are connected to Queensland – for example, those registered here, owned by Queensland residents, or operating in Queensland waters. The law requires owners, masters, and crew to keep their ships seaworthy and operate them safely. It also requires some ships to be registered, and some people to hold a licence (like a boat licence) to drive or crew a ship. The Act creates 'pilotage areas' where big ships must take a pilot (a local navigation expert) on board. It gives harbour masters and shipping inspectors the power to check ships, give directions, seize unsafe ships, and investigate accidents. The law aims to balance safety with the cost of regulation – it doesn't demand the highest possible safety if that would cripple the shipping industry, but it sets clear minimum standards. Penalties for breaking the rules can be large fines or even jail for serious offences like causing death."},"summary":{"complexity_score":7,"scope_assessment":{"changed":true,"description":"The Act's original scope has expanded and shifted significantly over time. Initially focused on a broad marine safety and strategy framework (including marine safety strategies that have since been entirely removed), it has been repeatedly amended to accommodate the introduction of the national domestic commercial vessel law, which carved out a significant category of ships from Queensland's jurisdiction. Provisions relating to ship design, building, surveying accreditation, and marine safety implementation programs have been repealed, narrowing some aspects of the Act. Conversely, new provisions were added for pilots and managing pilotage entities as distinct categories with their own safety obligations, and smartcard marine licence provisions were added and later partially removed. The overall effect is that the Act has become more focused on recreational and non-commercial vessels, with commercial shipping increasingly governed at the national level."},"complexity_factors":["Interaction with multiple overlapping legal frameworks — Commonwealth Navigation Act, national domestic commercial vessel law, and Queensland state law — requiring careful parsing of which law applies to which ship in which situation","Multiple categories of ships with different regulatory treatment (recreational ships, other Queensland regulated ships, domestic commercial vessels) each triggering different provisions","Performance-based safety obligations rather than prescriptive rules, creating interpretive uncertainty about what constitutes compliance","Layered penalty structure with different thresholds depending on outcome (injury/death vs no harm), and multiplied penalties for corporations","Extensive delegation and exemption powers spread across the chief executive, general manager, harbour masters and responsible pilotage entities","Numerous provisions omitted or repealed over time (visible through amendment annotations), creating a fragmented text that is hard to read as a coherent whole","Reliance on subordinate instruments — regulations and standards — for critical operational details not spelled out in the Act itself","Jurisdictional complexity: the Act can apply to Queensland-connected ships outside Queensland waters, and to foreign ships within Queensland waters, depending on voyage type"],"plain_english_summary":"## Transport Operations (Marine Safety) Act 1994 (Queensland)\n\n### What is this law about?\nThis is Queensland's main law governing **safety on the water**. It covers almost everything to do with ships operating in Queensland — from tiny recreational boats to large commercial vessels navigating through ports.\n\n### Who does it affect?\n- **Recreational boaters** (anyone using a boat for fun on Queensland waters)\n- **Ship owners and operators** (commercial and recreational)\n- **Ship masters** (the person in charge/command of a vessel)\n- **Crew members**\n- **Pilots** (specially licensed professionals who guide ships through tricky waters like ports)\n- **Harbour masters** (officials who manage ship movements in ports and waterways)\n- **Competent persons** (surveyors who certify a ship is seaworthy)\n- **Businesses in the maritime industry**\n\n### Key things this law does:\n\n**1. Safety obligations — the big ones**\n- Ship owners and masters **must not operate an unsafe ship**. A ship is 'safe' if it is seaworthy (structurally sound), properly equipped, and has the right crew for the voyage.\n- Anyone involved in operating a ship must **not cause it to be operated unsafely**.\n- Pilots must not cause a ship to be operated unsafely.\n- Surveyors who certify a ship's condition must ensure their statements are accurate.\n- Breaking these rules can result in **fines up to 500 penalty units or 1 year imprisonment**. If someone dies or is seriously injured as a result, penalties escalate dramatically — up to **5,000 penalty units or 2 years imprisonment** (and for corporations, fines can be multiplied up to 5 times).\n\n**2. Registration and licensing**\n- Certain ships must be **registered** (like registering a car).\n- Masters, crew members, and pilots may need to hold a **licence** to legally operate.\n- Operating without required registration or licence is an offence.\n\n**3. Pilotage areas**\n- Some Queensland waters are declared **pilotage areas** — zones where ship movements are carefully controlled.\n- Parts of these may be **compulsory pilotage areas** — where ships must use a licensed pilot (a specialist navigator) to enter, leave, or move through.\n\n**4. Harbour masters**\n- Harbour masters are appointed officials with powers to **direct ships and their movements** in Queensland waters.\n- They can close areas to navigation and issue directions for safety.\n\n**5. Flexibility in how safety is achieved**\n- Rather than rigidly prescribing exactly how a ship must be made safe, the law allows owners and operators to **choose their own methods** of achieving safety, as long as the ship is actually safe.\n- Complying with official standards is one way to prove safety, but not the only way.\n- A ship can be compliant even without a formal survey report.\n\n**6. Exemptions**\n- The government can grant exemptions from certain rules, including for specific ships or persons, as long as safety is not compromised.\n\n### Who is NOT covered?\n- **Defence force ships** (Australian or foreign military vessels) are exempt.\n- **Domestic commercial vessels** (like ferries and commercial charter boats operating nationally) are largely governed by a separate **national law** rather than this Queensland Act.\n- Ships covered by the **Commonwealth Navigation Act** are generally excluded too.\n\n### The balance this law tries to strike\nThe law explicitly acknowledges that maximum safety and maximum efficiency can conflict. It tries to find a **practical middle ground** — keeping people safe on the water without making the maritime industry unworkable or unaffordable."}},"importantCases":[],"_links":{"self":"/api/acts/transport-operations-marine-safety-act-1994","history":"/api/acts/transport-operations-marine-safety-act-1994/history","analysis":"/api/acts/transport-operations-marine-safety-act-1994/analysis","conflicts":"/api/acts/transport-operations-marine-safety-act-1994/conflicts","importantCases":"/api/acts/transport-operations-marine-safety-act-1994/important-cases","documents":"/api/acts/transport-operations-marine-safety-act-1994/documents"}}