{"id":"qld:act-1995-009","name":"Transport Operations (Road Use Management) Act 1995","slug":"transport-operations-road-use-management-act-1995","collection":"act","jurisdiction":"qld","status":"in_force","isInForce":true,"actNumber":"9 of 1995","makingDate":null,"administeringDepartment":null,"currentVersion":{"id":29842,"registerId":"qld-act-1995-009-current","compilationNumber":null,"startDate":"2026-04-01","status":"InForce","reasons":null,"registeredAt":null},"sections":[{"sectionNumber":"ch.2-pt.1","sectionType":"part","heading":"Road use management strategies","content":"# Road use management strategies","sortOrder":0},{"sectionNumber":"sec.7","sectionType":"section","heading":"Development of strategies","content":"### sec.7 Development of strategies\n\nThe chief executive must, from time to time, develop for the Minister’s approval a road use management strategy designed to give effect to the transport coordination plan in accordance with this Act’s objectives.\nIn developing a road use management strategy, the chief executive must take reasonable steps to engage in public consultation.\nThe Minister may, at any time, direct the chief executive—\nto prepare a new road use management strategy for the Minister’s approval; or\nto amend a road use management strategy.\nThe Minister may—\napprove a road use management strategy submitted for approval; or\nrequire the chief executive to amend a road use management strategy submitted for approval.\n(sec.7-ssec.1) The chief executive must, from time to time, develop for the Minister’s approval a road use management strategy designed to give effect to the transport coordination plan in accordance with this Act’s objectives.\n(sec.7-ssec.2) In developing a road use management strategy, the chief executive must take reasonable steps to engage in public consultation.\n(sec.7-ssec.3) The Minister may, at any time, direct the chief executive— to prepare a new road use management strategy for the Minister’s approval; or to amend a road use management strategy.\n(sec.7-ssec.4) The Minister may— approve a road use management strategy submitted for approval; or require the chief executive to amend a road use management strategy submitted for approval.\n- (a) to prepare a new road use management strategy for the Minister’s approval; or\n- (b) to amend a road use management strategy.\n- (a) approve a road use management strategy submitted for approval; or\n- (b) require the chief executive to amend a road use management strategy submitted for approval.","sortOrder":1},{"sectionNumber":"sec.8","sectionType":"section","heading":"Contents of strategies","content":"### sec.8 Contents of strategies\n\nA road use management strategy must include—\na statement of the specific objectives to be achieved; and\nroad use management initiatives; and\ncriteria for deciding priorities for government spending on road use management initiatives; and\nappropriate performance indicators for deciding whether, and to what extent, the strategy’s objectives have been achieved.\nA road use management strategy must aim to provide an adequate framework for coordinating and integrating road use management policies as between the different transport modes and levels of government.\nA road use management strategy may also take into account agreements about transport between the State and the Commonwealth, a local government or another State.\nIf there is an integrated regional transport plan under the Transport Planning and Coordination Act 1994 for an area, a road use management strategy for the area must not be inconsistent with, and must give effect to, the plan.\ns&#160;8 amd 1995 No.&#160;48 s&#160;15 ; 2008 No.&#160;32 s&#160;106 ; 2012 No.&#160;31 s&#160;33 sch\n(sec.8-ssec.1) A road use management strategy must include— a statement of the specific objectives to be achieved; and road use management initiatives; and criteria for deciding priorities for government spending on road use management initiatives; and appropriate performance indicators for deciding whether, and to what extent, the strategy’s objectives have been achieved.\n(sec.8-ssec.2) A road use management strategy must aim to provide an adequate framework for coordinating and integrating road use management policies as between the different transport modes and levels of government.\n(sec.8-ssec.3) A road use management strategy may also take into account agreements about transport between the State and the Commonwealth, a local government or another State.\n(sec.8-ssec.4) If there is an integrated regional transport plan under the Transport Planning and Coordination Act 1994 for an area, a road use management strategy for the area must not be inconsistent with, and must give effect to, the plan.\n- (a) a statement of the specific objectives to be achieved; and\n- (b) road use management initiatives; and\n- (c) criteria for deciding priorities for government spending on road use management initiatives; and\n- (d) appropriate performance indicators for deciding whether, and to what extent, the strategy’s objectives have been achieved.","sortOrder":2},{"sectionNumber":"sec.9","sectionType":"section","heading":"Tabling of strategies","content":"### sec.9 Tabling of strategies\n\nThe Minister must table a copy of each road use management strategy, and each amendment of a road use management strategy, approved by the Minister in the Legislative Assembly within 5 sitting days after it is approved.","sortOrder":3},{"sectionNumber":"ch.2-pt.2","sectionType":"part","heading":"Road use implementation programs","content":"# Road use implementation programs","sortOrder":4},{"sectionNumber":"sec.10","sectionType":"section","heading":"Development of programs","content":"### sec.10 Development of programs\n\nBefore the start of each financial year, the chief executive must develop, for the Minister’s approval, a road use implementation program for the year and for 1 or more later years.\nA road use implementation program must include—\na statement of the policies, projects and financial provisions for implementing the road use management strategy; and\na statement of the performance targets to be achieved.\nA road use implementation program may include a proposal to spend an amount not directly related to road use, if the proposal would contribute to the effectiveness and efficiency of road use management.\nIn developing a road use implementation program, the chief executive must take reasonable steps to engage in public consultation.\nA road use implementation program must be made available to the public in the way decided by the Minister.\nThe Minister may, at any time, direct the chief executive to amend a road use implementation program.\nThe Minister may—\napprove a road use implementation program submitted for approval; or\nrequire the chief executive to amend a road use implementation program submitted for approval.\n(sec.10-ssec.1) Before the start of each financial year, the chief executive must develop, for the Minister’s approval, a road use implementation program for the year and for 1 or more later years.\n(sec.10-ssec.2) A road use implementation program must include— a statement of the policies, projects and financial provisions for implementing the road use management strategy; and a statement of the performance targets to be achieved.\n(sec.10-ssec.3) A road use implementation program may include a proposal to spend an amount not directly related to road use, if the proposal would contribute to the effectiveness and efficiency of road use management.\n(sec.10-ssec.4) In developing a road use implementation program, the chief executive must take reasonable steps to engage in public consultation.\n(sec.10-ssec.5) A road use implementation program must be made available to the public in the way decided by the Minister.\n(sec.10-ssec.6) The Minister may, at any time, direct the chief executive to amend a road use implementation program.\n(sec.10-ssec.7) The Minister may— approve a road use implementation program submitted for approval; or require the chief executive to amend a road use implementation program submitted for approval.\n- (a) a statement of the policies, projects and financial provisions for implementing the road use management strategy; and\n- (b) a statement of the performance targets to be achieved.\n- (a) approve a road use implementation program submitted for approval; or\n- (b) require the chief executive to amend a road use implementation program submitted for approval.","sortOrder":5},{"sectionNumber":"sec.11","sectionType":"section","heading":"Consistency with strategies","content":"### sec.11 Consistency with strategies\n\nSubject to the Minister’s directions, a road use implementation program must be consistent with a road use management strategy.\nIf the Minister’s directions result in a road use implementation program being inconsistent with a road use management strategy, the Minister must table a copy of the directions in the Legislative Assembly within 5 sitting days after they are given.\n(sec.11-ssec.1) Subject to the Minister’s directions, a road use implementation program must be consistent with a road use management strategy.\n(sec.11-ssec.2) If the Minister’s directions result in a road use implementation program being inconsistent with a road use management strategy, the Minister must table a copy of the directions in the Legislative Assembly within 5 sitting days after they are given.","sortOrder":6},{"sectionNumber":"sec.12","sectionType":"section","heading":"Report on operation of programs","content":"### sec.12 Report on operation of programs\n\nEach annual report of the department must include a report on the implementation of the road use implementation program during the year of the report.","sortOrder":7},{"sectionNumber":"ch.2-pt.3","sectionType":"part","heading":"Guidelines","content":"# Guidelines","sortOrder":8},{"sectionNumber":"sec.13","sectionType":"section","heading":"Guidelines","content":"### sec.13 Guidelines\n\nThis section applies to the Minister and chief executive in developing and implementing policies about road use management, and in exercising powers under this Act.\nThe Minister and chief executive must endeavour to—\nachieve an appropriate balance between safety, and the costs that regulation imposes on road users and the community; and\nestablish the benefits and costs of policy alternatives; and\ntake account of national and international benchmarks and best practice; and\npromote efficiency, affordable quality and cost-effectiveness; and\nensure competition is not unjustifiably restricted; and\nensure accountability for, and transparency of, decisions affecting road use.\nEach annual report of the department must include a report on how effect has been given to this section during the year of the report.\n(sec.13-ssec.1) This section applies to the Minister and chief executive in developing and implementing policies about road use management, and in exercising powers under this Act.\n(sec.13-ssec.2) The Minister and chief executive must endeavour to— achieve an appropriate balance between safety, and the costs that regulation imposes on road users and the community; and establish the benefits and costs of policy alternatives; and take account of national and international benchmarks and best practice; and promote efficiency, affordable quality and cost-effectiveness; and ensure competition is not unjustifiably restricted; and ensure accountability for, and transparency of, decisions affecting road use.\n(sec.13-ssec.3) Each annual report of the department must include a report on how effect has been given to this section during the year of the report.\n- (a) achieve an appropriate balance between safety, and the costs that regulation imposes on road users and the community; and\n- (b) establish the benefits and costs of policy alternatives; and\n- (c) take account of national and international benchmarks and best practice; and\n- (d) promote efficiency, affordable quality and cost-effectiveness; and\n- (e) ensure competition is not unjustifiably restricted; and\n- (f) ensure accountability for, and transparency of, decisions affecting road use.","sortOrder":9},{"sectionNumber":"ch.2-pt.4","sectionType":"part","heading":"Objectives","content":"# Objectives","sortOrder":10},{"sectionNumber":"sec.14","sectionType":"section","heading":"Objectives","content":"### sec.14 Objectives\n\nThe following objectives are, as far as practicable, to be applied by anyone wanting to encourage a high level of road user performance and compliance with this Act—\ninformation about their obligations under this Act should be made available to road users;\nvoluntary compliance should be sought in preference to enforcement;\nenforcement should be aimed primarily at deterring noncompliance by road users;\nenforcement strategies should, accordingly, try to increase road users’ perceptions of the risk of being detected if they offend;\nmeasures aimed at encouraging compliance should—\ntarget the road users who are least likely to comply with this Act; and\ntry to avoid imposing costs on the road users who are likely to comply voluntarily;\nappropriate alternative compliance schemes should be used as a way of demonstrating compliance.\nPreventing the continued commission of offences and imposing appropriate penalties should be seen as objectives that support the other objectives in subsection&#160;(1) .\n(sec.14-ssec.1) The following objectives are, as far as practicable, to be applied by anyone wanting to encourage a high level of road user performance and compliance with this Act— information about their obligations under this Act should be made available to road users; voluntary compliance should be sought in preference to enforcement; enforcement should be aimed primarily at deterring noncompliance by road users; enforcement strategies should, accordingly, try to increase road users’ perceptions of the risk of being detected if they offend; measures aimed at encouraging compliance should— target the road users who are least likely to comply with this Act; and try to avoid imposing costs on the road users who are likely to comply voluntarily; appropriate alternative compliance schemes should be used as a way of demonstrating compliance.\n(sec.14-ssec.2) Preventing the continued commission of offences and imposing appropriate penalties should be seen as objectives that support the other objectives in subsection&#160;(1) .\n- (a) information about their obligations under this Act should be made available to road users;\n- (b) voluntary compliance should be sought in preference to enforcement;\n- (c) enforcement should be aimed primarily at deterring noncompliance by road users;\n- (d) enforcement strategies should, accordingly, try to increase road users’ perceptions of the risk of being detected if they offend;\n- (e) measures aimed at encouraging compliance should— (i) target the road users who are least likely to comply with this Act; and (ii) try to avoid imposing costs on the road users who are likely to comply voluntarily;\n- (i) target the road users who are least likely to comply with this Act; and\n- (ii) try to avoid imposing costs on the road users who are likely to comply voluntarily;\n- (f) appropriate alternative compliance schemes should be used as a way of demonstrating compliance.\n- (i) target the road users who are least likely to comply with this Act; and\n- (ii) try to avoid imposing costs on the road users who are likely to comply voluntarily;","sortOrder":11},{"sectionNumber":"ch.3-pt.1","sectionType":"part","heading":"Alternative compliance","content":"# Alternative compliance","sortOrder":12},{"sectionNumber":"sec.15","sectionType":"section","heading":"Alternative ways of complying with Act","content":"### sec.15 Alternative ways of complying with Act\n\nA person who operates a vehicle (an operator ) may apply to the chief executive for approval of a scheme (an alternative compliance scheme ) for an alternative way to comply with a provision of this Act that is prescribed under a regulation.\nThe regulation must prescribe the purpose of the prescribed provision.\nAn application for approval of an alternative compliance scheme must be in writing.\nThe chief executive may approve an alternative compliance scheme only if satisfied it provides an effective way of demonstrating the operator’s vehicles, or drivers operating under it in Queensland, achieve the prescribed purpose.\nThe chief executive may approve the scheme by written notice to the operator.\nThe approval may be given on conditions stated in it and operates for the period stated in it.\nThe prescribed provision does not apply to the operator’s vehicles or drivers as provided under the scheme while—\nan approval is in force for the operator; and\nthe operator complies with the scheme, including the conditions of its approval.\nIn this section—\ninterstate scheme means a scheme approved as an alternative compliance scheme under a corresponding law to this part.\nscheme includes an interstate scheme.\nvehicle means a private vehicle or a prescribed vehicle.\ns&#160;15 sub 1998 No.&#160;33 s&#160;20\namd 2013 No.&#160;26 s&#160;39\n(sec.15-ssec.1) A person who operates a vehicle (an operator ) may apply to the chief executive for approval of a scheme (an alternative compliance scheme ) for an alternative way to comply with a provision of this Act that is prescribed under a regulation.\n(sec.15-ssec.2) The regulation must prescribe the purpose of the prescribed provision.\n(sec.15-ssec.3) An application for approval of an alternative compliance scheme must be in writing.\n(sec.15-ssec.4) The chief executive may approve an alternative compliance scheme only if satisfied it provides an effective way of demonstrating the operator’s vehicles, or drivers operating under it in Queensland, achieve the prescribed purpose.\n(sec.15-ssec.5) The chief executive may approve the scheme by written notice to the operator.\n(sec.15-ssec.6) The approval may be given on conditions stated in it and operates for the period stated in it.\n(sec.15-ssec.7) The prescribed provision does not apply to the operator’s vehicles or drivers as provided under the scheme while— an approval is in force for the operator; and the operator complies with the scheme, including the conditions of its approval.\n(sec.15-ssec.8) In this section— interstate scheme means a scheme approved as an alternative compliance scheme under a corresponding law to this part. scheme includes an interstate scheme. vehicle means a private vehicle or a prescribed vehicle.\n- (a) an approval is in force for the operator; and\n- (b) the operator complies with the scheme, including the conditions of its approval.","sortOrder":13},{"sectionNumber":"sec.16","sectionType":"section","heading":null,"content":"### Section sec.16\n\ns&#160;16 om 1998 No.&#160;33 s&#160;20","sortOrder":14},{"sectionNumber":"sec.17","sectionType":"section","heading":null,"content":"### Section sec.17\n\ns&#160;17 om 1998 No.&#160;33 s&#160;20","sortOrder":15},{"sectionNumber":"ch.3-pt.1A","sectionType":"part","heading":"Approvals","content":"# Approvals","sortOrder":16},{"sectionNumber":"sec.17A","sectionType":"section","heading":"Meaning of approval for pt&#160;1A","content":"### sec.17A Meaning of approval for pt&#160;1A\n\nThis section applies for part&#160;1A .\nAn approval includes an accreditation, administrative determination, certificate, consent, exemption, licence, permit and registration given or granted by the chief executive under this Act.\nHowever, an approval does not include the following—\nan approval under section&#160;166 ;\na Queensland driver licence;\nan authorised scheme under chapter&#160;5 , part&#160;7A ;\nthe authorisation, under chapter&#160;5 , part&#160;7A , of a person to perform a role under an authorised scheme;\nan exemption under section&#160;153 .\nDespite subsection&#160;(3) (b) , an approval includes an interlock exemption.\ns&#160;17A ins 1997 No.&#160;66 s&#160;111\namd 1999 No.&#160;42 ss&#160;27 , 48 ; 2005 No.&#160;49 s&#160;58 ; 2008 No.&#160;67 s&#160;40\nsub 2010 No.&#160;13 s&#160;11\n(sec.17A-ssec.1) This section applies for part&#160;1A .\n(sec.17A-ssec.2) An approval includes an accreditation, administrative determination, certificate, consent, exemption, licence, permit and registration given or granted by the chief executive under this Act.\n(sec.17A-ssec.3) However, an approval does not include the following— an approval under section&#160;166 ; a Queensland driver licence; an authorised scheme under chapter&#160;5 , part&#160;7A ; the authorisation, under chapter&#160;5 , part&#160;7A , of a person to perform a role under an authorised scheme; an exemption under section&#160;153 .\n(sec.17A-ssec.4) Despite subsection&#160;(3) (b) , an approval includes an interlock exemption.\n- (a) an approval under section&#160;166 ;\n- (b) a Queensland driver licence;\n- (c) an authorised scheme under chapter&#160;5 , part&#160;7A ;\n- (d) the authorisation, under chapter&#160;5 , part&#160;7A , of a person to perform a role under an authorised scheme;\n- (e) an exemption under section&#160;153 .","sortOrder":17},{"sectionNumber":"sec.17B","sectionType":"section","heading":"Granting, renewing or refusing approval","content":"### sec.17B Granting, renewing or refusing approval\n\nA regulation may provide for the granting or renewing of, or refusing to grant or renew, an approval, other than an approval for an alternative compliance scheme under section&#160;15 .\nWithout limiting subsection&#160;(1) , a regulation may authorise the chief executive to refuse to grant or renew an approval prescribed under a regulation, other than a permit under section&#160;111 , if the applicant for or holder of an approval, or a relevant person for the applicant or holder within the meaning of section&#160;17C (3) , has been—\nconvicted of a disqualifying offence; or\ncharged with a disqualifying offence and the charge has not been finally disposed of.\nIn this section—\ngrant includes issue or give.\ns&#160;17B ins 1997 No.&#160;66 s&#160;111\namd 2001 No.&#160;79 s&#160;91\nsub 2007 No.&#160;6 s&#160;49\namd 2008 No.&#160;67 s&#160;293 ; 2020 No.&#160;22 s&#160;14\n(sec.17B-ssec.1) A regulation may provide for the granting or renewing of, or refusing to grant or renew, an approval, other than an approval for an alternative compliance scheme under section&#160;15 .\n(sec.17B-ssec.2) Without limiting subsection&#160;(1) , a regulation may authorise the chief executive to refuse to grant or renew an approval prescribed under a regulation, other than a permit under section&#160;111 , if the applicant for or holder of an approval, or a relevant person for the applicant or holder within the meaning of section&#160;17C (3) , has been— convicted of a disqualifying offence; or charged with a disqualifying offence and the charge has not been finally disposed of.\n(sec.17B-ssec.3) In this section— grant includes issue or give.\n- (a) convicted of a disqualifying offence; or\n- (b) charged with a disqualifying offence and the charge has not been finally disposed of.","sortOrder":18},{"sectionNumber":"sec.17C","sectionType":"section","heading":"Chief executive may obtain information from commissioner","content":"### sec.17C Chief executive may obtain information from commissioner\n\nThis section applies if a regulation made under section&#160;17B authorises the chief executive to grant or renew an approval.\nThe chief executive may ask the commissioner for a written report about the criminal history of any of the following persons—\nthe applicant for or holder of the approval;\na relevant person for the applicant for or holder of the approval.\nFor subsection&#160;(2) (b) , a person is a relevant person for the applicant for or holder of an approval—\nif the applicant or holder is a corporation and the person is an executive officer of the corporation; or\nif the approval is an AIS approval and the person is a person who, under a regulation—\nhas been nominated by the applicant or holder to be a nominee for the applicant or holder; and\nhas agreed to the nomination; or\nif the approval is an approval as a registered service provider and the person is a person who, under a regulation—\nhas been nominated by the applicant or holder to sign declarations for the applicant or holder about another person’s competency for riding a motorbike; and\nhas agreed to the nomination.\nFor subsection&#160;(2) , the chief executive’s request may include the following information—\nthe person’s name and any other name the chief executive 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;\ndetails of the person’s application or approval.\nIf requested, the commissioner must give the chief executive a written report about the criminal history of a person mentioned in subsection&#160;(2) —\nthat is in the commissioner’s possession; or\nto which the commissioner ordinarily has access through arrangements with the police service of the Commonwealth or another State.\nIn this section—\nAIS approval means an approval granted under a regulation that authorises its holder to operate a station (whether fixed or mobile) at which—\nvehicles may be inspected for compliance with vehicle standards under a regulation made under section&#160;148 ; or\nheavy vehicles may be inspected for compliance with heavy vehicle standards under the national regulations (HVNL).\nnominee , for an AIS approval, has the meaning given by a regulation made under section&#160;148 .\nregistered service provider means a person registered under a regulation to provide training to, and assess the competency of, persons learning how to ride a motorbike or particular class of motorbike.\ns&#160;17C ins 2007 No.&#160;6 s&#160;49\namd 2008 No.&#160;67 s&#160;294 ; 2013 No.&#160;26 s&#160;40\n(sec.17C-ssec.1) This section applies if a regulation made under section&#160;17B authorises the chief executive to grant or renew an approval.\n(sec.17C-ssec.2) The chief executive may ask the commissioner for a written report about the criminal history of any of the following persons— the applicant for or holder of the approval; a relevant person for the applicant for or holder of the approval.\n(sec.17C-ssec.3) For subsection&#160;(2) (b) , a person is a relevant person for the applicant for or holder of an approval— if the applicant or holder is a corporation and the person is an executive officer of the corporation; or if the approval is an AIS approval and the person is a person who, under a regulation— has been nominated by the applicant or holder to be a nominee for the applicant or holder; and has agreed to the nomination; or if the approval is an approval as a registered service provider and the person is a person who, under a regulation— has been nominated by the applicant or holder to sign declarations for the applicant or holder about another person’s competency for riding a motorbike; and has agreed to the nomination.\n(sec.17C-ssec.4) For subsection&#160;(2) , the chief executive’s request may include the following information— the person’s name and any other name the chief executive 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; details of the person’s application or approval.\n(sec.17C-ssec.5) If requested, the commissioner must give the chief executive a written report about the criminal history of a person mentioned in subsection&#160;(2) — that is in the commissioner’s possession; or to which the commissioner ordinarily has access through arrangements with the police service of the Commonwealth or another State.\n(sec.17C-ssec.6) In this section— AIS approval means an approval granted under a regulation that authorises its holder to operate a station (whether fixed or mobile) at which— vehicles may be inspected for compliance with vehicle standards under a regulation made under section&#160;148 ; or heavy vehicles may be inspected for compliance with heavy vehicle standards under the national regulations (HVNL). nominee , for an AIS approval, has the meaning given by a regulation made under section&#160;148 . registered service provider means a person registered under a regulation to provide training to, and assess the competency of, persons learning how to ride a motorbike or particular class of motorbike.\n- (a) the applicant for or holder of the approval;\n- (b) a relevant person for the applicant for or holder of the approval.\n- (a) if the applicant or holder is a corporation and the person is an executive officer of the corporation; or\n- (b) if the approval is an AIS approval and the person is a person who, under a regulation— (i) has been nominated by the applicant or holder to be a nominee for the applicant or holder; and (ii) has agreed to the nomination; or\n- (i) has been nominated by the applicant or holder to be a nominee for the applicant or holder; and\n- (ii) has agreed to the nomination; or\n- (c) if the approval is an approval as a registered service provider and the person is a person who, under a regulation— (i) has been nominated by the applicant or holder to sign declarations for the applicant or holder about another person’s competency for riding a motorbike; and (ii) has agreed to the nomination.\n- (i) has been nominated by the applicant or holder to sign declarations for the applicant or holder about another person’s competency for riding a motorbike; and\n- (ii) has agreed to the nomination.\n- (i) has been nominated by the applicant or holder to be a nominee for the applicant or holder; and\n- (ii) has agreed to the nomination; or\n- (i) has been nominated by the applicant or holder to sign declarations for the applicant or holder about another person’s competency for riding a motorbike; and\n- (ii) has agreed to the nomination.\n- (a) the person’s name and any other name the chief executive 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;\n- (d) details of the person’s application or approval.\n- (a) that is in the commissioner’s possession; or\n- (b) to which the commissioner ordinarily has access through arrangements with the police service of the Commonwealth or another State.\n- (a) vehicles may be inspected for compliance with vehicle standards under a regulation made under section&#160;148 ; or\n- (b) heavy vehicles may be inspected for compliance with heavy vehicle standards under the national regulations (HVNL).","sortOrder":19},{"sectionNumber":"sec.17D","sectionType":"section","heading":"Notice of change in police information about a person","content":"### sec.17D Notice of change in police information about a person\n\nThis section applies if—\nthe commissioner reasonably suspects that a person is—\nthe holder of an approval; or\na relevant person for the holder of an approval within the meaning of section&#160;17C (3) ; and\nthe person’s criminal history changes.\nThe commissioner may notify the chief executive that the person’s criminal history has changed.\nThe commissioner’s notice to the chief executive 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;17D ins 2007 No.&#160;6 s&#160;49\namd 2008 No.&#160;67 s&#160;295\n(sec.17D-ssec.1) This section applies if— the commissioner reasonably suspects that a person is— the holder of an approval; or a relevant person for the holder of an approval within the meaning of section&#160;17C (3) ; and the person’s criminal history changes.\n(sec.17D-ssec.2) The commissioner may notify the chief executive that the person’s criminal history has changed.\n(sec.17D-ssec.3) The commissioner’s notice to the chief executive 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 reasonably suspects that a person is— (i) the holder of an approval; or (ii) a relevant person for the holder of an approval within the meaning of section&#160;17C (3) ; and\n- (i) the holder of an approval; or\n- (ii) a relevant person for the holder of an approval within the meaning of section&#160;17C (3) ; and\n- (b) the person’s criminal history changes.\n- (i) the holder of an approval; or\n- (ii) a relevant person for the holder of an approval within the meaning of section&#160;17C (3) ; 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":20},{"sectionNumber":"sec.17E","sectionType":"section","heading":"Chief executive may enter into arrangement about giving and receiving information with commissioner","content":"### sec.17E Chief executive may enter into arrangement about giving and receiving information with commissioner\n\nThis section applies only to the extent another provision of this Act allows the chief executive to give information to the commissioner or the commissioner to give information to the chief executive.\nThe chief executive 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;17E ins 2007 No.&#160;6 s&#160;49\n(sec.17E-ssec.1) This section applies only to the extent another provision of this Act allows the chief executive to give information to the commissioner or the commissioner to give information to the chief executive.\n(sec.17E-ssec.2) The chief executive and the commissioner may enter into a written arrangement by which the information is given or received.\n(sec.17E-ssec.3) Without limiting subsection&#160;(2) , the arrangement may provide for the electronic transfer of information, including on a daily basis.\n(sec.17E-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":21},{"sectionNumber":"sec.18","sectionType":"section","heading":"Grounds for amending, suspending or cancelling approvals","content":"### sec.18 Grounds for amending, suspending or cancelling approvals\n\nEach of the following is a ground for amending, suspending or cancelling an approval—\nthe approval was issued because of a document or representation that is—\nfalse or misleading; or\nobtained or made in another improper way;\nthe holder of the approval has contravened a condition of the approval;\nthe holder of the approval, or any relevant person for the holder within the meaning of section&#160;17C (3) , has been convicted of—\nan offence against—\nthis Act or a corresponding law; or\nthe Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ; or\nfor the holder of an approval prescribed under a regulation, or a relevant person for the holder within the meaning of section&#160;17C (3) —a disqualifying offence;\nfor the registration of a motor vehicle with a GVM of more than 4.5t—the vehicle has been used to commit an offence against—\nthis Act or a corresponding law; or\nthe Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ;\nfor an approval of an alternative compliance scheme—\nthe scheme is not, or is no longer, an effective way of demonstrating the operator’s vehicles or drivers operating under it in Queensland achieve the relevant purpose prescribed under section&#160;15 (2) ; or\nfor an interstate scheme—the approval under a corresponding law to this chapter is amended, suspended or cancelled;\nfor a permit under section&#160;111 (1) (a) —the holder is no longer a person with a disability within the meaning of that section;\nfor an approval that exempts a person from complying with a provision of this Act—\npublic safety has been endangered, or is likely to be endangered because of the approval; or\ntransport infrastructure within the meaning of the Transport Infrastructure Act 1994 has been damaged, or is likely to be damaged because of the approval;\nfor any approval other than an approval mentioned in paragraph&#160;(g) —public safety has been endangered, or is likely to be endangered, because of the approval;\nfor an approval that is a dangerous goods driver licence—the person to whom the licence is granted no longer satisfies the criteria, however described, under the regulation that provides for the licence;\nfor an approval prescribed under a dangerous goods regulation as an approval for this paragraph—\na change in circumstances has happened after the approval was granted; and\nhad the changed circumstances existed when the approval was granted, the approval would not have been granted under the regulation because of the requirements under the regulation applying to the grant;\nfor an approval prescribed under a dangerous goods regulation as an approval for this paragraph—the holder has contravened this Act or a corresponding law and the contravention makes the holder unsuitable to continue to hold the approval;\nfor an approval that is a dangerous goods driver licence—the holder is suffering from a medical condition or has a physical or mental incapacity, that makes the holder unsuitable to continue to hold the licence;\nfor an approval that is a dangerous goods vehicle licence—the vehicle does not comply with this Act;\nfor an approval that is a repeat offender education program exemption—\na change in circumstances has happened after the exemption was granted and, had the changed circumstances existed when the exemption was granted, it would not have been granted because of the requirements under section&#160;91H (1) applying to the grant; or\nthe holder of the approval has failed to comply with section&#160;91HD ;\nfor an approval that is an interlock exemption—a change in circumstances has happened after the exemption was granted and, had the changed circumstances existed when the exemption was granted, it would not have been granted because of the requirements under section&#160;91Q (3) applying to the grant;\nfor an approval that is an interlock exemption—the holder of the approval has failed to comply with a restriction applying to the approval;\nthe chief executive considers it necessary in the public interest;\nany other ground prescribed by regulation.\nIn this section—\nchange in circumstances —\nfor a person granted an interlock exemption because of circumstances mentioned in section&#160;91Q (3) (a) —does not include the establishment of a prescribed interlock installer’s place of business near the person’s place of residence; or\nfor a person granted a repeat offender education program exemption because of circumstances mentioned in section&#160;91H (2) (a) —does not include the establishment of a place where a repeat offender education program is provided near the person’s place of residence.\ndangerous goods driver licence means a licence, as prescribed under a dangerous goods regulation, to drive a dangerous goods vehicle.\ndangerous goods vehicle licence means a licence, as prescribed under a dangerous goods regulation, of a dangerous goods vehicle.\noperator see section&#160;15 (1) .\nrepeat offender education program exemption means an exemption from the requirement to complete a repeat offender education program granted under section&#160;91HA .\ns&#160;18 sub 1997 No.&#160;66 s&#160;111\namd 1998 No.&#160;33 s&#160;21 ; 1999 No.&#160;42 s&#160;28 ; 2001 No.&#160;79 s&#160;92 ; 2002 No.&#160;71 s&#160;15 ; 2004 No.&#160;40 s&#160;11 ; 2007 No.&#160;43 s&#160;33 sch ; 2008 No.&#160;31 s&#160;46 ; 2008 No.&#160;67 ss&#160;41 , 157 , 296 ; 2010 No.&#160;13 s&#160;12 ; 2013 No.&#160;26 s&#160;41 ; 2020 No.&#160;22 s&#160;15 ; 2019 No.&#160;25 s&#160;74\n(sec.18-ssec.1) Each of the following is a ground for amending, suspending or cancelling an approval— the approval was issued because of a document or representation that is— false or misleading; or obtained or made in another improper way; the holder of the approval has contravened a condition of the approval; the holder of the approval, or any relevant person for the holder within the meaning of section&#160;17C (3) , has been convicted of— an offence against— this Act or a corresponding law; or the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ; or for the holder of an approval prescribed under a regulation, or a relevant person for the holder within the meaning of section&#160;17C (3) —a disqualifying offence; for the registration of a motor vehicle with a GVM of more than 4.5t—the vehicle has been used to commit an offence against— this Act or a corresponding law; or the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ; for an approval of an alternative compliance scheme— the scheme is not, or is no longer, an effective way of demonstrating the operator’s vehicles or drivers operating under it in Queensland achieve the relevant purpose prescribed under section&#160;15 (2) ; or for an interstate scheme—the approval under a corresponding law to this chapter is amended, suspended or cancelled; for a permit under section&#160;111 (1) (a) —the holder is no longer a person with a disability within the meaning of that section; for an approval that exempts a person from complying with a provision of this Act— public safety has been endangered, or is likely to be endangered because of the approval; or transport infrastructure within the meaning of the Transport Infrastructure Act 1994 has been damaged, or is likely to be damaged because of the approval; for any approval other than an approval mentioned in paragraph&#160;(g) —public safety has been endangered, or is likely to be endangered, because of the approval; for an approval that is a dangerous goods driver licence—the person to whom the licence is granted no longer satisfies the criteria, however described, under the regulation that provides for the licence; for an approval prescribed under a dangerous goods regulation as an approval for this paragraph— a change in circumstances has happened after the approval was granted; and had the changed circumstances existed when the approval was granted, the approval would not have been granted under the regulation because of the requirements under the regulation applying to the grant; for an approval prescribed under a dangerous goods regulation as an approval for this paragraph—the holder has contravened this Act or a corresponding law and the contravention makes the holder unsuitable to continue to hold the approval; for an approval that is a dangerous goods driver licence—the holder is suffering from a medical condition or has a physical or mental incapacity, that makes the holder unsuitable to continue to hold the licence; for an approval that is a dangerous goods vehicle licence—the vehicle does not comply with this Act; for an approval that is a repeat offender education program exemption— a change in circumstances has happened after the exemption was granted and, had the changed circumstances existed when the exemption was granted, it would not have been granted because of the requirements under section&#160;91H (1) applying to the grant; or the holder of the approval has failed to comply with section&#160;91HD ; for an approval that is an interlock exemption—a change in circumstances has happened after the exemption was granted and, had the changed circumstances existed when the exemption was granted, it would not have been granted because of the requirements under section&#160;91Q (3) applying to the grant; for an approval that is an interlock exemption—the holder of the approval has failed to comply with a restriction applying to the approval; the chief executive considers it necessary in the public interest; any other ground prescribed by regulation.\n(sec.18-ssec.2) In this section— change in circumstances — for a person granted an interlock exemption because of circumstances mentioned in section&#160;91Q (3) (a) —does not include the establishment of a prescribed interlock installer’s place of business near the person’s place of residence; or for a person granted a repeat offender education program exemption because of circumstances mentioned in section&#160;91H (2) (a) —does not include the establishment of a place where a repeat offender education program is provided near the person’s place of residence. dangerous goods driver licence means a licence, as prescribed under a dangerous goods regulation, to drive a dangerous goods vehicle. dangerous goods vehicle licence means a licence, as prescribed under a dangerous goods regulation, of a dangerous goods vehicle. operator see section&#160;15 (1) . repeat offender education program exemption means an exemption from the requirement to complete a repeat offender education program granted under section&#160;91HA .\n- (a) the approval was issued because of a document or representation that is— (i) false or misleading; or (ii) obtained or made in another improper way;\n- (i) false or misleading; or\n- (ii) obtained or made in another improper way;\n- (b) the holder of the approval has contravened a condition of the approval;\n- (c) the holder of the approval, or any relevant person for the holder within the meaning of section&#160;17C (3) , has been convicted of— (i) an offence against— (A) this Act or a corresponding law; or (B) the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ; or (ii) for the holder of an approval prescribed under a regulation, or a relevant person for the holder within the meaning of section&#160;17C (3) —a disqualifying offence;\n- (i) an offence against— (A) this Act or a corresponding law; or (B) the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ; or\n- (A) this Act or a corresponding law; or\n- (B) the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ; or\n- (ii) for the holder of an approval prescribed under a regulation, or a relevant person for the holder within the meaning of section&#160;17C (3) —a disqualifying offence;\n- (d) for the registration of a motor vehicle with a GVM of more than 4.5t—the vehicle has been used to commit an offence against— (i) this Act or a corresponding law; or (ii) the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ;\n- (i) this Act or a corresponding law; or\n- (ii) the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ;\n- (e) for an approval of an alternative compliance scheme— (i) the scheme is not, or is no longer, an effective way of demonstrating the operator’s vehicles or drivers operating under it in Queensland achieve the relevant purpose prescribed under section&#160;15 (2) ; or (ii) for an interstate scheme—the approval under a corresponding law to this chapter is amended, suspended or cancelled;\n- (i) the scheme is not, or is no longer, an effective way of demonstrating the operator’s vehicles or drivers operating under it in Queensland achieve the relevant purpose prescribed under section&#160;15 (2) ; or\n- (ii) for an interstate scheme—the approval under a corresponding law to this chapter is amended, suspended or cancelled;\n- (f) for a permit under section&#160;111 (1) (a) —the holder is no longer a person with a disability within the meaning of that section;\n- (g) for an approval that exempts a person from complying with a provision of this Act— (i) public safety has been endangered, or is likely to be endangered because of the approval; or (ii) transport infrastructure within the meaning of the Transport Infrastructure Act 1994 has been damaged, or is likely to be damaged because of the approval;\n- (i) public safety has been endangered, or is likely to be endangered because of the approval; or\n- (ii) transport infrastructure within the meaning of the Transport Infrastructure Act 1994 has been damaged, or is likely to be damaged because of the approval;\n- (h) for any approval other than an approval mentioned in paragraph&#160;(g) —public safety has been endangered, or is likely to be endangered, because of the approval;\n- (i) for an approval that is a dangerous goods driver licence—the person to whom the licence is granted no longer satisfies the criteria, however described, under the regulation that provides for the licence;\n- (k) for an approval prescribed under a dangerous goods regulation as an approval for this paragraph— (i) a change in circumstances has happened after the approval was granted; and (ii) had the changed circumstances existed when the approval was granted, the approval would not have been granted under the regulation because of the requirements under the regulation applying to the grant;\n- (i) a change in circumstances has happened after the approval was granted; and\n- (ii) had the changed circumstances existed when the approval was granted, the approval would not have been granted under the regulation because of the requirements under the regulation applying to the grant;\n- (l) for an approval prescribed under a dangerous goods regulation as an approval for this paragraph—the holder has contravened this Act or a corresponding law and the contravention makes the holder unsuitable to continue to hold the approval;\n- (m) for an approval that is a dangerous goods driver licence—the holder is suffering from a medical condition or has a physical or mental incapacity, that makes the holder unsuitable to continue to hold the licence;\n- (n) for an approval that is a dangerous goods vehicle licence—the vehicle does not comply with this Act;\n- (o) for an approval that is a repeat offender education program exemption— (i) a change in circumstances has happened after the exemption was granted and, had the changed circumstances existed when the exemption was granted, it would not have been granted because of the requirements under section&#160;91H (1) applying to the grant; or (ii) the holder of the approval has failed to comply with section&#160;91HD ;\n- (i) a change in circumstances has happened after the exemption was granted and, had the changed circumstances existed when the exemption was granted, it would not have been granted because of the requirements under section&#160;91H (1) applying to the grant; or\n- (ii) the holder of the approval has failed to comply with section&#160;91HD ;\n- (p) for an approval that is an interlock exemption—a change in circumstances has happened after the exemption was granted and, had the changed circumstances existed when the exemption was granted, it would not have been granted because of the requirements under section&#160;91Q (3) applying to the grant;\n- (q) for an approval that is an interlock exemption—the holder of the approval has failed to comply with a restriction applying to the approval;\n- (r) the chief executive considers it necessary in the public interest;\n- (s) any other ground prescribed by regulation.\n- (i) false or misleading; or\n- (ii) obtained or made in another improper way;\n- (i) an offence against— (A) this Act or a corresponding law; or (B) the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ; or\n- (A) this Act or a corresponding law; or\n- (B) the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ; or\n- (ii) for the holder of an approval prescribed under a regulation, or a relevant person for the holder within the meaning of section&#160;17C (3) —a disqualifying offence;\n- (A) this Act or a corresponding law; or\n- (B) the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ; or\n- (i) this Act or a corresponding law; or\n- (ii) the Heavy Vehicle National Law or a law of another State that corresponds to a provision of the Heavy Vehicle National Law ;\n- (i) the scheme is not, or is no longer, an effective way of demonstrating the operator’s vehicles or drivers operating under it in Queensland achieve the relevant purpose prescribed under section&#160;15 (2) ; or\n- (ii) for an interstate scheme—the approval under a corresponding law to this chapter is amended, suspended or cancelled;\n- (i) public safety has been endangered, or is likely to be endangered because of the approval; or\n- (ii) transport infrastructure within the meaning of the Transport Infrastructure Act 1994 has been damaged, or is likely to be damaged because of the approval;\n- (i) a change in circumstances has happened after the approval was granted; and\n- (ii) had the changed circumstances existed when the approval was granted, the approval would not have been granted under the regulation because of the requirements under the regulation applying to the grant;\n- (i) a change in circumstances has happened after the exemption was granted and, had the changed circumstances existed when the exemption was granted, it would not have been granted because of the requirements under section&#160;91H (1) applying to the grant; or\n- (ii) the holder of the approval has failed to comply with section&#160;91HD ;\n- (a) for a person granted an interlock exemption because of circumstances mentioned in section&#160;91Q (3) (a) —does not include the establishment of a prescribed interlock installer’s place of business near the person’s place of residence; or\n- (b) for a person granted a repeat offender education program exemption because of circumstances mentioned in section&#160;91H (2) (a) —does not include the establishment of a place where a repeat offender education program is provided near the person’s place of residence.","sortOrder":22},{"sectionNumber":"sec.19","sectionType":"section","heading":"Procedure for amending, suspending or cancelling approvals","content":"### sec.19 Procedure for amending, suspending or cancelling approvals\n\nIf the chief executive considers a ground exists to amend, suspend or cancel an approval, (the proposed action ), the chief executive must give the holder written notice—\nstating the proposed action; and\nstating the ground for the proposed action; and\noutlining the facts and circumstances forming the basis for the ground; and\nif the proposed action is to amend the approval (including a condition of the approval)—stating the proposed amendment; and\nif the proposed action is to suspend the approval—stating the proposed suspension period; and\ninviting the holder to show (within a stated time of at least 28 days) why the proposed action should not be taken.\nIf, after considering all written representations made within the stated time, the chief executive still considers a ground exists to take the proposed action, the chief executive may—\nif the proposed action was to amend the approval—amend the approval; or\nif the proposed action was to suspend the approval—suspend the approval for no longer than the period stated in the notice; or\nif the proposed action was to cancel the approval—\namend the approval; or\nsuspend the approval for a period, including on the condition that—\nif the grounds for taking action under this section are capable of being remedied by the holder, the holder remedy the grounds to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and\nif the holder fails to remedy the grounds in accordance with subparagraph (A), the chief executive may cancel the approval under section&#160;19A ; or\ncancel the approval.\nThe chief executive must give the holder a written notice about the decision ( subsection&#160;(3) notice ).\nThe decision takes effect on the later of the following—\nthe day the subsection&#160;(3) notice is given to the holder;\nthe day stated in the subsection&#160;(3) notice.\nHowever, despite subsection&#160;(1) , if the chief executive considers it necessary in the public interest, the chief executive may, by written notice ( immediate suspension notice ) given to the holder, immediately suspend the approval until the earliest of the following—\nthe chief executive, after complying with subsections&#160;(1) and (2) , gives the holder a subsection&#160;(3) notice;\nthe end of 56 days after the day the immediate suspension notice is given to the holder.\nA subsection&#160;(3) notice, or an immediate suspension notice, must state—\nthe reasons for the decision for which the notice is given; and\nthe prescribed review information for the decision.\nIf a subsection&#160;(3) notice is given about a decision to suspend an approval on the condition mentioned in subsection&#160;(2) (c) (ii) , the subsection&#160;(3) notice must also state that the approval may be cancelled under section&#160;19A if the holder fails to comply with the condition.\nSubsections&#160;(1) to (7) do not apply—\nif the chief executive proposes to amend the approval only—\nfor a formal or clerical reason; or\nin another way that does not adversely affect the holder’s interests; or\nif the holder asks the chief executive to amend or cancel the approval and the chief executive proposes to give effect to the request.\nThe chief executive may amend or cancel an approval under subsection&#160;(8) by written notice given to the holder.\ns&#160;19 amd 1997 No.&#160;66 s&#160;112 ; 2004 No.&#160;9 s&#160;59 ; 2005 No.&#160;49 s&#160;59 ; 2008 No.&#160;67 s&#160;42 ; 2009 No.&#160;24 s&#160;1779\n(sec.19-ssec.1) If the chief executive considers a ground exists to amend, suspend or cancel an approval, (the proposed action ), the chief executive must give the holder written notice— stating the proposed action; and stating the ground for the proposed action; and outlining the facts and circumstances forming the basis for the ground; and if the proposed action is to amend the approval (including a condition of the approval)—stating the proposed amendment; and if the proposed action is to suspend the approval—stating the proposed suspension period; and inviting the holder to show (within a stated time of at least 28 days) why the proposed action should not be taken.\n(sec.19-ssec.2) If, after considering all written representations made within the stated time, the chief executive still considers a ground exists to take the proposed action, the chief executive may— if the proposed action was to amend the approval—amend the approval; or if the proposed action was to suspend the approval—suspend the approval for no longer than the period stated in the notice; or if the proposed action was to cancel the approval— amend the approval; or suspend the approval for a period, including on the condition that— if the grounds for taking action under this section are capable of being remedied by the holder, the holder remedy the grounds to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and if the holder fails to remedy the grounds in accordance with subparagraph (A), the chief executive may cancel the approval under section&#160;19A ; or cancel the approval.\n(sec.19-ssec.3) The chief executive must give the holder a written notice about the decision ( subsection&#160;(3) notice ).\n(sec.19-ssec.4) The decision takes effect on the later of the following— the day the subsection&#160;(3) notice is given to the holder; the day stated in the subsection&#160;(3) notice.\n(sec.19-ssec.5) However, despite subsection&#160;(1) , if the chief executive considers it necessary in the public interest, the chief executive may, by written notice ( immediate suspension notice ) given to the holder, immediately suspend the approval until the earliest of the following— the chief executive, after complying with subsections&#160;(1) and (2) , gives the holder a subsection&#160;(3) notice; the end of 56 days after the day the immediate suspension notice is given to the holder.\n(sec.19-ssec.6) A subsection&#160;(3) notice, or an immediate suspension notice, must state— the reasons for the decision for which the notice is given; and the prescribed review information for the decision.\n(sec.19-ssec.7) If a subsection&#160;(3) notice is given about a decision to suspend an approval on the condition mentioned in subsection&#160;(2) (c) (ii) , the subsection&#160;(3) notice must also state that the approval may be cancelled under section&#160;19A if the holder fails to comply with the condition.\n(sec.19-ssec.8) Subsections&#160;(1) to (7) do not apply— if the chief executive proposes to amend the approval only— for a formal or clerical reason; or in another way that does not adversely affect the holder’s interests; or if the holder asks the chief executive to amend or cancel the approval and the chief executive proposes to give effect to the request.\n(sec.19-ssec.9) The chief executive may amend or cancel an approval under subsection&#160;(8) by written notice given to the holder.\n- (a) stating the proposed action; and\n- (b) stating the ground for the proposed action; and\n- (c) outlining the facts and circumstances forming the basis for the ground; and\n- (d) if the proposed action is to amend the approval (including a condition of the approval)—stating the proposed amendment; and\n- (e) if the proposed action is to suspend the approval—stating the proposed suspension period; and\n- (f) inviting the holder to show (within a stated time of at least 28 days) why the proposed action should not be taken.\n- (a) if the proposed action was to amend the approval—amend the approval; or\n- (b) if the proposed action was to suspend the approval—suspend the approval for no longer than the period stated in the notice; or\n- (c) if the proposed action was to cancel the approval— (i) amend the approval; or (ii) suspend the approval for a period, including on the condition that— (A) if the grounds for taking action under this section are capable of being remedied by the holder, the holder remedy the grounds to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and (B) if the holder fails to remedy the grounds in accordance with subparagraph (A), the chief executive may cancel the approval under section&#160;19A ; or (iii) cancel the approval.\n- (i) amend the approval; or\n- (ii) suspend the approval for a period, including on the condition that— (A) if the grounds for taking action under this section are capable of being remedied by the holder, the holder remedy the grounds to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and (B) if the holder fails to remedy the grounds in accordance with subparagraph (A), the chief executive may cancel the approval under section&#160;19A ; or\n- (A) if the grounds for taking action under this section are capable of being remedied by the holder, the holder remedy the grounds to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and\n- (B) if the holder fails to remedy the grounds in accordance with subparagraph (A), the chief executive may cancel the approval under section&#160;19A ; or\n- (iii) cancel the approval.\n- (i) amend the approval; or\n- (ii) suspend the approval for a period, including on the condition that— (A) if the grounds for taking action under this section are capable of being remedied by the holder, the holder remedy the grounds to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and (B) if the holder fails to remedy the grounds in accordance with subparagraph (A), the chief executive may cancel the approval under section&#160;19A ; or\n- (A) if the grounds for taking action under this section are capable of being remedied by the holder, the holder remedy the grounds to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and\n- (B) if the holder fails to remedy the grounds in accordance with subparagraph (A), the chief executive may cancel the approval under section&#160;19A ; or\n- (iii) cancel the approval.\n- (A) if the grounds for taking action under this section are capable of being remedied by the holder, the holder remedy the grounds to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and\n- (B) if the holder fails to remedy the grounds in accordance with subparagraph (A), the chief executive may cancel the approval under section&#160;19A ; or\n- (a) the day the subsection&#160;(3) notice is given to the holder;\n- (b) the day stated in the subsection&#160;(3) notice.\n- (a) the chief executive, after complying with subsections&#160;(1) and (2) , gives the holder a subsection&#160;(3) notice;\n- (b) the end of 56 days after the day the immediate suspension notice is given to the holder.\n- (a) the reasons for the decision for which the notice is given; and\n- (b) the prescribed review information for the decision.\n- (a) if the chief executive proposes to amend the approval only— (i) for a formal or clerical reason; or (ii) in another way that does not adversely affect the holder’s interests; or\n- (i) for a formal or clerical reason; or\n- (ii) in another way that does not adversely affect the holder’s interests; or\n- (b) if the holder asks the chief executive to amend or cancel the approval and the chief executive proposes to give effect to the request.\n- (i) for a formal or clerical reason; or\n- (ii) in another way that does not adversely affect the holder’s interests; or","sortOrder":23},{"sectionNumber":"sec.19A","sectionType":"section","heading":"Cancelling suspended approval for failing to take remedial action","content":"### sec.19A Cancelling suspended approval for failing to take remedial action\n\nThis section applies if the chief executive—\nsuspends an approval on the condition mentioned in section&#160;19 (2) (c) (ii) ; and\nreasonably believes the holder has failed to comply with the condition.\nThe chief executive may by written notice given to the holder cancel the approval.\nThe notice must state—\nthe reasons for the decision to cancel the approval; and\nthe prescribed review information for the decision.\nThe cancellation takes effect on the later of the following—\nthe day the notice is given to the holder;\nthe day stated in the notice.\ns&#160;19A ins 2004 No.&#160;9 s&#160;60\namd 2009 No.&#160;24 s&#160;1780\n(sec.19A-ssec.1) This section applies if the chief executive— suspends an approval on the condition mentioned in section&#160;19 (2) (c) (ii) ; and reasonably believes the holder has failed to comply with the condition.\n(sec.19A-ssec.2) The chief executive may by written notice given to the holder cancel the approval.\n(sec.19A-ssec.3) The notice must state— the reasons for the decision to cancel the approval; and the prescribed review information for the decision.\n(sec.19A-ssec.4) The cancellation takes effect on the later of the following— the day the notice is given to the holder; the day stated in the notice.\n- (a) suspends an approval on the condition mentioned in section&#160;19 (2) (c) (ii) ; and\n- (b) reasonably believes the holder has failed to comply with the condition.\n- (a) the reasons for the decision to cancel the approval; and\n- (b) the prescribed review information for the decision.\n- (a) the day the notice is given to the holder;\n- (b) the day stated in the notice.","sortOrder":24},{"sectionNumber":"sec.19B","sectionType":"section","heading":null,"content":"### Section sec.19B\n\ns&#160;19B ins 2008 No.&#160;67 s&#160;158\nom 2013 No.&#160;26 s&#160;42","sortOrder":25},{"sectionNumber":"sec.19C","sectionType":"section","heading":"Automatic suspension of particular licences under dangerous goods regulation","content":"### sec.19C Automatic suspension of particular licences under dangerous goods regulation\n\nIf the driver licence of the holder of a dangerous goods driver licence is no longer in force under this Act or a corresponding law, the dangerous goods driver licence is suspended.\nIf a dangerous goods vehicle is no longer registered under this Act or a corresponding law, the dangerous goods vehicle licence is suspended.\nSection&#160;19 does not apply to a suspension under this section.\nIn this section—\ndangerous goods driver licence means a licence, as prescribed under a dangerous goods regulation, to drive a dangerous goods vehicle.\ndangerous goods vehicle licence means a licence, as prescribed under a dangerous goods regulation, of a dangerous goods vehicle.\ndriver licence does not include a dangerous goods driver licence.\ns&#160;19C ins 2008 No.&#160;67 s&#160;43\n(sec.19C-ssec.1) If the driver licence of the holder of a dangerous goods driver licence is no longer in force under this Act or a corresponding law, the dangerous goods driver licence is suspended.\n(sec.19C-ssec.2) If a dangerous goods vehicle is no longer registered under this Act or a corresponding law, the dangerous goods vehicle licence is suspended.\n(sec.19C-ssec.3) Section&#160;19 does not apply to a suspension under this section.\n(sec.19C-ssec.4) In this section— dangerous goods driver licence means a licence, as prescribed under a dangerous goods regulation, to drive a dangerous goods vehicle. dangerous goods vehicle licence means a licence, as prescribed under a dangerous goods regulation, of a dangerous goods vehicle. driver licence does not include a dangerous goods driver licence.","sortOrder":26},{"sectionNumber":"ch.3-pt.1B","sectionType":"part","heading":"Cancelling vehicle registration for offensive advertisements","content":"# Cancelling vehicle registration for offensive advertisements","sortOrder":27},{"sectionNumber":"ch.3-pt.1B-div.1","sectionType":"division","heading":"Preliminary","content":"## Preliminary","sortOrder":28},{"sectionNumber":"sec.19D","sectionType":"section","heading":"Definitions for part","content":"### sec.19D Definitions for part\n\nIn this part—\nadvertising code means—\nthe document called the ‘AANA Code of Ethics’ published by the Australian Association of National Advertisers ACN&#160;003&#160;179&#160;673, as in force from time to time; or\nanother document that—\nstates a code of ethics, or sets standards, for advertising; and\nis prescribed by regulation to be an advertising code.\nadvertising code breach notice see section&#160;19E (1) (b) .\nAdvertising Standards Bureau ...\ns&#160;19D def Advertising Standards Bureau om 2024 No.&#160;2 s&#160;47 (1)\nadvertising standards entity means the entity, prescribed by regulation, that manages the process for resolving complaints about advertising as part of the self-regulation of advertising.\ns&#160;19D def advertising standards entity ins 2024 No.&#160;2 s&#160;47 (2)\nboard ...\ns&#160;19D def board om 2024 No.&#160;2 s&#160;47 (1)\nregistration cancellation notice see section&#160;19F (1) .\ns&#160;19D ins 2017 No.&#160;1 s&#160;4\n- (a) the document called the ‘AANA Code of Ethics’ published by the Australian Association of National Advertisers ACN&#160;003&#160;179&#160;673, as in force from time to time; or\n- (b) another document that— (i) states a code of ethics, or sets standards, for advertising; and (ii) is prescribed by regulation to be an advertising code.\n- (i) states a code of ethics, or sets standards, for advertising; and\n- (ii) is prescribed by regulation to be an advertising code.\n- (i) states a code of ethics, or sets standards, for advertising; and\n- (ii) is prescribed by regulation to be an advertising code.","sortOrder":29},{"sectionNumber":"ch.3-pt.1B-div.2","sectionType":"division","heading":"Cancelling vehicle registration","content":"## Cancelling vehicle registration","sortOrder":30},{"sectionNumber":"sec.19E","sectionType":"section","heading":"Application of division","content":"### sec.19E Application of division\n\nThis division applies if—\nthe community panel determines that an advertisement on a registered vehicle breaches the advertising code; and\nthe advertising standards entity gives the chief executive a written notice (an advertising code breach notice ) stating—\nthe details of the determination; and\nthat the determination is final.\nFor subsection&#160;(1) (b) (ii) , the determination is final if the period for asking for a review of the determination has ended and—\nany of the following applies to each request for a review of the determination—\nthe request was not accepted because it did not meet the grounds on which a determination may be reviewed;\nthe determination was confirmed;\nthe review resulted in a determination that an advertisement on the vehicle breaches the advertising code; or\nno request for a review of the determination was made.\nIn subsection&#160;(1) (a) , a reference to a determination by the community panel includes a reference to a determination made by another entity as a result of a review of a determination of the community panel.\nIn this section—\ncommunity panel means the entity, prescribed by regulation, that—\nis appointed by the Advertising Standards entity; and\nhas the function of considering complaints about advertising made by members of the public to determine whether the advertising breaches the advertising code.\ns&#160;19E ins 2017 No.&#160;1 s&#160;4\namd 2024 No.&#160;2 s&#160;48\n(sec.19E-ssec.1) This division applies if— the community panel determines that an advertisement on a registered vehicle breaches the advertising code; and the advertising standards entity gives the chief executive a written notice (an advertising code breach notice ) stating— the details of the determination; and that the determination is final.\n(sec.19E-ssec.2) For subsection&#160;(1) (b) (ii) , the determination is final if the period for asking for a review of the determination has ended and— any of the following applies to each request for a review of the determination— the request was not accepted because it did not meet the grounds on which a determination may be reviewed; the determination was confirmed; the review resulted in a determination that an advertisement on the vehicle breaches the advertising code; or no request for a review of the determination was made.\n(sec.19E-ssec.3) In subsection&#160;(1) (a) , a reference to a determination by the community panel includes a reference to a determination made by another entity as a result of a review of a determination of the community panel.\n(sec.19E-ssec.4) In this section— community panel means the entity, prescribed by regulation, that— is appointed by the Advertising Standards entity; and has the function of considering complaints about advertising made by members of the public to determine whether the advertising breaches the advertising code.\n- (a) the community panel determines that an advertisement on a registered vehicle breaches the advertising code; and\n- (b) the advertising standards entity gives the chief executive a written notice (an advertising code breach notice ) stating— (i) the details of the determination; and (ii) that the determination is final.\n- (i) the details of the determination; and\n- (ii) that the determination is final.\n- (i) the details of the determination; and\n- (ii) that the determination is final.\n- (a) any of the following applies to each request for a review of the determination— (i) the request was not accepted because it did not meet the grounds on which a determination may be reviewed; (ii) the determination was confirmed; (iii) the review resulted in a determination that an advertisement on the vehicle breaches the advertising code; or\n- (i) the request was not accepted because it did not meet the grounds on which a determination may be reviewed;\n- (ii) the determination was confirmed;\n- (iii) the review resulted in a determination that an advertisement on the vehicle breaches the advertising code; or\n- (b) no request for a review of the determination was made.\n- (i) the request was not accepted because it did not meet the grounds on which a determination may be reviewed;\n- (ii) the determination was confirmed;\n- (iii) the review resulted in a determination that an advertisement on the vehicle breaches the advertising code; or\n- (a) is appointed by the Advertising Standards entity; and\n- (b) has the function of considering complaints about advertising made by members of the public to determine whether the advertising breaches the advertising code.","sortOrder":31},{"sectionNumber":"sec.19F","sectionType":"section","heading":"Registration cancellation notice","content":"### sec.19F Registration cancellation notice\n\nThe chief executive may give the registered operator of the vehicle a written notice (a registration cancellation notice ) stating that—\nthe advertising standards entity has given an advertising code breach notice for the vehicle to the chief executive; and\nthe vehicle’s registration will be cancelled on a stated day unless the advertising standards entity withdraws its advertising code breach notice before that day.\nThe day stated in the registration cancellation notice must be at least 14 days after the notice is given to the registered operator.\nThe chief executive may, by written notice given to the registered operator, state a later day on which the vehicle’s registration will be cancelled.\ns&#160;19F ins 2017 No.&#160;1 s&#160;4\namd 2024 No.&#160;2 s&#160;49\n(sec.19F-ssec.1) The chief executive may give the registered operator of the vehicle a written notice (a registration cancellation notice ) stating that— the advertising standards entity has given an advertising code breach notice for the vehicle to the chief executive; and the vehicle’s registration will be cancelled on a stated day unless the advertising standards entity withdraws its advertising code breach notice before that day.\n(sec.19F-ssec.2) The day stated in the registration cancellation notice must be at least 14 days after the notice is given to the registered operator.\n(sec.19F-ssec.3) The chief executive may, by written notice given to the registered operator, state a later day on which the vehicle’s registration will be cancelled.\n- (a) the advertising standards entity has given an advertising code breach notice for the vehicle to the chief executive; and\n- (b) the vehicle’s registration will be cancelled on a stated day unless the advertising standards entity withdraws its advertising code breach notice before that day.","sortOrder":32},{"sectionNumber":"sec.19G","sectionType":"section","heading":"Advertising standards entity withdraws advertising code breach notice","content":"### sec.19G Advertising standards entity withdraws advertising code breach notice\n\nThis section applies if—\nthe chief executive gives a registration cancellation notice to the registered operator of the vehicle; and\nthe advertising standards entity gives a written notice to the chief executive, before the chief executive cancels the vehicle’s registration under section&#160;19H , withdrawing its advertising code breach notice.\nThe chief executive must—\ntake no further action under this division to cancel the registration of the vehicle; and\ngive a written notice to the registered operator of the vehicle stating that—\nthe advertising code breach notice has been withdrawn; and\nno further action will be taken to cancel the registration of the vehicle.\ns&#160;19G ins 2017 No.&#160;1 s&#160;4\namd 2024 No.&#160;2 s&#160;50\n(sec.19G-ssec.1) This section applies if— the chief executive gives a registration cancellation notice to the registered operator of the vehicle; and the advertising standards entity gives a written notice to the chief executive, before the chief executive cancels the vehicle’s registration under section&#160;19H , withdrawing its advertising code breach notice.\n(sec.19G-ssec.2) The chief executive must— take no further action under this division to cancel the registration of the vehicle; and give a written notice to the registered operator of the vehicle stating that— the advertising code breach notice has been withdrawn; and no further action will be taken to cancel the registration of the vehicle.\n- (a) the chief executive gives a registration cancellation notice to the registered operator of the vehicle; and\n- (b) the advertising standards entity gives a written notice to the chief executive, before the chief executive cancels the vehicle’s registration under section&#160;19H , withdrawing its advertising code breach notice.\n- (a) take no further action under this division to cancel the registration of the vehicle; and\n- (b) give a written notice to the registered operator of the vehicle stating that— (i) the advertising code breach notice has been withdrawn; and (ii) no further action will be taken to cancel the registration of the vehicle.\n- (i) the advertising code breach notice has been withdrawn; and\n- (ii) no further action will be taken to cancel the registration of the vehicle.\n- (i) the advertising code breach notice has been withdrawn; and\n- (ii) no further action will be taken to cancel the registration of the vehicle.","sortOrder":33},{"sectionNumber":"sec.19H","sectionType":"section","heading":"Cancellation of registration","content":"### sec.19H Cancellation of registration\n\nThe chief executive may cancel the vehicle’s registration, on or after the cancellation day, if the advertising standards entity has not given the chief executive a written notice withdrawing the advertising code breach notice for the vehicle.\nThe chief executive must give the registered operator of the vehicle written notice of the cancellation.\nIf the chief executive decides not to cancel the vehicle’s registration, the chief executive must give written notice that no further action will be taken to cancel the registration of the vehicle to the registered operator.\nIn this section—\ncancellation day means the day stated in a registration cancellation notice given under section&#160;19F (1) , or a later day stated in a notice given under section&#160;19F (3) , as the day on which the vehicle’s registration will be cancelled.\ns&#160;19H ins 2017 No.&#160;1 s&#160;4\namd 2024 No.&#160;2 s&#160;51\n(sec.19H-ssec.1) The chief executive may cancel the vehicle’s registration, on or after the cancellation day, if the advertising standards entity has not given the chief executive a written notice withdrawing the advertising code breach notice for the vehicle.\n(sec.19H-ssec.2) The chief executive must give the registered operator of the vehicle written notice of the cancellation.\n(sec.19H-ssec.3) If the chief executive decides not to cancel the vehicle’s registration, the chief executive must give written notice that no further action will be taken to cancel the registration of the vehicle to the registered operator.\n(sec.19H-ssec.4) In this section— cancellation day means the day stated in a registration cancellation notice given under section&#160;19F (1) , or a later day stated in a notice given under section&#160;19F (3) , as the day on which the vehicle’s registration will be cancelled.","sortOrder":34},{"sectionNumber":"sec.19I","sectionType":"section","heading":"Requirement to return number plates","content":"### sec.19I Requirement to return number plates\n\nThe notice of the cancellation of the vehicle’s registration under section&#160;19H (2) must require the registered operator to return to the chief executive the number plates issued for the vehicle, within 14 days after the notice is given.\nThe registered operator must comply with the requirement under subsection&#160;(1) .\nMaximum penalty—20 penalty units.\nHowever, if a number plate has been lost, stolen or destroyed, the registered operator does not contravene subsection&#160;(2) if the registered operator, by written notice, gives details of the loss, theft or destruction to the chief executive within the period mentioned in subsection&#160;(1) .\ns&#160;19I ins 2017 No.&#160;1 s&#160;4\namd 2019 No.&#160;25 s&#160;34\n(sec.19I-ssec.1) The notice of the cancellation of the vehicle’s registration under section&#160;19H (2) must require the registered operator to return to the chief executive the number plates issued for the vehicle, within 14 days after the notice is given.\n(sec.19I-ssec.2) The registered operator must comply with the requirement under subsection&#160;(1) . Maximum penalty—20 penalty units.\n(sec.19I-ssec.3) However, if a number plate has been lost, stolen or destroyed, the registered operator does not contravene subsection&#160;(2) if the registered operator, by written notice, gives details of the loss, theft or destruction to the chief executive within the period mentioned in subsection&#160;(1) .","sortOrder":35},{"sectionNumber":"ch.3-pt.1B-div.3","sectionType":"division","heading":"Matters after vehicle registration is cancelled","content":"## Matters after vehicle registration is cancelled","sortOrder":36},{"sectionNumber":"sec.19J","sectionType":"section","heading":"Application of division","content":"### sec.19J Application of division\n\nThis division applies if—\nthe chief executive—\ngives a registration cancellation notice for a vehicle to the registered operator; and\ndoes not give the registered operator a notice that no further action will be taken to cancel the vehicle’s registration under section&#160;19G (2) (b) or 19H (3) ; and\nafter the registration cancellation notice is given, the registration of the vehicle is cancelled, whether under section&#160;19H or otherwise.\ns&#160;19J ins 2017 No.&#160;1 s&#160;4\n- (a) the chief executive— (i) gives a registration cancellation notice for a vehicle to the registered operator; and (ii) does not give the registered operator a notice that no further action will be taken to cancel the vehicle’s registration under section&#160;19G (2) (b) or 19H (3) ; and\n- (i) gives a registration cancellation notice for a vehicle to the registered operator; and\n- (ii) does not give the registered operator a notice that no further action will be taken to cancel the vehicle’s registration under section&#160;19G (2) (b) or 19H (3) ; and\n- (b) after the registration cancellation notice is given, the registration of the vehicle is cancelled, whether under section&#160;19H or otherwise.\n- (i) gives a registration cancellation notice for a vehicle to the registered operator; and\n- (ii) does not give the registered operator a notice that no further action will be taken to cancel the vehicle’s registration under section&#160;19G (2) (b) or 19H (3) ; and","sortOrder":37},{"sectionNumber":"sec.19K","sectionType":"section","heading":"No refund of registration fee","content":"### sec.19K No refund of registration fee\n\nThe registered operator of the vehicle is not entitled to a refund of the registration fee, or part of the fee, paid for the vehicle because of the cancellation.\ns&#160;19K ins 2017 No.&#160;1 s&#160;4","sortOrder":38},{"sectionNumber":"sec.19L","sectionType":"section","heading":"Applying for registration after registration cancelled","content":"### sec.19L Applying for registration after registration cancelled\n\nAn application made under a regulation for the registration of the vehicle must be accompanied by a statutory declaration by the applicant stating that the advertisement the subject of the registration cancellation notice has been removed from the vehicle.\nThe chief executive must refuse to accept the application for registration unless it is accompanied by the statutory declaration.\ns&#160;19L ins 2017 No.&#160;1 s&#160;4\n(sec.19L-ssec.1) An application made under a regulation for the registration of the vehicle must be accompanied by a statutory declaration by the applicant stating that the advertisement the subject of the registration cancellation notice has been removed from the vehicle.\n(sec.19L-ssec.2) The chief executive must refuse to accept the application for registration unless it is accompanied by the statutory declaration.","sortOrder":39},{"sectionNumber":"ch.3-pt.1B-div.4","sectionType":"division","heading":"General","content":"## General","sortOrder":40},{"sectionNumber":"sec.19M","sectionType":"section","heading":"No transfer of registration","content":"### sec.19M No transfer of registration\n\nThe chief executive must not record a transfer of the registration of a vehicle if—\na registration cancellation notice for the vehicle has been given to the registered operator; and\nthe chief executive has not given the registered operator a notice that no further action will be taken to cancel the vehicle’s registration under section&#160;19G (2) (b) or 19H (3) .\ns&#160;19M ins 2017 No.&#160;1 s&#160;4\n- (a) a registration cancellation notice for the vehicle has been given to the registered operator; and\n- (b) the chief executive has not given the registered operator a notice that no further action will be taken to cancel the vehicle’s registration under section&#160;19G (2) (b) or 19H (3) .","sortOrder":41},{"sectionNumber":"sec.19N","sectionType":"section","heading":"Limitation of review","content":"### sec.19N Limitation of review\n\nThis section applies to each of the following decisions of the chief executive—\na decision to give a registration cancellation notice under section&#160;19F (1) ;\na decision to cancel, or not to cancel, the registration of a vehicle under section&#160;19H .\nThe Judicial Review Act 1991 , part&#160;4 does not apply to the decision.\nSubject to subsection&#160;(4) , the decision—\nis final and conclusive; and\ncan not be challenged, appealed against, reviewed, quashed, set aside or called in question in any other way, under the Judicial Review Act 1991 or otherwise (whether by the Supreme Court, another court, a tribunal or another entity); and\nis not subject to any declaratory, injunctive or other order of the Supreme Court, another court, a tribunal or another entity on any ground.\nThe Judicial Review Act 1991 , part&#160;5 applies to the decision to the extent the decision is affected by jurisdictional error.\nIn this section—\ndecision includes a decision or conduct leading up to or forming part of the process of making a decision.\ns&#160;19N ins 2017 No.&#160;1 s&#160;4\n(sec.19N-ssec.1) This section applies to each of the following decisions of the chief executive— a decision to give a registration cancellation notice under section&#160;19F (1) ; a decision to cancel, or not to cancel, the registration of a vehicle under section&#160;19H .\n(sec.19N-ssec.2) The Judicial Review Act 1991 , part&#160;4 does not apply to the decision.\n(sec.19N-ssec.3) Subject to subsection&#160;(4) , the decision— is final and conclusive; and can not be challenged, appealed against, reviewed, quashed, set aside or called in question in any other way, under the Judicial Review Act 1991 or otherwise (whether by the Supreme Court, another court, a tribunal or another entity); and is not subject to any declaratory, injunctive or other order of the Supreme Court, another court, a tribunal or another entity on any ground.\n(sec.19N-ssec.4) The Judicial Review Act 1991 , part&#160;5 applies to the decision to the extent the decision is affected by jurisdictional error.\n(sec.19N-ssec.5) In this section— decision includes a decision or conduct leading up to or forming part of the process of making a decision.\n- (a) a decision to give a registration cancellation notice under section&#160;19F (1) ;\n- (b) a decision to cancel, or not to cancel, the registration of a vehicle under section&#160;19H .\n- (a) is final and conclusive; and\n- (b) can not be challenged, appealed against, reviewed, quashed, set aside or called in question in any other way, under the Judicial Review Act 1991 or otherwise (whether by the Supreme Court, another court, a tribunal or another entity); and\n- (c) is not subject to any declaratory, injunctive or other order of the Supreme Court, another court, a tribunal or another entity on any ground.","sortOrder":42},{"sectionNumber":"sec.19O","sectionType":"section","heading":"Notices given by electronic communication","content":"### sec.19O Notices given by electronic communication\n\nThe chief executive may give a notice to the registered operator of a vehicle under this part by electronic communication to an electronic address of the registered operator if the operator—\ngave the address to the chief executive for the purpose of communicating with the registered operator (whether or not it was given for use under this part); and\nhas not asked the chief executive (orally or in writing) to discontinue use of the address.\nan email address or mobile phone number\ns&#160;19O ins 2017 No.&#160;1 s&#160;4\n- (a) gave the address to the chief executive for the purpose of communicating with the registered operator (whether or not it was given for use under this part); and\n- (b) has not asked the chief executive (orally or in writing) to discontinue use of the address.","sortOrder":43},{"sectionNumber":"ch.3-pt.2","sectionType":"part","heading":"Authorised officers and accredited persons","content":"# Authorised officers and accredited persons","sortOrder":44},{"sectionNumber":"sec.20","sectionType":"section","heading":"Appointment of authorised officers","content":"### sec.20 Appointment of authorised officers\n\nEvery police officer is an authorised officer.\nThe chief executive may appoint any of the following persons to be an authorised officer—\nofficers and employees of the public service;\nan employee of the National Heavy Vehicle Regulator;\nother persons prescribed under a regulation.\nThe chief executive may appoint a person as an authorised officer only if satisfied the person has the necessary expertise to be an authorised officer.\nA provision of part&#160;3 that corresponds to a provision of the Police Powers and Responsibilities Act 2000 does not apply to an authorised officer who is a police officer.\ns&#160;20 amd 2000 No.&#160;5 s&#160;461 sch&#160;3 ; 2007 No.&#160;43 s&#160;33 sch ; 2024 No.&#160;2 s&#160;52\n(sec.20-ssec.1) Every police officer is an authorised officer.\n(sec.20-ssec.2) The chief executive may appoint any of the following persons to be an authorised officer— officers and employees of the public service; an employee of the National Heavy Vehicle Regulator; other persons prescribed under a regulation.\n(sec.20-ssec.3) The chief executive may appoint a person as an authorised officer only if satisfied the person has the necessary expertise to be an authorised officer.\n(sec.20-ssec.4) A provision of part&#160;3 that corresponds to a provision of the Police Powers and Responsibilities Act 2000 does not apply to an authorised officer who is a police officer.\n- (a) officers and employees of the public service;\n- (aa) an employee of the National Heavy Vehicle Regulator;\n- (b) other persons prescribed under a regulation.","sortOrder":45},{"sectionNumber":"sec.21","sectionType":"section","heading":"Appointment of accredited persons","content":"### sec.21 Appointment of accredited persons\n\nThe chief executive may appoint a person to be an accredited person to perform functions prescribed under a regulation only if satisfied the person has the necessary expertise to be an accredited person to perform the functions.\nA regulation may provide for accreditation documents for accredited persons.\n(sec.21-ssec.1) The chief executive may appoint a person to be an accredited person to perform functions prescribed under a regulation only if satisfied the person has the necessary expertise to be an accredited person to perform the functions.\n(sec.21-ssec.2) A regulation may provide for accreditation documents for accredited persons.","sortOrder":46},{"sectionNumber":"sec.22","sectionType":"section","heading":"Powers","content":"### sec.22 Powers\n\nAn authorised officer or accredited person—\nhas the powers given under this or another Act; and\nis subject to the directions of the chief executive or commissioner in exercising the powers.\nThe powers may be limited—\nunder a regulation; or\nunder a condition of appointment; or\nby written notice given by the chief executive or commissioner to the authorised officer or accredited person.\n(sec.22-ssec.1) An authorised officer or accredited person— has the powers given under this or another Act; and is subject to the directions of the chief executive or commissioner in exercising the powers.\n(sec.22-ssec.2) The powers may be limited— under a regulation; or under a condition of appointment; or by written notice given by the chief executive or commissioner to the authorised officer or accredited person.\n- (a) has the powers given under this or another Act; and\n- (b) is subject to the directions of the chief executive or commissioner in exercising the powers.\n- (a) under a regulation; or\n- (b) under a condition of appointment; or\n- (c) by written notice given by the chief executive or commissioner to the authorised officer or accredited person.","sortOrder":47},{"sectionNumber":"sec.23","sectionType":"section","heading":"Appointment conditions","content":"### sec.23 Appointment conditions\n\nAn authorised officer or accredited person holds office on the conditions stated in the instrument of appointment.\nAn authorised officer or accredited person—\nif the appointment provides for a term of appointment—ceases holding office at the end of the term; and\nif the conditions of appointment provide—ceases holding office on ceasing to hold another office stated in the appointment conditions (the main office ); and\nmay resign by signed notice given to the chief executive or commissioner.\nHowever, an authorised officer or accredited person may not resign from the office under this Act (the secondary office ) if a term of employment to the main office requires the officer or person to hold the secondary office.\n(sec.23-ssec.1) An authorised officer or accredited person holds office on the conditions stated in the instrument of appointment.\n(sec.23-ssec.2) An authorised officer or accredited person— if the appointment provides for a term of appointment—ceases holding office at the end of the term; and if the conditions of appointment provide—ceases holding office on ceasing to hold another office stated in the appointment conditions (the main office ); and may resign by signed notice given to the chief executive or commissioner.\n(sec.23-ssec.3) However, an authorised officer or accredited person may not resign from the office under this Act (the secondary office ) if a term of employment to the main office requires the officer or person to hold the secondary office.\n- (a) if the appointment provides for a term of appointment—ceases holding office at the end of the term; and\n- (b) if the conditions of appointment provide—ceases holding office on ceasing to hold another office stated in the appointment conditions (the main office ); and\n- (c) may resign by signed notice given to the chief executive or commissioner.","sortOrder":48},{"sectionNumber":"sec.24","sectionType":"section","heading":"Identity cards","content":"### sec.24 Identity cards\n\nThis section does not apply to an authorised officer who is a police officer.\nThe chief executive must give each authorised officer an identity card.\nThe identity card must—\ncontain a recent photo of the person; and\nbe signed by the person; and\nidentify the person as an authorised officer; and\nstate an expiry date.\nA person who stops being an authorised officer must return the person’s identity card to the chief executive as soon as practicable (but within 21 days) after the person stops being an authorised officer, unless the person has a reasonable excuse.\nMaximum penalty—20 penalty units.\nThis section does not prevent the giving of a single identity card to a person for this and other Acts.\ns&#160;24 amd 2007 No.&#160;43 s&#160;34 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;1\n(sec.24-ssec.1) This section does not apply to an authorised officer who is a police officer.\n(sec.24-ssec.2) The chief executive must give each authorised officer an identity card.\n(sec.24-ssec.3) The identity card must— contain a recent photo of the person; and be signed by the person; and identify the person as an authorised officer; and state an expiry date.\n(sec.24-ssec.4) A person who stops being an authorised officer must return the person’s identity card to the chief executive as soon as practicable (but within 21 days) after the person stops being an authorised officer, unless the person has a reasonable excuse. Maximum penalty—20 penalty units.\n(sec.24-ssec.5) This section does not prevent the giving of a single identity card to a person for this and other Acts.\n- (a) contain a recent photo of the person; and\n- (b) be signed by the person; and\n- (c) identify the person as an authorised officer; and\n- (d) state an expiry date.","sortOrder":49},{"sectionNumber":"sec.25","sectionType":"section","heading":"Production or display of identity cards","content":"### sec.25 Production or display of identity cards\n\nThis section does not apply to a police officer.\nAn authorised officer may exercise a power in relation to a person only if—\nthe officer first produces the officer’s identity card for the other person’s inspection; or\nthe officer has the officer’s identity card displayed so it is clearly visible to the person.\nHowever, if for any reason it is not practicable to comply with subsection&#160;(2) before exercising the power, the officer must produce the identity card as soon as it is practicable.\ns&#160;25 amd 2000 No.&#160;5 s&#160;461 sch&#160;3\n(sec.25-ssec.1) This section does not apply to a police officer.\n(sec.25-ssec.2) An authorised officer may exercise a power in relation to a person only if— the officer first produces the officer’s identity card for the other person’s inspection; or the officer has the officer’s identity card displayed so it is clearly visible to the person.\n(sec.25-ssec.3) However, if for any reason it is not practicable to comply with subsection&#160;(2) before exercising the power, the officer must produce the identity card as soon as it is practicable.\n- (a) the officer first produces the officer’s identity card for the other person’s inspection; or\n- (b) the officer has the officer’s identity card displayed so it is clearly visible to the person.","sortOrder":50},{"sectionNumber":"ch.3-pt.3","sectionType":"part","heading":"Powers of authorised officers and other persons","content":"# Powers of authorised officers and other persons","sortOrder":51},{"sectionNumber":"ch.3-pt.3-div.1","sectionType":"division","heading":"Powers for places","content":"## Powers for places","sortOrder":52},{"sectionNumber":"sec.26","sectionType":"section","heading":"Entry to places","content":"### sec.26 Entry to places\n\nAn authorised officer may enter a place if—\nits occupier consents to the entry; or\nthe entry is authorised by a warrant; or\nit is mentioned in a licence or other document prescribed under a regulation as a place of business, or another place, required to be open to inspection and the entry is made when the place is—\nopen for the conduct of business or otherwise open for entry; or\nrequired under the licence or document to be open for inspection; or\nfor a place other than in a dwelling house—\nthe officer reasonably believes—\na vehicle is for sale in the place; and\nthe place is open for entry to anyone interested in purchasing the vehicle; and\nthe entry is made between sunrise and sunset; or\nthe officer reasonably believes a dangerous situation exists in the place and it is necessary for the officer to enter it to take action under section&#160;161N to prevent the danger.\nAn authorised officer, without the occupier’s consent or a warrant, may—\nenter a public place when the place is open to the public; or\nenter the land around premises to ask its occupier for consent to enter the premises.\ns&#160;26 amd 1997 No.&#160;66 s&#160;113 ; 2007 No.&#160;43 s&#160;33 sch ; 2008 No.&#160;67 s&#160;44\n(sec.26-ssec.1) An authorised officer may enter a place if— its occupier consents to the entry; or the entry is authorised by a warrant; or it is mentioned in a licence or other document prescribed under a regulation as a place of business, or another place, required to be open to inspection and the entry is made when the place is— open for the conduct of business or otherwise open for entry; or required under the licence or document to be open for inspection; or for a place other than in a dwelling house— the officer reasonably believes— a vehicle is for sale in the place; and the place is open for entry to anyone interested in purchasing the vehicle; and the entry is made between sunrise and sunset; or the officer reasonably believes a dangerous situation exists in the place and it is necessary for the officer to enter it to take action under section&#160;161N to prevent the danger.\n(sec.26-ssec.2) An authorised officer, without the occupier’s consent or a warrant, may— enter a public place when the place is open to the public; or enter the land around premises to ask its occupier for consent to enter the premises.\n- (a) its occupier consents to the entry; or\n- (b) the entry is authorised by a warrant; or\n- (c) it is mentioned in a licence or other document prescribed under a regulation as a place of business, or another place, required to be open to inspection and the entry is made when the place is— (i) open for the conduct of business or otherwise open for entry; or (ii) required under the licence or document to be open for inspection; or\n- (i) open for the conduct of business or otherwise open for entry; or\n- (ii) required under the licence or document to be open for inspection; or\n- (d) for a place other than in a dwelling house— (i) the officer reasonably believes— (A) a vehicle is for sale in the place; and (B) the place is open for entry to anyone interested in purchasing the vehicle; and (ii) the entry is made between sunrise and sunset; or\n- (i) the officer reasonably believes— (A) a vehicle is for sale in the place; and (B) the place is open for entry to anyone interested in purchasing the vehicle; and\n- (A) a vehicle is for sale in the place; and\n- (B) the place is open for entry to anyone interested in purchasing the vehicle; and\n- (ii) the entry is made between sunrise and sunset; or\n- (e) the officer reasonably believes a dangerous situation exists in the place and it is necessary for the officer to enter it to take action under section&#160;161N to prevent the danger.\n- (i) open for the conduct of business or otherwise open for entry; or\n- (ii) required under the licence or document to be open for inspection; or\n- (i) the officer reasonably believes— (A) a vehicle is for sale in the place; and (B) the place is open for entry to anyone interested in purchasing the vehicle; and\n- (A) a vehicle is for sale in the place; and\n- (B) the place is open for entry to anyone interested in purchasing the vehicle; and\n- (ii) the entry is made between sunrise and sunset; or\n- (A) a vehicle is for sale in the place; and\n- (B) the place is open for entry to anyone interested in purchasing the vehicle; and\n- (a) enter a public place when the place is open to the public; or\n- (b) enter the land around premises to ask its occupier for consent to enter the premises.","sortOrder":53},{"sectionNumber":"sec.26A","sectionType":"section","heading":"Further power to enter place of business in relation to prescribed dangerous goods vehicle","content":"### sec.26A Further power to enter place of business in relation to prescribed dangerous goods vehicle\n\nWithout limiting section&#160;26 but subject to section&#160;26B , an authorised officer may enter a place of business of a person involved in the transport of dangerous goods at any time during the usual business hours of the business—\nwithout the occupier’s consent or a warrant; and\nwhether or not the place is actually being used at that time for carrying on the business;\nif the authorised officer has—\nthe suspicion mentioned in subsection&#160;(2) ; or\nthe belief and suspicion mentioned in subsection&#160;(3) .\nFor subsection&#160;(1) (c) , the authorised officer must reasonably suspect that there may be at the place—\na document relating to the transport of dangerous goods or a prescribed dangerous goods vehicle, that is required to be kept under a transport Act or alternative compliance scheme; or\na device relating to the transport of dangerous goods or a prescribed dangerous goods vehicle, that is required to be installed, used or maintained under a transport Act or alternative compliance scheme.\nFor subsection&#160;(1) (d) , the authorised officer—\nmust reasonably believe that there may be at the place evidence of an offence, relating to the transport of dangerous goods or a prescribed dangerous goods vehicle, against a transport Act; and\nmust reasonably suspect the evidence may be concealed or destroyed unless the place is immediately entered and searched.\nThis section does not authorise an authorised officer, without the occupier’s consent or a warrant, to enter—\na place that is apparently unattended, unless the officer reasonably believes the place is attended; or\na place, or any part of a place, used predominantly for residential purposes.\nFor subsection&#160;(4) (b) , a place or part of a place is not used predominantly for residential purposes if it is used merely for temporary or casual sleeping or other accommodation for drivers of vehicles.\nThe authorised officer may open unlocked doors and other unlocked panels and things at the place for gaining entry to the place under subsection&#160;(1) .\nThis section does not authorise an authorised officer to use force for exercising a power under this section.\nIn this section—\nplace of business , of a person involved in the transport of dangerous goods, means a place—\nat or from which the person carries on a business; or\nthat is occupied by the person in connection with a business carried on by the person.\ntransport Act does not include the Queensland Road Rules .\ns&#160;26A ins 2007 No.&#160;43 s&#160;35\namd 2008 No.&#160;67 s&#160;45 ; 2010 No.&#160;13 s&#160;22 ; 2013 No.&#160;26 s&#160;43\n(sec.26A-ssec.1) Without limiting section&#160;26 but subject to section&#160;26B , an authorised officer may enter a place of business of a person involved in the transport of dangerous goods at any time during the usual business hours of the business— without the occupier’s consent or a warrant; and whether or not the place is actually being used at that time for carrying on the business; if the authorised officer has— the suspicion mentioned in subsection&#160;(2) ; or the belief and suspicion mentioned in subsection&#160;(3) .\n(sec.26A-ssec.2) For subsection&#160;(1) (c) , the authorised officer must reasonably suspect that there may be at the place— a document relating to the transport of dangerous goods or a prescribed dangerous goods vehicle, that is required to be kept under a transport Act or alternative compliance scheme; or a device relating to the transport of dangerous goods or a prescribed dangerous goods vehicle, that is required to be installed, used or maintained under a transport Act or alternative compliance scheme.\n(sec.26A-ssec.3) For subsection&#160;(1) (d) , the authorised officer— must reasonably believe that there may be at the place evidence of an offence, relating to the transport of dangerous goods or a prescribed dangerous goods vehicle, against a transport Act; and must reasonably suspect the evidence may be concealed or destroyed unless the place is immediately entered and searched.\n(sec.26A-ssec.4) This section does not authorise an authorised officer, without the occupier’s consent or a warrant, to enter— a place that is apparently unattended, unless the officer reasonably believes the place is attended; or a place, or any part of a place, used predominantly for residential purposes.\n(sec.26A-ssec.5) For subsection&#160;(4) (b) , a place or part of a place is not used predominantly for residential purposes if it is used merely for temporary or casual sleeping or other accommodation for drivers of vehicles.\n(sec.26A-ssec.6) The authorised officer may open unlocked doors and other unlocked panels and things at the place for gaining entry to the place under subsection&#160;(1) .\n(sec.26A-ssec.7) This section does not authorise an authorised officer to use force for exercising a power under this section.\n(sec.26A-ssec.8) In this section— place of business , of a person involved in the transport of dangerous goods, means a place— at or from which the person carries on a business; or that is occupied by the person in connection with a business carried on by the person. transport Act does not include the Queensland Road Rules .\n- (a) without the occupier’s consent or a warrant; and\n- (b) whether or not the place is actually being used at that time for carrying on the business;\n- (c) the suspicion mentioned in subsection&#160;(2) ; or\n- (d) the belief and suspicion mentioned in subsection&#160;(3) .\n- (a) a document relating to the transport of dangerous goods or a prescribed dangerous goods vehicle, that is required to be kept under a transport Act or alternative compliance scheme; or\n- (b) a device relating to the transport of dangerous goods or a prescribed dangerous goods vehicle, that is required to be installed, used or maintained under a transport Act or alternative compliance scheme.\n- (a) must reasonably believe that there may be at the place evidence of an offence, relating to the transport of dangerous goods or a prescribed dangerous goods vehicle, against a transport Act; and\n- (b) must reasonably suspect the evidence may be concealed or destroyed unless the place is immediately entered and searched.\n- (a) a place that is apparently unattended, unless the officer reasonably believes the place is attended; or\n- (b) a place, or any part of a place, used predominantly for residential purposes.\n- (a) at or from which the person carries on a business; or\n- (b) that is occupied by the person in connection with a business carried on by the person.","sortOrder":54},{"sectionNumber":"sec.26B","sectionType":"section","heading":"Further power to enter particular places if incident involving death, injury or damage","content":"### sec.26B Further power to enter particular places if incident involving death, injury or damage\n\nWithout limiting section&#160;26 , an authorised officer, without the occupier’s consent or a warrant, may enter a place at any time if the officer reasonably believes—\nan incident involving the death of, or injury to, a person or damage to property involves or may have involved any of the following—\na prescribed dangerous goods vehicle;\nthe transport of dangerous goods; and\nthe incident may have involved an offence against a transport Act; and\nthere is a connection between the place and the prescribed dangerous goods vehicle or the transport of dangerous goods; and\nthere may be at the place evidence of the offence mentioned in paragraph&#160;(b) that may be concealed or destroyed unless the place is immediately entered and searched.\nHowever, if the authorised officer is not a police officer, the authorised officer may enter the place only if the entry is authorised by a police officer of at least the rank of inspector.\nFor subsection&#160;(1) , there is a connection between a place and a prescribed dangerous goods vehicle if—\nthe place is the vehicle’s garage address; or\nthe vehicle is, or within the past 72 hours has been, located at the place; or\nthe place is, or may be, otherwise directly or indirectly connected with the vehicle or any part of its equipment or load.\nFor subsection&#160;(1) , there is a connection between a place and the transport of dangerous goods if—\ndangerous goods were transported to or from the place within the period of 72 hours before the proposed entry to the place; or\nthe place is, or may be, otherwise directly or indirectly connected with the dangerous goods.\nSection&#160;26A (4) to (7) applies to the entry to a place by an authorised officer under this section.\nIn this section—\ntransport Act does not include the Queensland Road Rules .\ns&#160;26B ins 2007 No.&#160;43 s&#160;35\namd 2008 No.&#160;67 s&#160;46 ; 2013 No.&#160;26 s&#160;44\n(sec.26B-ssec.1) Without limiting section&#160;26 , an authorised officer, without the occupier’s consent or a warrant, may enter a place at any time if the officer reasonably believes— an incident involving the death of, or injury to, a person or damage to property involves or may have involved any of the following— a prescribed dangerous goods vehicle; the transport of dangerous goods; and the incident may have involved an offence against a transport Act; and there is a connection between the place and the prescribed dangerous goods vehicle or the transport of dangerous goods; and there may be at the place evidence of the offence mentioned in paragraph&#160;(b) that may be concealed or destroyed unless the place is immediately entered and searched.\n(sec.26B-ssec.2) However, if the authorised officer is not a police officer, the authorised officer may enter the place only if the entry is authorised by a police officer of at least the rank of inspector.\n(sec.26B-ssec.3) For subsection&#160;(1) , there is a connection between a place and a prescribed dangerous goods vehicle if— the place is the vehicle’s garage address; or the vehicle is, or within the past 72 hours has been, located at the place; or the place is, or may be, otherwise directly or indirectly connected with the vehicle or any part of its equipment or load.\n(sec.26B-ssec.3A) For subsection&#160;(1) , there is a connection between a place and the transport of dangerous goods if— dangerous goods were transported to or from the place within the period of 72 hours before the proposed entry to the place; or the place is, or may be, otherwise directly or indirectly connected with the dangerous goods.\n(sec.26B-ssec.4) Section&#160;26A (4) to (7) applies to the entry to a place by an authorised officer under this section.\n(sec.26B-ssec.5) In this section— transport Act does not include the Queensland Road Rules .\n- (a) an incident involving the death of, or injury to, a person or damage to property involves or may have involved any of the following— (i) a prescribed dangerous goods vehicle; (ii) the transport of dangerous goods; and\n- (i) a prescribed dangerous goods vehicle;\n- (ii) the transport of dangerous goods; and\n- (b) the incident may have involved an offence against a transport Act; and\n- (c) there is a connection between the place and the prescribed dangerous goods vehicle or the transport of dangerous goods; and\n- (d) there may be at the place evidence of the offence mentioned in paragraph&#160;(b) that may be concealed or destroyed unless the place is immediately entered and searched.\n- (i) a prescribed dangerous goods vehicle;\n- (ii) the transport of dangerous goods; and\n- (a) the place is the vehicle’s garage address; or\n- (b) the vehicle is, or within the past 72 hours has been, located at the place; or\n- (c) the place is, or may be, otherwise directly or indirectly connected with the vehicle or any part of its equipment or load.\n- (a) dangerous goods were transported to or from the place within the period of 72 hours before the proposed entry to the place; or\n- (b) the place is, or may be, otherwise directly or indirectly connected with the dangerous goods.","sortOrder":55},{"sectionNumber":"sec.27","sectionType":"section","heading":"Consent to entry","content":"### sec.27 Consent to entry\n\nThis section applies if an authorised officer intends to ask an occupier of a place to consent to the officer or another officer entering the place.\nBefore asking for the consent, the officer must inform the occupier—\nof the purpose of the entry; and\nthat the occupier is not required to consent.\nIf the consent is given, the officer may ask the occupier to sign an acknowledgement of the consent.\nThe acknowledgement must state—\nthe purpose of the entry, including the powers intended to be exercised to achieve the purpose of the entry; and\nthat the following have been explained to the occupier—\nthe purpose of the entry, including the powers intended to be exercised to achieve the purpose of the entry;\nthat the occupier is not required to consent; and\nthat the occupier gives the authorised officer or another authorised officer consent to enter the place and exercise the powers; and\nthe time and day the consent was given; and\nany conditions of the consent.\nIf the occupier signs an acknowledgement of consent, the officer must immediately give a copy to the occupier.\nSubsection&#160;(7) applies to a court if—\na question arises, in a proceeding in or before the court, whether the occupier of a place consented to an authorised officer entering the place under this Act; and\nan acknowledgement under this section is not produced in evidence for the entry; and\nit is not proved that the occupier consented to the entry.\nThe court may presume that the occupier did not consent.\ns&#160;27 amd 2013 No.&#160;26 s&#160;45\n(sec.27-ssec.1) This section applies if an authorised officer intends to ask an occupier of a place to consent to the officer or another officer entering the place.\n(sec.27-ssec.2) Before asking for the consent, the officer must inform the occupier— of the purpose of the entry; and that the occupier is not required to consent.\n(sec.27-ssec.3) If the consent is given, the officer may ask the occupier to sign an acknowledgement of the consent.\n(sec.27-ssec.4) The acknowledgement must state— the purpose of the entry, including the powers intended to be exercised to achieve the purpose of the entry; and that the following have been explained to the occupier— the purpose of the entry, including the powers intended to be exercised to achieve the purpose of the entry; that the occupier is not required to consent; and that the occupier gives the authorised officer or another authorised officer consent to enter the place and exercise the powers; and the time and day the consent was given; and any conditions of the consent.\n(sec.27-ssec.5) If the occupier signs an acknowledgement of consent, the officer must immediately give a copy to the occupier.\n(sec.27-ssec.6) Subsection&#160;(7) applies to a court if— a question arises, in a proceeding in or before the court, whether the occupier of a place consented to an authorised officer entering the place under this Act; and an acknowledgement under this section is not produced in evidence for the entry; and it is not proved that the occupier consented to the entry.\n(sec.27-ssec.7) The court may presume that the occupier did not consent.\n- (a) of the purpose of the entry; and\n- (b) that the occupier is not required to consent.\n- (a) the purpose of the entry, including the powers intended to be exercised to achieve the purpose of the entry; and\n- (b) that the following have been explained to the occupier— (i) the purpose of the entry, including the powers intended to be exercised to achieve the purpose of the entry; (ii) that the occupier is not required to consent; and\n- (i) the purpose of the entry, including the powers intended to be exercised to achieve the purpose of the entry;\n- (ii) that the occupier is not required to consent; and\n- (c) that the occupier gives the authorised officer or another authorised officer consent to enter the place and exercise the powers; and\n- (d) the time and day the consent was given; and\n- (e) any conditions of the consent.\n- (i) the purpose of the entry, including the powers intended to be exercised to achieve the purpose of the entry;\n- (ii) that the occupier is not required to consent; and\n- (a) a question arises, in a proceeding in or before the court, whether the occupier of a place consented to an authorised officer entering the place under this Act; and\n- (b) an acknowledgement under this section is not produced in evidence for the entry; and\n- (c) it is not proved that the occupier consented to the entry.","sortOrder":56},{"sectionNumber":"sec.28","sectionType":"section","heading":"Warrants to enter","content":"### sec.28 Warrants to enter\n\nAn authorised officer may apply to a magistrate for a warrant to enter a place.\nThe application must be sworn and state the grounds on which the warrant is sought.\nThe magistrate may refuse to consider the application until the officer 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 to be given by statutory declaration.\nThe magistrate may issue a warrant if satisfied there are reasonable grounds for suspecting—\nthere is a particular thing or activity (the evidence ) that may provide evidence of an offence against a transport Act; and\nthe evidence is, or may be within the next 7 days, at the place.\nThe magistrate may also issue a warrant if the magistrate is satisfied that—\neither of the following apply in relation to a particular place—\na vehicle that has been or may have been involved in a dangerous situation is or has been located at the place; or\nthe place is or may be otherwise connected, directly or indirectly, with a vehicle that has been or may have been involved in a dangerous situation; and\nthere is evidence at the place (including for paragraph&#160;(a) (i) , the vehicle itself) that is relevant to the exercise of powers under this Act relating to dangerous situations.\nThe warrant must state—\nthat an authorised officer may, with necessary and reasonable help and force, enter the place and exercise the officer’s powers under this Act; and\nthe offence for which the warrant is sought; and\nthe evidence that may be seized under the warrant; and\nthe hours when the place may be entered; and\nthe date, within 7 days after the warrant’s issue, the warrant ends.\nIn this section—\ntransport Act does not include the Tow Truck Act 2023 .\ns&#160;28 amd 2008 No.&#160;67 s&#160;47 ; 2023 No.&#160;28 s&#160;197\n(sec.28-ssec.1) An authorised officer may apply to a magistrate for a warrant to enter a place.\n(sec.28-ssec.2) The application must be sworn and state the grounds on which the warrant is sought.\n(sec.28-ssec.3) The magistrate may refuse to consider the application until the officer 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 to be given by statutory declaration.\n(sec.28-ssec.4) The magistrate may issue a warrant if satisfied there are reasonable grounds for suspecting— there is a particular thing or activity (the evidence ) that may provide evidence of an offence against a transport Act; and the evidence is, or may be within the next 7 days, at the place.\n(sec.28-ssec.4A) The magistrate may also issue a warrant if the magistrate is satisfied that— either of the following apply in relation to a particular place— a vehicle that has been or may have been involved in a dangerous situation is or has been located at the place; or the place is or may be otherwise connected, directly or indirectly, with a vehicle that has been or may have been involved in a dangerous situation; and there is evidence at the place (including for paragraph&#160;(a) (i) , the vehicle itself) that is relevant to the exercise of powers under this Act relating to dangerous situations.\n(sec.28-ssec.5) The warrant must state— that an authorised officer may, with necessary and reasonable help and force, enter the place and exercise the officer’s powers under this Act; and the offence for which the warrant is sought; and the evidence that may be seized under the warrant; and the hours when the place may be entered; and the date, within 7 days after the warrant’s issue, the warrant ends.\n(sec.28-ssec.6) In this section— transport Act does not include the Tow Truck Act 2023 .\n- (a) there is a particular thing or activity (the evidence ) that may provide evidence of an offence against a transport Act; and\n- (b) the evidence is, or may be within the next 7 days, at the place.\n- (a) either of the following apply in relation to a particular place— (i) a vehicle that has been or may have been involved in a dangerous situation is or has been located at the place; or (ii) the place is or may be otherwise connected, directly or indirectly, with a vehicle that has been or may have been involved in a dangerous situation; and\n- (i) a vehicle that has been or may have been involved in a dangerous situation is or has been located at the place; or\n- (ii) the place is or may be otherwise connected, directly or indirectly, with a vehicle that has been or may have been involved in a dangerous situation; and\n- (b) there is evidence at the place (including for paragraph&#160;(a) (i) , the vehicle itself) that is relevant to the exercise of powers under this Act relating to dangerous situations.\n- (i) a vehicle that has been or may have been involved in a dangerous situation is or has been located at the place; or\n- (ii) the place is or may be otherwise connected, directly or indirectly, with a vehicle that has been or may have been involved in a dangerous situation; and\n- (a) that an authorised officer may, with necessary and reasonable help and force, enter the place and exercise the officer’s powers under this Act; and\n- (b) the offence for which the warrant is sought; and\n- (c) the evidence that may be seized under the warrant; and\n- (d) the hours when the place may be entered; and\n- (e) the date, within 7 days after the warrant’s issue, the warrant ends.","sortOrder":57},{"sectionNumber":"sec.29","sectionType":"section","heading":"Warrants—applications made other than in person","content":"### sec.29 Warrants—applications made other than in person\n\nAn authorised officer may apply for a warrant by phone, fax, radio or another form of communication if the officer considers it necessary because of—\nurgent circumstances; or\nother special circumstances, including, for example, the officer’s remote location.\nBefore applying for the warrant, the officer must prepare an application stating the grounds on which the warrant is sought.\nThe officer may apply for the warrant before the application is sworn.\nAfter issuing the warrant, the magistrate must immediately fax a copy to the officer if it is reasonably practicable to fax a copy.\nIf it is not reasonably practicable to fax a copy to the officer—\nthe magistrate must—\ntell the officer what the terms of the warrant are; and\ntell the officer the date and time the warrant was issued; and\nthe officer must complete a form of warrant ( warrant form ) and write on it—\nthe magistrate’s name; and\nthe date and time the magistrate issued the warrant; and\nthe warrant’s terms.\nThe facsimile warrant, or the warrant form properly completed by the officer, authorises the entry and the exercise of the other powers stated in the warrant issued by the magistrate.\nThe officer must, at the first reasonable opportunity, send the magistrate—\nthe sworn application; and\nif the officer completed a warrant form—the completed warrant form.\nOn receiving the documents, the magistrate must attach them to the warrant.\nSubsection&#160;(10) applies to a court if—\na question arises, in a proceeding in or before the court, whether a power exercised by an authorised officer was not authorised by a warrant issued under this section; and\nthe warrant is not produced in evidence.\nThe court must presume that the exercise of the power was not authorised by a warrant issued under this section, unless the contrary is proved.\n(sec.29-ssec.1) An authorised officer may apply for a warrant by phone, fax, radio or another form of communication if the officer considers it necessary because of— urgent circumstances; or other special circumstances, including, for example, the officer’s remote location.\n(sec.29-ssec.2) Before applying for the warrant, the officer must prepare an application stating the grounds on which the warrant is sought.\n(sec.29-ssec.3) The officer may apply for the warrant before the application is sworn.\n(sec.29-ssec.4) After issuing the warrant, the magistrate must immediately fax a copy to the officer if it is reasonably practicable to fax a copy.\n(sec.29-ssec.5) If it is not reasonably practicable to fax a copy to the officer— the magistrate must— tell the officer what the terms of the warrant are; and tell the officer the date and time the warrant was issued; and the officer must complete a form of warrant ( warrant form ) and write on it— the magistrate’s name; and the date and time the magistrate issued the warrant; and the warrant’s terms.\n(sec.29-ssec.6) The facsimile warrant, or the warrant form properly completed by the officer, authorises the entry and the exercise of the other powers stated in the warrant issued by the magistrate.\n(sec.29-ssec.7) The officer must, at the first reasonable opportunity, send the magistrate— the sworn application; and if the officer completed a warrant form—the completed warrant form.\n(sec.29-ssec.8) On receiving the documents, the magistrate must attach them to the warrant.\n(sec.29-ssec.9) Subsection&#160;(10) applies to a court if— a question arises, in a proceeding in or before the court, whether a power exercised by an authorised officer was not authorised by a warrant issued under this section; and the warrant is not produced in evidence.\n(sec.29-ssec.10) The court must presume that the exercise of the power was not authorised by a warrant issued under this section, unless the contrary is proved.\n- (a) urgent circumstances; or\n- (b) other special circumstances, including, for example, the officer’s remote location.\n- (a) the magistrate must— (i) tell the officer what the terms of the warrant are; and (ii) tell the officer the date and time the warrant was issued; and\n- (i) tell the officer what the terms of the warrant are; and\n- (ii) tell the officer the date and time the warrant was issued; and\n- (b) the officer must complete a form of warrant ( warrant form ) and write on it— (i) the magistrate’s name; and (ii) the date and time the magistrate issued the warrant; and (iii) the warrant’s terms.\n- (i) the magistrate’s name; and\n- (ii) the date and time the magistrate issued the warrant; and\n- (iii) the warrant’s terms.\n- (i) tell the officer what the terms of the warrant are; and\n- (ii) tell the officer the date and time the warrant was issued; and\n- (i) the magistrate’s name; and\n- (ii) the date and time the magistrate issued the warrant; and\n- (iii) the warrant’s terms.\n- (a) the sworn application; and\n- (b) if the officer completed a warrant form—the completed warrant form.\n- (a) a question arises, in a proceeding in or before the court, whether a power exercised by an authorised officer was not authorised by a warrant issued under this section; and\n- (b) the warrant is not produced in evidence.","sortOrder":58},{"sectionNumber":"sec.29A","sectionType":"section","heading":"Post-entry approval","content":"### sec.29A Post-entry approval\n\nAs soon as reasonably practicable after exercising evidence preservation powers, an authorised officer must apply in writing to a magistrate for an order approving the exercise of the powers ( post-entry approval order ).\nThe application must be sworn and state the grounds on which it is sought.\nThe authorised officer need not appear at the consideration of the application, unless the magistrate otherwise requires.\nThe magistrate may refuse to consider the application until the authorised officer 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 to be given by statutory declaration.\ns&#160;29A ins 2007 No.&#160;43 s&#160;36\namd 2008 No.&#160;67 s&#160;48\n(sec.29A-ssec.1) As soon as reasonably practicable after exercising evidence preservation powers, an authorised officer must apply in writing to a magistrate for an order approving the exercise of the powers ( post-entry approval order ).\n(sec.29A-ssec.2) The application must be sworn and state the grounds on which it is sought.\n(sec.29A-ssec.3) The authorised officer need not appear at the consideration of the application, unless the magistrate otherwise requires.\n(sec.29A-ssec.4) The magistrate may refuse to consider the application until the authorised officer 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 to be given by statutory declaration.","sortOrder":59},{"sectionNumber":"sec.29B","sectionType":"section","heading":"Making of post-entry approval order","content":"### sec.29B Making of post-entry approval order\n\nA magistrate may make a post-entry approval order only if satisfied—\nin the circumstances existing before the exercise of the evidence preservation powers for which the order is sought—\nthe authorised officer, before exercising the powers, had the required suspicion or belief for exercising them; and\nthere was a reasonable likelihood that the evidence for which the powers were exercised would be concealed or destroyed; or\nhaving regard to the nature of the evidence found during the exercise of the powers, it is in the public interest to make the order.\ns&#160;29B ins 2007 No.&#160;43 s&#160;36\namd 2008 No.&#160;67 s&#160;48\n- (a) in the circumstances existing before the exercise of the evidence preservation powers for which the order is sought— (i) the authorised officer, before exercising the powers, had the required suspicion or belief for exercising them; and (ii) there was a reasonable likelihood that the evidence for which the powers were exercised would be concealed or destroyed; or\n- (i) the authorised officer, before exercising the powers, had the required suspicion or belief for exercising them; and\n- (ii) there was a reasonable likelihood that the evidence for which the powers were exercised would be concealed or destroyed; or\n- (b) having regard to the nature of the evidence found during the exercise of the powers, it is in the public interest to make the order.\n- (i) the authorised officer, before exercising the powers, had the required suspicion or belief for exercising them; and\n- (ii) there was a reasonable likelihood that the evidence for which the powers were exercised would be concealed or destroyed; or","sortOrder":60},{"sectionNumber":"sec.29C","sectionType":"section","heading":"Appeal","content":"### sec.29C Appeal\n\nWithin 28 days after a magistrate refuses to make a post-entry approval order (the appeal period ), the chief executive may appeal against the magistrate’s order to the Supreme Court.\nIf the chief executive appeals, the chief executive must retain any seized thing until the appeal is decided.\nIf the chief executive does not appeal, the chief executive must, immediately the appeal period ends, return any seized thing to the person from whom it was seized.\nIn this section—\nseized thing means a thing seized by an authorised officer in the exercise of the evidence preservation powers for which the post-entry approval order was sought.\ns&#160;29C ins 2007 No.&#160;43 s&#160;36\namd 2008 No.&#160;67 s&#160;48\n(sec.29C-ssec.1) Within 28 days after a magistrate refuses to make a post-entry approval order (the appeal period ), the chief executive may appeal against the magistrate’s order to the Supreme Court.\n(sec.29C-ssec.2) If the chief executive appeals, the chief executive must retain any seized thing until the appeal is decided.\n(sec.29C-ssec.3) If the chief executive does not appeal, the chief executive must, immediately the appeal period ends, return any seized thing to the person from whom it was seized.\n(sec.29C-ssec.4) In this section— seized thing means a thing seized by an authorised officer in the exercise of the evidence preservation powers for which the post-entry approval order was sought.","sortOrder":61},{"sectionNumber":"sec.30","sectionType":"section","heading":"General powers after entering places","content":"### sec.30 General powers after entering places\n\nThis section applies to an authorised officer if—\nthe authorised officer enters a place under section&#160;26 (1) ; or\nthe authorised officer is also an authorised officer under the Heavy Vehicle National Law (Queensland) and enters a place under that Law.\nThe officer may, for monitoring or enforcing compliance with this Act—\nsearch any part of the place; or\ninspect, measure, weigh, test, photograph or film the place or anything in the place; or\ntake samples of anything in the place; or\ncopy, or take an extract from, a document in the place; or\ntake the persons, equipment and materials the officer reasonably requires for exercising a power under this Act into the place; or\nrequire a person in the place to give the officer reasonable help to exercise the powers mentioned in paragraphs&#160;(a) to (e) .\na requirement to operate equipment or facilities\na requirement to give access, free of charge, to photocopying equipment\nA person must comply with a requirement under subsection&#160;(2) (f) , unless the person has a reasonable excuse.\nMaximum penalty—60 penalty units.\nA requirement under subsection&#160;(2) (f) does not include—\na requirement to produce a document or give information; or\na requirement to help the authorised officer find and gain access to a document or information.\nSee sections&#160;49 , 49A and 50AB for powers about requiring or directing a person to produce a document, provide information or help an authorised officer find and gain access to a document or information.\nSubsection&#160;(6) applies for the exercise of a power under subsection&#160;(2) by an authorised officer, in relation to a heavy vehicle, the transport of dangerous goods or a prescribed dangerous goods vehicle to decide if anything found at the place may be seized under division&#160;3 .\nThe authorised officer may move the thing to another place if—\nit is not practicable to exercise the power in relation to the thing at the place where it is found; or\nthe occupier of the place where it is found consents in writing.\nIf the power to enter arose only because an occupier of the place consented to the entry under this Act or under the Heavy Vehicle National Law (Queensland) , the authorised officer’s powers under subsection&#160;(2) are subject to any conditions of the consent and end if the consent is withdrawn.\nIf the power to enter arose only because the entry was authorised under a warrant obtained under this Act or under the Heavy Vehicle National Law (Queensland) , the authorised officer’s powers under subsection&#160;(2) are subject to the terms of the warrant.\ns&#160;30 amd 2007 No.&#160;43 s&#160;37 ; 2008 No.&#160;67 s&#160;49 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2013 No.&#160;26 s&#160;46 ; 2014 No.&#160;43 s&#160;117 sch&#160;1\n(sec.30-ssec.1) This section applies to an authorised officer if— the authorised officer enters a place under section&#160;26 (1) ; or the authorised officer is also an authorised officer under the Heavy Vehicle National Law (Queensland) and enters a place under that Law.\n(sec.30-ssec.2) The officer may, for monitoring or enforcing compliance with this Act— search any part of the place; or inspect, measure, weigh, test, photograph or film the place or anything in the place; or take samples of anything in the place; or copy, or take an extract from, a document in the place; or take the persons, equipment and materials the officer reasonably requires for exercising a power under this Act into the place; or require a person in the place to give the officer reasonable help to exercise the powers mentioned in paragraphs&#160;(a) to (e) . a requirement to operate equipment or facilities a requirement to give access, free of charge, to photocopying equipment\n(sec.30-ssec.3) A person must comply with a requirement under subsection&#160;(2) (f) , unless the person has a reasonable excuse. Maximum penalty—60 penalty units.\n(sec.30-ssec.4) A requirement under subsection&#160;(2) (f) does not include— a requirement to produce a document or give information; or a requirement to help the authorised officer find and gain access to a document or information. See sections&#160;49 , 49A and 50AB for powers about requiring or directing a person to produce a document, provide information or help an authorised officer find and gain access to a document or information.\n(sec.30-ssec.5) Subsection&#160;(6) applies for the exercise of a power under subsection&#160;(2) by an authorised officer, in relation to a heavy vehicle, the transport of dangerous goods or a prescribed dangerous goods vehicle to decide if anything found at the place may be seized under division&#160;3 .\n(sec.30-ssec.6) The authorised officer may move the thing to another place if— it is not practicable to exercise the power in relation to the thing at the place where it is found; or the occupier of the place where it is found consents in writing.\n(sec.30-ssec.7) If the power to enter arose only because an occupier of the place consented to the entry under this Act or under the Heavy Vehicle National Law (Queensland) , the authorised officer’s powers under subsection&#160;(2) are subject to any conditions of the consent and end if the consent is withdrawn.\n(sec.30-ssec.8) If the power to enter arose only because the entry was authorised under a warrant obtained under this Act or under the Heavy Vehicle National Law (Queensland) , the authorised officer’s powers under subsection&#160;(2) are subject to the terms of the warrant.\n- (a) the authorised officer enters a place under section&#160;26 (1) ; or\n- (b) the authorised officer is also an authorised officer under the Heavy Vehicle National Law (Queensland) and enters a place under that Law.\n- (a) search any part of the place; or\n- (b) inspect, measure, weigh, test, photograph or film the place or anything in the place; or\n- (c) take samples of anything in the place; or\n- (d) copy, or take an extract from, a document in the place; or\n- (e) take the persons, equipment and materials the officer reasonably requires for exercising a power under this Act into the place; or\n- (f) require a person in the place to give the officer reasonable help to exercise the powers mentioned in paragraphs&#160;(a) to (e) . Examples of requirements under paragraph&#160;(f) — • a requirement to operate equipment or facilities • a requirement to give access, free of charge, to photocopying equipment\n- • a requirement to operate equipment or facilities\n- • a requirement to give access, free of charge, to photocopying equipment\n- • a requirement to operate equipment or facilities\n- • a requirement to give access, free of charge, to photocopying equipment\n- (a) a requirement to produce a document or give information; or\n- (b) a requirement to help the authorised officer find and gain access to a document or information.\n- (a) it is not practicable to exercise the power in relation to the thing at the place where it is found; or\n- (b) the occupier of the place where it is found consents in writing.","sortOrder":62},{"sectionNumber":"sec.30A","sectionType":"section","heading":"Further powers after entering place under s&#160;26A or 26B","content":"### sec.30A Further powers after entering place under s&#160;26A or 26B\n\nThis section applies to an authorised officer who enters a place under section&#160;26A or 26B .\nIf the authorised officer enters the place because the authorised officer has the suspicion mentioned in section&#160;26A (2) , the authorised officer may do either or both of the following—\ninspect—\na document that is required to be kept under a transport Act or an alternative compliance scheme; or\na device that is required to be installed, used or maintained under a transport Act or an alternative compliance scheme;\ncopy, or take an extract from, any or all of the following that are at the place—\na document mentioned in paragraph&#160;(a) (i) ;\na readout or other data obtained from a device mentioned in paragraph&#160;(a) (ii) .\nSubsection&#160;(4) applies if the authorised officer enters the place to obtain evidence of an offence against a transport Act because—\nthe authorised officer has the belief and suspicion mentioned in section&#160;26A (3) in relation to the evidence; or\nthe authorised officer has the belief mentioned in section&#160;26B (1) in relation to the evidence.\nThe authorised officer may, for obtaining evidence of an offence against a transport Act, do any or all of the following—\nsearch any part of the place;\ninspect anything in the place, including, for example, dangerous goods or packaging at the place;\ncopy, or take an extract from, any or all of the following in the place—\na document mentioned in subsection&#160;(2) (a) (i) ;\ntransport documentation;\na document, or a readout or other data obtained from anything, that the authorised officer reasonably believes provides, or on further inspection may provide, evidence of the offence.\nFor exercising a power under subsection&#160;(2) (b) or (4) (c) , the authorised officer may use photocopying equipment in the place free of charge.\nAlso, for exercising a power under subsection&#160;(2) or (4) , the authorised officer may—\ntake the persons, equipment and materials the authorised officer reasonably requires for exercising the power into the place; or\nif the exercising of the power is because of a suspicion mentioned in section&#160;26A (2) or a belief and suspicion mentioned in section&#160;26A (3) —require a person involved in the transport of dangerous goods in relation to which the power is to be exercised to give the authorised officer reasonable help to exercise the power, whether or not the person is in or at the place.\nA person must comply with a requirement made under subsection&#160;(6) (b) , unless the person has a reasonable excuse.\nMaximum penalty—60 penalty units.\nA requirement under subsection&#160;(6) (b) does not include—\na requirement to produce a document or give information; or\na requirement to help the authorised officer find and gain access to a document or information.\nSee sections&#160;49 , 49A and 50AB for powers about requiring or directing a person to produce a document, provide information or help an authorised officer find and gain access to a document or information.\nSubsection&#160;(10) applies for the exercise of a power by an authorised officer under subsection&#160;(4) to decide if anything found at the place may be seized under division&#160;3 .\nThe authorised officer may move the thing to another place if—\nit is not practicable to exercise the power in relation to the thing at the place where it is found; or\nthe occupier of the place where it is found consents in writing.\nIn this section—\ntransport Act does not include the Queensland Road Rules .\ns&#160;30A ins 2007 No.&#160;43 s&#160;38\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2008 No.&#160;67 s&#160;50 ; 2013 No.&#160;26 s&#160;47 ; 2014 No.&#160;43 s&#160;117 sch&#160;1\n(sec.30A-ssec.1) This section applies to an authorised officer who enters a place under section&#160;26A or 26B .\n(sec.30A-ssec.2) If the authorised officer enters the place because the authorised officer has the suspicion mentioned in section&#160;26A (2) , the authorised officer may do either or both of the following— inspect— a document that is required to be kept under a transport Act or an alternative compliance scheme; or a device that is required to be installed, used or maintained under a transport Act or an alternative compliance scheme; copy, or take an extract from, any or all of the following that are at the place— a document mentioned in paragraph&#160;(a) (i) ; a readout or other data obtained from a device mentioned in paragraph&#160;(a) (ii) .\n(sec.30A-ssec.3) Subsection&#160;(4) applies if the authorised officer enters the place to obtain evidence of an offence against a transport Act because— the authorised officer has the belief and suspicion mentioned in section&#160;26A (3) in relation to the evidence; or the authorised officer has the belief mentioned in section&#160;26B (1) in relation to the evidence.\n(sec.30A-ssec.4) The authorised officer may, for obtaining evidence of an offence against a transport Act, do any or all of the following— search any part of the place; inspect anything in the place, including, for example, dangerous goods or packaging at the place; copy, or take an extract from, any or all of the following in the place— a document mentioned in subsection&#160;(2) (a) (i) ; transport documentation; a document, or a readout or other data obtained from anything, that the authorised officer reasonably believes provides, or on further inspection may provide, evidence of the offence.\n(sec.30A-ssec.5) For exercising a power under subsection&#160;(2) (b) or (4) (c) , the authorised officer may use photocopying equipment in the place free of charge.\n(sec.30A-ssec.6) Also, for exercising a power under subsection&#160;(2) or (4) , the authorised officer may— take the persons, equipment and materials the authorised officer reasonably requires for exercising the power into the place; or if the exercising of the power is because of a suspicion mentioned in section&#160;26A (2) or a belief and suspicion mentioned in section&#160;26A (3) —require a person involved in the transport of dangerous goods in relation to which the power is to be exercised to give the authorised officer reasonable help to exercise the power, whether or not the person is in or at the place.\n(sec.30A-ssec.7) A person must comply with a requirement made under subsection&#160;(6) (b) , unless the person has a reasonable excuse. Maximum penalty—60 penalty units.\n(sec.30A-ssec.8) A requirement under subsection&#160;(6) (b) does not include— a requirement to produce a document or give information; or a requirement to help the authorised officer find and gain access to a document or information. See sections&#160;49 , 49A and 50AB for powers about requiring or directing a person to produce a document, provide information or help an authorised officer find and gain access to a document or information.\n(sec.30A-ssec.9) Subsection&#160;(10) applies for the exercise of a power by an authorised officer under subsection&#160;(4) to decide if anything found at the place may be seized under division&#160;3 .\n(sec.30A-ssec.10) The authorised officer may move the thing to another place if— it is not practicable to exercise the power in relation to the thing at the place where it is found; or the occupier of the place where it is found consents in writing.\n(sec.30A-ssec.11) In this section— transport Act does not include the Queensland Road Rules .\n- (a) inspect— (i) a document that is required to be kept under a transport Act or an alternative compliance scheme; or (ii) a device that is required to be installed, used or maintained under a transport Act or an alternative compliance scheme;\n- (i) a document that is required to be kept under a transport Act or an alternative compliance scheme; or\n- (ii) a device that is required to be installed, used or maintained under a transport Act or an alternative compliance scheme;\n- (b) copy, or take an extract from, any or all of the following that are at the place— (i) a document mentioned in paragraph&#160;(a) (i) ; (ii) a readout or other data obtained from a device mentioned in paragraph&#160;(a) (ii) .\n- (i) a document mentioned in paragraph&#160;(a) (i) ;\n- (ii) a readout or other data obtained from a device mentioned in paragraph&#160;(a) (ii) .\n- (i) a document that is required to be kept under a transport Act or an alternative compliance scheme; or\n- (ii) a device that is required to be installed, used or maintained under a transport Act or an alternative compliance scheme;\n- (i) a document mentioned in paragraph&#160;(a) (i) ;\n- (ii) a readout or other data obtained from a device mentioned in paragraph&#160;(a) (ii) .\n- (a) the authorised officer has the belief and suspicion mentioned in section&#160;26A (3) in relation to the evidence; or\n- (b) the authorised officer has the belief mentioned in section&#160;26B (1) in relation to the evidence.\n- (a) search any part of the place;\n- (b) inspect anything in the place, including, for example, dangerous goods or packaging at the place;\n- (c) copy, or take an extract from, any or all of the following in the place— (i) a document mentioned in subsection&#160;(2) (a) (i) ; (ii) transport documentation; (iii) a document, or a readout or other data obtained from anything, that the authorised officer reasonably believes provides, or on further inspection may provide, evidence of the offence.\n- (i) a document mentioned in subsection&#160;(2) (a) (i) ;\n- (ii) transport documentation;\n- (iii) a document, or a readout or other data obtained from anything, that the authorised officer reasonably believes provides, or on further inspection may provide, evidence of the offence.\n- (i) a document mentioned in subsection&#160;(2) (a) (i) ;\n- (ii) transport documentation;\n- (iii) a document, or a readout or other data obtained from anything, that the authorised officer reasonably believes provides, or on further inspection may provide, evidence of the offence.\n- (a) take the persons, equipment and materials the authorised officer reasonably requires for exercising the power into the place; or\n- (b) if the exercising of the power is because of a suspicion mentioned in section&#160;26A (2) or a belief and suspicion mentioned in section&#160;26A (3) —require a person involved in the transport of dangerous goods in relation to which the power is to be exercised to give the authorised officer reasonable help to exercise the power, whether or not the person is in or at the place.\n- (a) a requirement to produce a document or give information; or\n- (b) a requirement to help the authorised officer find and gain access to a document or information.\n- (a) it is not practicable to exercise the power in relation to the thing at the place where it is found; or\n- (b) the occupier of the place where it is found consents in writing.","sortOrder":63},{"sectionNumber":"sec.30B","sectionType":"section","heading":"Using equipment for exercising power","content":"### sec.30B Using equipment for exercising power\n\nThis section applies for the exercise of a power under section&#160;30 or 30A in relation to a thing found in a place entered under this Act.\nAn authorised officer, or a person helping the authorised officer, may operate available equipment if the authorised officer or person reasonably believes—\nthe available equipment is suitable for exercising the power; and\nthe power can be exercised without damaging the available equipment or the thing.\nIn this section—\navailable equipment , for exercising a power in relation to a thing—\nmeans equipment that is—\nin or at the place in which the thing is found; or\ntaken onto the place under section&#160;30 (2) (e) or 30A (6) (a) ; or\nin another place to which the thing has been moved under section&#160;30 (6) or 30A (10) ; and\nincludes electronic equipment for accessing information contained on a thing found in or at the place.\ninformation contained on a disk, tape or other device\ns&#160;30B ins 2007 No.&#160;43 s&#160;38\n(sec.30B-ssec.1) This section applies for the exercise of a power under section&#160;30 or 30A in relation to a thing found in a place entered under this Act.\n(sec.30B-ssec.2) An authorised officer, or a person helping the authorised officer, may operate available equipment if the authorised officer or person reasonably believes— the available equipment is suitable for exercising the power; and the power can be exercised without damaging the available equipment or the thing.\n(sec.30B-ssec.3) In this section— available equipment , for exercising a power in relation to a thing— means equipment that is— in or at the place in which the thing is found; or taken onto the place under section&#160;30 (2) (e) or 30A (6) (a) ; or in another place to which the thing has been moved under section&#160;30 (6) or 30A (10) ; and includes electronic equipment for accessing information contained on a thing found in or at the place. information contained on a disk, tape or other device\n- (a) the available equipment is suitable for exercising the power; and\n- (b) the power can be exercised without damaging the available equipment or the thing.\n- (a) means equipment that is— (i) in or at the place in which the thing is found; or (ii) taken onto the place under section&#160;30 (2) (e) or 30A (6) (a) ; or (iii) in another place to which the thing has been moved under section&#160;30 (6) or 30A (10) ; and\n- (i) in or at the place in which the thing is found; or\n- (ii) taken onto the place under section&#160;30 (2) (e) or 30A (6) (a) ; or\n- (iii) in another place to which the thing has been moved under section&#160;30 (6) or 30A (10) ; and\n- (b) includes electronic equipment for accessing information contained on a thing found in or at the place. Example of information contained on a thing— information contained on a disk, tape or other device\n- (i) in or at the place in which the thing is found; or\n- (ii) taken onto the place under section&#160;30 (2) (e) or 30A (6) (a) ; or\n- (iii) in another place to which the thing has been moved under section&#160;30 (6) or 30A (10) ; and","sortOrder":64},{"sectionNumber":"ch.3-pt.3-div.2","sectionType":"division","heading":"Powers for vehicles","content":"## Powers for vehicles","sortOrder":65},{"sectionNumber":"sec.31","sectionType":"section","heading":"Power to stop private vehicles","content":"### sec.31 Power to stop private vehicles\n\nAn authorised officer, who is not a police officer, may require the person in control of a private vehicle to stop the vehicle—\nat a checkpoint—only if the vehicle is a type of vehicle that the officer is stopping at the checkpoint by reference to objective criteria that are part of a program approved under section&#160;47 ; or\nif the officer reasonably believes the vehicle does not comply with a transport Act; or\nif the officer reasonably believes the driver has just committed, or is committing, an offence against the Queensland Road Rules , section&#160;154 (1) or 156 (1) ; or\nif the officer reasonably believes—\nthe driver has just committed, is committing, or is about to commit an offence against the Transport Infrastructure Act 1994 , section&#160;46 or the Queensland Road Rules , section&#160;100 ; and\nthe officer reasonably believes making the requirement is necessary to prevent damage to road transport infrastructure or ensure the safety of road users or other persons.\nIn addition, an authorised officer may require the person in control of a private vehicle to stop the vehicle to find out whether the vehicle is carrying explosives within the meaning of the Explosives Act 1999 if—\nthe officer is also an inspector or an authorised officer under the Explosives Act 1999 ; and\nthe officer reasonably believes the vehicle is carrying explosives within the meaning of the Explosives Act 1999 .\nHowever, an authorised officer who is not a police officer may make a requirement under subsection&#160;(1) (a) or (b) or (2) during the day only.\nIn addition, an authorised officer who is not a police officer may only make a requirement under subsection&#160;(1) (c) on a business day during the period between 6a.m. and 7p.m.\nAlso, an authorised officer who is not a police officer and is not wearing a uniform approved by the chief executive may only exercise the powers of an authorised officer in relation to a private vehicle if the officer reasonably believes the vehicle is so dangerous as to be likely to cause the death of, or injury to, a person.\nA requirement may be made under subsection&#160;(1) or (2) in a way prescribed under a regulation.\nA person must comply with a requirement under subsection&#160;(1) or (2) , unless the person has a reasonable excuse.\nMaximum penalty—60 penalty units.\nIt is a reasonable excuse for a person not to comply with a requirement if—\nthe person reasonably believes that to immediately comply would endanger the person or someone else; and\nthe person complies with the requirement at the first reasonable opportunity.\nA regulation may impose restrictions on the stopping of private vehicles by authorised officers who are not police officers.\nIn this section—\nday means the period between sunrise and sunset on the same day.\ns&#160;31 amd 2000 No.&#160;5 s&#160;461 sch&#160;3 ; 2004 No.&#160;40 s&#160;12 ; 2007 No.&#160;43 s&#160;39 ; 2009 No.&#160;47 s&#160;31 ; 2011 No.&#160;12 s&#160;96 ; 2011 No.&#160;33 s&#160;27 ; 2019 No.&#160;7 s&#160;313 s ch&#160;1 pt&#160;3\n(sec.31-ssec.1) An authorised officer, who is not a police officer, may require the person in control of a private vehicle to stop the vehicle— at a checkpoint—only if the vehicle is a type of vehicle that the officer is stopping at the checkpoint by reference to objective criteria that are part of a program approved under section&#160;47 ; or if the officer reasonably believes the vehicle does not comply with a transport Act; or if the officer reasonably believes the driver has just committed, or is committing, an offence against the Queensland Road Rules , section&#160;154 (1) or 156 (1) ; or if the officer reasonably believes— the driver has just committed, is committing, or is about to commit an offence against the Transport Infrastructure Act 1994 , section&#160;46 or the Queensland Road Rules , section&#160;100 ; and the officer reasonably believes making the requirement is necessary to prevent damage to road transport infrastructure or ensure the safety of road users or other persons.\n(sec.31-ssec.2) In addition, an authorised officer may require the person in control of a private vehicle to stop the vehicle to find out whether the vehicle is carrying explosives within the meaning of the Explosives Act 1999 if— the officer is also an inspector or an authorised officer under the Explosives Act 1999 ; and the officer reasonably believes the vehicle is carrying explosives within the meaning of the Explosives Act 1999 .\n(sec.31-ssec.2A) However, an authorised officer who is not a police officer may make a requirement under subsection&#160;(1) (a) or (b) or (2) during the day only.\n(sec.31-ssec.2AA) In addition, an authorised officer who is not a police officer may only make a requirement under subsection&#160;(1) (c) on a business day during the period between 6a.m. and 7p.m.\n(sec.31-ssec.2B) Also, an authorised officer who is not a police officer and is not wearing a uniform approved by the chief executive may only exercise the powers of an authorised officer in relation to a private vehicle if the officer reasonably believes the vehicle is so dangerous as to be likely to cause the death of, or injury to, a person.\n(sec.31-ssec.3) A requirement may be made under subsection&#160;(1) or (2) in a way prescribed under a regulation.\n(sec.31-ssec.4) A person must comply with a requirement under subsection&#160;(1) or (2) , unless the person has a reasonable excuse. Maximum penalty—60 penalty units. It is a reasonable excuse for a person not to comply with a requirement if— the person reasonably believes that to immediately comply would endanger the person or someone else; and the person complies with the requirement at the first reasonable opportunity.\n(sec.31-ssec.5) A regulation may impose restrictions on the stopping of private vehicles by authorised officers who are not police officers.\n(sec.31-ssec.6) In this section— day means the period between sunrise and sunset on the same day.\n- (a) at a checkpoint—only if the vehicle is a type of vehicle that the officer is stopping at the checkpoint by reference to objective criteria that are part of a program approved under section&#160;47 ; or\n- (b) if the officer reasonably believes the vehicle does not comply with a transport Act; or\n- (c) if the officer reasonably believes the driver has just committed, or is committing, an offence against the Queensland Road Rules , section&#160;154 (1) or 156 (1) ; or\n- (d) if the officer reasonably believes— (i) the driver has just committed, is committing, or is about to commit an offence against the Transport Infrastructure Act 1994 , section&#160;46 or the Queensland Road Rules , section&#160;100 ; and (ii) the officer reasonably believes making the requirement is necessary to prevent damage to road transport infrastructure or ensure the safety of road users or other persons.\n- (i) the driver has just committed, is committing, or is about to commit an offence against the Transport Infrastructure Act 1994 , section&#160;46 or the Queensland Road Rules , section&#160;100 ; and\n- (ii) the officer reasonably believes making the requirement is necessary to prevent damage to road transport infrastructure or ensure the safety of road users or other persons.\n- (i) the driver has just committed, is committing, or is about to commit an offence against the Transport Infrastructure Act 1994 , section&#160;46 or the Queensland Road Rules , section&#160;100 ; and\n- (ii) the officer reasonably believes making the requirement is necessary to prevent damage to road transport infrastructure or ensure the safety of road users or other persons.\n- (a) the officer is also an inspector or an authorised officer under the Explosives Act 1999 ; and\n- (b) the officer reasonably believes the vehicle is carrying explosives within the meaning of the Explosives Act 1999 .\n- (a) the person reasonably believes that to immediately comply would endanger the person or someone else; and\n- (b) the person complies with the requirement at the first reasonable opportunity.","sortOrder":66},{"sectionNumber":"sec.32","sectionType":"section","heading":"Power to stop heavy vehicles or prescribed vehicles","content":"### sec.32 Power to stop heavy vehicles or prescribed vehicles\n\nAn authorised officer may require the person in control of a heavy vehicle or prescribed vehicle to stop the vehicle to check whether the vehicle or person is complying with a transport Act.\nIn addition, an authorised officer who is also an inspector or an authorised officer under the Explosives Act 1999 may require the person in control of a heavy vehicle or prescribed vehicle to stop the vehicle to check whether the vehicle is carrying explosives within the meaning of the Explosives Act 1999 .\nThe requirement may be made in a way prescribed under a regulation.\nWithout limiting subsection&#160;(3) , the requirement may require the person to move the vehicle in preparation for stopping it.\na requirement to change lanes\na requirement to exit a motorway at a particular exit\na requirement to enter a vehicle inspection site\nThe person must comply with the requirement, unless the person has a reasonable excuse.\nMaximum penalty—90 penalty units.\nWithout limiting section&#160;31 , a power under this section may be exercised in relation to a suspected dangerous goods vehicle as if it were a prescribed vehicle.\ns&#160;32 amd 2001 No.&#160;79 s&#160;93 ; 2004 No.&#160;9 s&#160;61 ; 2004 No.&#160;40 s&#160;13 ; 2007 No.&#160;43 s&#160;33 sch ; 2008 No.&#160;67 s&#160;51 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2013 No.&#160;26 s&#160;48 ; 2019 No.&#160;7 s&#160;313 s ch&#160;1 pt&#160;3\n(sec.32-ssec.1) An authorised officer may require the person in control of a heavy vehicle or prescribed vehicle to stop the vehicle to check whether the vehicle or person is complying with a transport Act.\n(sec.32-ssec.2) In addition, an authorised officer who is also an inspector or an authorised officer under the Explosives Act 1999 may require the person in control of a heavy vehicle or prescribed vehicle to stop the vehicle to check whether the vehicle is carrying explosives within the meaning of the Explosives Act 1999 .\n(sec.32-ssec.3) The requirement may be made in a way prescribed under a regulation.\n(sec.32-ssec.4) Without limiting subsection&#160;(3) , the requirement may require the person to move the vehicle in preparation for stopping it. a requirement to change lanes a requirement to exit a motorway at a particular exit a requirement to enter a vehicle inspection site\n(sec.32-ssec.5) The person must comply with the requirement, unless the person has a reasonable excuse. Maximum penalty—90 penalty units.\n(sec.32-ssec.6) Without limiting section&#160;31 , a power under this section may be exercised in relation to a suspected dangerous goods vehicle as if it were a prescribed vehicle.\n- • a requirement to change lanes\n- • a requirement to exit a motorway at a particular exit\n- • a requirement to enter a vehicle inspection site","sortOrder":67},{"sectionNumber":"sec.33","sectionType":"section","heading":"Requiring vehicle to be moved for exercising power","content":"### sec.33 Requiring vehicle to be moved for exercising power\n\nThis section applies to—\na motor vehicle, other than a heavy vehicle or a prescribed dangerous goods vehicle, that is stationary on a road or has been stopped under section&#160;31 or 32 ; and\nwithout limiting sections&#160;33A to 33C , a heavy vehicle or a prescribed dangerous goods vehicle that—\nis stationary in a following place—\na road or road-related area;\na public place;\nanother place occupied or owned by the State or a government entity;\nfor a prescribed dangerous goods vehicle—a prescribed place an authorised officer has entered under section&#160;26 or a place an authorised officer has entered under section&#160;26A or 26B ; or\nhas been stopped under—\nsection&#160;32 ; or\nthe Heavy Vehicle National Law (Queensland) .\nTo enable an authorised officer to exercise a power under a transport Act, the officer may require a person mentioned in paragraph&#160;(a) or (b) to move the vehicle, or cause it to be moved, to a stated reasonable place—\nfor a vehicle other than a heavy vehicle or a prescribed dangerous goods vehicle—the person in control of the vehicle; or\nfor a heavy vehicle or a prescribed dangerous goods vehicle—the person in control, or the operator, of the vehicle.\nThe authorised officer may require the person to move the vehicle onto a weighing device or to a testing device.\nHowever, the place must be—\nfor a private vehicle other than a suspected dangerous goods vehicle—within a 5km radius from where the vehicle was stationary or stopped; or\nfor a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle—within a 30km radius from—\nwhere the vehicle was stationary or stopped; or\nif the requirement is given in the course of the vehicle’s journey—any point along the forward route of the journey.\nA requirement under subsection&#160;(2) may be made orally or in any other way, including, for example—\nfor a requirement made to the person in control of a vehicle—by way of a sign or electronic or other signal; or\nfor a requirement made to the operator of a heavy vehicle or a prescribed dangerous goods vehicle—by telephone, facsimile, electronic mail or radio.\nThe person must comply with the requirement, unless the person has a reasonable excuse.\nMaximum penalty—\nfor a private vehicle other than a suspected dangerous goods vehicle—60 penalty units; or\nfor a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle—90 penalty units.\nFor a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle, if the person does not comply with the requirement, the officer may move the vehicle to the required place.\nIn this section—\nprescribed place , for a prescribed dangerous goods vehicle, means—\nany of the following places relating to a person involved in the transport of dangerous goods in the vehicle—\na place at or from which the person carries on a business;\na place that is occupied by the person in connection with a business carried on by the person;\nthe registered office of a business carried on by the person; or\na place that is—\nthe garage address for the vehicle; or\nwithout limiting subparagraph&#160;(i) , the base of the vehicle’s driver; or\na place where a document relating to the vehicle is located or required to be kept under a transport Act or alternative compliance scheme.\ns&#160;33 amd 1997 No.&#160;66 s&#160;114 ; 2007 No.&#160;25 s&#160;12 ; 2007 No.&#160;43 ss&#160;33 sch , 40; 2008 No.&#160;67 s&#160;52 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2013 No.&#160;26 s&#160;49\n(sec.33-ssec.1) This section applies to— a motor vehicle, other than a heavy vehicle or a prescribed dangerous goods vehicle, that is stationary on a road or has been stopped under section&#160;31 or 32 ; and without limiting sections&#160;33A to 33C , a heavy vehicle or a prescribed dangerous goods vehicle that— is stationary in a following place— a road or road-related area; a public place; another place occupied or owned by the State or a government entity; for a prescribed dangerous goods vehicle—a prescribed place an authorised officer has entered under section&#160;26 or a place an authorised officer has entered under section&#160;26A or 26B ; or has been stopped under— section&#160;32 ; or the Heavy Vehicle National Law (Queensland) .\n(sec.33-ssec.2) To enable an authorised officer to exercise a power under a transport Act, the officer may require a person mentioned in paragraph&#160;(a) or (b) to move the vehicle, or cause it to be moved, to a stated reasonable place— for a vehicle other than a heavy vehicle or a prescribed dangerous goods vehicle—the person in control of the vehicle; or for a heavy vehicle or a prescribed dangerous goods vehicle—the person in control, or the operator, of the vehicle. The authorised officer may require the person to move the vehicle onto a weighing device or to a testing device.\n(sec.33-ssec.3) However, the place must be— for a private vehicle other than a suspected dangerous goods vehicle—within a 5km radius from where the vehicle was stationary or stopped; or for a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle—within a 30km radius from— where the vehicle was stationary or stopped; or if the requirement is given in the course of the vehicle’s journey—any point along the forward route of the journey.\n(sec.33-ssec.3A) A requirement under subsection&#160;(2) may be made orally or in any other way, including, for example— for a requirement made to the person in control of a vehicle—by way of a sign or electronic or other signal; or for a requirement made to the operator of a heavy vehicle or a prescribed dangerous goods vehicle—by telephone, facsimile, electronic mail or radio.\n(sec.33-ssec.4) The person must comply with the requirement, unless the person has a reasonable excuse. Maximum penalty— for a private vehicle other than a suspected dangerous goods vehicle—60 penalty units; or for a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle—90 penalty units.\n(sec.33-ssec.5) For a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle, if the person does not comply with the requirement, the officer may move the vehicle to the required place.\n(sec.33-ssec.6) In this section— prescribed place , for a prescribed dangerous goods vehicle, means— any of the following places relating to a person involved in the transport of dangerous goods in the vehicle— a place at or from which the person carries on a business; a place that is occupied by the person in connection with a business carried on by the person; the registered office of a business carried on by the person; or a place that is— the garage address for the vehicle; or without limiting subparagraph&#160;(i) , the base of the vehicle’s driver; or a place where a document relating to the vehicle is located or required to be kept under a transport Act or alternative compliance scheme.\n- (a) a motor vehicle, other than a heavy vehicle or a prescribed dangerous goods vehicle, that is stationary on a road or has been stopped under section&#160;31 or 32 ; and\n- (b) without limiting sections&#160;33A to 33C , a heavy vehicle or a prescribed dangerous goods vehicle that— (i) is stationary in a following place— (A) a road or road-related area; (B) a public place; (C) another place occupied or owned by the State or a government entity; (D) for a prescribed dangerous goods vehicle—a prescribed place an authorised officer has entered under section&#160;26 or a place an authorised officer has entered under section&#160;26A or 26B ; or (ii) has been stopped under— (A) section&#160;32 ; or (B) the Heavy Vehicle National Law (Queensland) .\n- (i) is stationary in a following place— (A) a road or road-related area; (B) a public place; (C) another place occupied or owned by the State or a government entity; (D) for a prescribed dangerous goods vehicle—a prescribed place an authorised officer has entered under section&#160;26 or a place an authorised officer has entered under section&#160;26A or 26B ; or\n- (A) a road or road-related area;\n- (B) a public place;\n- (C) another place occupied or owned by the State or a government entity;\n- (D) for a prescribed dangerous goods vehicle—a prescribed place an authorised officer has entered under section&#160;26 or a place an authorised officer has entered under section&#160;26A or 26B ; or\n- (ii) has been stopped under— (A) section&#160;32 ; or (B) the Heavy Vehicle National Law (Queensland) .\n- (A) section&#160;32 ; or\n- (B) the Heavy Vehicle National Law (Queensland) .\n- (i) is stationary in a following place— (A) a road or road-related area; (B) a public place; (C) another place occupied or owned by the State or a government entity; (D) for a prescribed dangerous goods vehicle—a prescribed place an authorised officer has entered under section&#160;26 or a place an authorised officer has entered under section&#160;26A or 26B ; or\n- (A) a road or road-related area;\n- (B) a public place;\n- (C) another place occupied or owned by the State or a government entity;\n- (D) for a prescribed dangerous goods vehicle—a prescribed place an authorised officer has entered under section&#160;26 or a place an authorised officer has entered under section&#160;26A or 26B ; or\n- (ii) has been stopped under— (A) section&#160;32 ; or (B) the Heavy Vehicle National Law (Queensland) .\n- (A) section&#160;32 ; or\n- (B) the Heavy Vehicle National Law (Queensland) .\n- (A) a road or road-related area;\n- (B) a public place;\n- (C) another place occupied or owned by the State or a government entity;\n- (D) for a prescribed dangerous goods vehicle—a prescribed place an authorised officer has entered under section&#160;26 or a place an authorised officer has entered under section&#160;26A or 26B ; or\n- (A) section&#160;32 ; or\n- (B) the Heavy Vehicle National Law (Queensland) .\n- (a) for a vehicle other than a heavy vehicle or a prescribed dangerous goods vehicle—the person in control of the vehicle; or\n- (b) for a heavy vehicle or a prescribed dangerous goods vehicle—the person in control, or the operator, of the vehicle.\n- (a) for a private vehicle other than a suspected dangerous goods vehicle—within a 5km radius from where the vehicle was stationary or stopped; or\n- (b) for a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle—within a 30km radius from— (i) where the vehicle was stationary or stopped; or (ii) if the requirement is given in the course of the vehicle’s journey—any point along the forward route of the journey.\n- (i) where the vehicle was stationary or stopped; or\n- (ii) if the requirement is given in the course of the vehicle’s journey—any point along the forward route of the journey.\n- (i) where the vehicle was stationary or stopped; or\n- (ii) if the requirement is given in the course of the vehicle’s journey—any point along the forward route of the journey.\n- (a) for a requirement made to the person in control of a vehicle—by way of a sign or electronic or other signal; or\n- (b) for a requirement made to the operator of a heavy vehicle or a prescribed dangerous goods vehicle—by telephone, facsimile, electronic mail or radio.\n- (a) for a private vehicle other than a suspected dangerous goods vehicle—60 penalty units; or\n- (b) for a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle—90 penalty units.\n- (a) any of the following places relating to a person involved in the transport of dangerous goods in the vehicle— (i) a place at or from which the person carries on a business; (ii) a place that is occupied by the person in connection with a business carried on by the person; (iii) the registered office of a business carried on by the person; or\n- (i) a place at or from which the person carries on a business;\n- (ii) a place that is occupied by the person in connection with a business carried on by the person;\n- (iii) the registered office of a business carried on by the person; or\n- (b) a place that is— (i) the garage address for the vehicle; or (ii) without limiting subparagraph&#160;(i) , the base of the vehicle’s driver; or\n- (i) the garage address for the vehicle; or\n- (ii) without limiting subparagraph&#160;(i) , the base of the vehicle’s driver; or\n- (c) a place where a document relating to the vehicle is located or required to be kept under a transport Act or alternative compliance scheme.\n- (i) a place at or from which the person carries on a business;\n- (ii) a place that is occupied by the person in connection with a business carried on by the person;\n- (iii) the registered office of a business carried on by the person; or\n- (i) the garage address for the vehicle; or\n- (ii) without limiting subparagraph&#160;(i) , the base of the vehicle’s driver; or","sortOrder":68},{"sectionNumber":"sec.33A","sectionType":"section","heading":"Requiring prescribed dangerous goods vehicle to be moved if causing harm or obstruction etc.","content":"### sec.33A Requiring prescribed dangerous goods vehicle to be moved if causing harm or obstruction etc.\n\nThis section applies if—\na prescribed dangerous goods vehicle is stationary in a following place—\na road or road-related area;\na public place;\nanother place occupied or owned by the State or a government entity;\na prescribed place an authorised officer has entered under section&#160;26 ;\na place an authorised officer has entered under section&#160;26A or 26B ; and\nthe authorised officer reasonably believes the vehicle—\nis causing, or creating a risk of, serious harm to public safety, the environment or road infrastructure; or\nis causing, or likely to cause, an obstruction to—\ntraffic; or\nan event lawfully authorised to be held on the road; or\na vehicle entering or leaving land adjacent to the road.\nThe authorised officer may require the person in control, or the operator, of the vehicle to do either or both of the following—\nmove the vehicle, or cause it to be moved, to the extent necessary to avoid the harm or obstruction;\ndo, or cause to be done, anything else the officer reasonably requires to avoid the harm or obstruction.\nA requirement under subsection&#160;(2) may be made in a way mentioned in section&#160;33 (3A) .\nThe person must comply with the requirement, unless the person has a reasonable excuse.\nMaximum penalty—90 penalty units.\nWithout limiting what may be a reasonable excuse for subsection&#160;(4) , in a proceeding for an offence against the subsection, it is a defence if the person charged with the offence proves—\nit was not possible to move the vehicle because it was broken down; and\nthe breakdown happened for a physical reason beyond the person’s control; and\nthe breakdown could not be readily rectified in a way that would enable the requirement to be complied with within a reasonable time.\nIn this section—\nprescribed place see section&#160;33 (6) .\ns&#160;33A ins 2007 No.&#160;43 s&#160;41\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2008 No.&#160;67 s&#160;53 ; 2013 No.&#160;26 s&#160;50\n(sec.33A-ssec.1) This section applies if— a prescribed dangerous goods vehicle is stationary in a following place— a road or road-related area; a public place; another place occupied or owned by the State or a government entity; a prescribed place an authorised officer has entered under section&#160;26 ; a place an authorised officer has entered under section&#160;26A or 26B ; and the authorised officer reasonably believes the vehicle— is causing, or creating a risk of, serious harm to public safety, the environment or road infrastructure; or is causing, or likely to cause, an obstruction to— traffic; or an event lawfully authorised to be held on the road; or a vehicle entering or leaving land adjacent to the road.\n(sec.33A-ssec.2) The authorised officer may require the person in control, or the operator, of the vehicle to do either or both of the following— move the vehicle, or cause it to be moved, to the extent necessary to avoid the harm or obstruction; do, or cause to be done, anything else the officer reasonably requires to avoid the harm or obstruction.\n(sec.33A-ssec.3) A requirement under subsection&#160;(2) may be made in a way mentioned in section&#160;33 (3A) .\n(sec.33A-ssec.4) The person must comply with the requirement, unless the person has a reasonable excuse. Maximum penalty—90 penalty units.\n(sec.33A-ssec.5) Without limiting what may be a reasonable excuse for subsection&#160;(4) , in a proceeding for an offence against the subsection, it is a defence if the person charged with the offence proves— it was not possible to move the vehicle because it was broken down; and the breakdown happened for a physical reason beyond the person’s control; and the breakdown could not be readily rectified in a way that would enable the requirement to be complied with within a reasonable time.\n(sec.33A-ssec.6) In this section— prescribed place see section&#160;33 (6) .\n- (a) a prescribed dangerous goods vehicle is stationary in a following place— (i) a road or road-related area; (ii) a public place; (iii) another place occupied or owned by the State or a government entity; (iv) a prescribed place an authorised officer has entered under section&#160;26 ; (v) a place an authorised officer has entered under section&#160;26A or 26B ; and\n- (i) a road or road-related area;\n- (ii) a public place;\n- (iii) another place occupied or owned by the State or a government entity;\n- (iv) a prescribed place an authorised officer has entered under section&#160;26 ;\n- (v) a place an authorised officer has entered under section&#160;26A or 26B ; and\n- (b) the authorised officer reasonably believes the vehicle— (i) is causing, or creating a risk of, serious harm to public safety, the environment or road infrastructure; or (ii) is causing, or likely to cause, an obstruction to— (A) traffic; or (B) an event lawfully authorised to be held on the road; or (C) a vehicle entering or leaving land adjacent to the road.\n- (i) is causing, or creating a risk of, serious harm to public safety, the environment or road infrastructure; or\n- (ii) is causing, or likely to cause, an obstruction to— (A) traffic; or (B) an event lawfully authorised to be held on the road; or (C) a vehicle entering or leaving land adjacent to the road.\n- (A) traffic; or\n- (B) an event lawfully authorised to be held on the road; or\n- (C) a vehicle entering or leaving land adjacent to the road.\n- (i) a road or road-related area;\n- (ii) a public place;\n- (iii) another place occupied or owned by the State or a government entity;\n- (iv) a prescribed place an authorised officer has entered under section&#160;26 ;\n- (v) a place an authorised officer has entered under section&#160;26A or 26B ; and\n- (i) is causing, or creating a risk of, serious harm to public safety, the environment or road infrastructure; or\n- (ii) is causing, or likely to cause, an obstruction to— (A) traffic; or (B) an event lawfully authorised to be held on the road; or (C) a vehicle entering or leaving land adjacent to the road.\n- (A) traffic; or\n- (B) an event lawfully authorised to be held on the road; or\n- (C) a vehicle entering or leaving land adjacent to the road.\n- (A) traffic; or\n- (B) an event lawfully authorised to be held on the road; or\n- (C) a vehicle entering or leaving land adjacent to the road.\n- (a) move the vehicle, or cause it to be moved, to the extent necessary to avoid the harm or obstruction;\n- (b) do, or cause to be done, anything else the officer reasonably requires to avoid the harm or obstruction.\n- (a) it was not possible to move the vehicle because it was broken down; and\n- (b) the breakdown happened for a physical reason beyond the person’s control; and\n- (c) the breakdown could not be readily rectified in a way that would enable the requirement to be complied with within a reasonable time.","sortOrder":69},{"sectionNumber":"sec.33B","sectionType":"section","heading":"Moving unattended prescribed dangerous goods vehicle on road","content":"### sec.33B Moving unattended prescribed dangerous goods vehicle on road\n\nThis section applies if an authorised officer—\nreasonably believes that a prescribed dangerous goods vehicle on a road is unattended; and\nintends to exercise a power under this Act in relation to the vehicle; and\nreasonably believes it is necessary to move the vehicle to enable the exercise of the power.\nThe authorised officer may take the steps that are reasonably necessary to move the vehicle on the road, or to remove the vehicle from the road, to enable the exercise of the power.\ndriving, pushing or towing the vehicle\nDespite subsection&#160;(2) , the authorised officer may only drive, or authorise someone else (the assistant ) to drive, the vehicle if the authorised officer or assistant is qualified and fit to drive it.\nIt is immaterial that—\nthe assistant is not the operator of the vehicle; or\nthe authorised officer or assistant is not authorised by the operator to drive it.\nIf the authorised officer asks a service or towing vehicle operator to move or remove the vehicle, the service or towing vehicle operator may take the steps that are reasonably necessary to move or remove the vehicle, as requested.\nThe authorised officer, the assistant or a service or towing vehicle operator mentioned in subsection&#160;(5) may use the force that is reasonably necessary to do any or all of the following—\nopen unlocked doors and other unlocked panels and things in the vehicle;\ngain access to the vehicle, its engine or other mechanical components to enable it to be moved;\nenable the vehicle to be towed.\nSubsection&#160;(6) does not authorise an authorised officer, assistant or service or towing vehicle operator to use force against a person.\nIn this section—\nroad includes a road-related area.\ns&#160;33B ins 2007 No.&#160;43 s&#160;41\namd 2008 No.&#160;67 s&#160;54 ; 2013 No.&#160;26 s&#160;51\n(sec.33B-ssec.1) This section applies if an authorised officer— reasonably believes that a prescribed dangerous goods vehicle on a road is unattended; and intends to exercise a power under this Act in relation to the vehicle; and reasonably believes it is necessary to move the vehicle to enable the exercise of the power.\n(sec.33B-ssec.2) The authorised officer may take the steps that are reasonably necessary to move the vehicle on the road, or to remove the vehicle from the road, to enable the exercise of the power. driving, pushing or towing the vehicle\n(sec.33B-ssec.3) Despite subsection&#160;(2) , the authorised officer may only drive, or authorise someone else (the assistant ) to drive, the vehicle if the authorised officer or assistant is qualified and fit to drive it.\n(sec.33B-ssec.4) It is immaterial that— the assistant is not the operator of the vehicle; or the authorised officer or assistant is not authorised by the operator to drive it.\n(sec.33B-ssec.5) If the authorised officer asks a service or towing vehicle operator to move or remove the vehicle, the service or towing vehicle operator may take the steps that are reasonably necessary to move or remove the vehicle, as requested.\n(sec.33B-ssec.6) The authorised officer, the assistant or a service or towing vehicle operator mentioned in subsection&#160;(5) may use the force that is reasonably necessary to do any or all of the following— open unlocked doors and other unlocked panels and things in the vehicle; gain access to the vehicle, its engine or other mechanical components to enable it to be moved; enable the vehicle to be towed.\n(sec.33B-ssec.7) Subsection&#160;(6) does not authorise an authorised officer, assistant or service or towing vehicle operator to use force against a person.\n(sec.33B-ssec.8) In this section— road includes a road-related area.\n- (a) reasonably believes that a prescribed dangerous goods vehicle on a road is unattended; and\n- (b) intends to exercise a power under this Act in relation to the vehicle; and\n- (c) reasonably believes it is necessary to move the vehicle to enable the exercise of the power.\n- (a) the assistant is not the operator of the vehicle; or\n- (b) the authorised officer or assistant is not authorised by the operator to drive it.\n- (a) open unlocked doors and other unlocked panels and things in the vehicle;\n- (b) gain access to the vehicle, its engine or other mechanical components to enable it to be moved;\n- (c) enable the vehicle to be towed.","sortOrder":70},{"sectionNumber":"sec.33C","sectionType":"section","heading":"Moving other stationary prescribed dangerous goods vehicle if causing harm or obstruction etc.","content":"### sec.33C Moving other stationary prescribed dangerous goods vehicle if causing harm or obstruction etc.\n\nThis section applies if an authorised officer reasonably believes the following about a vehicle—\nthe vehicle is a prescribed dangerous goods vehicle in any of the following places—\na road or road-related area;\na public place;\nanother place occupied or owned by the State or a government entity;\na prescribed place an authorised officer has entered under section&#160;26 ;\na place an authorised officer has entered under section&#160;26A or 26B ;\nthe vehicle is unattended or broken down;\nthe vehicle—\nis causing, or creating an imminent risk of, serious harm to public safety, the environment or road infrastructure; or\nis causing, or likely to cause, an obstruction to—\ntraffic; or\nan event lawfully authorised to be held on the road; or\na vehicle entering or leaving land adjacent to the road.\nThe authorised officer may move or authorise someone else (the assistant ) to move the vehicle or, if it is a combination, any vehicle forming part of the combination, to the extent it is reasonably necessary to avoid the harm or obstruction.\nby driving, pushing or towing the vehicle\nThe authorised officer or assistant may—\nenter the vehicle to enable the authorised officer or assistant to move it; and\nfor a combination—separate any or all of the vehicles forming part of the combination for the purpose of moving them.\nThe authorised officer may drive the vehicle or authorise someone else (also the assistant ) to drive it if the authorised officer reasonably believes—\nthe vehicle is driveable; and\nthere is no-one else in or near the vehicle who is more capable of driving it and fit and willing to drive it.\nIt is immaterial that—\nthe assistant is not the operator of the vehicle; or\nthe authorised officer or assistant is not authorised by the operator to drive the vehicle or qualified to drive it.\nIn driving the vehicle under subsection&#160;(4) , the authorised officer or assistant is exempt from a provision of a transport Act to the extent the provision would require the authorised officer or assistant to be licensed to drive the vehicle.\nThe authorised officer or assistant mentioned in subsection&#160;(2) or (4) may use the force that is reasonably necessary to the extent it is reasonably necessary to avoid the harm or obstruction.\nSubsection&#160;(7) does not authorise an authorised officer or assistant to use force against a person.\nIn this section—\nprescribed place , in relation to a prescribed dangerous goods vehicle, means—\nany of the following places relating to a person involved in the transport of dangerous goods in the vehicle—\na place at or from which the person carries on a business;\na place that is occupied by the person in connection with a business carried on by the person;\nthe registered office of a business carried on by the person; or\na place that is—\nthe garage address for the vehicle; or\nwithout limiting subparagraph&#160;(i) , the base of the vehicle’s driver; or\na place where a document relating to the vehicle is located or required to be kept under a transport Act or alternative compliance scheme.\ns&#160;33C ins 2007 No.&#160;43 s&#160;41\namd 2008 No.&#160;67 s&#160;55 ; 2013 No.&#160;26 s&#160;52\n(sec.33C-ssec.1) This section applies if an authorised officer reasonably believes the following about a vehicle— the vehicle is a prescribed dangerous goods vehicle in any of the following places— a road or road-related area; a public place; another place occupied or owned by the State or a government entity; a prescribed place an authorised officer has entered under section&#160;26 ; a place an authorised officer has entered under section&#160;26A or 26B ; the vehicle is unattended or broken down; the vehicle— is causing, or creating an imminent risk of, serious harm to public safety, the environment or road infrastructure; or is causing, or likely to cause, an obstruction to— traffic; or an event lawfully authorised to be held on the road; or a vehicle entering or leaving land adjacent to the road.\n(sec.33C-ssec.2) The authorised officer may move or authorise someone else (the assistant ) to move the vehicle or, if it is a combination, any vehicle forming part of the combination, to the extent it is reasonably necessary to avoid the harm or obstruction. by driving, pushing or towing the vehicle\n(sec.33C-ssec.3) The authorised officer or assistant may— enter the vehicle to enable the authorised officer or assistant to move it; and for a combination—separate any or all of the vehicles forming part of the combination for the purpose of moving them.\n(sec.33C-ssec.4) The authorised officer may drive the vehicle or authorise someone else (also the assistant ) to drive it if the authorised officer reasonably believes— the vehicle is driveable; and there is no-one else in or near the vehicle who is more capable of driving it and fit and willing to drive it.\n(sec.33C-ssec.5) It is immaterial that— the assistant is not the operator of the vehicle; or the authorised officer or assistant is not authorised by the operator to drive the vehicle or qualified to drive it.\n(sec.33C-ssec.6) In driving the vehicle under subsection&#160;(4) , the authorised officer or assistant is exempt from a provision of a transport Act to the extent the provision would require the authorised officer or assistant to be licensed to drive the vehicle.\n(sec.33C-ssec.7) The authorised officer or assistant mentioned in subsection&#160;(2) or (4) may use the force that is reasonably necessary to the extent it is reasonably necessary to avoid the harm or obstruction.\n(sec.33C-ssec.8) Subsection&#160;(7) does not authorise an authorised officer or assistant to use force against a person.\n(sec.33C-ssec.9) In this section— prescribed place , in relation to a prescribed dangerous goods vehicle, means— any of the following places relating to a person involved in the transport of dangerous goods in the vehicle— a place at or from which the person carries on a business; a place that is occupied by the person in connection with a business carried on by the person; the registered office of a business carried on by the person; or a place that is— the garage address for the vehicle; or without limiting subparagraph&#160;(i) , the base of the vehicle’s driver; or a place where a document relating to the vehicle is located or required to be kept under a transport Act or alternative compliance scheme.\n- (a) the vehicle is a prescribed dangerous goods vehicle in any of the following places— (i) a road or road-related area; (ii) a public place; (iii) another place occupied or owned by the State or a government entity; (iv) a prescribed place an authorised officer has entered under section&#160;26 ; (v) a place an authorised officer has entered under section&#160;26A or 26B ;\n- (i) a road or road-related area;\n- (ii) a public place;\n- (iii) another place occupied or owned by the State or a government entity;\n- (iv) a prescribed place an authorised officer has entered under section&#160;26 ;\n- (v) a place an authorised officer has entered under section&#160;26A or 26B ;\n- (b) the vehicle is unattended or broken down;\n- (c) the vehicle— (i) is causing, or creating an imminent risk of, serious harm to public safety, the environment or road infrastructure; or (ii) is causing, or likely to cause, an obstruction to— (A) traffic; or (B) an event lawfully authorised to be held on the road; or (C) a vehicle entering or leaving land adjacent to the road.\n- (i) is causing, or creating an imminent risk of, serious harm to public safety, the environment or road infrastructure; or\n- (ii) is causing, or likely to cause, an obstruction to— (A) traffic; or (B) an event lawfully authorised to be held on the road; or (C) a vehicle entering or leaving land adjacent to the road.\n- (A) traffic; or\n- (B) an event lawfully authorised to be held on the road; or\n- (C) a vehicle entering or leaving land adjacent to the road.\n- (i) a road or road-related area;\n- (ii) a public place;\n- (iii) another place occupied or owned by the State or a government entity;\n- (iv) a prescribed place an authorised officer has entered under section&#160;26 ;\n- (v) a place an authorised officer has entered under section&#160;26A or 26B ;\n- (i) is causing, or creating an imminent risk of, serious harm to public safety, the environment or road infrastructure; or\n- (ii) is causing, or likely to cause, an obstruction to— (A) traffic; or (B) an event lawfully authorised to be held on the road; or (C) a vehicle entering or leaving land adjacent to the road.\n- (A) traffic; or\n- (B) an event lawfully authorised to be held on the road; or\n- (C) a vehicle entering or leaving land adjacent to the road.\n- (A) traffic; or\n- (B) an event lawfully authorised to be held on the road; or\n- (C) a vehicle entering or leaving land adjacent to the road.\n- (a) enter the vehicle to enable the authorised officer or assistant to move it; and\n- (b) for a combination—separate any or all of the vehicles forming part of the combination for the purpose of moving them.\n- (a) the vehicle is driveable; and\n- (b) there is no-one else in or near the vehicle who is more capable of driving it and fit and willing to drive it.\n- (a) the assistant is not the operator of the vehicle; or\n- (b) the authorised officer or assistant is not authorised by the operator to drive the vehicle or qualified to drive it.\n- (a) any of the following places relating to a person involved in the transport of dangerous goods in the vehicle— (i) a place at or from which the person carries on a business; (ii) a place that is occupied by the person in connection with a business carried on by the person; (iii) the registered office of a business carried on by the person; or\n- (i) a place at or from which the person carries on a business;\n- (ii) a place that is occupied by the person in connection with a business carried on by the person;\n- (iii) the registered office of a business carried on by the person; or\n- (b) a place that is— (i) the garage address for the vehicle; or (ii) without limiting subparagraph&#160;(i) , the base of the vehicle’s driver; or\n- (i) the garage address for the vehicle; or\n- (ii) without limiting subparagraph&#160;(i) , the base of the vehicle’s driver; or\n- (c) a place where a document relating to the vehicle is located or required to be kept under a transport Act or alternative compliance scheme.\n- (i) a place at or from which the person carries on a business;\n- (ii) a place that is occupied by the person in connection with a business carried on by the person;\n- (iii) the registered office of a business carried on by the person; or\n- (i) the garage address for the vehicle; or\n- (ii) without limiting subparagraph&#160;(i) , the base of the vehicle’s driver; or","sortOrder":71},{"sectionNumber":"sec.33D","sectionType":"section","heading":"Power if prescribed dangerous goods vehicle broken down or immobilised on a road","content":"### sec.33D Power if prescribed dangerous goods vehicle broken down or immobilised on a road\n\nThis section applies if an authorised officer reasonably believes—\na prescribed dangerous goods vehicle is broken down or immobilised on a road or road-related area; and\nit is necessary to give a direction under subsection&#160;(2) to a person in control of the vehicle to protect persons, property or the environment.\nThe authorised officer may give a direction to the person in control of the vehicle about the following—\ncarrying out repair work on the vehicle;\ntowing the vehicle off the road or road-related area;\nremoving the dangerous goods from the vehicle;\ndealing with the dangerous goods after their removal from the vehicle.\nA person given a direction under subsection&#160;(2) must comply with it, unless the person has a reasonable excuse.\nMaximum penalty—60 penalty units.\ns&#160;33D ins 2008 No.&#160;67 s&#160;56\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;2\n(sec.33D-ssec.1) This section applies if an authorised officer reasonably believes— a prescribed dangerous goods vehicle is broken down or immobilised on a road or road-related area; and it is necessary to give a direction under subsection&#160;(2) to a person in control of the vehicle to protect persons, property or the environment.\n(sec.33D-ssec.2) The authorised officer may give a direction to the person in control of the vehicle about the following— carrying out repair work on the vehicle; towing the vehicle off the road or road-related area; removing the dangerous goods from the vehicle; dealing with the dangerous goods after their removal from the vehicle.\n(sec.33D-ssec.3) A person given a direction under subsection&#160;(2) must comply with it, unless the person has a reasonable excuse. Maximum penalty—60 penalty units.\n- (a) a prescribed dangerous goods vehicle is broken down or immobilised on a road or road-related area; and\n- (b) it is necessary to give a direction under subsection&#160;(2) to a person in control of the vehicle to protect persons, property or the environment.\n- (a) carrying out repair work on the vehicle;\n- (b) towing the vehicle off the road or road-related area;\n- (c) removing the dangerous goods from the vehicle;\n- (d) dealing with the dangerous goods after their removal from the vehicle.","sortOrder":72},{"sectionNumber":"sec.34","sectionType":"section","heading":"Power to inspect vehicles","content":"### sec.34 Power to inspect vehicles\n\nThis section applies to a motor vehicle that—\nis stationary on a road; or\nhas been stopped under—\nsection&#160;31 or 32 ; or\nthe Heavy Vehicle National Law (Queensland) ; or\nis in a place that—\nan authorised officer has entered under section&#160;26 ; or\nan authorised officer who is also an authorised officer under the Heavy Vehicle National Law (Queensland) has entered under that Law; or\nan authorised officer has entered under the Tow Truck Act 2023 , section&#160;85 .\nTo check whether the vehicle complies with a transport Act, an authorised officer may inspect or test it.\nTo enable the officer to inspect or test the vehicle, the officer may do anything reasonable to be done for the inspection or test.\nThe officer may—\nenter the vehicle; or\nunlock, unfasten, open or remove any part of it; or\nmove its load.\ns&#160;34 amd 1997 No.&#160;66 s&#160;115 ; 2007 No.&#160;43 s&#160;42 ; 2013 No.&#160;26 s&#160;53 ; 2023 No.&#160;28 s&#160;198\n(sec.34-ssec.1) This section applies to a motor vehicle that— is stationary on a road; or has been stopped under— section&#160;31 or 32 ; or the Heavy Vehicle National Law (Queensland) ; or is in a place that— an authorised officer has entered under section&#160;26 ; or an authorised officer who is also an authorised officer under the Heavy Vehicle National Law (Queensland) has entered under that Law; or an authorised officer has entered under the Tow Truck Act 2023 , section&#160;85 .\n(sec.34-ssec.2) To check whether the vehicle complies with a transport Act, an authorised officer may inspect or test it.\n(sec.34-ssec.3) To enable the officer to inspect or test the vehicle, the officer may do anything reasonable to be done for the inspection or test. The officer may— enter the vehicle; or unlock, unfasten, open or remove any part of it; or move its load.\n- (a) is stationary on a road; or\n- (b) has been stopped under— (i) section&#160;31 or 32 ; or (ii) the Heavy Vehicle National Law (Queensland) ; or\n- (i) section&#160;31 or 32 ; or\n- (ii) the Heavy Vehicle National Law (Queensland) ; or\n- (c) is in a place that— (i) an authorised officer has entered under section&#160;26 ; or (ii) an authorised officer who is also an authorised officer under the Heavy Vehicle National Law (Queensland) has entered under that Law; or (iii) an authorised officer has entered under the Tow Truck Act 2023 , section&#160;85 .\n- (i) an authorised officer has entered under section&#160;26 ; or\n- (ii) an authorised officer who is also an authorised officer under the Heavy Vehicle National Law (Queensland) has entered under that Law; or\n- (iii) an authorised officer has entered under the Tow Truck Act 2023 , section&#160;85 .\n- (i) section&#160;31 or 32 ; or\n- (ii) the Heavy Vehicle National Law (Queensland) ; or\n- (i) an authorised officer has entered under section&#160;26 ; or\n- (ii) an authorised officer who is also an authorised officer under the Heavy Vehicle National Law (Queensland) has entered under that Law; or\n- (iii) an authorised officer has entered under the Tow Truck Act 2023 , section&#160;85 .\n- (a) enter the vehicle; or\n- (b) unlock, unfasten, open or remove any part of it; or\n- (c) move its load.","sortOrder":73},{"sectionNumber":"sec.35","sectionType":"section","heading":"Power to enter vehicles etc. other than for vehicle inspection","content":"### sec.35 Power to enter vehicles etc. other than for vehicle inspection\n\nThis section applies to an authorised officer who reasonably believes—\na vehicle in any of the following places is used, or is being used, to transport dangerous goods—\na place the officer has entered under section&#160;26 ;\na place the officer has, as an authorised officer under the Heavy Vehicle National Law (Queensland) , entered under that Law;\na place the officer has entered under the Tow Truck Act 2023 , section&#160;85 ; or\na heavy vehicle or a prescribed vehicle is being, or has just been, used to transport dangerous goods; or\na vehicle is being, or has just been, used to commit an offence against a transport Act; or\na vehicle, or a thing in the vehicle, may provide evidence of an offence against a transport Act that is being, or has just been, committed.\nThe officer may, for enforcing a transport Act—\nenter the vehicle, using necessary and reasonable help and force; or\nIn addition, to enable the vehicle to be entered, the officer may stop the vehicle under section&#160;31 (Power to stop private vehicles) or 32 (Power to stop heavy vehicles or prescribed vehicles).\nsearch any part of the vehicle; or\ninspect, measure, weigh, test, photograph or film the vehicle or anything in the vehicle; or\ntake samples of the vehicle or anything in the vehicle; or\ncopy, or take an extract from, a document in the vehicle; or\ndownload information contained on a disk, tape or other device in the vehicle\nmove the vehicle’s load; or\ntake the persons, equipment and materials the officer reasonably requires into the vehicle.\nSubsections&#160;(2B) and (2C) apply if—\nthe vehicle is a heavy vehicle or a prescribed dangerous goods vehicle; and\nthe officer is not a police officer and reasonably believes the vehicle has, or may have, been involved in an incident involving the death of, or injury to, a person or damage to property.\nThe authorised officer—\nmay exercise a power under this section only if authorised to do so by a police officer of at least the rank of inspector; and\nwithout limiting paragraph&#160;(a) , may open unlocked doors and other unlocked panels and things in the vehicle for gaining entry to it under subsection&#160;(2) (a) .\nDespite subsection&#160;(2) (a) , an authorised officer who is not a police officer must not use force to enter the vehicle.\nAn authorised officer may not exercise the powers under subsection&#160;(2) in relation to the following things found in a vehicle—\na personal possession;\nfor a private vehicle—a document that is not issued, or required to be kept, under a transport Act or a corresponding law.\ns&#160;35 amd 1997 No.&#160;66 s&#160;116 ; 2007 No.&#160;43 ss&#160;33 sch , 43; 2008 No.&#160;31 s&#160;47 ; 2008 No.&#160;67 s&#160;57 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1 ; 2013 No.&#160;26 s&#160;54 ; 2023 No.&#160;28 s&#160;199\n(sec.35-ssec.1) This section applies to an authorised officer who reasonably believes— a vehicle in any of the following places is used, or is being used, to transport dangerous goods— a place the officer has entered under section&#160;26 ; a place the officer has, as an authorised officer under the Heavy Vehicle National Law (Queensland) , entered under that Law; a place the officer has entered under the Tow Truck Act 2023 , section&#160;85 ; or a heavy vehicle or a prescribed vehicle is being, or has just been, used to transport dangerous goods; or a vehicle is being, or has just been, used to commit an offence against a transport Act; or a vehicle, or a thing in the vehicle, may provide evidence of an offence against a transport Act that is being, or has just been, committed.\n(sec.35-ssec.2) The officer may, for enforcing a transport Act— enter the vehicle, using necessary and reasonable help and force; or In addition, to enable the vehicle to be entered, the officer may stop the vehicle under section&#160;31 (Power to stop private vehicles) or 32 (Power to stop heavy vehicles or prescribed vehicles). search any part of the vehicle; or inspect, measure, weigh, test, photograph or film the vehicle or anything in the vehicle; or take samples of the vehicle or anything in the vehicle; or copy, or take an extract from, a document in the vehicle; or download information contained on a disk, tape or other device in the vehicle move the vehicle’s load; or take the persons, equipment and materials the officer reasonably requires into the vehicle.\n(sec.35-ssec.2A) Subsections&#160;(2B) and (2C) apply if— the vehicle is a heavy vehicle or a prescribed dangerous goods vehicle; and the officer is not a police officer and reasonably believes the vehicle has, or may have, been involved in an incident involving the death of, or injury to, a person or damage to property.\n(sec.35-ssec.2B) The authorised officer— may exercise a power under this section only if authorised to do so by a police officer of at least the rank of inspector; and without limiting paragraph&#160;(a) , may open unlocked doors and other unlocked panels and things in the vehicle for gaining entry to it under subsection&#160;(2) (a) .\n(sec.35-ssec.2C) Despite subsection&#160;(2) (a) , an authorised officer who is not a police officer must not use force to enter the vehicle.\n(sec.35-ssec.3) An authorised officer may not exercise the powers under subsection&#160;(2) in relation to the following things found in a vehicle— a personal possession; for a private vehicle—a document that is not issued, or required to be kept, under a transport Act or a corresponding law.\n- (a) a vehicle in any of the following places is used, or is being used, to transport dangerous goods— (i) a place the officer has entered under section&#160;26 ; (ii) a place the officer has, as an authorised officer under the Heavy Vehicle National Law (Queensland) , entered under that Law; (iii) a place the officer has entered under the Tow Truck Act 2023 , section&#160;85 ; or\n- (i) a place the officer has entered under section&#160;26 ;\n- (ii) a place the officer has, as an authorised officer under the Heavy Vehicle National Law (Queensland) , entered under that Law;\n- (iii) a place the officer has entered under the Tow Truck Act 2023 , section&#160;85 ; or\n- (b) a heavy vehicle or a prescribed vehicle is being, or has just been, used to transport dangerous goods; or\n- (c) a vehicle is being, or has just been, used to commit an offence against a transport Act; or\n- (d) a vehicle, or a thing in the vehicle, may provide evidence of an offence against a transport Act that is being, or has just been, committed.\n- (i) a place the officer has entered under section&#160;26 ;\n- (ii) a place the officer has, as an authorised officer under the Heavy Vehicle National Law (Queensland) , entered under that Law;\n- (iii) a place the officer has entered under the Tow Truck Act 2023 , section&#160;85 ; or\n- (a) enter the vehicle, using necessary and reasonable help and force; or Note— In addition, to enable the vehicle to be entered, the officer may stop the vehicle under section&#160;31 (Power to stop private vehicles) or 32 (Power to stop heavy vehicles or prescribed vehicles).\n- (b) search any part of the vehicle; or\n- (c) inspect, measure, weigh, test, photograph or film the vehicle or anything in the vehicle; or\n- (d) take samples of the vehicle or anything in the vehicle; or\n- (e) copy, or take an extract from, a document in the vehicle; or Example— download information contained on a disk, tape or other device in the vehicle\n- (f) move the vehicle’s load; or\n- (g) take the persons, equipment and materials the officer reasonably requires into the vehicle.\n- (a) the vehicle is a heavy vehicle or a prescribed dangerous goods vehicle; and\n- (b) the officer is not a police officer and reasonably believes the vehicle has, or may have, been involved in an incident involving the death of, or injury to, a person or damage to property.\n- (a) may exercise a power under this section only if authorised to do so by a police officer of at least the rank of inspector; and\n- (b) without limiting paragraph&#160;(a) , may open unlocked doors and other unlocked panels and things in the vehicle for gaining entry to it under subsection&#160;(2) (a) .\n- (a) a personal possession;\n- (b) for a private vehicle—a document that is not issued, or required to be kept, under a transport Act or a corresponding law.","sortOrder":74},{"sectionNumber":"sec.35A","sectionType":"section","heading":"Further powers to inspect and search prescribed dangerous goods vehicle","content":"### sec.35A Further powers to inspect and search prescribed dangerous goods vehicle\n\nWithout limiting sections&#160;34 and 35 , this section applies to a prescribed dangerous goods vehicle, whether or not the prescribed dangerous goods vehicle is unattended, if it is stationary in a following place—\na road or road-related area;\na public place;\nanother place occupied or owned by the State or a government entity;\na prescribed place an authorised officer has entered under section&#160;26 ;\na place an authorised officer has entered under section&#160;26A or 26B .\nAn authorised officer may inspect the vehicle to check whether it complies with a transport Act or an alternative compliance scheme.\nAlso, an authorised officer may search the vehicle to carry out a check as mentioned in subsection&#160;(2) if the authorised officer reasonably believes any of the following—\nthe vehicle has been used, is being used, or is likely to be used, to commit an offence against a transport Act;\nthe vehicle may have been involved in an incident involving injury to, or the death of, a person or damage to property;\nthe vehicle has been or may have been involved in a situation that was a dangerous situation when it happened.\nAn authorised officer may form the belief mentioned in subsection&#160;(3) whether or not the vehicle has been inspected under this Act.\nWithout limiting subsection&#160;(2) or (3) , for exercising a power under the subsection, the authorised officer may do any or all of the following—\nenter the vehicle;\nexercise a power that an authorised officer may exercise under section&#160;35 (2) (c) to (g) ;\nmove, but not take away, anything in the vehicle that is not locked or sealed.\nAn authorised officer may exercise a power under this section at any time and without the consent of the vehicle’s driver or anyone else.\nHowever, if an authorised officer has the belief mentioned in subsection&#160;(3) (b) in relation to the vehicle, the authorised officer—\nmay exercise a power under this section in relation to the vehicle only if authorised to do so by a police officer of at least the rank of inspector; and\nwithout limiting paragraph&#160;(a) , may open unlocked doors and other unlocked panels and things in the vehicle for gaining entry to it under subsection&#160;(5) (a) .\nThis section does not authorise an authorised officer to use force for exercising a power under this section.\nAlso, an authorised officer may not exercise a power under this section in relation to a personal possession found in the vehicle.\nIn this section—\nprescribed place see section&#160;33 (6) .\ntransport Act does not include the Queensland Road Rules .\ns&#160;35A ins 2007 No.&#160;43 s&#160;44\namd 2008 No.&#160;67 s&#160;58 ; 2013 No.&#160;26 s&#160;55\n(sec.35A-ssec.1) Without limiting sections&#160;34 and 35 , this section applies to a prescribed dangerous goods vehicle, whether or not the prescribed dangerous goods vehicle is unattended, if it is stationary in a following place— a road or road-related area; a public place; another place occupied or owned by the State or a government entity; a prescribed place an authorised officer has entered under section&#160;26 ; a place an authorised officer has entered under section&#160;26A or 26B .\n(sec.35A-ssec.2) An authorised officer may inspect the vehicle to check whether it complies with a transport Act or an alternative compliance scheme.\n(sec.35A-ssec.3) Also, an authorised officer may search the vehicle to carry out a check as mentioned in subsection&#160;(2) if the authorised officer reasonably believes any of the following— the vehicle has been used, is being used, or is likely to be used, to commit an offence against a transport Act; the vehicle may have been involved in an incident involving injury to, or the death of, a person or damage to property; the vehicle has been or may have been involved in a situation that was a dangerous situation when it happened.\n(sec.35A-ssec.4) An authorised officer may form the belief mentioned in subsection&#160;(3) whether or not the vehicle has been inspected under this Act.\n(sec.35A-ssec.5) Without limiting subsection&#160;(2) or (3) , for exercising a power under the subsection, the authorised officer may do any or all of the following— enter the vehicle; exercise a power that an authorised officer may exercise under section&#160;35 (2) (c) to (g) ; move, but not take away, anything in the vehicle that is not locked or sealed.\n(sec.35A-ssec.6) An authorised officer may exercise a power under this section at any time and without the consent of the vehicle’s driver or anyone else.\n(sec.35A-ssec.7) However, if an authorised officer has the belief mentioned in subsection&#160;(3) (b) in relation to the vehicle, the authorised officer— may exercise a power under this section in relation to the vehicle only if authorised to do so by a police officer of at least the rank of inspector; and without limiting paragraph&#160;(a) , may open unlocked doors and other unlocked panels and things in the vehicle for gaining entry to it under subsection&#160;(5) (a) .\n(sec.35A-ssec.8) This section does not authorise an authorised officer to use force for exercising a power under this section.\n(sec.35A-ssec.9) Also, an authorised officer may not exercise a power under this section in relation to a personal possession found in the vehicle.\n(sec.35A-ssec.10) In this section— prescribed place see section&#160;33 (6) . transport Act does not include the Queensland Road Rules .\n- (a) a road or road-related area;\n- (b) a public place;\n- (c) another place occupied or owned by the State or a government entity;\n- (d) a prescribed place an authorised officer has entered under section&#160;26 ;\n- (e) a place an authorised officer has entered under section&#160;26A or 26B .\n- (a) the vehicle has been used, is being used, or is likely to be used, to commit an offence against a transport Act;\n- (b) the vehicle may have been involved in an incident involving injury to, or the death of, a person or damage to property;\n- (c) the vehicle has been or may have been involved in a situation that was a dangerous situation when it happened.\n- (a) enter the vehicle;\n- (b) exercise a power that an authorised officer may exercise under section&#160;35 (2) (c) to (g) ;\n- (c) move, but not take away, anything in the vehicle that is not locked or sealed.\n- (a) may exercise a power under this section in relation to the vehicle only if authorised to do so by a police officer of at least the rank of inspector; and\n- (b) without limiting paragraph&#160;(a) , may open unlocked doors and other unlocked panels and things in the vehicle for gaining entry to it under subsection&#160;(5) (a) .","sortOrder":75},{"sectionNumber":"sec.35B","sectionType":"section","heading":"Further powers to access or download stored information or to decide if anything found in a prescribed dangerous goods vehicle may be seized","content":"### sec.35B Further powers to access or download stored information or to decide if anything found in a prescribed dangerous goods vehicle may be seized\n\nWithout limiting section&#160;35 or 35A , this section applies to help an authorised officer who exercises a power in relation to a prescribed dangerous goods vehicle under section&#160;35 or 35A —\nto access or download information contained on anything found in or at the vehicle; or\ninformation contained on a disk, tape or other device\nto decide if anything found in the vehicle may be seized under division&#160;3 .\nThe authorised officer, or a person helping the authorised officer, may exercise the power by operating equipment that is—\nin or at the vehicle; or\ntaken into the vehicle under section&#160;35 (2) (g) ; or\nwhere the thing has been moved under subsection&#160;(4) .\nHowever, subsection&#160;(2) only applies if the authorised officer or person reasonably believes—\nthe equipment is suitable for exercising the power; and\nthe power can be exercised without damaging the equipment or thing.\nFor exercising a power as mentioned in subsection&#160;(1) (b) , the authorised officer may move the thing to somewhere else if—\nit is not practicable to exercise the power in relation to the thing where it is found; or\nthe person in control of the vehicle consents in writing.\ns&#160;35B ins 2007 No.&#160;43 s&#160;44\namd 2008 No.&#160;31 s&#160;48 ; 2008 No.&#160;67 s&#160;59 ; 2013 No.&#160;26 s&#160;56\n(sec.35B-ssec.1) Without limiting section&#160;35 or 35A , this section applies to help an authorised officer who exercises a power in relation to a prescribed dangerous goods vehicle under section&#160;35 or 35A — to access or download information contained on anything found in or at the vehicle; or information contained on a disk, tape or other device to decide if anything found in the vehicle may be seized under division&#160;3 .\n(sec.35B-ssec.2) The authorised officer, or a person helping the authorised officer, may exercise the power by operating equipment that is— in or at the vehicle; or taken into the vehicle under section&#160;35 (2) (g) ; or where the thing has been moved under subsection&#160;(4) .\n(sec.35B-ssec.3) However, subsection&#160;(2) only applies if the authorised officer or person reasonably believes— the equipment is suitable for exercising the power; and the power can be exercised without damaging the equipment or thing.\n(sec.35B-ssec.4) For exercising a power as mentioned in subsection&#160;(1) (b) , the authorised officer may move the thing to somewhere else if— it is not practicable to exercise the power in relation to the thing where it is found; or the person in control of the vehicle consents in writing.\n- (a) to access or download information contained on anything found in or at the vehicle; or Example of information contained on a thing— information contained on a disk, tape or other device\n- (b) to decide if anything found in the vehicle may be seized under division&#160;3 .\n- (a) in or at the vehicle; or\n- (b) taken into the vehicle under section&#160;35 (2) (g) ; or\n- (c) where the thing has been moved under subsection&#160;(4) .\n- (a) the equipment is suitable for exercising the power; and\n- (b) the power can be exercised without damaging the equipment or thing.\n- (a) it is not practicable to exercise the power in relation to the thing where it is found; or\n- (b) the person in control of the vehicle consents in writing.","sortOrder":76},{"sectionNumber":"sec.35C","sectionType":"section","heading":"Running or stopping prescribed dangerous goods vehicle engine","content":"### sec.35C Running or stopping prescribed dangerous goods vehicle engine\n\nAn authorised officer may, to allow the officer to effectively exercise a power under this Act in relation to a prescribed dangerous goods vehicle, enter the vehicle and run or stop its engine ( take the prescribed action ) or authorise someone else (the assistant ) to enter the vehicle and take the prescribed action if—\na person fails to comply with a requirement made by an authorised officer under section&#160;39 to take the prescribed action; or\nno person involved in the transport of the dangerous goods in relation to the vehicle is available or willing to take the prescribed action; or\nthe authorised officer reasonably believes there is no-one else in or near the vehicle who is more capable of taking the prescribed action and is fit and willing to do so.\nThe authorised officer or assistant may use the force that is reasonably necessary to enter the vehicle and take the prescribed action.\nSubsection&#160;(2) does not authorise an authorised officer or assistant to use force against a person.\nIt is immaterial that—\nthe assistant is not the operator of the vehicle; or\nthe authorised officer or assistant is not—\nauthorised by the operator to drive the vehicle or take the prescribed action; or\nqualified to drive the vehicle or take the prescribed action.\nThis section does not authorise the authorised officer or assistant to drive the vehicle.\nIn running the engine, the authorised officer or assistant is exempt from a provision of a transport Act to the extent the provision would require the authorised officer or assistant to be qualified to take the prescribed action.\ns&#160;35C ins 2007 No.&#160;43 s&#160;44\namd 2008 No.&#160;67 s&#160;60 ; 2013 No.&#160;26 s&#160;57\n(sec.35C-ssec.1) An authorised officer may, to allow the officer to effectively exercise a power under this Act in relation to a prescribed dangerous goods vehicle, enter the vehicle and run or stop its engine ( take the prescribed action ) or authorise someone else (the assistant ) to enter the vehicle and take the prescribed action if— a person fails to comply with a requirement made by an authorised officer under section&#160;39 to take the prescribed action; or no person involved in the transport of the dangerous goods in relation to the vehicle is available or willing to take the prescribed action; or the authorised officer reasonably believes there is no-one else in or near the vehicle who is more capable of taking the prescribed action and is fit and willing to do so.\n(sec.35C-ssec.2) The authorised officer or assistant may use the force that is reasonably necessary to enter the vehicle and take the prescribed action.\n(sec.35C-ssec.3) Subsection&#160;(2) does not authorise an authorised officer or assistant to use force against a person.\n(sec.35C-ssec.4) It is immaterial that— the assistant is not the operator of the vehicle; or the authorised officer or assistant is not— authorised by the operator to drive the vehicle or take the prescribed action; or qualified to drive the vehicle or take the prescribed action.\n(sec.35C-ssec.5) This section does not authorise the authorised officer or assistant to drive the vehicle.\n(sec.35C-ssec.6) In running the engine, the authorised officer or assistant is exempt from a provision of a transport Act to the extent the provision would require the authorised officer or assistant to be qualified to take the prescribed action.\n- (a) a person fails to comply with a requirement made by an authorised officer under section&#160;39 to take the prescribed action; or\n- (b) no person involved in the transport of the dangerous goods in relation to the vehicle is available or willing to take the prescribed action; or\n- (c) the authorised officer reasonably believes there is no-one else in or near the vehicle who is more capable of taking the prescribed action and is fit and willing to do so.\n- (a) the assistant is not the operator of the vehicle; or\n- (b) the authorised officer or assistant is not— (i) authorised by the operator to drive the vehicle or take the prescribed action; or (ii) qualified to drive the vehicle or take the prescribed action.\n- (i) authorised by the operator to drive the vehicle or take the prescribed action; or\n- (ii) qualified to drive the vehicle or take the prescribed action.\n- (i) authorised by the operator to drive the vehicle or take the prescribed action; or\n- (ii) qualified to drive the vehicle or take the prescribed action.","sortOrder":77},{"sectionNumber":"sec.36","sectionType":"section","heading":"Power to require vehicle inspections","content":"### sec.36 Power to require vehicle inspections\n\nIf an authorised officer reasonably believes a vehicle may not comply with this Act, the officer may require its owner or registered operator to have it inspected at a stated reasonable time and place.\nThe requirement—\nmust be made by notice in the approved form; or\nif for any reason it is not practicable to give the notice—may be made orally and confirmed by notice in the approved form as soon as practicable.\nA person must comply with a requirement under subsection&#160;(1) , unless the person has a reasonable excuse.\nMaximum penalty for subsection&#160;(3) —60 penalty units.\ns&#160;36 amd 2000 No.&#160;6 s&#160;78 sch\n(sec.36-ssec.1) If an authorised officer reasonably believes a vehicle may not comply with this Act, the officer may require its owner or registered operator to have it inspected at a stated reasonable time and place.\n(sec.36-ssec.2) The requirement— must be made by notice in the approved form; or if for any reason it is not practicable to give the notice—may be made orally and confirmed by notice in the approved form as soon as practicable.\n(sec.36-ssec.3) A person must comply with a requirement under subsection&#160;(1) , unless the person has a reasonable excuse. Maximum penalty for subsection&#160;(3) —60 penalty units.\n- (a) must be made by notice in the approved form; or\n- (b) if for any reason it is not practicable to give the notice—may be made orally and confirmed by notice in the approved form as soon as practicable.","sortOrder":78},{"sectionNumber":"sec.37","sectionType":"section","heading":"Power to prohibit use of vehicles","content":"### sec.37 Power to prohibit use of vehicles\n\nIf an authorised officer reasonably believes a private vehicle or prescribed vehicle is unsafe, the officer may, by notice in the approved form, require the owner, registered operator or person in control of the vehicle not to use it, or permit it to be used, on a road or public place until—\nit is inspected at a stated reasonable place and found to comply with this Act; or\nstated reasonable action is taken in relation to the vehicle to ensure it complies with this Act.\nadjusting or moving the vehicle’s load\ncarrying out stated repairs to the vehicle and having the vehicle inspected at a stated place to ensure it complies with this Act\nA person must not contravene, or attempt to contravene, a requirement under subsection&#160;(1) , unless the person has a reasonable excuse.\nMaximum penalty for subsection&#160;(2) —\nfor a private vehicle—60 penalty units; or\nfor a prescribed vehicle—90 penalty units.\nIf the person in control of a vehicle who receives a notice is not also the owner or registered operator of the vehicle, the person must inform the owner or registered operator of the receipt of the notice as soon as it is practicable.\nMaximum penalty for subsection&#160;(3) —\nfor a private vehicle—60 penalty units; or\nfor a prescribed vehicle—90 penalty units.\ns&#160;37 amd 1997 No.&#160;66 s&#160;117 ; 1999 No.&#160;42 s&#160;29 ; 2000 No.&#160;6 s&#160;78 sch amdts 2–3; 2004 No.&#160;53 s&#160;2 sch ; 2007 No.&#160;43 s&#160;33 sch ; 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2013 No.&#160;26 s&#160;58\n(sec.37-ssec.1) If an authorised officer reasonably believes a private vehicle or prescribed vehicle is unsafe, the officer may, by notice in the approved form, require the owner, registered operator or person in control of the vehicle not to use it, or permit it to be used, on a road or public place until— it is inspected at a stated reasonable place and found to comply with this Act; or stated reasonable action is taken in relation to the vehicle to ensure it complies with this Act. adjusting or moving the vehicle’s load carrying out stated repairs to the vehicle and having the vehicle inspected at a stated place to ensure it complies with this Act\n(sec.37-ssec.2) A person must not contravene, or attempt to contravene, a requirement under subsection&#160;(1) , unless the person has a reasonable excuse. Maximum penalty for subsection&#160;(2) — for a private vehicle—60 penalty units; or for a prescribed vehicle—90 penalty units.\n(sec.37-ssec.3) If the person in control of a vehicle who receives a notice is not also the owner or registered operator of the vehicle, the person must inform the owner or registered operator of the receipt of the notice as soon as it is practicable. Maximum penalty for subsection&#160;(3) — for a private vehicle—60 penalty units; or for a prescribed vehicle—90 penalty units.\n- (a) it is inspected at a stated reasonable place and found to comply with this Act; or\n- (b) stated reasonable action is taken in relation to the vehicle to ensure it complies with this Act. Examples of action that may be reasonable for paragraph&#160;(b) — • adjusting or moving the vehicle’s load • carrying out stated repairs to the vehicle and having the vehicle inspected at a stated place to ensure it complies with this Act\n- • adjusting or moving the vehicle’s load\n- • carrying out stated repairs to the vehicle and having the vehicle inspected at a stated place to ensure it complies with this Act\n- • adjusting or moving the vehicle’s load\n- • carrying out stated repairs to the vehicle and having the vehicle inspected at a stated place to ensure it complies with this Act\n- (a) for a private vehicle—60 penalty units; or\n- (b) for a prescribed vehicle—90 penalty units.\n- (a) for a private vehicle—60 penalty units; or\n- (b) for a prescribed vehicle—90 penalty units.","sortOrder":79},{"sectionNumber":"sec.38","sectionType":"section","heading":"Power to prohibit persons driving","content":"### sec.38 Power to prohibit persons driving\n\nThis section applies if—\na motor vehicle is stationary on a road or road-related area or has been stopped under—\nsection&#160;31 or 32 ; or\nthe Heavy Vehicle National Law (Queensland) ; and\nan authorised officer reasonably believes a person would contravene this Act by driving the vehicle.\nThe authorised officer may require a person mentioned in paragraph&#160;(a) or (b) not to drive the vehicle in contravention of this Act—\nfor a vehicle other than a heavy vehicle or a prescribed dangerous goods vehicle—the person in control of it; or\nfor a heavy vehicle or a prescribed dangerous goods vehicle—any person.\nThe requirement—\nfor a vehicle other than a heavy vehicle or a prescribed dangerous goods vehicle—must be given by notice in the approved form; or\nfor a heavy vehicle or a prescribed dangerous goods vehicle—may be given orally or in any other way, including, for example, by way of a sign or electronic or other signal.\nA person must not contravene, or attempt to contravene, a requirement under subsection&#160;(2) , unless the person has a reasonable excuse.\nMaximum penalty for subsection&#160;(3) —\nfor a private vehicle other than a suspected dangerous goods vehicle—60 penalty units; or\nfor a suspected dangerous goods vehicle, a heavy vehicle or a prescribed vehicle—90 penalty units.\ns&#160;38 amd 1999 No.&#160;42 s&#160;30 ; 2004 No.&#160;53 s&#160;2 sch ; 2007 No.&#160;43 ss&#160;33 sch , 45; 2008 No.&#160;67 s&#160;61 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2013 No.&#160;26 s&#160;59\n(sec.38-ssec.1) This section applies if— a motor vehicle is stationary on a road or road-related area or has been stopped under— section&#160;31 or 32 ; or the Heavy Vehicle National Law (Queensland) ; and an authorised officer reasonably believes a person would contravene this Act by driving the vehicle.\n(sec.38-ssec.2) The authorised officer may require a person mentioned in paragraph&#160;(a) or (b) not to drive the vehicle in contravention of this Act— for a vehicle other than a heavy vehicle or a prescribed dangerous goods vehicle—the person in control of it; or for a heavy vehicle or a prescribed dangerous goods vehicle—any person.\n(sec.38-ssec.2A) The requirement— for a vehicle other than a heavy vehicle or a prescribed dangerous goods vehicle—must be given by notice in the approved form; or for a heavy vehicle or a prescribed dangerous goods vehicle—may be given orally or in any other way, including, for example, by way of a sign or electronic or other signal.\n(sec.38-ssec.3) A person must not contravene, or attempt to contravene, a requirement under subsection&#160;(2) , unless the person has a reasonable excuse. Maximum penalty for subsection&#160;(3) — for a private vehicle other than a suspected dangerous goods vehicle—60 penalty units; or for a suspected dangerous goods vehicle, a heavy vehicle or a prescribed vehicle—90 penalty units.\n- (a) a motor vehicle is stationary on a road or road-related area or has been stopped under— (i) section&#160;31 or 32 ; or (ii) the Heavy Vehicle National Law (Queensland) ; and\n- (i) section&#160;31 or 32 ; or\n- (ii) the Heavy Vehicle National Law (Queensland) ; and\n- (b) an authorised officer reasonably believes a person would contravene this Act by driving the vehicle.\n- (i) section&#160;31 or 32 ; or\n- (ii) the Heavy Vehicle National Law (Queensland) ; and\n- (a) for a vehicle other than a heavy vehicle or a prescribed dangerous goods vehicle—the person in control of it; or\n- (b) for a heavy vehicle or a prescribed dangerous goods vehicle—any person.\n- (a) for a vehicle other than a heavy vehicle or a prescribed dangerous goods vehicle—must be given by notice in the approved form; or\n- (b) for a heavy vehicle or a prescribed dangerous goods vehicle—may be given orally or in any other way, including, for example, by way of a sign or electronic or other signal.\n- (a) for a private vehicle other than a suspected dangerous goods vehicle—60 penalty units; or\n- (b) for a suspected dangerous goods vehicle, a heavy vehicle or a prescribed vehicle—90 penalty units.","sortOrder":80},{"sectionNumber":"sec.39","sectionType":"section","heading":"Powers to enable effective and safe exercise of other powers","content":"### sec.39 Powers to enable effective and safe exercise of other powers\n\nAn authorised officer may require a person mentioned in the following paragraphs to give the officer reasonable help to enable the officer to effectively exercise—\na power under this Act in relation to a vehicle other than a prescribed dangerous goods vehicle—the person in control of the vehicle;\na power under this Act in relation to a prescribed dangerous goods vehicle—a person involved in the transport of dangerous goods in relation to the vehicle;\na power under this Act in relation to the transport of dangerous goods—a person involved in the transport of the dangerous goods to which the power relates.\nto hold the vehicle stationary on a weighing device to enable the vehicle to be weighed\nto open the vehicle’s bonnet to enable the engine to be inspected\nto help the authorised officer to weigh or measure all or part of the vehicle, including an axle or axle group\nto help the authorised officer to weigh, measure or take samples of all or part of the vehicle’s equipment or load including a substance or packaging\nto operate equipment or facilities\nto give access, free of charge, to photocopying equipment\nA requirement that may be made under subsection&#160;(1) —\nincludes a requirement to run or stop the vehicle’s engine ( take the prescribed action ); but\ndoes not include—\na requirement to drive the vehicle; or\na requirement to produce a document or give information; or\na requirement to help the authorised officer find and gain access to a document or information.\nSee sections&#160;49 , 49A and 50AB for powers about requiring or directing a person to produce a document, provide information or help an authorised officer find and gain access to a document or information.\nSubsections&#160;(1C) to (1F) apply to a person mentioned in subsection&#160;(1) (b) who is required to take the prescribed action.\nThe person may use the force that is reasonably necessary to enter the vehicle and take the prescribed action.\nHowever subsection&#160;(1C) does not authorise the person to use force against anyone.\nIt is immaterial that—\nthe person is not the operator of the vehicle; or\nthe person is not—\nauthorised by the operator to drive the vehicle or take the prescribed action; or\nqualified to drive the vehicle or take the prescribed action.\nIn running the engine, the person is exempt from a provision of a transport Act to the extent the provision would require the person to be qualified to take the prescribed action.\nAn authorised officer may require the person in control of a vehicle, or a person who is in or has just left the vehicle, to do or not to do anything the officer reasonably believes is necessary—\nto enable the officer to safely exercise a power under a transport Act in relation to the vehicle; or\nto preserve the safety of the officer, the person or other persons.\nrequire the persons in the vehicle to get out of the vehicle while the authorised officer inspects the vehicle’s undercarriage\nrequire a person who has just left the vehicle to stand back from the carriageway of the road\nrequire a person to remain in control of the vehicle for a reasonable time\nA requirement under subsection&#160;(1) or (2) may be made orally, in writing or in any other way, including, for example, by way of a sign, electronic or other signal, post, telephone, facsimile, electronic mail or radio.\nA person must comply with a requirement under subsection&#160;(1) or (2) , unless the person has a reasonable excuse.\nMaximum penalty—\nfor a power exercised in relation to a private vehicle other than a suspected dangerous goods vehicle—60 penalty units; or\nfor a power exercised in relation to a suspected dangerous goods vehicle, a heavy vehicle, a prescribed vehicle or the transport of dangerous goods—90 penalty units.\ns&#160;39 amd 2007 No.&#160;43 ss&#160;33 sch , 46; 2008 No.&#160;67 s&#160;62 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2013 No.&#160;26 s&#160;60 ; 2014 No.&#160;43 s&#160;117 sch&#160;1\n(sec.39-ssec.1) An authorised officer may require a person mentioned in the following paragraphs to give the officer reasonable help to enable the officer to effectively exercise— a power under this Act in relation to a vehicle other than a prescribed dangerous goods vehicle—the person in control of the vehicle; a power under this Act in relation to a prescribed dangerous goods vehicle—a person involved in the transport of dangerous goods in relation to the vehicle; a power under this Act in relation to the transport of dangerous goods—a person involved in the transport of the dangerous goods to which the power relates. to hold the vehicle stationary on a weighing device to enable the vehicle to be weighed to open the vehicle’s bonnet to enable the engine to be inspected to help the authorised officer to weigh or measure all or part of the vehicle, including an axle or axle group to help the authorised officer to weigh, measure or take samples of all or part of the vehicle’s equipment or load including a substance or packaging to operate equipment or facilities to give access, free of charge, to photocopying equipment\n(sec.39-ssec.1A) A requirement that may be made under subsection&#160;(1) — includes a requirement to run or stop the vehicle’s engine ( take the prescribed action ); but does not include— a requirement to drive the vehicle; or a requirement to produce a document or give information; or a requirement to help the authorised officer find and gain access to a document or information. See sections&#160;49 , 49A and 50AB for powers about requiring or directing a person to produce a document, provide information or help an authorised officer find and gain access to a document or information.\n(sec.39-ssec.1B) Subsections&#160;(1C) to (1F) apply to a person mentioned in subsection&#160;(1) (b) who is required to take the prescribed action.\n(sec.39-ssec.1C) The person may use the force that is reasonably necessary to enter the vehicle and take the prescribed action.\n(sec.39-ssec.1D) However subsection&#160;(1C) does not authorise the person to use force against anyone.\n(sec.39-ssec.1E) It is immaterial that— the person is not the operator of the vehicle; or the person is not— authorised by the operator to drive the vehicle or take the prescribed action; or qualified to drive the vehicle or take the prescribed action.\n(sec.39-ssec.1F) In running the engine, the person is exempt from a provision of a transport Act to the extent the provision would require the person to be qualified to take the prescribed action.\n(sec.39-ssec.2) An authorised officer may require the person in control of a vehicle, or a person who is in or has just left the vehicle, to do or not to do anything the officer reasonably believes is necessary— to enable the officer to safely exercise a power under a transport Act in relation to the vehicle; or to preserve the safety of the officer, the person or other persons. require the persons in the vehicle to get out of the vehicle while the authorised officer inspects the vehicle’s undercarriage require a person who has just left the vehicle to stand back from the carriageway of the road require a person to remain in control of the vehicle for a reasonable time\n(sec.39-ssec.2A) A requirement under subsection&#160;(1) or (2) may be made orally, in writing or in any other way, including, for example, by way of a sign, electronic or other signal, post, telephone, facsimile, electronic mail or radio.\n(sec.39-ssec.3) A person must comply with a requirement under subsection&#160;(1) or (2) , unless the person has a reasonable excuse. Maximum penalty— for a power exercised in relation to a private vehicle other than a suspected dangerous goods vehicle—60 penalty units; or for a power exercised in relation to a suspected dangerous goods vehicle, a heavy vehicle, a prescribed vehicle or the transport of dangerous goods—90 penalty units.\n- (a) a power under this Act in relation to a vehicle other than a prescribed dangerous goods vehicle—the person in control of the vehicle;\n- (b) a power under this Act in relation to a prescribed dangerous goods vehicle—a person involved in the transport of dangerous goods in relation to the vehicle;\n- (c) a power under this Act in relation to the transport of dangerous goods—a person involved in the transport of the dangerous goods to which the power relates.\n- • to hold the vehicle stationary on a weighing device to enable the vehicle to be weighed\n- • to open the vehicle’s bonnet to enable the engine to be inspected\n- • to help the authorised officer to weigh or measure all or part of the vehicle, including an axle or axle group\n- • to help the authorised officer to weigh, measure or take samples of all or part of the vehicle’s equipment or load including a substance or packaging\n- • to operate equipment or facilities\n- • to give access, free of charge, to photocopying equipment\n- (a) includes a requirement to run or stop the vehicle’s engine ( take the prescribed action ); but\n- (b) does not include— (i) a requirement to drive the vehicle; or (ii) a requirement to produce a document or give information; or (iii) a requirement to help the authorised officer find and gain access to a document or information. Note— See sections&#160;49 , 49A and 50AB for powers about requiring or directing a person to produce a document, provide information or help an authorised officer find and gain access to a document or information.\n- (i) a requirement to drive the vehicle; or\n- (ii) a requirement to produce a document or give information; or\n- (iii) a requirement to help the authorised officer find and gain access to a document or information.\n- (i) a requirement to drive the vehicle; or\n- (ii) a requirement to produce a document or give information; or\n- (iii) a requirement to help the authorised officer find and gain access to a document or information.\n- (a) the person is not the operator of the vehicle; or\n- (b) the person is not— (i) authorised by the operator to drive the vehicle or take the prescribed action; or (ii) qualified to drive the vehicle or take the prescribed action.\n- (i) authorised by the operator to drive the vehicle or take the prescribed action; or\n- (ii) qualified to drive the vehicle or take the prescribed action.\n- (i) authorised by the operator to drive the vehicle or take the prescribed action; or\n- (ii) qualified to drive the vehicle or take the prescribed action.\n- (a) to enable the officer to safely exercise a power under a transport Act in relation to the vehicle; or\n- (b) to preserve the safety of the officer, the person or other persons.\n- • require the persons in the vehicle to get out of the vehicle while the authorised officer inspects the vehicle’s undercarriage\n- • require a person who has just left the vehicle to stand back from the carriageway of the road\n- • require a person to remain in control of the vehicle for a reasonable time\n- (a) for a power exercised in relation to a private vehicle other than a suspected dangerous goods vehicle—60 penalty units; or\n- (b) for a power exercised in relation to a suspected dangerous goods vehicle, a heavy vehicle, a prescribed vehicle or the transport of dangerous goods—90 penalty units.","sortOrder":81},{"sectionNumber":"sec.39A","sectionType":"section","heading":"Additional power for Explosives Act 1999 for particular authorised officers","content":"### sec.39A Additional power for Explosives Act 1999 for particular authorised officers\n\nThis section applies if a vehicle has been stopped under—\nsection&#160;31 (2) or 32 (2) ; or\nthe Heavy Vehicle National Law (Queensland) .\nAn authorised officer who is also an inspector or an authorised officer under the Explosives Act 1999 may check the vehicle to find out—\nwhether the vehicle is carrying explosives within the meaning of the Explosives Act 1999 ; and\nif the vehicle is carrying explosives—whether the explosives are being carried as required under the Explosives Act 1999 .\nThe authorised officer may exercise powers the person has under this Act or the Explosives Act 1999 , or both.\ns&#160;39A ins 2004 No.&#160;40 s&#160;14\namd 2013 No.&#160;26 s&#160;61 ; 2019 No.&#160;7 s&#160;313 s ch&#160;1 pt&#160;3\n(sec.39A-ssec.1) This section applies if a vehicle has been stopped under— section&#160;31 (2) or 32 (2) ; or the Heavy Vehicle National Law (Queensland) .\n(sec.39A-ssec.2) An authorised officer who is also an inspector or an authorised officer under the Explosives Act 1999 may check the vehicle to find out— whether the vehicle is carrying explosives within the meaning of the Explosives Act 1999 ; and if the vehicle is carrying explosives—whether the explosives are being carried as required under the Explosives Act 1999 .\n(sec.39A-ssec.3) The authorised officer may exercise powers the person has under this Act or the Explosives Act 1999 , or both.\n- (a) section&#160;31 (2) or 32 (2) ; or\n- (b) the Heavy Vehicle National Law (Queensland) .\n- (a) whether the vehicle is carrying explosives within the meaning of the Explosives Act 1999 ; and\n- (b) if the vehicle is carrying explosives—whether the explosives are being carried as required under the Explosives Act 1999 .","sortOrder":82},{"sectionNumber":"sec.39B","sectionType":"section","heading":"Stopped or moved vehicle to remain at a place","content":"### sec.39B Stopped or moved vehicle to remain at a place\n\nThis section applies if a person is required to—\nstop a vehicle under section&#160;31 or 32 ; or\nmove a vehicle to a place under section&#160;33 or 33A .\nThe person must not allow the vehicle to be moved from the place where it is stopped or moved to, until the end of the time reasonably necessary to enable the authorised officer to perform a function or exercise a power for which the vehicle was stopped or moved.\nMaximum penalty—60 penalty units.\ns&#160;39B ins 2007 No.&#160;43 s&#160;47\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2013 No.&#160;26 s&#160;62\n(sec.39B-ssec.1) This section applies if a person is required to— stop a vehicle under section&#160;31 or 32 ; or move a vehicle to a place under section&#160;33 or 33A .\n(sec.39B-ssec.2) The person must not allow the vehicle to be moved from the place where it is stopped or moved to, until the end of the time reasonably necessary to enable the authorised officer to perform a function or exercise a power for which the vehicle was stopped or moved. Maximum penalty—60 penalty units.\n- (a) stop a vehicle under section&#160;31 or 32 ; or\n- (b) move a vehicle to a place under section&#160;33 or 33A .","sortOrder":83},{"sectionNumber":"sec.39C","sectionType":"section","heading":"Interfering with equipment or load of particular vehicles","content":"### sec.39C Interfering with equipment or load of particular vehicles\n\nThis section applies if a person is required—\nto stop a vehicle under section&#160;32 ; or\nto move a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle to a place under section&#160;33 ; or\nto move a vehicle to a place under section&#160;33A .\nA person must not, for the time reasonably necessary to enable the authorised officer to perform a function or exercise a power for which the vehicle was stopped or moved—\ninterfere with any equipment in the vehicle; or\nunload or change the position of any part of the vehicle’s load.\nMaximum penalty—60 penalty units.\ns&#160;39C ins 2007 No.&#160;43 s&#160;47\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2008 No.&#160;67 s&#160;63 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1 ; 2013 No.&#160;26 s&#160;63\n(sec.39C-ssec.1) This section applies if a person is required— to stop a vehicle under section&#160;32 ; or to move a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle to a place under section&#160;33 ; or to move a vehicle to a place under section&#160;33A .\n(sec.39C-ssec.2) A person must not, for the time reasonably necessary to enable the authorised officer to perform a function or exercise a power for which the vehicle was stopped or moved— interfere with any equipment in the vehicle; or unload or change the position of any part of the vehicle’s load. Maximum penalty—60 penalty units.\n- (a) to stop a vehicle under section&#160;32 ; or\n- (b) to move a heavy vehicle, a prescribed vehicle or a suspected dangerous goods vehicle to a place under section&#160;33 ; or\n- (c) to move a vehicle to a place under section&#160;33A .\n- (a) interfere with any equipment in the vehicle; or\n- (b) unload or change the position of any part of the vehicle’s load.","sortOrder":84},{"sectionNumber":"sec.39D","sectionType":"section","heading":null,"content":"### Section sec.39D\n\ns&#160;39D ins 2007 No.&#160;43 s&#160;47\nom 2013 No.&#160;26 s&#160;64","sortOrder":85},{"sectionNumber":"sec.39E","sectionType":"section","heading":null,"content":"### Section sec.39E\n\ns&#160;39E ins 2007 No.&#160;43 s&#160;47\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;64","sortOrder":86},{"sectionNumber":"sec.39F","sectionType":"section","heading":null,"content":"### Section sec.39F\n\ns&#160;39F ins 2007 No.&#160;43 s&#160;47\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;64","sortOrder":87},{"sectionNumber":"sec.39G","sectionType":"section","heading":null,"content":"### Section sec.39G\n\ns&#160;39G ins 2007 No.&#160;43 s&#160;47\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;64","sortOrder":88},{"sectionNumber":"sec.39H","sectionType":"section","heading":null,"content":"### Section sec.39H\n\ns&#160;39H ins 2007 No.&#160;43 s&#160;47\nom 2013 No.&#160;26 s&#160;64","sortOrder":89},{"sectionNumber":"sec.39I","sectionType":"section","heading":null,"content":"### Section sec.39I\n\ns&#160;39I ins 2008 No.&#160;31 s&#160;49\nom 2013 No.&#160;26 s&#160;64","sortOrder":90},{"sectionNumber":"sec.39J","sectionType":"section","heading":null,"content":"### Section sec.39J\n\ns&#160;39J ins 2008 No.&#160;31 s&#160;49\namd 2008 No.&#160;67 s&#160;159\nom 2013 No.&#160;26 s&#160;64","sortOrder":91},{"sectionNumber":"sec.39K","sectionType":"section","heading":null,"content":"### Section sec.39K\n\ns&#160;39K ins 2008 No.&#160;31 s&#160;49\namd 2008 No.&#160;67 s&#160;160\nom 2013 No.&#160;26 s&#160;64","sortOrder":92},{"sectionNumber":"sec.39L","sectionType":"section","heading":null,"content":"### Section sec.39L\n\ns&#160;39L ins 2008 No.&#160;31 s&#160;49\namd 2008 No.&#160;67 s&#160;161\nom 2013 No.&#160;26 s&#160;64","sortOrder":93},{"sectionNumber":"sec.39M","sectionType":"section","heading":null,"content":"### Section sec.39M\n\ns&#160;39M ins 2008 No.&#160;31 s&#160;49\nom 2013 No.&#160;26 s&#160;64","sortOrder":94},{"sectionNumber":"sec.39N","sectionType":"section","heading":null,"content":"### Section sec.39N\n\ns&#160;39N ins 2008 No.&#160;31 s&#160;49\nom 2013 No.&#160;26 s&#160;64","sortOrder":95},{"sectionNumber":"sec.39O","sectionType":"section","heading":null,"content":"### Section sec.39O\n\ns&#160;39O ins 2008 No.&#160;31 s&#160;49\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;64","sortOrder":96},{"sectionNumber":"sec.39P","sectionType":"section","heading":null,"content":"### Section sec.39P\n\ns&#160;39P ins 2010 No.&#160;19 s&#160;257\nom 2013 No.&#160;26 s&#160;64","sortOrder":97},{"sectionNumber":"sec.39Q","sectionType":"section","heading":null,"content":"### Section sec.39Q\n\ns&#160;39Q ins 2010 No.&#160;19 s&#160;257\nom 2013 No.&#160;26 s&#160;64","sortOrder":98},{"sectionNumber":"sec.39R","sectionType":"section","heading":null,"content":"### Section sec.39R\n\ns&#160;39R ins 2010 No.&#160;19 s&#160;257\nom 2013 No.&#160;26 s&#160;64","sortOrder":99},{"sectionNumber":"sec.39S","sectionType":"section","heading":null,"content":"### Section sec.39S\n\ns&#160;39S ins 2010 No.&#160;19 s&#160;257\nom 2013 No.&#160;26 s&#160;64","sortOrder":100},{"sectionNumber":"sec.39T","sectionType":"section","heading":null,"content":"### Section sec.39T\n\ns&#160;39T ins 2010 No.&#160;19 s&#160;257\nom 2013 No.&#160;26 s&#160;64","sortOrder":101},{"sectionNumber":"sec.39U","sectionType":"section","heading":null,"content":"### Section sec.39U\n\ns&#160;39U ins 2010 No.&#160;19 s&#160;257\nom 2013 No.&#160;26 s&#160;64","sortOrder":102},{"sectionNumber":"sec.39V","sectionType":"section","heading":null,"content":"### Section sec.39V\n\ns&#160;39V ins 2010 No.&#160;19 s&#160;257\nom 2013 No.&#160;26 s&#160;64","sortOrder":103},{"sectionNumber":"sec.39W","sectionType":"section","heading":null,"content":"### Section sec.39W\n\ns&#160;39W ins 2010 No.&#160;19 s&#160;257\nom 2013 No.&#160;26 s&#160;64","sortOrder":104},{"sectionNumber":"ch.3-pt.3-div.3","sectionType":"division","heading":"Power to seize evidence","content":"## Power to seize evidence","sortOrder":105},{"sectionNumber":"sec.40","sectionType":"section","heading":"Power to seize evidence","content":"### sec.40 Power to seize evidence\n\nAn authorised officer who enters a place under this part with the occupier’s consent, or who, as a person who is also an authorised officer under the Heavy Vehicle National Law (Queensland) , enters a place under that Law with the occupier’s consent, may seize a thing in the place if—\nthe officer reasonably believes the thing is evidence of an offence against a transport Act; and\nseizure of the thing is consistent with the purpose of entry as told to the occupier when asking for the occupier’s consent.\nAn authorised officer who enters a place under this part with a warrant may seize the evidence for which the warrant was issued.\nIn addition to any seizure provided for in subsections&#160;(1) and (2) , an authorised officer who enters a place under section&#160;26 (1) of this Act, or who, as an authorised officer under the Heavy Vehicle National Law (Queensland) , enters a place under that Law, may seize anything at the place if the authorised officer reasonably believes—\nthe thing is evidence of an offence against a transport Act; and\nthe seizure is necessary to prevent the thing being hidden, lost or destroyed or used to continue or repeat the offence.\nAn authorised officer who enters a vehicle under this part, or who, as a person who is also an authorised officer under the Heavy Vehicle National Law (Queensland) , enters a vehicle under that Law, may seize anything in the vehicle if the officer reasonably believes the thing is evidence of an offence against a transport Act.\nSubject to subsection&#160;(2) , nothing in this section authorises an authorised officer to seize a digital device if—\nthe officer reasonably believes a person has committed an offence under section&#160;53 (2) or 126 (1) ; and\nin committing the offence a person used the device to store or display the following things, or an image or other design purporting to be the thing—\na digital authority;\na digital evidence of age;\na digital evidence of identity.\ns&#160;40 amd 2013 No.&#160;26 s&#160;65 ; 2020 No.&#160;21 s&#160;48\n(sec.40-ssec.1) An authorised officer who enters a place under this part with the occupier’s consent, or who, as a person who is also an authorised officer under the Heavy Vehicle National Law (Queensland) , enters a place under that Law with the occupier’s consent, may seize a thing in the place if— the officer reasonably believes the thing is evidence of an offence against a transport Act; and seizure of the thing is consistent with the purpose of entry as told to the occupier when asking for the occupier’s consent.\n(sec.40-ssec.2) An authorised officer who enters a place under this part with a warrant may seize the evidence for which the warrant was issued.\n(sec.40-ssec.3) In addition to any seizure provided for in subsections&#160;(1) and (2) , an authorised officer who enters a place under section&#160;26 (1) of this Act, or who, as an authorised officer under the Heavy Vehicle National Law (Queensland) , enters a place under that Law, may seize anything at the place if the authorised officer reasonably believes— the thing is evidence of an offence against a transport Act; and the seizure is necessary to prevent the thing being hidden, lost or destroyed or used to continue or repeat the offence.\n(sec.40-ssec.4) An authorised officer who enters a vehicle under this part, or who, as a person who is also an authorised officer under the Heavy Vehicle National Law (Queensland) , enters a vehicle under that Law, may seize anything in the vehicle if the officer reasonably believes the thing is evidence of an offence against a transport Act.\n(sec.40-ssec.5) Subject to subsection&#160;(2) , nothing in this section authorises an authorised officer to seize a digital device if— the officer reasonably believes a person has committed an offence under section&#160;53 (2) or 126 (1) ; and in committing the offence a person used the device to store or display the following things, or an image or other design purporting to be the thing— a digital authority; a digital evidence of age; a digital evidence of identity.\n- (a) the officer reasonably believes the thing is evidence of an offence against a transport Act; and\n- (b) seizure of the thing is consistent with the purpose of entry as told to the occupier when asking for the occupier’s consent.\n- (a) the thing is evidence of an offence against a transport Act; and\n- (b) the seizure is necessary to prevent the thing being hidden, lost or destroyed or used to continue or repeat the offence.\n- (a) the officer reasonably believes a person has committed an offence under section&#160;53 (2) or 126 (1) ; and\n- (b) in committing the offence a person used the device to store or display the following things, or an image or other design purporting to be the thing— (i) a digital authority; (ii) a digital evidence of age; (iii) a digital evidence of identity.\n- (i) a digital authority;\n- (ii) a digital evidence of age;\n- (iii) a digital evidence of identity.\n- (i) a digital authority;\n- (ii) a digital evidence of age;\n- (iii) a digital evidence of identity.","sortOrder":106},{"sectionNumber":"sec.40A","sectionType":"section","heading":"Further powers to seize evidence in relation to particular vehicles","content":"### sec.40A Further powers to seize evidence in relation to particular vehicles\n\nAn authorised officer who enters a place—\nbecause the officer has the belief and suspicion mentioned in section&#160;26A (3) ; or\nunder section&#160;26B ;\nmay seize a document, device or other thing that is in the place if the officer reasonably believes it is, or may provide, evidence of an offence against a transport Act.\nSubsection&#160;(3) applies if, under this part, an authorised officer, or a person helping the officer—\neither—\nenters a place in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods; or\nenters or inspects a heavy vehicle or prescribed dangerous goods vehicle; and\nfinds a disk, tape or other storage device (the original information storage device ) containing information the authorised officer reasonably believes is relevant to decide whether a transport Act or an alternative compliance scheme has been contravened.\nThe authorised officer or person may—\nput the information in documentary form and seize the document; or\ncopy the information from the original information storage device to another information storage device and seize the other information storage device; or\nseize the original information storage device and any equipment at the place or vehicle necessary for accessing the information contained in the device if—\nit is not practicable to take action, at the place or vehicle, under paragraph&#160;(a) or (b) in relation to the information; and\nthe officer or person reasonably believes the device and equipment can be seized without being damaged.\nNothing in this section authorises an authorised officer to seize a digital device if—\nthe officer reasonably believes a person has committed an offence under section&#160;53 (2) or 126 (1) ; and\nin committing the offence a person used the device to store or display the following things, or an image or other design purporting to be the thing—\na digital authority;\na digital evidence of age;\na digital evidence of identity.\nIn this section—\ntransport Act does not include the Queensland Road Rules .\ns&#160;40A ins 2007 No.&#160;43 s&#160;48\namd 2008 No.&#160;67 s&#160;64 ; 2013 No.&#160;26 s&#160;66 ; 2020 No.&#160;21 s&#160;49\n(sec.40A-ssec.1) An authorised officer who enters a place— because the officer has the belief and suspicion mentioned in section&#160;26A (3) ; or under section&#160;26B ; may seize a document, device or other thing that is in the place if the officer reasonably believes it is, or may provide, evidence of an offence against a transport Act.\n(sec.40A-ssec.2) Subsection&#160;(3) applies if, under this part, an authorised officer, or a person helping the officer— either— enters a place in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods; or enters or inspects a heavy vehicle or prescribed dangerous goods vehicle; and finds a disk, tape or other storage device (the original information storage device ) containing information the authorised officer reasonably believes is relevant to decide whether a transport Act or an alternative compliance scheme has been contravened.\n(sec.40A-ssec.3) The authorised officer or person may— put the information in documentary form and seize the document; or copy the information from the original information storage device to another information storage device and seize the other information storage device; or seize the original information storage device and any equipment at the place or vehicle necessary for accessing the information contained in the device if— it is not practicable to take action, at the place or vehicle, under paragraph&#160;(a) or (b) in relation to the information; and the officer or person reasonably believes the device and equipment can be seized without being damaged.\n(sec.40A-ssec.3A) Nothing in this section authorises an authorised officer to seize a digital device if— the officer reasonably believes a person has committed an offence under section&#160;53 (2) or 126 (1) ; and in committing the offence a person used the device to store or display the following things, or an image or other design purporting to be the thing— a digital authority; a digital evidence of age; a digital evidence of identity.\n(sec.40A-ssec.4) In this section— transport Act does not include the Queensland Road Rules .\n- (a) because the officer has the belief and suspicion mentioned in section&#160;26A (3) ; or\n- (b) under section&#160;26B ;\n- (a) either— (i) enters a place in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods; or (ii) enters or inspects a heavy vehicle or prescribed dangerous goods vehicle; and\n- (i) enters a place in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods; or\n- (ii) enters or inspects a heavy vehicle or prescribed dangerous goods vehicle; and\n- (b) finds a disk, tape or other storage device (the original information storage device ) containing information the authorised officer reasonably believes is relevant to decide whether a transport Act or an alternative compliance scheme has been contravened.\n- (i) enters a place in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods; or\n- (ii) enters or inspects a heavy vehicle or prescribed dangerous goods vehicle; and\n- (a) put the information in documentary form and seize the document; or\n- (b) copy the information from the original information storage device to another information storage device and seize the other information storage device; or\n- (c) seize the original information storage device and any equipment at the place or vehicle necessary for accessing the information contained in the device if— (i) it is not practicable to take action, at the place or vehicle, under paragraph&#160;(a) or (b) in relation to the information; and (ii) the officer or person reasonably believes the device and equipment can be seized without being damaged.\n- (i) it is not practicable to take action, at the place or vehicle, under paragraph&#160;(a) or (b) in relation to the information; and\n- (ii) the officer or person reasonably believes the device and equipment can be seized without being damaged.\n- (i) it is not practicable to take action, at the place or vehicle, under paragraph&#160;(a) or (b) in relation to the information; and\n- (ii) the officer or person reasonably believes the device and equipment can be seized without being damaged.\n- (a) the officer reasonably believes a person has committed an offence under section&#160;53 (2) or 126 (1) ; and\n- (b) in committing the offence a person used the device to store or display the following things, or an image or other design purporting to be the thing— (i) a digital authority; (ii) a digital evidence of age; (iii) a digital evidence of identity.\n- (i) a digital authority;\n- (ii) a digital evidence of age;\n- (iii) a digital evidence of identity.\n- (i) a digital authority;\n- (ii) a digital evidence of age;\n- (iii) a digital evidence of identity.","sortOrder":107},{"sectionNumber":"sec.41","sectionType":"section","heading":"Powers supporting seizure","content":"### sec.41 Powers supporting seizure\n\nHaving seized a thing under this division, an authorised officer may—\nmove the thing from the place or vehicle where it was seized (the place of seizure ); or\nleave the thing at the place of seizure but take reasonable action to restrict access to it.\nsealing a thing and marking it to show access to it is restricted\nsealing the entrance to a room where the seized thing is situated and marking it to show access to it is restricted\nIf an authorised officer restricts access to a seized thing, a person must not tamper, or attempt to tamper, with it without an authorised officer’s approval.\nMaximum penalty—60 penalty units.\nTo enable a thing to be seized, an authorised officer may require the person in control of it to take it to a stated reasonable place by a stated reasonable time.\nThe requirement—\nmust be made by notice in the approved form; or\nif for any reason it is not practicable to give the notice—may be made orally and confirmed by notice in the approved form as soon as practicable.\nThe person must comply with the requirement, unless the person has a reasonable excuse.\nMaximum penalty—60 penalty units.\ns&#160;41 amd 2007 No.&#160;43 s&#160;33 sch\n(sec.41-ssec.1) Having seized a thing under this division, an authorised officer may— move the thing from the place or vehicle where it was seized (the place of seizure ); or leave the thing at the place of seizure but take reasonable action to restrict access to it. sealing a thing and marking it to show access to it is restricted sealing the entrance to a room where the seized thing is situated and marking it to show access to it is restricted\n(sec.41-ssec.2) If an authorised officer restricts access to a seized thing, a person must not tamper, or attempt to tamper, with it without an authorised officer’s approval. Maximum penalty—60 penalty units.\n(sec.41-ssec.3) To enable a thing to be seized, an authorised officer may require the person in control of it to take it to a stated reasonable place by a stated reasonable time.\n(sec.41-ssec.4) The requirement— must be made by notice in the approved form; or if for any reason it is not practicable to give the notice—may be made orally and confirmed by notice in the approved form as soon as practicable.\n(sec.41-ssec.5) The person must comply with the requirement, unless the person has a reasonable excuse. Maximum penalty—60 penalty units.\n- (a) move the thing from the place or vehicle where it was seized (the place of seizure ); or\n- (b) leave the thing at the place of seizure but take reasonable action to restrict access to it. Examples of restricting access to a thing— • sealing a thing and marking it to show access to it is restricted • sealing the entrance to a room where the seized thing is situated and marking it to show access to it is restricted\n- • sealing a thing and marking it to show access to it is restricted\n- • sealing the entrance to a room where the seized thing is situated and marking it to show access to it is restricted\n- • sealing a thing and marking it to show access to it is restricted\n- • sealing the entrance to a room where the seized thing is situated and marking it to show access to it is restricted\n- (a) must be made by notice in the approved form; or\n- (b) if for any reason it is not practicable to give the notice—may be made orally and confirmed by notice in the approved form as soon as practicable.","sortOrder":108},{"sectionNumber":"sec.42","sectionType":"section","heading":"Receipt for seized things","content":"### sec.42 Receipt for seized things\n\nAs soon as practicable after an authorised officer seizes a thing, the officer must give a receipt for it to the person from whom it was seized.\nHowever, if for any reason it is not practicable to comply with subsection&#160;(1) , the officer must leave the receipt at the place of seizure, in a reasonably secure way and in a conspicuous position.\nAn authorised officer need not give a receipt for a seized thing if—\nthe thing is unattended when seized; and\nthe officer does not know who the owner of the thing is; and\nthe officer can not find the owner after making reasonable inquiries (given the thing’s value).\nThe receipt must generally describe each thing seized and its condition.\n(sec.42-ssec.1) As soon as practicable after an authorised officer seizes a thing, the officer must give a receipt for it to the person from whom it was seized.\n(sec.42-ssec.2) However, if for any reason it is not practicable to comply with subsection&#160;(1) , the officer must leave the receipt at the place of seizure, in a reasonably secure way and in a conspicuous position.\n(sec.42-ssec.3) An authorised officer need not give a receipt for a seized thing if— the thing is unattended when seized; and the officer does not know who the owner of the thing is; and the officer can not find the owner after making reasonable inquiries (given the thing’s value).\n(sec.42-ssec.4) The receipt must generally describe each thing seized and its condition.\n- (a) the thing is unattended when seized; and\n- (b) the officer does not know who the owner of the thing is; and\n- (c) the officer can not find the owner after making reasonable inquiries (given the thing’s value).","sortOrder":109},{"sectionNumber":"sec.43","sectionType":"section","heading":"Forfeiture of seized things","content":"### sec.43 Forfeiture of seized things\n\nA seized thing is forfeited to the State if the chief executive or commissioner—\ncan not find its owner after making reasonable inquiries (given the thing’s value); or\nis unable, after making reasonable efforts, to return it to its owner; or\nreasonably believes—\npossession of the thing is an offence against a transport Act; or\nit is necessary to keep the thing to prevent it being used to commit an offence against a transport Act; or\nthe thing does not comply with a transport Act and can not be repaired or otherwise changed to comply with a transport Act; or\nthe thing is inherently unsafe.\nIf the chief executive or commissioner decides to forfeit a thing under subsection&#160;(1) (c) , the chief executive or commissioner must inform the owner of the thing of the decision by written notice.\nSubsection&#160;(2) does not apply if the chief executive or commissioner can not find the owner after making reasonable inquiries (given the thing’s value).\nThe notice must state—\nthe reasons for the decision; and\nthe prescribed review information for the decision.\ns&#160;43 amd 1997 No.&#160;66 s&#160;118 ; 2009 No.&#160;24 s&#160;1781\n(sec.43-ssec.1) A seized thing is forfeited to the State if the chief executive or commissioner— can not find its owner after making reasonable inquiries (given the thing’s value); or is unable, after making reasonable efforts, to return it to its owner; or reasonably believes— possession of the thing is an offence against a transport Act; or it is necessary to keep the thing to prevent it being used to commit an offence against a transport Act; or the thing does not comply with a transport Act and can not be repaired or otherwise changed to comply with a transport Act; or the thing is inherently unsafe.\n(sec.43-ssec.2) If the chief executive or commissioner decides to forfeit a thing under subsection&#160;(1) (c) , the chief executive or commissioner must inform the owner of the thing of the decision by written notice.\n(sec.43-ssec.3) Subsection&#160;(2) does not apply if the chief executive or commissioner can not find the owner after making reasonable inquiries (given the thing’s value).\n(sec.43-ssec.4) The notice must state— the reasons for the decision; and the prescribed review information for the decision.\n- (a) can not find its owner after making reasonable inquiries (given the thing’s value); or\n- (b) is unable, after making reasonable efforts, to return it to its owner; or\n- (c) reasonably believes— (i) possession of the thing is an offence against a transport Act; or (ii) it is necessary to keep the thing to prevent it being used to commit an offence against a transport Act; or (iii) the thing does not comply with a transport Act and can not be repaired or otherwise changed to comply with a transport Act; or (iv) the thing is inherently unsafe.\n- (i) possession of the thing is an offence against a transport Act; or\n- (ii) it is necessary to keep the thing to prevent it being used to commit an offence against a transport Act; or\n- (iii) the thing does not comply with a transport Act and can not be repaired or otherwise changed to comply with a transport Act; or\n- (iv) the thing is inherently unsafe.\n- (i) possession of the thing is an offence against a transport Act; or\n- (ii) it is necessary to keep the thing to prevent it being used to commit an offence against a transport Act; or\n- (iii) the thing does not comply with a transport Act and can not be repaired or otherwise changed to comply with a transport Act; or\n- (iv) the thing is inherently unsafe.\n- (a) the reasons for the decision; and\n- (b) the prescribed review information for the decision.","sortOrder":110},{"sectionNumber":"sec.44","sectionType":"section","heading":"Dealing with forfeited things","content":"### sec.44 Dealing with forfeited things\n\nOn the forfeiture of a thing—\nit becomes the State’s property; and\nit may be dealt with as the chief executive or commissioner considers appropriate.\nThe chief executive or commissioner must not deal with the thing until any review of, or appeal against, the decision to forfeit the thing is decided.\n(sec.44-ssec.1) On the forfeiture of a thing— it becomes the State’s property; and it may be dealt with as the chief executive or commissioner considers appropriate.\n(sec.44-ssec.2) The chief executive or commissioner must not deal with the thing until any review of, or appeal against, the decision to forfeit the thing is decided.\n- (a) it becomes the State’s property; and\n- (b) it may be dealt with as the chief executive or commissioner considers appropriate.","sortOrder":111},{"sectionNumber":"sec.45","sectionType":"section","heading":"Access to seized things","content":"### sec.45 Access to seized things\n\nUntil a seized thing is forfeited or returned, an authorised officer must allow its owner—\nto inspect it; or\nif it is a document—to copy it.\nSubsection&#160;(1) does not apply if it is impracticable or would be unreasonable to allow the inspection or copying.\ns&#160;45 amd 2008 No.&#160;67 s&#160;65\n(sec.45-ssec.1) Until a seized thing is forfeited or returned, an authorised officer must allow its owner— to inspect it; or if it is a document—to copy it.\n(sec.45-ssec.2) Subsection&#160;(1) does not apply if it is impracticable or would be unreasonable to allow the inspection or copying.\n- (a) to inspect it; or\n- (b) if it is a document—to copy it.","sortOrder":112},{"sectionNumber":"sec.46","sectionType":"section","heading":"Return of seized things","content":"### sec.46 Return of seized things\n\nIf a seized thing has not been forfeited, the chief executive or commissioner must return it to its owner at the end of—\n6 months; or\nif a proceeding for an offence involving it is started within the 6 months—the proceeding and any appeal from the proceeding.\nDespite subsection&#160;(1) , the authorised officer must return the seized thing to its owner immediately the officer stops being satisfied—\nits retention as evidence of an offence against a transport Act is necessary; or\nfor equipment seized under section&#160;40A (3) (c) —the equipment is needed to access the information.\nDespite subsections&#160;(1) and (2) , if the chief executive or the commissioner (the official ) gave the seized thing to an external public authority under section&#160;168B , the official must ensure the seized thing is returned to its owner as soon as practicable after the official is satisfied its retention as evidence for the external public authority’s law enforcement purposes is no longer necessary.\ns&#160;46 amd 2007 No.&#160;43 s&#160;49\n(sec.46-ssec.1) If a seized thing has not been forfeited, the chief executive or commissioner must return it to its owner at the end of— 6 months; or if a proceeding for an offence involving it is started within the 6 months—the proceeding and any appeal from the proceeding.\n(sec.46-ssec.2) Despite subsection&#160;(1) , the authorised officer must return the seized thing to its owner immediately the officer stops being satisfied— its retention as evidence of an offence against a transport Act is necessary; or for equipment seized under section&#160;40A (3) (c) —the equipment is needed to access the information.\n(sec.46-ssec.3) Despite subsections&#160;(1) and (2) , if the chief executive or the commissioner (the official ) gave the seized thing to an external public authority under section&#160;168B , the official must ensure the seized thing is returned to its owner as soon as practicable after the official is satisfied its retention as evidence for the external public authority’s law enforcement purposes is no longer necessary.\n- (a) 6 months; or\n- (b) if a proceeding for an offence involving it is started within the 6 months—the proceeding and any appeal from the proceeding.\n- (a) its retention as evidence of an offence against a transport Act is necessary; or\n- (b) for equipment seized under section&#160;40A (3) (c) —the equipment is needed to access the information.","sortOrder":113},{"sectionNumber":"ch.3-pt.3-div.3A","sectionType":"division","heading":"Additional seizure powers for certain vehicles for sale","content":"## Additional seizure powers for certain vehicles for sale","sortOrder":114},{"sectionNumber":"sec.46A","sectionType":"section","heading":"Seizing certain vehicles for sale","content":"### sec.46A Seizing certain vehicles for sale\n\nThis section applies if—\nan authorised officer reasonably believes a vehicle is for sale on a place that is not—\nthe premises of a person licensed to conduct the business of a motor dealer under the Motor Dealers and Chattel Auctioneers Act 2014 ; or\na private dwelling or its curtilage; and\na document specified under a regulation for the vehicle is—\nnot displayed on the vehicle in the way required under the regulation; or\nif a document is displayed on the vehicle as required under the regulation and the authorised officer has inspected the vehicle under section&#160;34 —in the reasonable opinion of the officer, false or misleading in a material particular; and\nthe authorised officer reasonably believes an offence that may be constituted by anything mentioned in paragraph&#160;(b) involving the vehicle has been committed; and\nthe authorised officer, after making reasonable inquiries—\ncan not find the person (the seller ) selling the vehicle, whether as owner or otherwise; or\nif the seller is found, reasonably believes a name or address given by the seller is false; and\nwhile making the inquiries, the authorised officer warned any person to whom the officer has made an inquiry about the vehicle that it may be seized if the authorised officer—\ncan not find the seller; or\nreasonably believes the things mentioned in paragraph&#160;(d) (ii) .\nThe authorised officer may seize the vehicle and move it from the place where it was seized.\nA person may reclaim the vehicle by—\nsatisfying an authorised officer the person claiming the vehicle is the owner; and\npaying the reasonable costs of seizing, moving and storing the vehicle and the seizure notice under subsection&#160;(4) .\nThe chief executive must, as soon as possible after a vehicle is seized under this section, give notice (a seizure notice ) of its seizure in a newspaper circulating in the locality where the vehicle was seized.\nThe seizure notice must state the following—\na description of the vehicle and any registration number displayed on it;\nwhere and when it was seized;\na statement to the effect of subsection&#160;(3) .\nIf the vehicle is not reclaimed within 1 month after the seizure notice is published, the chief executive may sell the vehicle by public auction.\nThe proceeds of the sale of the vehicle must be applied in the following order—\nin payment of the expenses of the sale;\nin payment of the costs of seizing, moving and storing the vehicle and the seizure notice;\nif there is an amount owing to an entity under a security interest registered for the vehicle under the Personal Property Securities Act 2009 (Cwlth) —in payment of the amount owing under the security interest;\nin payment of the balance to the owner, or if the owner can not be found, into the consolidated fund.\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) .\nAn authorised officer is taken to have made reasonable inquiries to find a person mentioned in subsection&#160;(1) (d) if the officer has not been able to find the person after making reasonable inquiries—\nat an address indicated on or near the vehicle not more than 10km from the vehicle; or\nby making a telephone call to a phone number displayed on or near the vehicle.\nSections&#160;42 and 45 apply to a vehicle seized under this section with all necessary changes.\nIn this section—\nsecured party has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;10 .\ns&#160;46A ins 1997 No.&#160;66 s&#160;119\namd 2000 No.&#160;62 s&#160;601 sch&#160;2 ; 2010 No.&#160;44 s&#160;225 ; 2014 No.&#160;20 s&#160;238 sch&#160;3 pt&#160;2\n(sec.46A-ssec.1) This section applies if— an authorised officer reasonably believes a vehicle is for sale on a place that is not— the premises of a person licensed to conduct the business of a motor dealer under the Motor Dealers and Chattel Auctioneers Act 2014 ; or a private dwelling or its curtilage; and a document specified under a regulation for the vehicle is— not displayed on the vehicle in the way required under the regulation; or if a document is displayed on the vehicle as required under the regulation and the authorised officer has inspected the vehicle under section&#160;34 —in the reasonable opinion of the officer, false or misleading in a material particular; and the authorised officer reasonably believes an offence that may be constituted by anything mentioned in paragraph&#160;(b) involving the vehicle has been committed; and the authorised officer, after making reasonable inquiries— can not find the person (the seller ) selling the vehicle, whether as owner or otherwise; or if the seller is found, reasonably believes a name or address given by the seller is false; and while making the inquiries, the authorised officer warned any person to whom the officer has made an inquiry about the vehicle that it may be seized if the authorised officer— can not find the seller; or reasonably believes the things mentioned in paragraph&#160;(d) (ii) .\n(sec.46A-ssec.2) The authorised officer may seize the vehicle and move it from the place where it was seized.\n(sec.46A-ssec.3) A person may reclaim the vehicle by— satisfying an authorised officer the person claiming the vehicle is the owner; and paying the reasonable costs of seizing, moving and storing the vehicle and the seizure notice under subsection&#160;(4) .\n(sec.46A-ssec.4) The chief executive must, as soon as possible after a vehicle is seized under this section, give notice (a seizure notice ) of its seizure in a newspaper circulating in the locality where the vehicle was seized.\n(sec.46A-ssec.5) The seizure notice must state the following— a description of the vehicle and any registration number displayed on it; where and when it was seized; a statement to the effect of subsection&#160;(3) .\n(sec.46A-ssec.6) If the vehicle is not reclaimed within 1 month after the seizure notice is published, the chief executive may sell the vehicle by public auction.\n(sec.46A-ssec.7) The proceeds of the sale of the vehicle must be applied in the following order— in payment of the expenses of the sale; in payment of the costs of seizing, moving and storing the vehicle and the seizure notice; if there is an amount owing to an entity under a security interest registered for the vehicle under the Personal Property Securities Act 2009 (Cwlth) —in payment of the amount owing under the security interest; in payment of the balance to the owner, or if the owner can not be found, into the consolidated fund.\n(sec.46A-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.46A-ssec.8) An authorised officer is taken to have made reasonable inquiries to find a person mentioned in subsection&#160;(1) (d) if the officer has not been able to find the person after making reasonable inquiries— at an address indicated on or near the vehicle not more than 10km from the vehicle; or by making a telephone call to a phone number displayed on or near the vehicle.\n(sec.46A-ssec.9) Sections&#160;42 and 45 apply to a vehicle seized under this section with all necessary changes.\n(sec.46A-ssec.10) In this section— secured party has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;10 .\n- (a) an authorised officer reasonably believes a vehicle is for sale on a place that is not— (i) the premises of a person licensed to conduct the business of a motor dealer under the Motor Dealers and Chattel Auctioneers Act 2014 ; or (ii) a private dwelling or its curtilage; and\n- (i) the premises of a person licensed to conduct the business of a motor dealer under the Motor Dealers and Chattel Auctioneers Act 2014 ; or\n- (ii) a private dwelling or its curtilage; and\n- (b) a document specified under a regulation for the vehicle is— (i) not displayed on the vehicle in the way required under the regulation; or (ii) if a document is displayed on the vehicle as required under the regulation and the authorised officer has inspected the vehicle under section&#160;34 —in the reasonable opinion of the officer, false or misleading in a material particular; and\n- (i) not displayed on the vehicle in the way required under the regulation; or\n- (ii) if a document is displayed on the vehicle as required under the regulation and the authorised officer has inspected the vehicle under section&#160;34 —in the reasonable opinion of the officer, false or misleading in a material particular; and\n- (c) the authorised officer reasonably believes an offence that may be constituted by anything mentioned in paragraph&#160;(b) involving the vehicle has been committed; and\n- (d) the authorised officer, after making reasonable inquiries— (i) can not find the person (the seller ) selling the vehicle, whether as owner or otherwise; or (ii) if the seller is found, reasonably believes a name or address given by the seller is false; and\n- (i) can not find the person (the seller ) selling the vehicle, whether as owner or otherwise; or\n- (ii) if the seller is found, reasonably believes a name or address given by the seller is false; and\n- (e) while making the inquiries, the authorised officer warned any person to whom the officer has made an inquiry about the vehicle that it may be seized if the authorised officer— (i) can not find the seller; or (ii) reasonably believes the things mentioned in paragraph&#160;(d) (ii) .\n- (i) can not find the seller; or\n- (ii) reasonably believes the things mentioned in paragraph&#160;(d) (ii) .\n- (i) the premises of a person licensed to conduct the business of a motor dealer under the Motor Dealers and Chattel Auctioneers Act 2014 ; or\n- (ii) a private dwelling or its curtilage; and\n- (i) not displayed on the vehicle in the way required under the regulation; or\n- (ii) if a document is displayed on the vehicle as required under the regulation and the authorised officer has inspected the vehicle under section&#160;34 —in the reasonable opinion of the officer, false or misleading in a material particular; and\n- (i) can not find the person (the seller ) selling the vehicle, whether as owner or otherwise; or\n- (ii) if the seller is found, reasonably believes a name or address given by the seller is false; and\n- (i) can not find the seller; or\n- (ii) reasonably believes the things mentioned in paragraph&#160;(d) (ii) .\n- (a) satisfying an authorised officer the person claiming the vehicle is the owner; and\n- (b) paying the reasonable costs of seizing, moving and storing the vehicle and the seizure notice under subsection&#160;(4) .\n- (a) a description of the vehicle and any registration number displayed on it;\n- (b) where and when it was seized;\n- (c) a statement to the effect of subsection&#160;(3) .\n- (a) in payment of the expenses of the sale;\n- (b) in payment of the costs of seizing, moving and storing the vehicle and the seizure notice;\n- (c) if there is an amount owing to an entity under a security interest registered for the vehicle under the Personal Property Securities Act 2009 (Cwlth) —in payment of the amount owing under the security interest;\n- (d) in payment of the balance to the owner, or if the owner can not be found, into the consolidated fund.\n- (a) at an address indicated on or near the vehicle not more than 10km from the vehicle; or\n- (b) by making a telephone call to a phone number displayed on or near the vehicle.","sortOrder":115},{"sectionNumber":"ch.3-pt.3-div.3B","sectionType":"division","heading":"Embargo notice for evidence about heavy vehicle or dangerous goods","content":"## Embargo notice for evidence about heavy vehicle or dangerous goods","sortOrder":116},{"sectionNumber":"sec.46B","sectionType":"section","heading":"Embargo notice","content":"### sec.46B Embargo notice\n\nThis section applies if—\nan authorised officer may seize a document, device or other thing under this part in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods; and\nthe thing can not, or can not readily, be physically seized and removed.\nThe authorised officer may issue a written notice ( embargo notice ) under this section prohibiting any dealing with the thing or any part of it without the written consent of the chief executive, commissioner or authorised officer.\nThe embargo notice—\nmust be in the approved form, or contain the particulars prescribed under a regulation; and\nmust list the activities it prohibits; and\nmust set out a copy of section&#160;46C (1) and (3) .\nThe authorised officer may issue the embargo notice—\nby causing a copy of it to be served on the relevant entity; or\nif the relevant entity can not be located after all reasonable steps have been taken to do so, by fixing a copy of the embargo notice in a prominent position on the thing the subject of the notice.\nIn this section—\ndealing , with a thing or part of a thing, includes—\nmoving, selling, leasing or transferring the thing or part; and\nchanging information on, or deleting information from, the thing or part.\nrelevant entity , for an embargo notice, means—\nthe person in control of the heavy vehicle or prescribed dangerous goods vehicle to which the thing the subject of the embargo notice relates; or\nthe occupier of the place in which the thing the subject of the embargo notice is located.\ns&#160;46B ins 2007 No.&#160;43 s&#160;50\namd 2008 No.&#160;67 s&#160;67\n(sec.46B-ssec.1) This section applies if— an authorised officer may seize a document, device or other thing under this part in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods; and the thing can not, or can not readily, be physically seized and removed.\n(sec.46B-ssec.2) The authorised officer may issue a written notice ( embargo notice ) under this section prohibiting any dealing with the thing or any part of it without the written consent of the chief executive, commissioner or authorised officer.\n(sec.46B-ssec.3) The embargo notice— must be in the approved form, or contain the particulars prescribed under a regulation; and must list the activities it prohibits; and must set out a copy of section&#160;46C (1) and (3) .\n(sec.46B-ssec.4) The authorised officer may issue the embargo notice— by causing a copy of it to be served on the relevant entity; or if the relevant entity can not be located after all reasonable steps have been taken to do so, by fixing a copy of the embargo notice in a prominent position on the thing the subject of the notice.\n(sec.46B-ssec.5) In this section— dealing , with a thing or part of a thing, includes— moving, selling, leasing or transferring the thing or part; and changing information on, or deleting information from, the thing or part. relevant entity , for an embargo notice, means— the person in control of the heavy vehicle or prescribed dangerous goods vehicle to which the thing the subject of the embargo notice relates; or the occupier of the place in which the thing the subject of the embargo notice is located.\n- (a) an authorised officer may seize a document, device or other thing under this part in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods; and\n- (b) the thing can not, or can not readily, be physically seized and removed.\n- (a) must be in the approved form, or contain the particulars prescribed under a regulation; and\n- (b) must list the activities it prohibits; and\n- (c) must set out a copy of section&#160;46C (1) and (3) .\n- (a) by causing a copy of it to be served on the relevant entity; or\n- (b) if the relevant entity can not be located after all reasonable steps have been taken to do so, by fixing a copy of the embargo notice in a prominent position on the thing the subject of the notice.\n- (a) moving, selling, leasing or transferring the thing or part; and\n- (b) changing information on, or deleting information from, the thing or part.\n- (a) the person in control of the heavy vehicle or prescribed dangerous goods vehicle to which the thing the subject of the embargo notice relates; or\n- (b) the occupier of the place in which the thing the subject of the embargo notice is located.","sortOrder":117},{"sectionNumber":"sec.46C","sectionType":"section","heading":"Noncompliance with embargo notice","content":"### sec.46C Noncompliance with embargo notice\n\nA person who knows that an embargo notice relates to a document, device or other thing (the embargoed thing ) must not—\ndo anything the notice prohibits; or\ninstruct someone else to do anything the notice prohibits or prohibits the person from doing.\nMaximum penalty—80 penalty units.\nIn a proceeding for an offence against subsection&#160;(1) to the extent it relates to a charge that the person charged with the offence ( defendant ) moved the embargoed thing, or part of it, it is a defence if the defendant proves that he or she—\nmoved the embargoed thing, or part of it, to protect or preserve it; or\nnotified the authorised officer who issued the embargo notice of the move and new location of the embargoed thing, or part of it, within 48 hours after the move.\nA person served with an embargo notice must take all reasonable steps to stop any other person from doing anything forbidden by the notice.\nMaximum penalty—80 penalty units.\nDespite any other Act or law, a sale, lease, transfer or other dealing with an embargoed thing in contravention of this section is void.\ns&#160;46C ins 2007 No.&#160;43 s&#160;50\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1\n(sec.46C-ssec.1) A person who knows that an embargo notice relates to a document, device or other thing (the embargoed thing ) must not— do anything the notice prohibits; or instruct someone else to do anything the notice prohibits or prohibits the person from doing. Maximum penalty—80 penalty units.\n(sec.46C-ssec.2) In a proceeding for an offence against subsection&#160;(1) to the extent it relates to a charge that the person charged with the offence ( defendant ) moved the embargoed thing, or part of it, it is a defence if the defendant proves that he or she— moved the embargoed thing, or part of it, to protect or preserve it; or notified the authorised officer who issued the embargo notice of the move and new location of the embargoed thing, or part of it, within 48 hours after the move.\n(sec.46C-ssec.3) A person served with an embargo notice must take all reasonable steps to stop any other person from doing anything forbidden by the notice. Maximum penalty—80 penalty units.\n(sec.46C-ssec.4) Despite any other Act or law, a sale, lease, transfer or other dealing with an embargoed thing in contravention of this section is void.\n- (a) do anything the notice prohibits; or\n- (b) instruct someone else to do anything the notice prohibits or prohibits the person from doing.\n- (a) moved the embargoed thing, or part of it, to protect or preserve it; or\n- (b) notified the authorised officer who issued the embargo notice of the move and new location of the embargoed thing, or part of it, within 48 hours after the move.","sortOrder":118},{"sectionNumber":"ch.3-pt.3-div.4","sectionType":"division","heading":"General powers","content":"## General powers","sortOrder":119},{"sectionNumber":"sec.47","sectionType":"section","heading":"Power to set up checkpoints","content":"### sec.47 Power to set up checkpoints\n\nThe chief executive may approve a program under which authorised officers may set up checkpoints to inspect motor vehicles to ensure the vehicles comply with a transport Act.\nAlso, the chief executive may approve a program under which authorised officers who are also inspectors or authorised officers under the Explosives Act 1999 may set up checkpoints to inspect motor vehicles to ensure compliance with that Act.\nUnder an approved program, an authorised officer may set up a checkpoint on a road, or elsewhere with its occupier’s consent.\ns&#160;47 amd 2004 No.&#160;40 s&#160;15 ; 2019 No.&#160;7 s&#160;313 s ch&#160;1 pt&#160;3\n(sec.47-ssec.1) The chief executive may approve a program under which authorised officers may set up checkpoints to inspect motor vehicles to ensure the vehicles comply with a transport Act.\n(sec.47-ssec.2) Also, the chief executive may approve a program under which authorised officers who are also inspectors or authorised officers under the Explosives Act 1999 may set up checkpoints to inspect motor vehicles to ensure compliance with that Act.\n(sec.47-ssec.3) Under an approved program, an authorised officer may set up a checkpoint on a road, or elsewhere with its occupier’s consent.","sortOrder":120},{"sectionNumber":"sec.48","sectionType":"section","heading":"Power to require name and address","content":"### sec.48 Power to require name and address\n\nThis section applies if—\nan authorised officer finds a person committing an offence against a transport Act; or\nan authorised officer finds a person in circumstances that lead, or has information that leads, the officer to reasonably suspect the person has just committed an offence against a transport Act; or\nan offence against the Queensland Road Rules , section&#160;154 (1) or 156 (1)\na vehicle is stationary on a road or has been stopped under section&#160;32 .\nThe officer may require the following person to state the person’s name and address—\nfor subsection&#160;(1) (a) or (b) —the person mentioned in the relevant paragraph;\nfor subsection&#160;(1) (c) —the person in control of the vehicle mentioned in the paragraph.\nWhen making the requirement, the officer must warn the person it is an offence to fail to state the person’s name or address, unless the person has a reasonable excuse.\nThe officer may require the person to give evidence of the correctness of the stated name or address if the officer reasonably suspects the stated name or address is false.\nSee the Transport Planning and Coordination Act 1994 , sections&#160;29AH and 29AI for the use of a digital authority, a digital evidence of age or a digital evidence of identity.\nA person must comply with a requirement under subsection&#160;(2) or (4) , unless the person has a reasonable excuse.\nMaximum penalty—60 penalty units.\nA person does not commit an offence against subsection&#160;(5) if—\nthe person was required to state the person’s name and address by an authorised officer who suspected the person had committed an offence against this Act; and\nthe person is not proved to have committed the offence.\nIn this section—\ntransport Act does not include the Tow Truck Act 2023 .\ns&#160;48 amd 2000 No.&#160;5 s&#160;461 sch&#160;3 ; 2004 No.&#160;53 s&#160;2 sch ; 2007 No.&#160;43 s&#160;33 sch ; 2009 No.&#160;47 s&#160;32 ; 2020 No.&#160;21 s&#160;50 ; 2023 No.&#160;28 s&#160;200\n(sec.48-ssec.1) This section applies if— an authorised officer finds a person committing an offence against a transport Act; or an authorised officer finds a person in circumstances that lead, or has information that leads, the officer to reasonably suspect the person has just committed an offence against a transport Act; or an offence against the Queensland Road Rules , section&#160;154 (1) or 156 (1) a vehicle is stationary on a road or has been stopped under section&#160;32 .\n(sec.48-ssec.2) The officer may require the following person to state the person’s name and address— for subsection&#160;(1) (a) or (b) —the person mentioned in the relevant paragraph; for subsection&#160;(1) (c) —the person in control of the vehicle mentioned in the paragraph.\n(sec.48-ssec.3) When making the requirement, the officer must warn the person it is an offence to fail to state the person’s name or address, unless the person has a reasonable excuse.\n(sec.48-ssec.4) The officer may require the person to give evidence of the correctness of the stated name or address if the officer reasonably suspects the stated name or address is false. See the Transport Planning and Coordination Act 1994 , sections&#160;29AH and 29AI for the use of a digital authority, a digital evidence of age or a digital evidence of identity.\n(sec.48-ssec.5) A person must comply with a requirement under subsection&#160;(2) or (4) , unless the person has a reasonable excuse. Maximum penalty—60 penalty units.\n(sec.48-ssec.6) A person does not commit an offence against subsection&#160;(5) if— the person was required to state the person’s name and address by an authorised officer who suspected the person had committed an offence against this Act; and the person is not proved to have committed the offence.\n(sec.48-ssec.7) In this section— transport Act does not include the Tow Truck Act 2023 .\n- (a) an authorised officer finds a person committing an offence against a transport Act; or\n- (b) an authorised officer finds a person in circumstances that lead, or has information that leads, the officer to reasonably suspect the person has just committed an offence against a transport Act; or Example of an offence against a transport Act— an offence against the Queensland Road Rules , section&#160;154 (1) or 156 (1)\n- (c) a vehicle is stationary on a road or has been stopped under section&#160;32 .\n- (a) for subsection&#160;(1) (a) or (b) —the person mentioned in the relevant paragraph;\n- (b) for subsection&#160;(1) (c) —the person in control of the vehicle mentioned in the paragraph.\n- (a) the person was required to state the person’s name and address by an authorised officer who suspected the person had committed an offence against this Act; and\n- (b) the person is not proved to have committed the offence.","sortOrder":121},{"sectionNumber":"sec.48A","sectionType":"section","heading":"Further power to require personal details for exercising power in relation to transport of dangerous goods","content":"### sec.48A Further power to require personal details for exercising power in relation to transport of dangerous goods\n\nThis section applies if—\nan authorised officer finds a person committing a vehicle offence or dangerous goods offence; or\nan authorised officer reasonably suspects a person has committed, or is about to commit, a vehicle offence or dangerous goods offence; or\nan authorised officer reasonably suspects a person is or may be the driver or other person in control of a prescribed dangerous goods vehicle that has or may have been involved in an incident involving injury to, or death of, a person or damage to property; or\nan authorised officer reasonably suspects a person is or may be any of the following and is or may be able to help in the investigation of a vehicle offence, suspected vehicle offence, dangerous goods offence or suspected dangerous goods offence—\nfor a vehicle offence or suspected vehicle offence involving a prescribed dangerous goods vehicle—a person involved in the transport of dangerous goods by the vehicle;\nfor a dangerous goods offence or suspected dangerous goods offence—a person involved in the transport of the relevant dangerous goods.\nThe officer may require the person to state the person’s personal details.\nWhen making the requirement, the officer must warn the person it is an offence to fail to state the person’s personal details, unless the person has a reasonable excuse.\nThe officer may require the person to give evidence of the correctness of the stated personal details if the officer reasonably suspects the stated personal details are false or misleading.\nSee the Transport Planning and Coordination Act 1994 , sections&#160;29AH and 29AI for the use of a digital authority, a digital evidence of age or a digital evidence of identity.\nA person must comply with a requirement under subsection&#160;(2) or (4) , unless the person has a reasonable excuse.\nMaximum penalty—45 penalty units.\nWithout limiting what may be a reasonable excuse for subsection&#160;(5) , in a proceeding for an offence of contravening a requirement made under subsection&#160;(2) to state a business address, it is a defence if the person charged with the offence proves the person did not have a business address.\nA person does not commit an offence against subsection&#160;(5) if—\nthe person was required to state the person’s personal details by an authorised officer who suspected the person had committed a vehicle offence or dangerous goods offence; and\nthe person is not proved to have committed the offence.\nIn this section—\ndangerous goods offence means an offence against this Act that involves or relates to the transport of dangerous goods, other than a vehicle offence or an offence against the Queensland Road Rules .\npersonal details , of a person, means 1 or more of the following—\nthe person’s full name;\nthe person’s date of birth;\nthe address where the person is living;\nthe address where the person usually lives;\nthe person’s business address.\nvehicle offence means an offence against a transport Act that involves or relates to a prescribed dangerous goods vehicle, other than an offence against the Queensland Road Rules .\ns&#160;48A ins 2007 No.&#160;43 s&#160;51\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2008 No.&#160;67 s&#160;68 ; 2010 No.&#160;13 s&#160;23 ; 2013 No.&#160;26 s&#160;67 ; 2020 No.&#160;21 s&#160;51\n(sec.48A-ssec.1) This section applies if— an authorised officer finds a person committing a vehicle offence or dangerous goods offence; or an authorised officer reasonably suspects a person has committed, or is about to commit, a vehicle offence or dangerous goods offence; or an authorised officer reasonably suspects a person is or may be the driver or other person in control of a prescribed dangerous goods vehicle that has or may have been involved in an incident involving injury to, or death of, a person or damage to property; or an authorised officer reasonably suspects a person is or may be any of the following and is or may be able to help in the investigation of a vehicle offence, suspected vehicle offence, dangerous goods offence or suspected dangerous goods offence— for a vehicle offence or suspected vehicle offence involving a prescribed dangerous goods vehicle—a person involved in the transport of dangerous goods by the vehicle; for a dangerous goods offence or suspected dangerous goods offence—a person involved in the transport of the relevant dangerous goods.\n(sec.48A-ssec.2) The officer may require the person to state the person’s personal details.\n(sec.48A-ssec.3) When making the requirement, the officer must warn the person it is an offence to fail to state the person’s personal details, unless the person has a reasonable excuse.\n(sec.48A-ssec.4) The officer may require the person to give evidence of the correctness of the stated personal details if the officer reasonably suspects the stated personal details are false or misleading. See the Transport Planning and Coordination Act 1994 , sections&#160;29AH and 29AI for the use of a digital authority, a digital evidence of age or a digital evidence of identity.\n(sec.48A-ssec.5) A person must comply with a requirement under subsection&#160;(2) or (4) , unless the person has a reasonable excuse. Maximum penalty—45 penalty units.\n(sec.48A-ssec.6) Without limiting what may be a reasonable excuse for subsection&#160;(5) , in a proceeding for an offence of contravening a requirement made under subsection&#160;(2) to state a business address, it is a defence if the person charged with the offence proves the person did not have a business address.\n(sec.48A-ssec.7) A person does not commit an offence against subsection&#160;(5) if— the person was required to state the person’s personal details by an authorised officer who suspected the person had committed a vehicle offence or dangerous goods offence; and the person is not proved to have committed the offence.\n(sec.48A-ssec.8) In this section— dangerous goods offence means an offence against this Act that involves or relates to the transport of dangerous goods, other than a vehicle offence or an offence against the Queensland Road Rules . personal details , of a person, means 1 or more of the following— the person’s full name; the person’s date of birth; the address where the person is living; the address where the person usually lives; the person’s business address. vehicle offence means an offence against a transport Act that involves or relates to a prescribed dangerous goods vehicle, other than an offence against the Queensland Road Rules .\n- (a) an authorised officer finds a person committing a vehicle offence or dangerous goods offence; or\n- (b) an authorised officer reasonably suspects a person has committed, or is about to commit, a vehicle offence or dangerous goods offence; or\n- (c) an authorised officer reasonably suspects a person is or may be the driver or other person in control of a prescribed dangerous goods vehicle that has or may have been involved in an incident involving injury to, or death of, a person or damage to property; or\n- (d) an authorised officer reasonably suspects a person is or may be any of the following and is or may be able to help in the investigation of a vehicle offence, suspected vehicle offence, dangerous goods offence or suspected dangerous goods offence— (i) for a vehicle offence or suspected vehicle offence involving a prescribed dangerous goods vehicle—a person involved in the transport of dangerous goods by the vehicle; (ii) for a dangerous goods offence or suspected dangerous goods offence—a person involved in the transport of the relevant dangerous goods.\n- (i) for a vehicle offence or suspected vehicle offence involving a prescribed dangerous goods vehicle—a person involved in the transport of dangerous goods by the vehicle;\n- (ii) for a dangerous goods offence or suspected dangerous goods offence—a person involved in the transport of the relevant dangerous goods.\n- (i) for a vehicle offence or suspected vehicle offence involving a prescribed dangerous goods vehicle—a person involved in the transport of dangerous goods by the vehicle;\n- (ii) for a dangerous goods offence or suspected dangerous goods offence—a person involved in the transport of the relevant dangerous goods.\n- (a) the person was required to state the person’s personal details by an authorised officer who suspected the person had committed a vehicle offence or dangerous goods offence; and\n- (b) the person is not proved to have committed the offence.\n- (a) the person’s full name;\n- (b) the person’s date of birth;\n- (c) the address where the person is living;\n- (d) the address where the person usually lives;\n- (e) the person’s business address.","sortOrder":122},{"sectionNumber":"sec.49","sectionType":"section","heading":"Power to require documents to be produced","content":"### sec.49 Power to require documents to be produced\n\nSubject to subsections&#160;(2A) and (2B) , an authorised officer may require a person to produce for inspection a document issued, or required to be kept by the person, under a transport Act or a corresponding law.\nan Australian driver licence\na logbook\ntransport documentation\nThe person must comply with the requirement, unless the person has a reasonable excuse.\nMaximum penalty—45 penalty units.\nUnless subsection&#160;(2B) applies, only an authorised officer who is a police officer may require the driver of a private vehicle to produce his or her driver licence under subsection&#160;(1) .\nAn authorised officer who is not a police officer may require the driver of a private vehicle to produce his or her driver licence under subsection&#160;(1) if the officer reasonably believes the driver has just committed, or is committing, an offence against—\nthe Transport Infrastructure Act 1994 , section&#160;46 ; or\nthe Queensland Road Rules , section&#160;100 , 154 (1) or 156 (1) .\nIf a driver mentioned in subsection&#160;(2B) holds an open licence but is unable to comply with the requirement immediately, the driver may comply with the requirement by producing the licence to the chief executive, at a place nominated by the authorised officer, within 2 business days after the requirement is made.\nThe place nominated under subsection&#160;(2C) must be an office of the department that is reasonable in the circumstances.\nThe officer may keep the document to make a note on it or copy it.\nIf the officer copies it, the officer may require the person responsible for keeping the document to certify the copy as a true copy of the document.\nThe person must certify the copy, unless the person has a reasonable excuse.\nMaximum penalty—45 penalty units.\nThe officer must return the document to the person as soon as practicable after making the note or copying it.\nDespite subsections&#160;(3) and (6) , a regulation may provide that an authorised officer may seize a document produced under subsection&#160;(1) if—\nthe document is a licence and the authorised officer reasonably believes any of the following—\nthe licence has been cancelled or suspended;\nthe licence has ended;\nthe licence has been amended and the amendment is not recorded on the licence;\nthe person who produces the licence is not the licensee or is disqualified, however described, by an Australian court from holding or obtaining an Australian driver licence; or\nthe document purports to be a licence and the authorised officer reasonably believes the document is not a licence.\nIn this section—\ntransport Act does not include the Tow Truck Act 2023 .\ns&#160;49 amd 2007 No.&#160;43 s&#160;52 ; 2008 No.&#160;31 s&#160;50 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2008 No.&#160;67 s&#160;69 ; 2009 No.&#160;47 s&#160;33 ; 2011 No.&#160;12 s&#160;97 ; 2011 No.&#160;33 s&#160;28 ; 2013 No.&#160;26 s&#160;68 ; 2023 No.&#160;28 s&#160;201\n(sec.49-ssec.1) Subject to subsections&#160;(2A) and (2B) , an authorised officer may require a person to produce for inspection a document issued, or required to be kept by the person, under a transport Act or a corresponding law. an Australian driver licence a logbook transport documentation\n(sec.49-ssec.2) The person must comply with the requirement, unless the person has a reasonable excuse. Maximum penalty—45 penalty units.\n(sec.49-ssec.2A) Unless subsection&#160;(2B) applies, only an authorised officer who is a police officer may require the driver of a private vehicle to produce his or her driver licence under subsection&#160;(1) .\n(sec.49-ssec.2B) An authorised officer who is not a police officer may require the driver of a private vehicle to produce his or her driver licence under subsection&#160;(1) if the officer reasonably believes the driver has just committed, or is committing, an offence against— the Transport Infrastructure Act 1994 , section&#160;46 ; or the Queensland Road Rules , section&#160;100 , 154 (1) or 156 (1) .\n(sec.49-ssec.2C) If a driver mentioned in subsection&#160;(2B) holds an open licence but is unable to comply with the requirement immediately, the driver may comply with the requirement by producing the licence to the chief executive, at a place nominated by the authorised officer, within 2 business days after the requirement is made.\n(sec.49-ssec.2D) The place nominated under subsection&#160;(2C) must be an office of the department that is reasonable in the circumstances.\n(sec.49-ssec.3) The officer may keep the document to make a note on it or copy it.\n(sec.49-ssec.4) If the officer copies it, the officer may require the person responsible for keeping the document to certify the copy as a true copy of the document.\n(sec.49-ssec.5) The person must certify the copy, unless the person has a reasonable excuse. Maximum penalty—45 penalty units.\n(sec.49-ssec.6) The officer must return the document to the person as soon as practicable after making the note or copying it.\n(sec.49-ssec.7) Despite subsections&#160;(3) and (6) , a regulation may provide that an authorised officer may seize a document produced under subsection&#160;(1) if— the document is a licence and the authorised officer reasonably believes any of the following— the licence has been cancelled or suspended; the licence has ended; the licence has been amended and the amendment is not recorded on the licence; the person who produces the licence is not the licensee or is disqualified, however described, by an Australian court from holding or obtaining an Australian driver licence; or the document purports to be a licence and the authorised officer reasonably believes the document is not a licence.\n(sec.49-ssec.8) In this section— transport Act does not include the Tow Truck Act 2023 .\n- • an Australian driver licence\n- • a logbook\n- • transport documentation\n- (a) the Transport Infrastructure Act 1994 , section&#160;46 ; or\n- (b) the Queensland Road Rules , section&#160;100 , 154 (1) or 156 (1) .\n- (a) the document is a licence and the authorised officer reasonably believes any of the following— (i) the licence has been cancelled or suspended; (ii) the licence has ended; (iii) the licence has been amended and the amendment is not recorded on the licence; (iv) the person who produces the licence is not the licensee or is disqualified, however described, by an Australian court from holding or obtaining an Australian driver licence; or\n- (i) the licence has been cancelled or suspended;\n- (ii) the licence has ended;\n- (iii) the licence has been amended and the amendment is not recorded on the licence;\n- (iv) the person who produces the licence is not the licensee or is disqualified, however described, by an Australian court from holding or obtaining an Australian driver licence; or\n- (b) the document purports to be a licence and the authorised officer reasonably believes the document is not a licence.\n- (i) the licence has been cancelled or suspended;\n- (ii) the licence has ended;\n- (iii) the licence has been amended and the amendment is not recorded on the licence;\n- (iv) the person who produces the licence is not the licensee or is disqualified, however described, by an Australian court from holding or obtaining an Australian driver licence; or","sortOrder":123},{"sectionNumber":"sec.49A","sectionType":"section","heading":"Direction to provide information about transport of dangerous goods","content":"### sec.49A Direction to provide information about transport of dangerous goods\n\nThis section applies to a person involved in the transport of dangerous goods.\nAn authorised officer may, for compliance purposes, give the person a direction to provide information to the officer about the dangerous goods, a prescribed dangerous goods vehicle carrying or intended to be used for carrying the dangerous goods, or any other load or equipment carried or intended to be carried by the vehicle.\nWithout limiting subsection&#160;(2) , a direction under that subsection may require a person who is associated with a particular vehicle to provide information about the current or intended journey of the vehicle, including, for example, the following—\nthe location of the start or intended start of the journey;\nthe route or intended route of the journey;\nthe location of the destination or intended destination of the journey.\nIn giving a direction under subsection&#160;(2) to a person, the authorised officer must warn the person it is an offence to fail to give the information, unless the person has a reasonable excuse.\nA person given a direction under subsection&#160;(2) must comply with the direction, unless the person has a reasonable excuse.\nMaximum penalty—45 penalty units.\nIt is a reasonable excuse for an individual to fail to give the information if giving the information might tend to incriminate the individual.\nIn this section—\ncompliance purposes means—\nto find out whether this Act is being complied with; or\nto investigate a vehicle offence, suspected vehicle offence, dangerous goods offence, or a suspected dangerous goods offence.\ndangerous goods offence see section&#160;48A (8) .\nvehicle offence see section&#160;48A (8) .\ns&#160;49A ins 2008 No.&#160;67 s&#160;70\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2010 No.&#160;13 s&#160;24 ; 2013 No.&#160;26 s&#160;69\n(sec.49A-ssec.1) This section applies to a person involved in the transport of dangerous goods.\n(sec.49A-ssec.2) An authorised officer may, for compliance purposes, give the person a direction to provide information to the officer about the dangerous goods, a prescribed dangerous goods vehicle carrying or intended to be used for carrying the dangerous goods, or any other load or equipment carried or intended to be carried by the vehicle.\n(sec.49A-ssec.3) Without limiting subsection&#160;(2) , a direction under that subsection may require a person who is associated with a particular vehicle to provide information about the current or intended journey of the vehicle, including, for example, the following— the location of the start or intended start of the journey; the route or intended route of the journey; the location of the destination or intended destination of the journey.\n(sec.49A-ssec.4) In giving a direction under subsection&#160;(2) to a person, the authorised officer must warn the person it is an offence to fail to give the information, unless the person has a reasonable excuse.\n(sec.49A-ssec.5) A person given a direction under subsection&#160;(2) must comply with the direction, unless the person has a reasonable excuse. Maximum penalty—45 penalty units.\n(sec.49A-ssec.6) It is a reasonable excuse for an individual to fail to give the information if giving the information might tend to incriminate the individual.\n(sec.49A-ssec.7) In this section— compliance purposes means— to find out whether this Act is being complied with; or to investigate a vehicle offence, suspected vehicle offence, dangerous goods offence, or a suspected dangerous goods offence. dangerous goods offence see section&#160;48A (8) . vehicle offence see section&#160;48A (8) .\n- (a) the location of the start or intended start of the journey;\n- (b) the route or intended route of the journey;\n- (c) the location of the destination or intended destination of the journey.\n- (a) to find out whether this Act is being complied with; or\n- (b) to investigate a vehicle offence, suspected vehicle offence, dangerous goods offence, or a suspected dangerous goods offence.","sortOrder":124},{"sectionNumber":"sec.50","sectionType":"section","heading":null,"content":"### Section sec.50\n\ns&#160;50 amd 1997 No.&#160;66 s&#160;120 ; 1999 No.&#160;42 s&#160;54 (2) sch amdt 169; 2002 No.&#160;71 s&#160;16 ; 2007 No.&#160;43 s&#160;33 sch ; 2008 No.&#160;66 s&#160;4 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;70","sortOrder":125},{"sectionNumber":"sec.50A","sectionType":"section","heading":null,"content":"### Section sec.50A\n\ns&#160;50A ins 1997 No.&#160;66 s&#160;121\nom 2008 No.&#160;67 s&#160;72","sortOrder":126},{"sectionNumber":"sec.50AA","sectionType":"section","heading":null,"content":"### Section sec.50AA\n\ns&#160;50AA ins 2002 No.&#160;71 s&#160;17\namd 2003 No.&#160;69 s&#160;3 ; 2007 No.&#160;43 s&#160;53 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;70","sortOrder":127},{"sectionNumber":"sec.50AB","sectionType":"section","heading":"Power to require help to find and access particular documents or information","content":"### sec.50AB Power to require help to find and access particular documents or information\n\nAn authorised officer may require a relevant person for a heavy vehicle or a person involved in the transport of dangerous goods to help the officer find and gain access to any documents or information to enable the officer to effectively exercise a power under any of the following provisions for monitoring or enforcing compliance with this Act—\nsection&#160;30 (2) (a) or (b)\nsection&#160;30A (2) or (4)\nsection&#160;35 (2) (b) or (c)\nsection&#160;35A (2) or (3)\nsection&#160;40\nsection&#160;40A .\na document required to be kept in the vehicle under a transport Act about the vehicle’s performance, specifications, capabilities or authorised operations\na weighing document for a container loaded on to the vehicle\na telephone record\nA person must comply with a requirement under subsection&#160;(1) , unless the person has a reasonable excuse.\nMaximum penalty—90 penalty units.\nFor subsection&#160;(1) , a relevant person for the heavy vehicle is—\na person in control of the vehicle; or\na person at a place entered by the authorised officer for exercising a power under this Act in relation to the heavy vehicle.\nIn this section—\ninformation includes electronically stored information.\ns&#160;50AB ins 2007 No.&#160;43 s&#160;54\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2008 No.&#160;67 s&#160;71 ; 2010 No.&#160;13 s&#160;25 ; 2013 No.&#160;26 s&#160;71\n(sec.50AB-ssec.1) An authorised officer may require a relevant person for a heavy vehicle or a person involved in the transport of dangerous goods to help the officer find and gain access to any documents or information to enable the officer to effectively exercise a power under any of the following provisions for monitoring or enforcing compliance with this Act— section&#160;30 (2) (a) or (b) section&#160;30A (2) or (4) section&#160;35 (2) (b) or (c) section&#160;35A (2) or (3) section&#160;40 section&#160;40A . a document required to be kept in the vehicle under a transport Act about the vehicle’s performance, specifications, capabilities or authorised operations a weighing document for a container loaded on to the vehicle a telephone record\n(sec.50AB-ssec.2) A person must comply with a requirement under subsection&#160;(1) , unless the person has a reasonable excuse. Maximum penalty—90 penalty units.\n(sec.50AB-ssec.3) For subsection&#160;(1) , a relevant person for the heavy vehicle is— a person in control of the vehicle; or a person at a place entered by the authorised officer for exercising a power under this Act in relation to the heavy vehicle.\n(sec.50AB-ssec.4) In this section— information includes electronically stored information.\n- • section&#160;30 (2) (a) or (b)\n- • section&#160;30A (2) or (4)\n- • section&#160;35 (2) (b) or (c)\n- • section&#160;35A (2) or (3)\n- • section&#160;40\n- • section&#160;40A .\n- • a document required to be kept in the vehicle under a transport Act about the vehicle’s performance, specifications, capabilities or authorised operations\n- • a weighing document for a container loaded on to the vehicle\n- • a telephone record\n- (a) a person in control of the vehicle; or\n- (b) a person at a place entered by the authorised officer for exercising a power under this Act in relation to the heavy vehicle.","sortOrder":128},{"sectionNumber":"ch.3-pt.3-div.5","sectionType":"division","heading":null,"content":"","sortOrder":129},{"sectionNumber":"ch.3-pt.4","sectionType":"part","heading":null,"content":"","sortOrder":130},{"sectionNumber":"sec.51","sectionType":"section","heading":null,"content":"### Section sec.51\n\ns&#160;51 om 2000 No.&#160;5 s&#160;461 sch&#160;3","sortOrder":131},{"sectionNumber":"ch.3-pt.4A","sectionType":"part","heading":null,"content":"","sortOrder":132},{"sectionNumber":"sec.51A","sectionType":"section","heading":null,"content":"### Section sec.51A\n\ns&#160;51A ins 1997 No.&#160;66 s&#160;122\nom 2008 No.&#160;67 s&#160;73","sortOrder":133},{"sectionNumber":"sec.51B","sectionType":"section","heading":null,"content":"### Section sec.51B\n\ns&#160;51B ins 1997 No.&#160;66 s&#160;122\nom 2008 No.&#160;67 s&#160;73","sortOrder":134},{"sectionNumber":"sec.51C","sectionType":"section","heading":null,"content":"### Section sec.51C\n\ns&#160;51C ins 1997 No.&#160;66 s&#160;122\nom 2008 No.&#160;67 s&#160;73","sortOrder":135},{"sectionNumber":"sec.51D","sectionType":"section","heading":null,"content":"### Section sec.51D\n\ns&#160;51D ins 1997 No.&#160;66 s&#160;122\nom 2008 No.&#160;67 s&#160;73","sortOrder":136},{"sectionNumber":"sec.51E","sectionType":"section","heading":null,"content":"### Section sec.51E\n\ns&#160;51E ins 1997 No.&#160;66 s&#160;122\nom 2008 No.&#160;67 s&#160;73","sortOrder":137},{"sectionNumber":"ch.3-pt.4B","sectionType":"part","heading":"Reciprocal powers of authorised officers","content":"# Reciprocal powers of authorised officers","sortOrder":138},{"sectionNumber":"sec.51F","sectionType":"section","heading":"Reciprocal powers","content":"### sec.51F Reciprocal powers\n\nThis section has effect in relation to the Commonwealth or another State (the other jurisdiction ) while a law of the other jurisdiction contains a provision corresponding to this section.\nThe Minister may enter into an agreement with a Minister of the other jurisdiction for the purposes of this section and to amend or revoke the agreement.\nTo the extent envisaged by the agreement—\nan authorised officer, other than a police officer, may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on officers of the other jurisdiction under the law of the other jurisdiction; and\nan authorised officer who is a police officer may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on a police officer of the other jurisdiction under the law of the other jurisdiction; and\nan officer, other than a police officer, of the other jurisdiction may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on authorised officers, other than police officers, under this Act; and\na police officer of the other jurisdiction may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on authorised officers who are police officers under this Act.\nHowever, if, under this Act or the law of the other jurisdiction, a power may only be exercised in relation to a relevant matter by a police officer, an authorised officer who is not a police officer must not exercise the power in relation to a relevant matter in Queensland or the other jurisdiction.\nAnything done or omitted to be done by an authorised officer or police officer under subsection&#160;(3) (a) or (b) is taken to have been done under this Act as well as under the law of the other jurisdiction.\nA regulation may make provision for the exercise of a power under this section.\nNothing in this section affects the appointment under section&#160;20 (2) of a person as an authorised officer for this Act.\nIn this section—\nrelevant matter means—\na prescribed dangerous goods vehicle; or\nthe transport of dangerous goods.\ns&#160;51F amd 2008 No.&#160;67 s&#160;74 ; 2013 No.&#160;26 s&#160;72\n(sec.51F-ssec.1) This section has effect in relation to the Commonwealth or another State (the other jurisdiction ) while a law of the other jurisdiction contains a provision corresponding to this section.\n(sec.51F-ssec.2) The Minister may enter into an agreement with a Minister of the other jurisdiction for the purposes of this section and to amend or revoke the agreement.\n(sec.51F-ssec.3) To the extent envisaged by the agreement— an authorised officer, other than a police officer, may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on officers of the other jurisdiction under the law of the other jurisdiction; and an authorised officer who is a police officer may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on a police officer of the other jurisdiction under the law of the other jurisdiction; and an officer, other than a police officer, of the other jurisdiction may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on authorised officers, other than police officers, under this Act; and a police officer of the other jurisdiction may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on authorised officers who are police officers under this Act.\n(sec.51F-ssec.4) However, if, under this Act or the law of the other jurisdiction, a power may only be exercised in relation to a relevant matter by a police officer, an authorised officer who is not a police officer must not exercise the power in relation to a relevant matter in Queensland or the other jurisdiction.\n(sec.51F-ssec.5) Anything done or omitted to be done by an authorised officer or police officer under subsection&#160;(3) (a) or (b) is taken to have been done under this Act as well as under the law of the other jurisdiction.\n(sec.51F-ssec.6) A regulation may make provision for the exercise of a power under this section.\n(sec.51F-ssec.7) Nothing in this section affects the appointment under section&#160;20 (2) of a person as an authorised officer for this Act.\n(sec.51F-ssec.8) In this section— relevant matter means— a prescribed dangerous goods vehicle; or the transport of dangerous goods.\n- (a) an authorised officer, other than a police officer, may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on officers of the other jurisdiction under the law of the other jurisdiction; and\n- (b) an authorised officer who is a police officer may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on a police officer of the other jurisdiction under the law of the other jurisdiction; and\n- (c) an officer, other than a police officer, of the other jurisdiction may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on authorised officers, other than police officers, under this Act; and\n- (d) a police officer of the other jurisdiction may, in Queensland or the other jurisdiction, exercise a power in relation to a relevant matter that is conferred on authorised officers who are police officers under this Act.\n- (a) a prescribed dangerous goods vehicle; or\n- (b) the transport of dangerous goods.","sortOrder":139},{"sectionNumber":"ch.3-pt.4C","sectionType":"part","heading":"Chief executive’s powers for vehicles, loads or other things","content":"# Chief executive’s powers for vehicles, loads or other things","sortOrder":140},{"sectionNumber":"ch.3-pt.4C-div.1","sectionType":"division","heading":"Definitions","content":"## Definitions","sortOrder":141},{"sectionNumber":"sec.51GAA","sectionType":"section","heading":"Definitions","content":"### sec.51GAA Definitions\n\nIn this part—\ncontrol includes possession.\nload includes any goods, equipment or thing—\nthat is carried by, in or on a vehicle, or is attached to a vehicle, mentioned in section&#160;51G ; or\nthat was carried by, in or on a vehicle or attached to a vehicle, on a road but has become separated from the vehicle.\nmoving expenses , for a removed thing, means actual expenses relating to 1 or more of the following acts—\ncalling a service or towing vehicle to the removed thing on a road;\nmoving the removed thing on a road;\nremoving the removed thing from a road;\nstoring the removed thing after it has been removed from a road;\nreleasing a removed thing mentioned in paragraph&#160;(d) from storage;\ndisposing of a removed thing mentioned in paragraph&#160;(c) other than by selling it.\ns&#160;51GAA def moving expenses amd 2008 No.&#160;67 ss&#160;190 (1) , (3) , 191 (1)\nreloc from s&#160;51H 2008 No.&#160;67 s&#160;191 (2)\nremoved thing means a vehicle, load or other thing moved or removed under section&#160;51G .\nused , for something other than a vehicle, includes held in someone’s possession.\ns&#160;51GAA ins 2008 No.&#160;67 s&#160;187\n- (a) that is carried by, in or on a vehicle, or is attached to a vehicle, mentioned in section&#160;51G ; or\n- (b) that was carried by, in or on a vehicle or attached to a vehicle, on a road but has become separated from the vehicle.\n- (a) calling a service or towing vehicle to the removed thing on a road;\n- (b) moving the removed thing on a road;\n- (c) removing the removed thing from a road;\n- (d) storing the removed thing after it has been removed from a road;\n- (e) releasing a removed thing mentioned in paragraph&#160;(d) from storage;\n- (f) disposing of a removed thing mentioned in paragraph&#160;(c) other than by selling it.","sortOrder":142},{"sectionNumber":"ch.3-pt.4C-div.2","sectionType":"division","heading":"Moving vehicles, loads or other things","content":"## Moving vehicles, loads or other things","sortOrder":143},{"sectionNumber":"sec.51G","sectionType":"section","heading":"Moving abandoned, or otherwise stationary, vehicle, load or other thing on road","content":"### sec.51G Moving abandoned, or otherwise stationary, vehicle, load or other thing on road\n\nThis section applies if—\nany of the following applies—\na vehicle or load on a road is immobilised by a breakdown, collision or fuel shortage or is otherwise stationary;\nanother thing that is not abandoned is placed or comes to rest on a road;\nthe chief executive reasonably believes a vehicle, load or other thing on a road is abandoned; and\neither—\nthe chief executive can not immediately find the person in control of the vehicle, load or other thing; or\nthe chief executive can immediately find the person in control of the vehicle, load or other thing but reasonably believes the person is unable or unwilling to move the vehicle, load or other thing immediately.\nThe chief executive may take the steps that are reasonably necessary to move the vehicle, load or other thing on, or remove the vehicle, load or other thing from, the road.\ndriving, pushing or towing the vehicle, load or other thing\nIf the chief executive asks a service or towing vehicle operator to move or remove the vehicle, load or other thing, the service or towing vehicle operator may take the steps that are reasonably necessary to move or remove it as requested.\nHowever, for a vehicle, load or other thing mentioned in subsection&#160;(1) (a) (i) or (ii) , the chief executive may take the steps mentioned in subsection&#160;(2) only if the chief executive reasonably believes it is necessary for the safety or convenience of people using the road.\ns&#160;51G ins 2007 No.&#160;43 s&#160;55\namd 2008 No.&#160;67 s&#160;189 ; 2014 No.&#160;43 s&#160;117 sch&#160;1\n(sec.51G-ssec.1) This section applies if— any of the following applies— a vehicle or load on a road is immobilised by a breakdown, collision or fuel shortage or is otherwise stationary; another thing that is not abandoned is placed or comes to rest on a road; the chief executive reasonably believes a vehicle, load or other thing on a road is abandoned; and either— the chief executive can not immediately find the person in control of the vehicle, load or other thing; or the chief executive can immediately find the person in control of the vehicle, load or other thing but reasonably believes the person is unable or unwilling to move the vehicle, load or other thing immediately.\n(sec.51G-ssec.2) The chief executive may take the steps that are reasonably necessary to move the vehicle, load or other thing on, or remove the vehicle, load or other thing from, the road. driving, pushing or towing the vehicle, load or other thing\n(sec.51G-ssec.3) If the chief executive asks a service or towing vehicle operator to move or remove the vehicle, load or other thing, the service or towing vehicle operator may take the steps that are reasonably necessary to move or remove it as requested.\n(sec.51G-ssec.4) However, for a vehicle, load or other thing mentioned in subsection&#160;(1) (a) (i) or (ii) , the chief executive may take the steps mentioned in subsection&#160;(2) only if the chief executive reasonably believes it is necessary for the safety or convenience of people using the road.\n- (a) any of the following applies— (i) a vehicle or load on a road is immobilised by a breakdown, collision or fuel shortage or is otherwise stationary; (ii) another thing that is not abandoned is placed or comes to rest on a road; (iii) the chief executive reasonably believes a vehicle, load or other thing on a road is abandoned; and\n- (i) a vehicle or load on a road is immobilised by a breakdown, collision or fuel shortage or is otherwise stationary;\n- (ii) another thing that is not abandoned is placed or comes to rest on a road;\n- (iii) the chief executive reasonably believes a vehicle, load or other thing on a road is abandoned; and\n- (b) either— (i) the chief executive can not immediately find the person in control of the vehicle, load or other thing; or (ii) the chief executive can immediately find the person in control of the vehicle, load or other thing but reasonably believes the person is unable or unwilling to move the vehicle, load or other thing immediately.\n- (i) the chief executive can not immediately find the person in control of the vehicle, load or other thing; or\n- (ii) the chief executive can immediately find the person in control of the vehicle, load or other thing but reasonably believes the person is unable or unwilling to move the vehicle, load or other thing immediately.\n- (i) a vehicle or load on a road is immobilised by a breakdown, collision or fuel shortage or is otherwise stationary;\n- (ii) another thing that is not abandoned is placed or comes to rest on a road;\n- (iii) the chief executive reasonably believes a vehicle, load or other thing on a road is abandoned; and\n- (i) the chief executive can not immediately find the person in control of the vehicle, load or other thing; or\n- (ii) the chief executive can immediately find the person in control of the vehicle, load or other thing but reasonably believes the person is unable or unwilling to move the vehicle, load or other thing immediately.","sortOrder":144},{"sectionNumber":"ch.3-pt.4C-div.3","sectionType":"division","heading":"Recovering moving expenses","content":"## Recovering moving expenses","sortOrder":145},{"sectionNumber":"sec.51H","sectionType":"section","heading":null,"content":"### Section sec.51H\n\ns&#160;51H ins 2007 No.&#160;43 s&#160;55\namd 2008 No.&#160;67 s&#160;191 (2)\nom 2008 No.&#160;67 s&#160;191 (3)","sortOrder":146},{"sectionNumber":"sec.51I","sectionType":"section","heading":"Recovering moving expenses","content":"### sec.51I Recovering moving expenses\n\nThe chief executive may recover as a debt the moving expenses for a removed thing incurred by the State under this part.\nThe moving expenses may be recovered from—\nthe person who was in control of the removed thing immediately before it was moved or removed; or\nif the identity of the person mentioned in paragraph&#160;(a) can not be discovered—the removed thing’s owner, unless the removed thing was being used without the owner’s consent.\nThe moving expenses claimed under subsection&#160;(1) must be reasonable.\nIf moving expenses were incurred because of the paramount or high degree of importance given to moving or removing the removed thing on or from the road quickly as mentioned in section&#160;51N (2) (a) , a court must act on the basis that the expenses were reasonable.\ns&#160;51I ins 2007 No.&#160;43 s&#160;55\namd 2008 No.&#160;67 ss&#160;190 (1) – (2) , 192\n(sec.51I-ssec.1) The chief executive may recover as a debt the moving expenses for a removed thing incurred by the State under this part.\n(sec.51I-ssec.2) The moving expenses may be recovered from— the person who was in control of the removed thing immediately before it was moved or removed; or if the identity of the person mentioned in paragraph&#160;(a) can not be discovered—the removed thing’s owner, unless the removed thing was being used without the owner’s consent.\n(sec.51I-ssec.3) The moving expenses claimed under subsection&#160;(1) must be reasonable.\n(sec.51I-ssec.4) If moving expenses were incurred because of the paramount or high degree of importance given to moving or removing the removed thing on or from the road quickly as mentioned in section&#160;51N (2) (a) , a court must act on the basis that the expenses were reasonable.\n- (a) the person who was in control of the removed thing immediately before it was moved or removed; or\n- (b) if the identity of the person mentioned in paragraph&#160;(a) can not be discovered—the removed thing’s owner, unless the removed thing was being used without the owner’s consent.","sortOrder":147},{"sectionNumber":"sec.51J","sectionType":"section","heading":"Notice to owner","content":"### sec.51J Notice to owner\n\nAs soon as practicable, but within 14 days after removing a removed thing from a road, the chief executive must give the owner of the removed thing a written notice—\nstating that the removed thing has been removed; and\nexplaining how it may be recovered; and\nstating that it may be sold if it is not recovered.\nIf the owner can not be identified or located within the 14 days, the notice may be given by publishing it in a newspaper circulating generally in the State.\nThe chief executive need not give the notice required by this section for a vehicle if—\nthe chief executive reasonably believes the vehicle is abandoned; and\neither—\nthe proceeds of the vehicle’s sale are not likely to cover—\nthe moving expenses for the vehicle; and\nthe expenses incurred by the chief executive in selling the vehicle; or\nit is otherwise impracticable to give the notice.\nThe chief executive need not give the notice required by this section for a removed thing other than a vehicle if—\nthe chief executive reasonably believes the removed thing is abandoned; or\nthe proceeds of the removed thing’s sale are not likely to cover—\nthe moving expenses for the removed thing; and\nthe expenses incurred by the chief executive in selling the removed thing; or\nit is otherwise impracticable to give the notice.\nIn this section—\nremoved thing other than a vehicle , for subsection&#160;(4) , includes anything, including the load of a vehicle, that has become separated from the vehicle during the exercise of powers under this part.\nvehicle , for subsection&#160;(3) , includes the vehicle’s load to the extent it has remained with the vehicle during the exercise of powers under this part.\ns&#160;51J ins 2007 No.&#160;43 s&#160;55\namd 2008 No.&#160;67 ss&#160;190 (1) , (3) , 193\n(sec.51J-ssec.1) As soon as practicable, but within 14 days after removing a removed thing from a road, the chief executive must give the owner of the removed thing a written notice— stating that the removed thing has been removed; and explaining how it may be recovered; and stating that it may be sold if it is not recovered.\n(sec.51J-ssec.2) If the owner can not be identified or located within the 14 days, the notice may be given by publishing it in a newspaper circulating generally in the State.\n(sec.51J-ssec.3) The chief executive need not give the notice required by this section for a vehicle if— the chief executive reasonably believes the vehicle is abandoned; and either— the proceeds of the vehicle’s sale are not likely to cover— the moving expenses for the vehicle; and the expenses incurred by the chief executive in selling the vehicle; or it is otherwise impracticable to give the notice.\n(sec.51J-ssec.4) The chief executive need not give the notice required by this section for a removed thing other than a vehicle if— the chief executive reasonably believes the removed thing is abandoned; or the proceeds of the removed thing’s sale are not likely to cover— the moving expenses for the removed thing; and the expenses incurred by the chief executive in selling the removed thing; or it is otherwise impracticable to give the notice.\n(sec.51J-ssec.5) In this section— removed thing other than a vehicle , for subsection&#160;(4) , includes anything, including the load of a vehicle, that has become separated from the vehicle during the exercise of powers under this part. vehicle , for subsection&#160;(3) , includes the vehicle’s load to the extent it has remained with the vehicle during the exercise of powers under this part.\n- (a) stating that the removed thing has been removed; and\n- (b) explaining how it may be recovered; and\n- (c) stating that it may be sold if it is not recovered.\n- (a) the chief executive reasonably believes the vehicle is abandoned; and\n- (b) either— (i) the proceeds of the vehicle’s sale are not likely to cover— (A) the moving expenses for the vehicle; and (B) the expenses incurred by the chief executive in selling the vehicle; or (ii) it is otherwise impracticable to give the notice.\n- (i) the proceeds of the vehicle’s sale are not likely to cover— (A) the moving expenses for the vehicle; and (B) the expenses incurred by the chief executive in selling the vehicle; or\n- (A) the moving expenses for the vehicle; and\n- (B) the expenses incurred by the chief executive in selling the vehicle; or\n- (ii) it is otherwise impracticable to give the notice.\n- (i) the proceeds of the vehicle’s sale are not likely to cover— (A) the moving expenses for the vehicle; and (B) the expenses incurred by the chief executive in selling the vehicle; or\n- (A) the moving expenses for the vehicle; and\n- (B) the expenses incurred by the chief executive in selling the vehicle; or\n- (ii) it is otherwise impracticable to give the notice.\n- (A) the moving expenses for the vehicle; and\n- (B) the expenses incurred by the chief executive in selling the vehicle; or\n- (a) the chief executive reasonably believes the removed thing is abandoned; or\n- (b) the proceeds of the removed thing’s sale are not likely to cover— (i) the moving expenses for the removed thing; and (ii) the expenses incurred by the chief executive in selling the removed thing; or\n- (i) the moving expenses for the removed thing; and\n- (ii) the expenses incurred by the chief executive in selling the removed thing; or\n- (c) it is otherwise impracticable to give the notice.\n- (i) the moving expenses for the removed thing; and\n- (ii) the expenses incurred by the chief executive in selling the removed thing; or","sortOrder":148},{"sectionNumber":"sec.51K","sectionType":"section","heading":"Releasing removed thing","content":"### sec.51K Releasing removed thing\n\nThe chief executive must release a removed thing that was removed from a road to its owner if—\nthe removed thing was used by a person without the owner’s consent immediately before it was removed; or\nthe removed thing was used by the owner or a person with the owner’s consent immediately before it was removed and the moving expenses for the removed thing have been paid.\nSubsection&#160;(1) does not apply if the chief executive has disposed of the removed thing under section&#160;51L or 51M .\ns&#160;51K ins 2007 No.&#160;43 s&#160;55\namd 2008 No.&#160;67 ss&#160;190 (1) , (3) , 194\n(sec.51K-ssec.1) The chief executive must release a removed thing that was removed from a road to its owner if— the removed thing was used by a person without the owner’s consent immediately before it was removed; or the removed thing was used by the owner or a person with the owner’s consent immediately before it was removed and the moving expenses for the removed thing have been paid.\n(sec.51K-ssec.2) Subsection&#160;(1) does not apply if the chief executive has disposed of the removed thing under section&#160;51L or 51M .\n- (a) the removed thing was used by a person without the owner’s consent immediately before it was removed; or\n- (b) the removed thing was used by the owner or a person with the owner’s consent immediately before it was removed and the moving expenses for the removed thing have been paid.","sortOrder":149},{"sectionNumber":"sec.51L","sectionType":"section","heading":"Disposing of removed thing","content":"### sec.51L Disposing of removed thing\n\nThis section is subject to section&#160;51M .\nThe chief executive may dispose of a removed thing removed from a road if—\nthe moving expenses for the removed thing are not paid within 2 months after a notice is given to the removed thing’s owner under section&#160;51J ; or\nthe chief executive decides under section&#160;51J (3) or (4) not to give a notice to the removed thing’s owner and at least 2 months have passed since the chief executive made the decision.\nUnless subsection&#160;(3) applies, the chief executive may only dispose of the removed thing by selling it.\nIf the sale proceeds of the removed thing are not likely to cover the moving expenses and sale expenses for the removed thing, the chief executive may dispose of the removed thing in the way the chief executive considers appropriate.\nIf the removed thing is sold, the sale proceeds must be applied in making payments in the following order—\nthe sale expenses for the removed thing;\nthe moving expenses for the removed thing;\nif there is an amount owing to an entity under a security interest registered for the removed thing under the Personal Property Securities Act 2009 (Cwlth) —the amount owing under the security interest;\nthe balance to the owner of the removed thing or, if the owner can not be found, to the consolidated fund.\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;(4) (a) or (b) .\nIf the sale proceeds are less than the moving expenses and sale expenses for the removed thing, the difference is a debt payable to the State by the person who is liable under section&#160;51I for the moving expenses.\nThe chief executive may waive all or part of the moving expenses and sale expenses.\nCompensation is not recoverable against the chief executive or the State for a payment made under this section.\nIn this section—\nsale expenses , for a removed thing, means the expenses reasonably incurred by the chief executive in selling the removed thing.\nsecured party has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;10 .\ns&#160;51L ins 2007 No.&#160;43 s&#160;55\namd 2008 No.&#160;67 ss&#160;190 , 195 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1 ; 2010 No.&#160;44 s&#160;226\n(sec.51L-ssec.1AA) This section is subject to section&#160;51M .\n(sec.51L-ssec.1) The chief executive may dispose of a removed thing removed from a road if— the moving expenses for the removed thing are not paid within 2 months after a notice is given to the removed thing’s owner under section&#160;51J ; or the chief executive decides under section&#160;51J (3) or (4) not to give a notice to the removed thing’s owner and at least 2 months have passed since the chief executive made the decision.\n(sec.51L-ssec.2) Unless subsection&#160;(3) applies, the chief executive may only dispose of the removed thing by selling it.\n(sec.51L-ssec.3) If the sale proceeds of the removed thing are not likely to cover the moving expenses and sale expenses for the removed thing, the chief executive may dispose of the removed thing in the way the chief executive considers appropriate.\n(sec.51L-ssec.4) If the removed thing is sold, the sale proceeds must be applied in making payments in the following order— the sale expenses for the removed thing; the moving expenses for the removed thing; if there is an amount owing to an entity under a security interest registered for the removed thing under the Personal Property Securities Act 2009 (Cwlth) —the amount owing under the security interest; the balance to the owner of the removed thing or, if the owner can not be found, to the consolidated fund.\n(sec.51L-ssec.4A) 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;(4) (a) or (b) .\n(sec.51L-ssec.5) If the sale proceeds are less than the moving expenses and sale expenses for the removed thing, the difference is a debt payable to the State by the person who is liable under section&#160;51I for the moving expenses.\n(sec.51L-ssec.6) The chief executive may waive all or part of the moving expenses and sale expenses.\n(sec.51L-ssec.7) Compensation is not recoverable against the chief executive or the State for a payment made under this section.\n(sec.51L-ssec.8) In this section— sale expenses , for a removed thing, means the expenses reasonably incurred by the chief executive in selling the removed thing. secured party has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;10 .\n- (a) the moving expenses for the removed thing are not paid within 2 months after a notice is given to the removed thing’s owner under section&#160;51J ; or\n- (b) the chief executive decides under section&#160;51J (3) or (4) not to give a notice to the removed thing’s owner and at least 2 months have passed since the chief executive made the decision.\n- (a) the sale expenses for the removed thing;\n- (b) the moving expenses for the removed thing;\n- (c) if there is an amount owing to an entity under a security interest registered for the removed thing under the Personal Property Securities Act 2009 (Cwlth) —the amount owing under the security interest;\n- (d) the balance to the owner of the removed thing or, if the owner can not be found, to the consolidated fund.","sortOrder":150},{"sectionNumber":"sec.51M","sectionType":"section","heading":"Immediate disposal in particular circumstances","content":"### sec.51M Immediate disposal in particular circumstances\n\nDespite any other provision of this part, the chief executive may dispose of a removed thing other than a vehicle when and in the way the chief executive considers appropriate if—\nthe chief executive reasonably believes the removed thing has been abandoned; or\nthe proceeds of any sale of the removed thing are unlikely to cover—\nthe moving expenses for the removed thing; and\nthe expenses likely to be incurred by the chief executive in selling the removed thing; or\nit is otherwise impracticable to retain the removed thing.\nThe chief executive may immediately dispose of gravel spilled on a road by a passing truck by having it bulldozed off the side of the road.\nIn this section—\nremoved thing other than a vehicle see section&#160;51J (5) .\ns&#160;51M ins 2008 No.&#160;67 s&#160;196\n(sec.51M-ssec.1) Despite any other provision of this part, the chief executive may dispose of a removed thing other than a vehicle when and in the way the chief executive considers appropriate if— the chief executive reasonably believes the removed thing has been abandoned; or the proceeds of any sale of the removed thing are unlikely to cover— the moving expenses for the removed thing; and the expenses likely to be incurred by the chief executive in selling the removed thing; or it is otherwise impracticable to retain the removed thing. The chief executive may immediately dispose of gravel spilled on a road by a passing truck by having it bulldozed off the side of the road.\n(sec.51M-ssec.2) In this section— removed thing other than a vehicle see section&#160;51J (5) .\n- (a) the chief executive reasonably believes the removed thing has been abandoned; or\n- (b) the proceeds of any sale of the removed thing are unlikely to cover— (i) the moving expenses for the removed thing; and (ii) the expenses likely to be incurred by the chief executive in selling the removed thing; or\n- (i) the moving expenses for the removed thing; and\n- (ii) the expenses likely to be incurred by the chief executive in selling the removed thing; or\n- (c) it is otherwise impracticable to retain the removed thing.\n- (i) the moving expenses for the removed thing; and\n- (ii) the expenses likely to be incurred by the chief executive in selling the removed thing; or","sortOrder":151},{"sectionNumber":"ch.3-pt.4C-div.4","sectionType":"division","heading":"Other provisions","content":"## Other provisions","sortOrder":152},{"sectionNumber":"sec.51N","sectionType":"section","heading":"Protection for persons exercising power under pt&#160;4C","content":"### sec.51N Protection for persons exercising power under pt&#160;4C\n\nThis section applies to proceedings in relation to liability for breach of duty arising out of damage to a removed thing that happens when a person exercises power, or assists another person exercising power, under this part in relation to the removed thing.\nThe person, a person assisting the person, the State or a local authority is not civilly liable—\nbecause of the paramount or high degree of importance the person gave to moving or removing the removed thing on or from the road quickly; or\nto the extent there was an increased likelihood that vehicles, loads and other things would be damaged in the exercise of power under this part, because of the nature of the power.\ns&#160;51N ins 2008 No.&#160;67 s&#160;197\n(sec.51N-ssec.1) This section applies to proceedings in relation to liability for breach of duty arising out of damage to a removed thing that happens when a person exercises power, or assists another person exercising power, under this part in relation to the removed thing.\n(sec.51N-ssec.2) The person, a person assisting the person, the State or a local authority is not civilly liable— because of the paramount or high degree of importance the person gave to moving or removing the removed thing on or from the road quickly; or to the extent there was an increased likelihood that vehicles, loads and other things would be damaged in the exercise of power under this part, because of the nature of the power.\n- (a) because of the paramount or high degree of importance the person gave to moving or removing the removed thing on or from the road quickly; or\n- (b) to the extent there was an increased likelihood that vehicles, loads and other things would be damaged in the exercise of power under this part, because of the nature of the power.","sortOrder":153},{"sectionNumber":"sec.51O","sectionType":"section","heading":"Relationship with s&#160;66","content":"### sec.51O Relationship with s&#160;66\n\nThe powers of the chief executive under this part are not limited by a local law made under section&#160;66 (3) and section&#160;66 (6) does not apply to this part.\ns&#160;51O ins 2008 No.&#160;67 s&#160;197","sortOrder":154},{"sectionNumber":"sec.51P","sectionType":"section","heading":"Relationship with s&#160;137","content":"### sec.51P Relationship with s&#160;137\n\nThe powers of the chief executive under this part are not limited by the obligation imposed on a person by section&#160;137 (2) or anything a person is doing, attempting to do or proposing to do to comply with the person’s obligations under the section.\ns&#160;51P ins 2008 No.&#160;67 s&#160;197","sortOrder":155},{"sectionNumber":"ch.3-pt.5","sectionType":"part","heading":"Offences","content":"# Offences","sortOrder":156},{"sectionNumber":"sec.52","sectionType":"section","heading":"False or misleading statements","content":"### sec.52 False or misleading statements\n\nIn this section—\nofficial means the chief executive, the commissioner, an authorised officer, an accredited person or the SPEA administering authority for a camera-detected offence.\ntransport Act does not include the Tow Truck Act 2023 .\nA person must not, in relation to the administration of a transport Act, state anything to an official that the person knows is false or misleading in a material particular.\nMaximum penalty—\nif the statement relates to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods—100 penalty units; or\nif paragraph&#160;(a) does not apply and the statement is made in an online declaration under section&#160;114 —60 penalty units or 2 years imprisonment; or\notherwise—60 penalty units.\nIt is enough for a complaint against a person for an offence against subsection&#160;(2) to state that the statement made was false or misleading to the person’s knowledge.\ns&#160;52 amd 1999 No.&#160;42 s&#160;31 ; 2007 No.&#160;43 s&#160;56 ; 2008 No.&#160;67 s&#160;75 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2019 No.&#160;25 s&#160;77 ; 2022 No.&#160;10 s&#160;58 ; 2023 No.&#160;28 s&#160;202\n(sec.52-ssec.1) In this section— official means the chief executive, the commissioner, an authorised officer, an accredited person or the SPEA administering authority for a camera-detected offence. transport Act does not include the Tow Truck Act 2023 .\n(sec.52-ssec.2) A person must not, in relation to the administration of a transport Act, state anything to an official that the person knows is false or misleading in a material particular. Maximum penalty— if the statement relates to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods—100 penalty units; or if paragraph&#160;(a) does not apply and the statement is made in an online declaration under section&#160;114 —60 penalty units or 2 years imprisonment; or otherwise—60 penalty units.\n(sec.52-ssec.3) It is enough for a complaint against a person for an offence against subsection&#160;(2) to state that the statement made was false or misleading to the person’s knowledge.\n- (a) if the statement relates to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods—100 penalty units; or\n- (b) if paragraph&#160;(a) does not apply and the statement is made in an online declaration under section&#160;114 —60 penalty units or 2 years imprisonment; or\n- (c) otherwise—60 penalty units.","sortOrder":157},{"sectionNumber":"sec.53","sectionType":"section","heading":"False or misleading documents, generally","content":"### sec.53 False or misleading documents, generally\n\nIn this section—\nofficial means the chief executive, the commissioner, an authorised officer, an accredited person or the SPEA administering authority for a camera-detected offence.\ntransport Act does not include the Tow Truck Act 2023 .\nA person must not, in relation to the administration of a transport Act, give an official a document containing information the person knows is false or misleading in a material particular.\nMaximum penalty—\nif the document relates to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods—100 penalty units; or\nif paragraph&#160;(a) does not apply and the document is, or is part of, an online declaration under section&#160;114 —60 penalty units or 2 years imprisonment; or\notherwise—60 penalty units.\nSubsection&#160;(2) 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.\nIt is enough for a complaint against a person for an offence against subsection&#160;(2) to state that the information given was false or misleading to the person’s knowledge.\ns&#160;53 amd 1995 No.&#160;57 s&#160;4 sch&#160;2 ; 1997 No.&#160;66 s&#160;123 ; 1999 No.&#160;42 s&#160;32 ; 2007 No.&#160;43 s&#160;57 ; 2008 No.&#160;67 s&#160;76 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2019 No.&#160;25 s&#160;78 ; 2022 No.&#160;10 s&#160;59 ; 2023 No.&#160;28 s&#160;203\n(sec.53-ssec.1) In this section— official means the chief executive, the commissioner, an authorised officer, an accredited person or the SPEA administering authority for a camera-detected offence. transport Act does not include the Tow Truck Act 2023 .\n(sec.53-ssec.2) A person must not, in relation to the administration of a transport Act, give an official a document containing information the person knows is false or misleading in a material particular. Maximum penalty— if the document relates to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods—100 penalty units; or if paragraph&#160;(a) does not apply and the document is, or is part of, an online declaration under section&#160;114 —60 penalty units or 2 years imprisonment; or otherwise—60 penalty units.\n(sec.53-ssec.3) Subsection&#160;(2) 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(sec.53-ssec.4) It is enough for a complaint against a person for an offence against subsection&#160;(2) to state that the information given was false or misleading to the person’s knowledge.\n- (a) if the document relates to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods—100 penalty units; or\n- (b) if paragraph&#160;(a) does not apply and the document is, or is part of, an online declaration under section&#160;114 —60 penalty units or 2 years imprisonment; or\n- (c) otherwise—60 penalty units.\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":158},{"sectionNumber":"sec.53A","sectionType":"section","heading":"Proof of giving false and misleading statements and documents","content":"### sec.53A Proof of giving false and misleading statements and documents\n\nThis section applies to a proceeding for an offence against section&#160;52 or 53 .\nIt is sufficient proof the statement was made, or the document was given, to the official to prove it was made or given to a person authorised to receive it.\nIt does not matter whether the person was an official or whether the authorisation was a delegation, agency or any other form of authorisation by which someone acts through another.\ns&#160;53A ins 2004 No.&#160;9 s&#160;62\n(sec.53A-ssec.1) This section applies to a proceeding for an offence against section&#160;52 or 53 .\n(sec.53A-ssec.2) It is sufficient proof the statement was made, or the document was given, to the official to prove it was made or given to a person authorised to receive it.\n(sec.53A-ssec.3) It does not matter whether the person was an official or whether the authorisation was a delegation, agency or any other form of authorisation by which someone acts through another.","sortOrder":159},{"sectionNumber":"sec.53B","sectionType":"section","heading":null,"content":"### Section sec.53B\n\ns&#160;53B ins 2007 No.&#160;43 s&#160;58\namd 2008 No.&#160;31 s&#160;51 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;74","sortOrder":160},{"sectionNumber":"sec.53C","sectionType":"section","heading":null,"content":"### Section sec.53C\n\ns&#160;53C ins 2007 No.&#160;43 s&#160;58\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;74","sortOrder":161},{"sectionNumber":"sec.53D","sectionType":"section","heading":null,"content":"### Section sec.53D\n\ns&#160;53D ins 2007 No.&#160;43 s&#160;58\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;74","sortOrder":162},{"sectionNumber":"sec.54","sectionType":"section","heading":"Obstructing authorised officers or accredited persons","content":"### sec.54 Obstructing authorised officers or accredited persons\n\nA person must not obstruct an official in the exercise of a power, unless the person has a reasonable excuse.\nMaximum penalty—\nif paragraph&#160;(b) does not apply—60 penalty units; or\nif the official is an authorised officer exercising a power in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods—80 penalty units.\nIf a person has obstructed an official under subsection&#160;(1) and the official decides to exercise the power, the official must, if practicable, warn the person—\nthat the official considers the person’s conduct is obstructing the official; and\nthat it is an offence to obstruct the official unless the person has a reasonable excuse.\nIn this section—\nobstruct includes abuse, hinder, insult, intimidate, resist and threaten and attempt to obstruct.\nofficial means an authorised officer or accredited person.\ns&#160;54 sub 2002 No.&#160;71 s&#160;18\namd 2007 No.&#160;43 s&#160;59 ; 2008 No.&#160;67 s&#160;77 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2\n(sec.54-ssec.1) A person must not obstruct an official in the exercise of a power, unless the person has a reasonable excuse. Maximum penalty— if paragraph&#160;(b) does not apply—60 penalty units; or if the official is an authorised officer exercising a power in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods—80 penalty units.\n(sec.54-ssec.2) If a person has obstructed an official under subsection&#160;(1) and the official decides to exercise the power, the official must, if practicable, warn the person— that the official considers the person’s conduct is obstructing the official; and that it is an offence to obstruct the official unless the person has a reasonable excuse.\n(sec.54-ssec.3) In this section— obstruct includes abuse, hinder, insult, intimidate, resist and threaten and attempt to obstruct. official means an authorised officer or accredited person.\n- (a) if paragraph&#160;(b) does not apply—60 penalty units; or\n- (b) if the official is an authorised officer exercising a power in relation to a heavy vehicle, a prescribed dangerous goods vehicle or the transport of dangerous goods—80 penalty units.\n- (a) that the official considers the person’s conduct is obstructing the official; and\n- (b) that it is an offence to obstruct the official unless the person has a reasonable excuse.","sortOrder":163},{"sectionNumber":"sec.55","sectionType":"section","heading":"Pretending to be an authorised officer or accredited person","content":"### sec.55 Pretending to be an authorised officer or accredited person\n\nA person must not pretend to be—\nan authorised officer; or\nan accredited person.\nMaximum penalty—\nfor paragraph&#160;(a) —100 penalty units; or\nfor paragraph&#160;(b) —60 penalty units.\ns&#160;55 sub 2007 No.&#160;43 s&#160;60\namd 2008 No.&#160;67 s&#160;78 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2\n- (a) an authorised officer; or\n- (b) an accredited person.\n- (a) for paragraph&#160;(a) —100 penalty units; or\n- (b) for paragraph&#160;(b) —60 penalty units.","sortOrder":164},{"sectionNumber":"sec.56","sectionType":"section","heading":"Using documents voided for nonpayment","content":"### sec.56 Using documents voided for nonpayment\n\nThis section applies if—\na person (the applicant ) pays the fee for a licence or other document under a transport Act, or the fee for an application for a licence or other document under a transport Act, by cheque or another method of payment; and\nthe licence or other document is issued to the applicant.\nHowever, this section does not apply in relation to a licence or other document prescribed by regulation.\nIf the cheque or payment is not honoured on presentation or is later dishonoured—\nthe licence or document is void from the day it was issued; and\nthe applicant must, on demand by the chief executive or commissioner, immediately give the licence or document to the department or a police officer.\nIf, after the demand—\nthe applicant fails to immediately give the licence or document to the department or a police officer; or\nthe applicant uses, continues to use, or allows someone else to use, the licence or document; or\na person other than the applicant (the other person ) uses, continues to use, or allows someone else to use, the licence or document;\nthe applicant and the other person commit an offence.\nMaximum penalty—60 penalty units.\nIt is a defence for the other person to prove he or she did not know a demand had been made under subsection&#160;(2) (b) .\nIf the State incurs expense because a cheque or payment is not honoured or is later dishonoured—\nthe applicant must reimburse the expense; and\nthe amount of the expense may be recovered as a debt payable by the applicant to the State.\ns&#160;56 amd 1998 No.&#160;33 s&#160;22 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1 ; 2023 No.&#160;28 s&#160;204\n(sec.56-ssec.1) This section applies if— a person (the applicant ) pays the fee for a licence or other document under a transport Act, or the fee for an application for a licence or other document under a transport Act, by cheque or another method of payment; and the licence or other document is issued to the applicant.\n(sec.56-ssec.1A) However, this section does not apply in relation to a licence or other document prescribed by regulation.\n(sec.56-ssec.2) If the cheque or payment is not honoured on presentation or is later dishonoured— the licence or document is void from the day it was issued; and the applicant must, on demand by the chief executive or commissioner, immediately give the licence or document to the department or a police officer.\n(sec.56-ssec.3) If, after the demand— the applicant fails to immediately give the licence or document to the department or a police officer; or the applicant uses, continues to use, or allows someone else to use, the licence or document; or a person other than the applicant (the other person ) uses, continues to use, or allows someone else to use, the licence or document; the applicant and the other person commit an offence. Maximum penalty—60 penalty units.\n(sec.56-ssec.4) It is a defence for the other person to prove he or she did not know a demand had been made under subsection&#160;(2) (b) .\n(sec.56-ssec.5) If the State incurs expense because a cheque or payment is not honoured or is later dishonoured— the applicant must reimburse the expense; and the amount of the expense may be recovered as a debt payable by the applicant to the State.\n- (a) a person (the applicant ) pays the fee for a licence or other document under a transport Act, or the fee for an application for a licence or other document under a transport Act, by cheque or another method of payment; and\n- (b) the licence or other document is issued to the applicant.\n- (a) the licence or document is void from the day it was issued; and\n- (b) the applicant must, on demand by the chief executive or commissioner, immediately give the licence or document to the department or a police officer.\n- (a) the applicant fails to immediately give the licence or document to the department or a police officer; or\n- (b) the applicant uses, continues to use, or allows someone else to use, the licence or document; or\n- (c) a person other than the applicant (the other person ) uses, continues to use, or allows someone else to use, the licence or document;\n- (a) the applicant must reimburse the expense; and\n- (b) the amount of the expense may be recovered as a debt payable by the applicant to the State.","sortOrder":165},{"sectionNumber":"sec.57","sectionType":"section","heading":"Executive officer may be taken to have committed offence","content":"### sec.57 Executive officer may be taken to have committed offence\n\nIf a corporation commits an offence against a deemed executive liability provision, each executive officer of the corporation is taken to have also committed the offence if—\nthe officer authorised or permitted the corporation’s conduct constituting the offence; or\nthe officer was, directly or indirectly, knowingly concerned in the corporation’s conduct.\nThe executive officer may be proceeded against for, and convicted of, the offence against the deemed executive liability provision whether or not the corporation has been proceeded against for, or convicted of, the offence.\nThis section does not affect either of the following—\nthe liability of the corporation for the offence against the deemed executive liability provision;\nthe liability, under the Criminal Code , chapter&#160;2 , of any person, whether or not the person is an executive officer of the corporation, for the offence against the deemed executive liability provision.\nIn this section—\ndeemed executive liability provision means any of the following provisions—\nsection&#160;153A (1)\nsection&#160;154 (3)\nsection&#160;154 (4)\nsection&#160;154 (6)\nsection&#160;156 (2)\nsection&#160;160 (3)\nsection&#160;161Q .\ns&#160;57 sub 1997 No.&#160;66 s&#160;124\namd 2007 No.&#160;43 s&#160;33 sch\nsub 2013 No.&#160;51 s&#160;209\n(sec.57-ssec.1) If a corporation commits an offence against a deemed executive liability provision, each executive officer of the corporation is taken to have also committed the offence if— the officer authorised or permitted the corporation’s conduct constituting the offence; or the officer was, directly or indirectly, knowingly concerned in the corporation’s conduct.\n(sec.57-ssec.2) The executive officer may be proceeded against for, and convicted of, the offence against the deemed executive liability provision whether or not the corporation has been proceeded against for, or convicted of, the offence.\n(sec.57-ssec.3) This section does not affect either of the following— the liability of the corporation for the offence against the deemed executive liability provision; the liability, under the Criminal Code , chapter&#160;2 , of any person, whether or not the person is an executive officer of the corporation, for the offence against the deemed executive liability provision.\n(sec.57-ssec.4) In this section— deemed executive liability provision means any of the following provisions— section&#160;153A (1) section&#160;154 (3) section&#160;154 (4) section&#160;154 (6) section&#160;156 (2) section&#160;160 (3) section&#160;161Q .\n- (a) the officer authorised or permitted the corporation’s conduct constituting the offence; or\n- (b) the officer was, directly or indirectly, knowingly concerned in the corporation’s conduct.\n- (a) the liability of the corporation for the offence against the deemed executive liability provision;\n- (b) the liability, under the Criminal Code , chapter&#160;2 , of any person, whether or not the person is an executive officer of the corporation, for the offence against the deemed executive liability provision.\n- • section&#160;153A (1)\n- • section&#160;154 (3)\n- • section&#160;154 (4)\n- • section&#160;154 (6)\n- • section&#160;156 (2)\n- • section&#160;160 (3)\n- • section&#160;161Q .","sortOrder":166},{"sectionNumber":"sec.57A","sectionType":"section","heading":"Responsibility for acts or omissions of representatives","content":"### sec.57A Responsibility for acts or omissions of representatives\n\nThis section applies in a proceeding for an offence against a transport Act.\nIf it is relevant to prove a person’s state of mind about a particular act or omission, it is enough to show—\nthe act was done or omitted to be done by a representative of the person within the scope of the representative’s actual or apparent authority; and\nthe representative had the state of mind.\nAn act for a person done, or omitted to be done, by a representative of the person within the scope of the representative’s actual or apparent authority is taken to have been done or omitted to be done also by the person unless the person proves—\nif the person was in a position to influence the representative’s conduct in relation to the act or omission—the person took all reasonable steps to prevent the act or omission; or\nthe person was not in a position to influence the representative’s conduct in relation to the act or omission.\nIn this section—\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.\ns&#160;57A ins 1997 No.&#160;66 s&#160;124\namd 2007 No.&#160;43 s&#160;33 sch\n(sec.57A-ssec.1) This section applies in a proceeding for an offence against a transport Act.\n(sec.57A-ssec.2) If it is relevant to prove a person’s state of mind about a particular act or omission, it is enough to show— the act was done or omitted to be done by a representative of the person within the scope of the representative’s actual or apparent authority; and the representative had the state of mind.\n(sec.57A-ssec.3) An act for a person done, or omitted to be done, by a representative of the person within the scope of the representative’s actual or apparent authority is taken to have been done or omitted to be done also by the person unless the person proves— if the person was in a position to influence the representative’s conduct in relation to the act or omission—the person took all reasonable steps to prevent the act or omission; or the person was not in a position to influence the representative’s conduct in relation to the act or omission.\n(sec.57A-ssec.4) In this section— 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.\n- (a) the act was done or omitted to be done by a representative of the person within the scope of the representative’s actual or apparent authority; and\n- (b) the representative had the state of mind.\n- (a) if the person was in a position to influence the representative’s conduct in relation to the act or omission—the person took all reasonable steps to prevent the act or omission; or\n- (b) the person was not in a position to influence the representative’s conduct in relation to the act or omission.\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.","sortOrder":167},{"sectionNumber":"sec.57AA","sectionType":"section","heading":null,"content":"### Section sec.57AA\n\ns&#160;57AA ins 2007 No.&#160;43 s&#160;61\nom 2013 No.&#160;26 s&#160;75","sortOrder":168},{"sectionNumber":"sec.57AB","sectionType":"section","heading":null,"content":"### Section sec.57AB\n\ns&#160;57AB ins 2008 No.&#160;31 s&#160;52\ns&#160;57AB def associate reloc from s&#160;57B(3) 2008 No.&#160;31 s&#160;53 (1)\ns&#160;57AB def extended liability offence amd 2010 No.&#160;13 s&#160;26 (1)\ns&#160;57AB def holding company reloc from s&#160;57B(3) 2008 No.&#160;31 s&#160;53 (1)\ns&#160;57AB def influencing person amd 2008 No.&#160;67 s&#160;162 ; 2010 No.&#160;13 s&#160;26 (2) – (5)\ns&#160;57AB def security interest reloc from s&#160;57B(3) 2008 No.&#160;31 s&#160;53 (1)\ns&#160;57AB def subsidiary reloc from s&#160;57B(3) 2008 No.&#160;31 s&#160;53 (1)\nom 2013 No.&#160;26 s&#160;75","sortOrder":169},{"sectionNumber":"sec.57B","sectionType":"section","heading":null,"content":"### Section sec.57B\n\ns&#160;57B ins 1997 No.&#160;66 s&#160;124\namd 2000 No.&#160;6 s&#160;78 sch ; 2002 No.&#160;71 s&#160;19 ; 2003 No.&#160;69 s&#160;4 ; 2007 No.&#160;43 ss&#160;62 , 33 sch ; 2008 No.&#160;31 s&#160;53 (2) ; 2008 No.&#160;67 s&#160;171 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1 ; 2010 No.&#160;13 s&#160;27\nom 2013 No.&#160;26 s&#160;75","sortOrder":170},{"sectionNumber":"sec.57C","sectionType":"section","heading":null,"content":"### Section sec.57C\n\ns&#160;57C ins 2007 No.&#160;43 s&#160;63\namd 2008 No.&#160;31 s&#160;54 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;75","sortOrder":171},{"sectionNumber":"sec.57D","sectionType":"section","heading":null,"content":"### Section sec.57D\n\ns&#160;57D ins 2007 No.&#160;43 s&#160;63\namd 2008 No.&#160;31 s&#160;55\nom 2013 No.&#160;26 s&#160;75","sortOrder":172},{"sectionNumber":"sec.57DA","sectionType":"section","heading":null,"content":"### Section sec.57DA\n\ns&#160;57DA ins 2008 No.&#160;31 s&#160;56\nom 2013 No.&#160;26 s&#160;75","sortOrder":173},{"sectionNumber":"sec.57DB","sectionType":"section","heading":null,"content":"### Section sec.57DB\n\ns&#160;57DB ins 2008 No.&#160;31 s&#160;56\nsub 2010 No.&#160;13 s&#160;28\nom 2013 No.&#160;26 s&#160;75","sortOrder":174},{"sectionNumber":"sec.57DC","sectionType":"section","heading":null,"content":"### Section sec.57DC\n\ns&#160;57DC ins 2008 No.&#160;31 s&#160;56\nsub 2010 No.&#160;13 s&#160;28\nom 2013 No.&#160;26 s&#160;75","sortOrder":175},{"sectionNumber":"sec.57DD","sectionType":"section","heading":null,"content":"### Section sec.57DD\n\ns&#160;57DD ins 2008 No.&#160;31 s&#160;56\nom 2013 No.&#160;26 s&#160;75","sortOrder":176},{"sectionNumber":"sec.57E","sectionType":"section","heading":null,"content":"### Section sec.57E\n\ns&#160;57E ins 2007 No.&#160;43 s&#160;63\namd 2008 No.&#160;31 s&#160;57\nom 2013 No.&#160;26 s&#160;75","sortOrder":177},{"sectionNumber":"sec.57F","sectionType":"section","heading":null,"content":"### Section sec.57F\n\ns&#160;57F ins 2007 No.&#160;43 s&#160;63\namd 2010 No.&#160;13 s&#160;29\nom 2013 No.&#160;26 s&#160;75","sortOrder":178},{"sectionNumber":"sec.57G","sectionType":"section","heading":null,"content":"### Section sec.57G\n\ns&#160;57G ins 2007 No.&#160;43 s&#160;63\namd 2008 No.&#160;67 s&#160;172\nom 2013 No.&#160;26 s&#160;75","sortOrder":179},{"sectionNumber":"sec.57H","sectionType":"section","heading":null,"content":"### Section sec.57H\n\ns&#160;57H ins 2008 No.&#160;67 s&#160;173\namd 2010 No.&#160;13 s&#160;30\nom 2013 No.&#160;26 s&#160;75","sortOrder":180},{"sectionNumber":"sec.61A","sectionType":"section","heading":null,"content":"### Section sec.61A\n\ns&#160;61A ins 2007 No.&#160;43 s&#160;67\nom 2013 No.&#160;26 s&#160;77","sortOrder":181},{"sectionNumber":"sec.61D","sectionType":"section","heading":null,"content":"### Section sec.61D\n\ns&#160;61D ins 2007 No.&#160;43 s&#160;67A\nom 2013 No.&#160;26 s&#160;80","sortOrder":182},{"sectionNumber":"sec.61E","sectionType":"section","heading":null,"content":"### Section sec.61E\n\ns&#160;61E ins 2007 No.&#160;43 s&#160;67A\nom 2013 No.&#160;26 s&#160;80","sortOrder":183},{"sectionNumber":"sec.61F","sectionType":"section","heading":null,"content":"### Section sec.61F\n\ns&#160;61F ins 2007 No.&#160;43 s&#160;67A\nom 2013 No.&#160;26 s&#160;80","sortOrder":184},{"sectionNumber":"sec.61G","sectionType":"section","heading":null,"content":"### Section sec.61G\n\ns&#160;61G ins 2007 No.&#160;43 s&#160;67A\nom 2013 No.&#160;26 s&#160;80","sortOrder":185},{"sectionNumber":"sec.61H","sectionType":"section","heading":null,"content":"### Section sec.61H\n\ns&#160;61H ins 2008 No.&#160;67 s&#160;163\nom 2013 No.&#160;26 s&#160;80","sortOrder":186},{"sectionNumber":"sec.61I","sectionType":"section","heading":null,"content":"### Section sec.61I\n\ns&#160;61I ins 2008 No.&#160;67 s&#160;163\nom 2013 No.&#160;26 s&#160;80","sortOrder":187},{"sectionNumber":"sec.61J","sectionType":"section","heading":null,"content":"### Section sec.61J\n\ns&#160;61J ins 2008 No.&#160;67 s&#160;163\nom 2013 No.&#160;26 s&#160;80","sortOrder":188},{"sectionNumber":"ch.3-pt.6","sectionType":"part","heading":"General","content":"# General","sortOrder":189},{"sectionNumber":"sec.63","sectionType":"section","heading":"Notice of damage","content":"### sec.63 Notice of damage\n\nThis section applies if—\nan authorised officer damages anything when exercising or purporting to exercise a power under a transport Act; or\na person acting under the direction or authorisation of an authorised officer damages anything.\nThe officer must promptly give written notice of particulars of the damage to the following person—\nif the thing is a vehicle that has a registered operator—the registered operator;\nif the thing is anything else—the person who appears to be its owner.\nIf the officer believes the damage was caused by a latent defect in the thing or circumstances beyond the officer’s control, the officer may state it in the notice.\nIf, for any reason, it is not practicable to comply with subsection&#160;(2) , the officer must leave the notice where the damage happened, in a reasonably secure way and in a conspicuous position.\nThis section does not apply to damage the officer reasonably believes is trivial.\nIn this section—\ntransport Act does not include the Tow Truck Act 2023 .\ns&#160;63 amd 2000 No.&#160;6 s&#160;78 sch amdt 6; 2007 No.&#160;43 s&#160;33 sch ; 2023 No.&#160;28 s&#160;205\n(sec.63-ssec.1) This section applies if— an authorised officer damages anything when exercising or purporting to exercise a power under a transport Act; or a person acting under the direction or authorisation of an authorised officer damages anything.\n(sec.63-ssec.2) The officer must promptly give written notice of particulars of the damage to the following person— if the thing is a vehicle that has a registered operator—the registered operator; if the thing is anything else—the person who appears to be its owner.\n(sec.63-ssec.3) If the officer believes the damage was caused by a latent defect in the thing or circumstances beyond the officer’s control, the officer may state it in the notice.\n(sec.63-ssec.4) If, for any reason, it is not practicable to comply with subsection&#160;(2) , the officer must leave the notice where the damage happened, in a reasonably secure way and in a conspicuous position.\n(sec.63-ssec.5) This section does not apply to damage the officer reasonably believes is trivial.\n(sec.63-ssec.6) In this section— transport Act does not include the Tow Truck Act 2023 .\n- (a) an authorised officer damages anything when exercising or purporting to exercise a power under a transport Act; or\n- (b) a person acting under the direction or authorisation of an authorised officer damages anything.\n- (a) if the thing is a vehicle that has a registered operator—the registered operator;\n- (b) if the thing is anything else—the person who appears to be its owner.","sortOrder":190},{"sectionNumber":"sec.64","sectionType":"section","heading":"Compensation","content":"### sec.64 Compensation\n\nThis section does not apply to the exercise of a power (including the making of a requirement) to which section&#160;31 (1) (a) applies.\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 a transport Act, including, for example, in complying with a requirement made of the person.\nCompensation may be claimed and ordered in a proceeding—\nbrought in a court with jurisdiction for the recovery of the compensation; or\nfor an offence against this Act brought against the person claiming compensation.\nA court may order compensation to be paid only if satisfied it is just to make the order in the circumstances of the particular case.\nA regulation may prescribe matters that may, or must, be taken into account by the court when considering whether it is just to make the order.\nIn this section—\ntransport Act does not include the Tow Truck Act 2023 .\ns&#160;64 amd 2004 No.&#160;53 s&#160;2 sch ; 2023 No.&#160;28 s&#160;206\n(sec.64-ssec.1) This section does not apply to the exercise of a power (including the making of a requirement) to which section&#160;31 (1) (a) applies.\n(sec.64-ssec.2) 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 a transport Act, including, for example, in complying with a requirement made of the person.\n(sec.64-ssec.3) Compensation may be claimed and ordered in a proceeding— brought in a court with jurisdiction for the recovery of the compensation; or for an offence against this Act brought against the person claiming compensation.\n(sec.64-ssec.4) A court may order compensation to be paid only if satisfied it is just to make the order in the circumstances of the particular case.\n(sec.64-ssec.5) A regulation may prescribe matters that may, or must, be taken into account by the court when considering whether it is just to make the order.\n(sec.64-ssec.6) In this section— transport Act does not include the Tow Truck Act 2023 .\n- (a) brought in a court with jurisdiction for the recovery of the compensation; or\n- (b) for an offence against this Act brought against the person claiming compensation.","sortOrder":191},{"sectionNumber":"ch.5-pt.1","sectionType":"part","heading":"Local government functions","content":"# Local government functions","sortOrder":192},{"sectionNumber":"sec.66","sectionType":"section","heading":"Local laws etc.","content":"### sec.66 Local laws etc.\n\nSubject to this chapter, a local government may not—\nmake a local law about anything provided for in—\nthis chapter, including anything about which a regulation may be made under this chapter; or\nthe Heavy Vehicle National Law (Queensland) , including anything about which national regulations (HVNL) may be made; or\nexercise a power conferred by this chapter, or by the Heavy Vehicle National Law (Queensland) , on someone else.\nHowever, a local government may exercise a power that is not inconsistent with this chapter or the Heavy Vehicle National Law (Queensland) .\nDespite subsection&#160;(1) , a local government may make local laws with respect to the following matters—\nthe regulation of—\nthe driving, leading, stopping or wheeling of vehicles or animals on a footpath, shared path, water-channel or gutter; and\nthe driving or leading of animals to cross a road; and\nthe seizure, removal, detention and disposal of a vehicle or animal mentioned in subparagraph&#160;(i) or (ii) found in circumstances constituting an offence against a local law;\nthe regulation of the use of any part of a footpath for the purpose of providing food or drink or both to members of the public;\nthe regulation of the advertising upon any road of any business including by means of the distribution of any handbill or other printed or written matter;\nthe regulation of the washing or cleansing, painting, repairing, alteration or maintenance of vehicles in, on or over a road;\nthe regulation of the stacking, storing or exposure of goods in, on or over a road and the seizure, removal, detention and disposal of any goods so stacked, stored or exposed;\nthe regulation of roadside vending;\nthe regulation of lights, notices and signs—\non a road; or\nnear a road if the lights, notices and signs endanger, or are likely to endanger, traffic;\nthe regulation of the amplification or reproduction of any sound by anything—\non a road; or\nnear a road if the sound causes, or is likely to cause, anyone to gather on the road to endanger, hinder or obstruct traffic;\nthe seizure and disposal of anything used to make a sound mentioned in paragraph&#160;(h) ;\nthe regulation of the driving of vehicles and animals on a foreshore;\nthe regulation of vehicle access to a public place that is a local government controlled area.\nWithout in any way limiting the matters which are not included within the ordinary scope and meaning of the subject matter of the powers conferred by subsection&#160;(3) (a) such subject matter shall not include, in particular, any of the following matters—\nthe right of way of any vehicle or animal so driven, ridden, led or wheeled;\nthe qualification of a person to drive a motor vehicle;\nthe driving of or attempting to put in motion or occupying the driving seat of or being in charge of a motor vehicle whilst under the influence of liquor or a drug;\nthe driving or being in charge of a horse or other animal or the driving or being in charge of a vehicle (other than a motor vehicle) or attempting to put in motion any vehicle (other than a motor vehicle) whilst under the influence of liquor or a drug;\nthe manner of driving of a vehicle or animal including the driving of the same dangerously or without due care and attention or without reasonable consideration for other persons or negligently, recklessly or at a speed in excess of the maximum speed at which the vehicle may lawfully be driven.\nThe local government may make a local law under subsection&#160;(3) (a) to (j) for—\na road in its area that is not a declared road; and\na declared road in its area, with the chief executive’s written agreement.\nIf a local government makes a local law about a matter mentioned in subsection&#160;(3) (a) to (f) , the provisions of this Act about the matter no longer apply to the whole or part of the local government’s area to which the local law applies.\nThe provisions do not revive on the repeal of the local law.\nA local government may make a local law that will result in a change to the management of a local government road, of a kind mentioned in the Transport Planning and Coordination Act 1994 , section&#160;8D (1) , only if the chief executive has approved the proposed change under the Transport Planning and Coordination Act 1994 , section&#160;8D .\nIn this section—\nshared path see the Queensland Road Rules , section&#160;242 (2) .\ns&#160;66 prev s&#160;66 om 1997 No.&#160;66 s&#160;125\npres s&#160;66 (prev 1949 13 Geo 6 No. 26 s&#160;5) amd 1953 2 Eliz 2 No. 11 s&#160;2; 1961 10 Eliz 2 No. 27 s&#160;3; 1965 No.&#160;26 s&#160;6 ; 1990 No.&#160;103 s&#160;2 .3; 1991 No.&#160;97 s&#160;3 sch&#160;1 ; 1993 No.&#160;70 s&#160;804 sch ; 1994 No.&#160;7 s&#160;4 (2) – (8) ; 1997 No.&#160;66 s&#160;15 ; 1999 No.&#160;42 s&#160;44 , s&#160;54 (1) sch amdts 1–5\nreloc 1999 No.&#160;42 s&#160;54 ( 1) sch amdt 6\namd 2002 No.&#160;13 s&#160;124 sch ; 2004 No.&#160;9 s&#160;63 ; 2008 No.&#160;67 s&#160;258 ; 2010 No.&#160;13 ss&#160;127 , 3 sch pt&#160;1 ; 2013 No.&#160;26 s&#160;81\n(sec.66-ssec.1) Subject to this chapter, a local government may not— make a local law about anything provided for in— this chapter, including anything about which a regulation may be made under this chapter; or the Heavy Vehicle National Law (Queensland) , including anything about which national regulations (HVNL) may be made; or exercise a power conferred by this chapter, or by the Heavy Vehicle National Law (Queensland) , on someone else.\n(sec.66-ssec.2) However, a local government may exercise a power that is not inconsistent with this chapter or the Heavy Vehicle National Law (Queensland) .\n(sec.66-ssec.3) Despite subsection&#160;(1) , a local government may make local laws with respect to the following matters— the regulation of— the driving, leading, stopping or wheeling of vehicles or animals on a footpath, shared path, water-channel or gutter; and the driving or leading of animals to cross a road; and the seizure, removal, detention and disposal of a vehicle or animal mentioned in subparagraph&#160;(i) or (ii) found in circumstances constituting an offence against a local law; the regulation of the use of any part of a footpath for the purpose of providing food or drink or both to members of the public; the regulation of the advertising upon any road of any business including by means of the distribution of any handbill or other printed or written matter; the regulation of the washing or cleansing, painting, repairing, alteration or maintenance of vehicles in, on or over a road; the regulation of the stacking, storing or exposure of goods in, on or over a road and the seizure, removal, detention and disposal of any goods so stacked, stored or exposed; the regulation of roadside vending; the regulation of lights, notices and signs— on a road; or near a road if the lights, notices and signs endanger, or are likely to endanger, traffic; the regulation of the amplification or reproduction of any sound by anything— on a road; or near a road if the sound causes, or is likely to cause, anyone to gather on the road to endanger, hinder or obstruct traffic; the seizure and disposal of anything used to make a sound mentioned in paragraph&#160;(h) ; the regulation of the driving of vehicles and animals on a foreshore; the regulation of vehicle access to a public place that is a local government controlled area.\n(sec.66-ssec.4) Without in any way limiting the matters which are not included within the ordinary scope and meaning of the subject matter of the powers conferred by subsection&#160;(3) (a) such subject matter shall not include, in particular, any of the following matters— the right of way of any vehicle or animal so driven, ridden, led or wheeled; the qualification of a person to drive a motor vehicle; the driving of or attempting to put in motion or occupying the driving seat of or being in charge of a motor vehicle whilst under the influence of liquor or a drug; the driving or being in charge of a horse or other animal or the driving or being in charge of a vehicle (other than a motor vehicle) or attempting to put in motion any vehicle (other than a motor vehicle) whilst under the influence of liquor or a drug; the manner of driving of a vehicle or animal including the driving of the same dangerously or without due care and attention or without reasonable consideration for other persons or negligently, recklessly or at a speed in excess of the maximum speed at which the vehicle may lawfully be driven.\n(sec.66-ssec.5) The local government may make a local law under subsection&#160;(3) (a) to (j) for— a road in its area that is not a declared road; and a declared road in its area, with the chief executive’s written agreement.\n(sec.66-ssec.6) If a local government makes a local law about a matter mentioned in subsection&#160;(3) (a) to (f) , the provisions of this Act about the matter no longer apply to the whole or part of the local government’s area to which the local law applies.\n(sec.66-ssec.7) The provisions do not revive on the repeal of the local law.\n(sec.66-ssec.8) A local government may make a local law that will result in a change to the management of a local government road, of a kind mentioned in the Transport Planning and Coordination Act 1994 , section&#160;8D (1) , only if the chief executive has approved the proposed change under the Transport Planning and Coordination Act 1994 , section&#160;8D .\n(sec.66-ssec.9) In this section— shared path see the Queensland Road Rules , section&#160;242 (2) .\n- (a) make a local law about anything provided for in— (i) this chapter, including anything about which a regulation may be made under this chapter; or (ii) the Heavy Vehicle National Law (Queensland) , including anything about which national regulations (HVNL) may be made; or\n- (i) this chapter, including anything about which a regulation may be made under this chapter; or\n- (ii) the Heavy Vehicle National Law (Queensland) , including anything about which national regulations (HVNL) may be made; or\n- (b) exercise a power conferred by this chapter, or by the Heavy Vehicle National Law (Queensland) , on someone else.\n- (i) this chapter, including anything about which a regulation may be made under this chapter; or\n- (ii) the Heavy Vehicle National Law (Queensland) , including anything about which national regulations (HVNL) may be made; or\n- (a) the regulation of— (i) the driving, leading, stopping or wheeling of vehicles or animals on a footpath, shared path, water-channel or gutter; and (ii) the driving or leading of animals to cross a road; and (iii) the seizure, removal, detention and disposal of a vehicle or animal mentioned in subparagraph&#160;(i) or (ii) found in circumstances constituting an offence against a local law;\n- (i) the driving, leading, stopping or wheeling of vehicles or animals on a footpath, shared path, water-channel or gutter; and\n- (ii) the driving or leading of animals to cross a road; and\n- (iii) the seizure, removal, detention and disposal of a vehicle or animal mentioned in subparagraph&#160;(i) or (ii) found in circumstances constituting an offence against a local law;\n- (b) the regulation of the use of any part of a footpath for the purpose of providing food or drink or both to members of the public;\n- (c) the regulation of the advertising upon any road of any business including by means of the distribution of any handbill or other printed or written matter;\n- (d) the regulation of the washing or cleansing, painting, repairing, alteration or maintenance of vehicles in, on or over a road;\n- (e) the regulation of the stacking, storing or exposure of goods in, on or over a road and the seizure, removal, detention and disposal of any goods so stacked, stored or exposed;\n- (f) the regulation of roadside vending;\n- (g) the regulation of lights, notices and signs— (i) on a road; or (ii) near a road if the lights, notices and signs endanger, or are likely to endanger, traffic;\n- (i) on a road; or\n- (ii) near a road if the lights, notices and signs endanger, or are likely to endanger, traffic;\n- (h) the regulation of the amplification or reproduction of any sound by anything— (i) on a road; or (ii) near a road if the sound causes, or is likely to cause, anyone to gather on the road to endanger, hinder or obstruct traffic;\n- (i) on a road; or\n- (ii) near a road if the sound causes, or is likely to cause, anyone to gather on the road to endanger, hinder or obstruct traffic;\n- (i) the seizure and disposal of anything used to make a sound mentioned in paragraph&#160;(h) ;\n- (j) the regulation of the driving of vehicles and animals on a foreshore;\n- (k) the regulation of vehicle access to a public place that is a local government controlled area.\n- (i) the driving, leading, stopping or wheeling of vehicles or animals on a footpath, shared path, water-channel or gutter; and\n- (ii) the driving or leading of animals to cross a road; and\n- (iii) the seizure, removal, detention and disposal of a vehicle or animal mentioned in subparagraph&#160;(i) or (ii) found in circumstances constituting an offence against a local law;\n- (i) on a road; or\n- (ii) near a road if the lights, notices and signs endanger, or are likely to endanger, traffic;\n- (i) on a road; or\n- (ii) near a road if the sound causes, or is likely to cause, anyone to gather on the road to endanger, hinder or obstruct traffic;\n- (a) the right of way of any vehicle or animal so driven, ridden, led or wheeled;\n- (b) the qualification of a person to drive a motor vehicle;\n- (c) the driving of or attempting to put in motion or occupying the driving seat of or being in charge of a motor vehicle whilst under the influence of liquor or a drug;\n- (d) the driving or being in charge of a horse or other animal or the driving or being in charge of a vehicle (other than a motor vehicle) or attempting to put in motion any vehicle (other than a motor vehicle) whilst under the influence of liquor or a drug;\n- (e) the manner of driving of a vehicle or animal including the driving of the same dangerously or without due care and attention or without reasonable consideration for other persons or negligently, recklessly or at a speed in excess of the maximum speed at which the vehicle may lawfully be driven.\n- (a) a road in its area that is not a declared road; and\n- (b) a declared road in its area, with the chief executive’s written agreement.","sortOrder":193},{"sectionNumber":"ch.5-pt.2","sectionType":"part","heading":"Official traffic signs","content":"# Official traffic signs","sortOrder":194},{"sectionNumber":"sec.67","sectionType":"section","heading":"Definitions","content":"### sec.67 Definitions\n\nIn this part and part&#160;6 —\ninstall means construct, make, mark, place or erect, or affix to or paint on any structure, and repair, maintain, manage and control.\non means on, in, into, over or near.\nremove means remove, alter, discontinue, cancel, demolish or erase.\nstructure includes any building, wall, fence, pillar, post or other structure, erection or device wheresoever situated and by whomsoever owned.\ns&#160;67 prev s&#160;67 om 1997 No.&#160;66 s&#160;125\npres s&#160;67 (prev 1949 13 Geo 6 No. 26 s&#160;12A) ins 1959 8 Eliz 2 No. 55 s&#160;7\nsub 1965 No.&#160;26 s&#160;11\namd 1999 No.&#160;42 s&#160;54 (1) sch amdt 21\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 28\namd 2010 No.&#160;13 s&#160;3 sch pt&#160;1","sortOrder":195},{"sectionNumber":"sec.68","sectionType":"section","heading":"Chief executive may install or remove official traffic signs","content":"### sec.68 Chief executive may install or remove official traffic signs\n\nThe chief executive may, for the purposes of this or another Act—\ninstall an official traffic sign on a road or off-street regulated parking area; and\nremove an official traffic sign from a road or off-street regulated parking area.\ns&#160;68 prev s&#160;68 om 1997 No.&#160;66 s&#160;125\npres s&#160;68 (prev 1949 Geo 6 No. 26 s&#160;12B) ins 1959 8 Eliz 2 No. 55 s&#160;7\nsub 1965 No.&#160;26 s&#160;11\namd 1971 No.&#160;33 s&#160;6\nsub 1994 No.&#160;7 s&#160;8\namd 1999 No.&#160;42 s&#160;5\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 28\n- (a) install an official traffic sign on a road or off-street regulated parking area; and\n- (b) remove an official traffic sign from a road or off-street regulated parking area.","sortOrder":196},{"sectionNumber":"sec.69","sectionType":"section","heading":"Local government may install or remove official traffic signs","content":"### sec.69 Local government may install or remove official traffic signs\n\nA local government may install an official traffic sign in its area—\non a road that is not a declared road; or\non a declared road, with the chief executive’s written agreement; or\non an off-street regulated parking area.\nUnder subsection&#160;(1) (b) , a local government may install an official traffic sign that—\ndefines a traffic area; and\nindicates that parking on declared roads within the traffic area is regulated.\nA local government may remove an official traffic sign installed by it.\nA local government may install or remove an official traffic sign that will result in a change to the management of a local government road, of a kind mentioned in the Transport Planning and Coordination Act 1994 , section&#160;8D (1) , only if the chief executive has approved the proposed change under the Transport Planning and Coordination Act 1994 , section&#160;8D .\ns&#160;69 prev s&#160;69 om 1997 No.&#160;66 s&#160;125\npres s&#160;69 (prev 1949 Geo 6 No. 26 s&#160;12BA) ins 1994 No.&#160;7 s&#160;8\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 28\namd 2008 No.&#160;67 s&#160;259\n(sec.69-ssec.1) A local government may install an official traffic sign in its area— on a road that is not a declared road; or on a declared road, with the chief executive’s written agreement; or on an off-street regulated parking area.\n(sec.69-ssec.2) Under subsection&#160;(1) (b) , a local government may install an official traffic sign that— defines a traffic area; and indicates that parking on declared roads within the traffic area is regulated.\n(sec.69-ssec.3) A local government may remove an official traffic sign installed by it.\n(sec.69-ssec.4) A local government may install or remove an official traffic sign that will result in a change to the management of a local government road, of a kind mentioned in the Transport Planning and Coordination Act 1994 , section&#160;8D (1) , only if the chief executive has approved the proposed change under the Transport Planning and Coordination Act 1994 , section&#160;8D .\n- (a) on a road that is not a declared road; or\n- (b) on a declared road, with the chief executive’s written agreement; or\n- (c) on an off-street regulated parking area.\n- (a) defines a traffic area; and\n- (b) indicates that parking on declared roads within the traffic area is regulated.","sortOrder":197},{"sectionNumber":"sec.70","sectionType":"section","heading":"Notice to install or remove an official traffic sign","content":"### sec.70 Notice to install or remove an official traffic sign\n\nIf, in the opinion of the chief executive, an official traffic sign should be installed on, or removed from, any road in an area which is not a declared road, the chief executive may serve notice on the local government for such area specifying the nature of the official traffic sign required to be installed or removed and the location at or from which such official traffic sign shall be installed or removed.\nThe notice shall specify a date not less than 14 days from the date of service of the notice on or before which the installation or removal of the official traffic sign specified shall be completed.\nIf the local government does not comply with the terms of the notice within the time specified, the chief executive may install or remove the official traffic sign specified in the notice and recover any cost and expense incurred by the chief executive in so doing from the local government.\ns&#160;70 prev s&#160;70 om 1997 No.&#160;66 s&#160;125\npres s&#160;70 (prev 1949 Geo 6 No. 26 s&#160;12C) ins 1959 8 Eliz 2 No. 55 s&#160;8\nsub 1965 No.&#160;26 s&#160;11\namd 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 28\n(sec.70-ssec.1) If, in the opinion of the chief executive, an official traffic sign should be installed on, or removed from, any road in an area which is not a declared road, the chief executive may serve notice on the local government for such area specifying the nature of the official traffic sign required to be installed or removed and the location at or from which such official traffic sign shall be installed or removed.\n(sec.70-ssec.2) The notice shall specify a date not less than 14 days from the date of service of the notice on or before which the installation or removal of the official traffic sign specified shall be completed.\n(sec.70-ssec.3) If the local government does not comply with the terms of the notice within the time specified, the chief executive may install or remove the official traffic sign specified in the notice and recover any cost and expense incurred by the chief executive in so doing from the local government.","sortOrder":198},{"sectionNumber":"sec.71","sectionType":"section","heading":"Installation of official traffic signs in case of danger","content":"### sec.71 Installation of official traffic signs in case of danger\n\nWhere the chief executive, a superintendent, a holder of a prescribed office under the Crown, a chief executive officer of a local government, or a person authorised in that behalf by the chief executive, a superintendent, a holder of a prescribed office under the Crown, a local government or a chief executive officer of a local government, as the case may be, is satisfied in the circumstances of the case that a danger, hindrance or obstruction to traffic or other emergency exists or is likely to exist, or the use of a road or any part thereof or an off-street regulated parking area or any part thereof is prevented, hindered or obstructed, or likely to be prevented, hindered or obstructed, such person may install any official traffic sign which, in the person’s opinion, may be necessary, required or desirable for the purpose of regulating, guiding or warning traffic.\nAny official traffic sign so installed may, unless otherwise directed by the chief executive pursuant to section&#160;70 be maintained and continued for so long as the chief executive, superintendent, holder of a prescribed office under the Crown, chief executive officer of a local government, or person authorised as prescribed by subsection&#160;(1) is satisfied that the danger, hindrance or obstruction to traffic or other emergency exists or is likely to exist or the use of the road or the part thereof or the off-street regulated parking area or the part thereof is prevented, hindered or obstructed or likely to be prevented, hindered or obstructed.\ns&#160;71 prev s&#160;71 om 1997 No.&#160;66 s&#160;125\npres s&#160;71 (prev 1949 Geo 6 No. 26 s&#160;12D) ins 1959 8 Eliz 2 No. 55 s&#160;8\nsub 1965 No.&#160;26 s&#160;11\namd 1971 No.&#160;33 s&#160;7 ; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdt 22\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 28\n(sec.71-ssec.1) Where the chief executive, a superintendent, a holder of a prescribed office under the Crown, a chief executive officer of a local government, or a person authorised in that behalf by the chief executive, a superintendent, a holder of a prescribed office under the Crown, a local government or a chief executive officer of a local government, as the case may be, is satisfied in the circumstances of the case that a danger, hindrance or obstruction to traffic or other emergency exists or is likely to exist, or the use of a road or any part thereof or an off-street regulated parking area or any part thereof is prevented, hindered or obstructed, or likely to be prevented, hindered or obstructed, such person may install any official traffic sign which, in the person’s opinion, may be necessary, required or desirable for the purpose of regulating, guiding or warning traffic.\n(sec.71-ssec.2) Any official traffic sign so installed may, unless otherwise directed by the chief executive pursuant to section&#160;70 be maintained and continued for so long as the chief executive, superintendent, holder of a prescribed office under the Crown, chief executive officer of a local government, or person authorised as prescribed by subsection&#160;(1) is satisfied that the danger, hindrance or obstruction to traffic or other emergency exists or is likely to exist or the use of the road or the part thereof or the off-street regulated parking area or the part thereof is prevented, hindered or obstructed or likely to be prevented, hindered or obstructed.","sortOrder":199},{"sectionNumber":"sec.72","sectionType":"section","heading":"Installation of official traffic signs by prescribed persons","content":"### sec.72 Installation of official traffic signs by prescribed persons\n\nWhere a person is carrying out any works on any road or off-street regulated parking area with the approval of the chief executive or a local government, the person and any employee of the person acting with the person’s authority, if satisfied in the circumstances of the case that a danger, hindrance or obstruction to traffic exists or is likely to exist, or that the use of the road or parking area or any part thereof is prevented, hindered or obstructed or likely to be prevented, hindered or obstructed, by reason of the carrying out of the works, may install any official traffic sign which in the person’s opinion may be necessary or desirable for the purpose of regulating, guiding or warning traffic with respect to the works.\nAny official traffic sign so installed may, subject to sections&#160;68 and 69 , be maintained and continued for so long as the person or employee is satisfied that the danger, hindrance or obstruction to traffic exists or is likely to exist or that the use of the road or off-street regulated parking area or the part thereof is prevented, hindered or obstructed or likely to be prevented, hindered or obstructed.\nAny person who obstructs another person in the exercise of that other person’s powers under subsection&#160;(1) shall be guilty of an offence.\nMaximum penalty for subsection&#160;(2) —40 penalty units or 6 months imprisonment.\ns&#160;72 prev s&#160;72 om 1997 No.&#160;66 s&#160;125\npres s&#160;72 (prev 1949 Geo 6 No. 26 s&#160;12DA) ins 1990 No.&#160;103 s&#160;2 0.5\namd 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdt 23\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 28\n(sec.72-ssec.1) Where a person is carrying out any works on any road or off-street regulated parking area with the approval of the chief executive or a local government, the person and any employee of the person acting with the person’s authority, if satisfied in the circumstances of the case that a danger, hindrance or obstruction to traffic exists or is likely to exist, or that the use of the road or parking area or any part thereof is prevented, hindered or obstructed or likely to be prevented, hindered or obstructed, by reason of the carrying out of the works, may install any official traffic sign which in the person’s opinion may be necessary or desirable for the purpose of regulating, guiding or warning traffic with respect to the works.\n(sec.72-ssec.1A) Any official traffic sign so installed may, subject to sections&#160;68 and 69 , be maintained and continued for so long as the person or employee is satisfied that the danger, hindrance or obstruction to traffic exists or is likely to exist or that the use of the road or off-street regulated parking area or the part thereof is prevented, hindered or obstructed or likely to be prevented, hindered or obstructed.\n(sec.72-ssec.2) Any person who obstructs another person in the exercise of that other person’s powers under subsection&#160;(1) shall be guilty of an offence. Maximum penalty for subsection&#160;(2) —40 penalty units or 6 months imprisonment.","sortOrder":200},{"sectionNumber":"sec.72A","sectionType":"section","heading":"Way to install official traffic sign","content":"### sec.72A Way to install official traffic sign\n\nAn official traffic sign must be installed in a way specified by the MUTCD.\ns&#160;72A ins 2001 No.&#160;79 s&#160;95","sortOrder":201},{"sectionNumber":"sec.73","sectionType":"section","heading":"Obstruction of prescribed officer and destruction of official traffic signs to be an offence","content":"### sec.73 Obstruction of prescribed officer and destruction of official traffic signs to be an offence\n\nAny person who—\nobstructs the chief executive, a superintendent, a holder of a prescribed office under the Crown, or a chief executive officer of a local government in the exercise of powers under this part or chapter&#160;5 , part&#160;6 ; or\nobstructs any person acting under an authority given under section&#160;71 in the exercise of the powers under this part or chapter&#160;5 , part&#160;6 had by the person by virtue of such authority; or\nwithout lawful authority demolishes, destroys, pulls down, erases, removes, defaces or otherwise damages or interferes with an official traffic sign;\nshall be guilty of an offence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nA person guilty of an offence against any provision of subsection&#160;(1) shall also be liable to pay the amount of the expenses of making good any damage occasioned by the offence.\nThe court convicting the person of the offence may, whether an application or complaint is made in respect thereof or not, order the person to pay such amount or such amount may be recovered by either the chief executive or a local government or any person duly authorised by the chief executive or a local government, either generally or in the particular case, by action in any court of competent jurisdiction.\nWithout limit to the power of a police officer or any other person thereunto authorised by some other provision of this Act to prosecute an offence against subsection&#160;(1) —\nan offence against subsection&#160;(1) committed in relation to the chief executive or the holder of a prescribed office under the Crown, or any person acting under the authority of either of them, or in relation to an official traffic sign installed on a road by the said chief executive or holder of a prescribed office under the Crown, or any person acting under the authority of either of them, may be prosecuted by the chief executive or holder or by any person thereunto authorised by the chief executive; and\nan offence against subsection&#160;(1) committed in relation to the chief executive officer of a local government or a local government or a person acting under the authority of the chief executive officer of a local government or local government, or in relation to an official traffic sign installed on a road or an off-street regulated parking area in its area by the local government may be prosecuted by the chief executive officer or by any person thereunto authorised by the chief executive officer.\ns&#160;73 prev s&#160;73 om 1997 No.&#160;66 s&#160;125\npres s&#160;73 (prev 1949 Geo 6 No. 26 s&#160;12E) ins 1959 8 Eliz 2 No. 55 s&#160;9\nsub 1965 No.&#160;26 s&#160;11\namd 1971 No.&#160;33 s&#160;8 ; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdts 24–25\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 28\n(sec.73-ssec.1) Any person who— obstructs the chief executive, a superintendent, a holder of a prescribed office under the Crown, or a chief executive officer of a local government in the exercise of powers under this part or chapter&#160;5 , part&#160;6 ; or obstructs any person acting under an authority given under section&#160;71 in the exercise of the powers under this part or chapter&#160;5 , part&#160;6 had by the person by virtue of such authority; or without lawful authority demolishes, destroys, pulls down, erases, removes, defaces or otherwise damages or interferes with an official traffic sign; shall be guilty of an offence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.73-ssec.2) A person guilty of an offence against any provision of subsection&#160;(1) shall also be liable to pay the amount of the expenses of making good any damage occasioned by the offence.\n(sec.73-ssec.3) The court convicting the person of the offence may, whether an application or complaint is made in respect thereof or not, order the person to pay such amount or such amount may be recovered by either the chief executive or a local government or any person duly authorised by the chief executive or a local government, either generally or in the particular case, by action in any court of competent jurisdiction.\n(sec.73-ssec.4) Without limit to the power of a police officer or any other person thereunto authorised by some other provision of this Act to prosecute an offence against subsection&#160;(1) — an offence against subsection&#160;(1) committed in relation to the chief executive or the holder of a prescribed office under the Crown, or any person acting under the authority of either of them, or in relation to an official traffic sign installed on a road by the said chief executive or holder of a prescribed office under the Crown, or any person acting under the authority of either of them, may be prosecuted by the chief executive or holder or by any person thereunto authorised by the chief executive; and an offence against subsection&#160;(1) committed in relation to the chief executive officer of a local government or a local government or a person acting under the authority of the chief executive officer of a local government or local government, or in relation to an official traffic sign installed on a road or an off-street regulated parking area in its area by the local government may be prosecuted by the chief executive officer or by any person thereunto authorised by the chief executive officer.\n- (a) obstructs the chief executive, a superintendent, a holder of a prescribed office under the Crown, or a chief executive officer of a local government in the exercise of powers under this part or chapter&#160;5 , part&#160;6 ; or\n- (b) obstructs any person acting under an authority given under section&#160;71 in the exercise of the powers under this part or chapter&#160;5 , part&#160;6 had by the person by virtue of such authority; or\n- (c) without lawful authority demolishes, destroys, pulls down, erases, removes, defaces or otherwise damages or interferes with an official traffic sign;\n- (a) an offence against subsection&#160;(1) committed in relation to the chief executive or the holder of a prescribed office under the Crown, or any person acting under the authority of either of them, or in relation to an official traffic sign installed on a road by the said chief executive or holder of a prescribed office under the Crown, or any person acting under the authority of either of them, may be prosecuted by the chief executive or holder or by any person thereunto authorised by the chief executive; and\n- (b) an offence against subsection&#160;(1) committed in relation to the chief executive officer of a local government or a local government or a person acting under the authority of the chief executive officer of a local government or local government, or in relation to an official traffic sign installed on a road or an off-street regulated parking area in its area by the local government may be prosecuted by the chief executive officer or by any person thereunto authorised by the chief executive officer.","sortOrder":202},{"sectionNumber":"sec.74","sectionType":"section","heading":"Contravention of official traffic sign an offence","content":"### sec.74 Contravention of official traffic sign an offence\n\nA person who contravenes an indication given by an official traffic sign commits an offence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nA local government may take proceedings for the imposition and enforcement of a penalty under subsection&#160;(1) for a contravention relating to an official traffic sign installed by it.\nHowever, a local government may not act under subsection&#160;(2) if the traffic sign is about a matter mentioned in section&#160;66 (4) , or for which a number of demerit points may be allocated against a person’s traffic history under a regulation.\nThe penalty recovered by the local government for the offence must be paid to the local government.\nSubsection&#160;(2) does not limit the right of another entity to take proceedings for the imposition and enforcement of a penalty under subsection&#160;(1) for a contravention relating to an official traffic sign.\ns&#160;74 (prev 1949 Geo 6 No. 26 s&#160;12F) ins 1959 8 Eliz 2 No. 55 s&#160;9\nsub 1965 No.&#160;26 s&#160;11 ; 1994 No.&#160;7 s&#160;9\namd 1994 No.&#160;87 s&#160;3 sch&#160;1 ; 1999 No.&#160;42 s&#160;54 (1) sch amdts 26–27\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 28\n(sec.74-ssec.1) A person who contravenes an indication given by an official traffic sign commits an offence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.74-ssec.2) A local government may take proceedings for the imposition and enforcement of a penalty under subsection&#160;(1) for a contravention relating to an official traffic sign installed by it.\n(sec.74-ssec.2A) However, a local government may not act under subsection&#160;(2) if the traffic sign is about a matter mentioned in section&#160;66 (4) , or for which a number of demerit points may be allocated against a person’s traffic history under a regulation.\n(sec.74-ssec.3) The penalty recovered by the local government for the offence must be paid to the local government.\n(sec.74-ssec.4) Subsection&#160;(2) does not limit the right of another entity to take proceedings for the imposition and enforcement of a penalty under subsection&#160;(1) for a contravention relating to an official traffic sign.","sortOrder":203},{"sectionNumber":"sec.75","sectionType":"section","heading":"Unlawful installation of official traffic signs","content":"### sec.75 Unlawful installation of official traffic signs\n\nAny person who without lawful authority installs on a road or an off-street regulated parking area an official traffic sign or other thing in the nature of or similar to or which is likely to be mistaken for an official traffic sign shall be guilty of an offence, and any such sign or other thing may be removed by the chief executive or the local government (whether or not any proceeding is taken for an offence with respect thereto).\nMaximum penalty—40 penalty units or 6 months imprisonment.\nUpon convicting a person for an offence against any of the provisions of subsection&#160;(1) the court, in addition to any penalty which it may impose, may (whether an application or complaint is made in respect thereof or not) order the person to pay the costs of the removal of the official traffic sign or other thing in question to the chief executive or the local government, as the case may be.\ns&#160;75 (prev 1949 Geo 6 No. 26 s&#160;12G) ins 1959 8 Eliz 2 No. 55 s&#160;10\nsub 1965 No.&#160;26 s&#160;11\namd 1971 No.&#160;33 s&#160;9 ; 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 28\n(sec.75-ssec.1) Any person who without lawful authority installs on a road or an off-street regulated parking area an official traffic sign or other thing in the nature of or similar to or which is likely to be mistaken for an official traffic sign shall be guilty of an offence, and any such sign or other thing may be removed by the chief executive or the local government (whether or not any proceeding is taken for an offence with respect thereto). Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.75-ssec.2) Upon convicting a person for an offence against any of the provisions of subsection&#160;(1) the court, in addition to any penalty which it may impose, may (whether an application or complaint is made in respect thereof or not) order the person to pay the costs of the removal of the official traffic sign or other thing in question to the chief executive or the local government, as the case may be.","sortOrder":204},{"sectionNumber":"sec.76","sectionType":"section","heading":"Injury to official traffic signs","content":"### sec.76 Injury to official traffic signs\n\nWhere any injury is done to an official traffic sign the following persons, namely—\nany person who negligently or wilfully causes such injury;\nif that person is an agent or employee—the principal or employer of that person;\nshall each be answerable in damages to the chief executive or the local government (according to which of them installed such sign) for the whole injury, and such damages may be—\nsued for by; or\nrecovered in a summary way under the Justices Act 1886 , on complaint of;\nthe chief executive or the local government or any person authorised by the chief executive or the local government in that behalf, either generally or in the particular case, but the chief executive or the local government shall not be entitled by virtue of the provisions of this section to recover twice for the same cause of action.\nWhere the owner of any vehicle pays any money in respect of any injury caused through the wilful act or negligence of the driver of that vehicle to any official traffic sign, the owner shall be entitled to recover the money so paid, with costs, from that driver.\ns&#160;76 (prev 1949 Geo 6 No. 26 s&#160;12H) ins 1959 8 Eliz 2 No. 55 s&#160;10\namd 1960 9 Eliz 2 No. 44 s&#160;2; 1961 10 Eliz 2 No. 27 s&#160;6; 1962 No.&#160;23 s&#160;2\nsub 1965 No.&#160;26 s&#160;11\namd 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 28\n(sec.76-ssec.1) Where any injury is done to an official traffic sign the following persons, namely— any person who negligently or wilfully causes such injury; if that person is an agent or employee—the principal or employer of that person; shall each be answerable in damages to the chief executive or the local government (according to which of them installed such sign) for the whole injury, and such damages may be— sued for by; or recovered in a summary way under the Justices Act 1886 , on complaint of; the chief executive or the local government or any person authorised by the chief executive or the local government in that behalf, either generally or in the particular case, but the chief executive or the local government shall not be entitled by virtue of the provisions of this section to recover twice for the same cause of action.\n(sec.76-ssec.2) Where the owner of any vehicle pays any money in respect of any injury caused through the wilful act or negligence of the driver of that vehicle to any official traffic sign, the owner shall be entitled to recover the money so paid, with costs, from that driver.\n- (a) any person who negligently or wilfully causes such injury;\n- (b) if that person is an agent or employee—the principal or employer of that person;\n- (c) sued for by; or\n- (d) recovered in a summary way under the Justices Act 1886 , on complaint of;","sortOrder":205},{"sectionNumber":"ch.5-pt.3","sectionType":"part","heading":"Driving of vehicles and animals","content":"# Driving of vehicles and animals","sortOrder":206},{"sectionNumber":"sec.77","sectionType":"section","heading":"Restricted written or electronic release of person’s prescribed authority and traffic history information","content":"### sec.77 Restricted written or electronic release of person’s prescribed authority and traffic history information\n\nThe chief executive may release, in writing or electronically, information kept under this Act about a person’s prescribed authority or traffic history to—\non receiving an application—\nthe person; or\nwith the person’s written consent—another person; or\nSee chapter&#160;5B for requirements about the application.\nthe commissioner; or\nan entity that issues driver licences under a corresponding law to this Act; or\nan entity (a foreign licensing authority ) that issues foreign driver licences; or\nan entity that, under an agreement between the State and other Australian jurisdictions, maintains a database containing information about driver licences and traffic histories.\nAlso, the chief executive may release, in writing, to an entity information kept under this Act about a person’s prescribed authority if—\nthe person produces the prescribed authority to the entity as proof of the person’s identity; and\nthe entity applies for the information; and\nSee chapter&#160;5B for requirements about the application.\nthe information is necessary to verify the validity of the prescribed authority.\nBefore releasing information to an entity under subsection&#160;(1) (c) , the chief executive must be satisfied any release of the information by the entity will be limited to circumstances similar to those mentioned in subsection&#160;(1) .\nThe chief executive may release information about a person’s prescribed authority or traffic history under subsection&#160;(1) (d) only on the following conditions—\nthe information may be used by the foreign licensing authority only to decide whether to issue a foreign driver licence to the person, unless the person gives written consent to another use;\nthe information may be released by the foreign licensing authority only with the person’s written consent.\nBefore releasing information to an entity under subsection&#160;(1) (e) , the chief executive must be satisfied any release of the information by the entity will be limited to—\ncircumstances similar to those mentioned in subsection&#160;(1) ; or\nreleasing, to the National Heavy Vehicle Regulator, the Queensland driver licence information it requires to exercise its functions under the Heavy Vehicle National Law (Queensland) .\nTo remove any doubt, it is declared that the release of information under subsection&#160;(1) (e) is not limited by the Transport Planning and Coordination Act 1994 , part&#160;4D .\nThe Transport Planning and Coordination Act 1994 , part&#160;4D provides for disclosure, collection and use of identity information in connection with identity matching services under that part.\nIn this section—\ndocument verification service means the service, administered by the Commonwealth, by which documents used by persons as evidence of those persons’ identities are verified.\nQueensland driver licence information means information about a Queensland driver licence recorded in a register kept by the chief executive under this Act.\ns&#160;77 (prev 1949 13 Geo 6 No. 26 s&#160;14A) ins 1965 No.&#160;26 s&#160;13\namd 1982 No.&#160;15 s&#160;5\nsub 1994 No.&#160;7 s&#160;11 ; 1999 No.&#160;42 s&#160;6\namd 1999 No.&#160;42 s&#160;54 (1) sch amdts 30–32\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2008 No.&#160;71 s&#160;26 (amd 2010 No.&#160;19 s&#160;281 sch ); 2011 No.&#160;12 s&#160;98 ; 2013 No.&#160;40 s&#160;25 ; 2014 No.&#160;43 s&#160;80 ; 2015 No.&#160;14 s&#160;37 ; 2017 No.&#160;25 s&#160;72 ; 2018 No.&#160;2 s&#160;20 ; 2024 No.&#160;2 s&#160;53\n(sec.77-ssec.1) The chief executive may release, in writing or electronically, information kept under this Act about a person’s prescribed authority or traffic history to— on receiving an application— the person; or with the person’s written consent—another person; or See chapter&#160;5B for requirements about the application. the commissioner; or an entity that issues driver licences under a corresponding law to this Act; or an entity (a foreign licensing authority ) that issues foreign driver licences; or an entity that, under an agreement between the State and other Australian jurisdictions, maintains a database containing information about driver licences and traffic histories.\n(sec.77-ssec.2) Also, the chief executive may release, in writing, to an entity information kept under this Act about a person’s prescribed authority if— the person produces the prescribed authority to the entity as proof of the person’s identity; and the entity applies for the information; and See chapter&#160;5B for requirements about the application. the information is necessary to verify the validity of the prescribed authority.\n(sec.77-ssec.3) Before releasing information to an entity under subsection&#160;(1) (c) , the chief executive must be satisfied any release of the information by the entity will be limited to circumstances similar to those mentioned in subsection&#160;(1) .\n(sec.77-ssec.4) The chief executive may release information about a person’s prescribed authority or traffic history under subsection&#160;(1) (d) only on the following conditions— the information may be used by the foreign licensing authority only to decide whether to issue a foreign driver licence to the person, unless the person gives written consent to another use; the information may be released by the foreign licensing authority only with the person’s written consent.\n(sec.77-ssec.5) Before releasing information to an entity under subsection&#160;(1) (e) , the chief executive must be satisfied any release of the information by the entity will be limited to— circumstances similar to those mentioned in subsection&#160;(1) ; or releasing, to the National Heavy Vehicle Regulator, the Queensland driver licence information it requires to exercise its functions under the Heavy Vehicle National Law (Queensland) .\n(sec.77-ssec.6) To remove any doubt, it is declared that the release of information under subsection&#160;(1) (e) is not limited by the Transport Planning and Coordination Act 1994 , part&#160;4D . The Transport Planning and Coordination Act 1994 , part&#160;4D provides for disclosure, collection and use of identity information in connection with identity matching services under that part.\n(sec.77-ssec.7) In this section— document verification service means the service, administered by the Commonwealth, by which documents used by persons as evidence of those persons’ identities are verified. Queensland driver licence information means information about a Queensland driver licence recorded in a register kept by the chief executive under this Act.\n- (a) on receiving an application— (i) the person; or (ii) with the person’s written consent—another person; or Note— See chapter&#160;5B for requirements about the application.\n- (i) the person; or\n- (ii) with the person’s written consent—another person; or\n- (b) the commissioner; or\n- (c) an entity that issues driver licences under a corresponding law to this Act; or\n- (d) an entity (a foreign licensing authority ) that issues foreign driver licences; or\n- (e) an entity that, under an agreement between the State and other Australian jurisdictions, maintains a database containing information about driver licences and traffic histories.\n- (i) the person; or\n- (ii) with the person’s written consent—another person; or\n- (a) the person produces the prescribed authority to the entity as proof of the person’s identity; and\n- (b) the entity applies for the information; and Note— See chapter&#160;5B for requirements about the application.\n- (c) the information is necessary to verify the validity of the prescribed authority.\n- (a) the information may be used by the foreign licensing authority only to decide whether to issue a foreign driver licence to the person, unless the person gives written consent to another use;\n- (b) the information may be released by the foreign licensing authority only with the person’s written consent.\n- (a) circumstances similar to those mentioned in subsection&#160;(1) ; or\n- (b) releasing, to the National Heavy Vehicle Regulator, the Queensland driver licence information it requires to exercise its functions under the Heavy Vehicle National Law (Queensland) .","sortOrder":207},{"sectionNumber":"sec.77AAA","sectionType":"section","heading":"Chief executive may advise registered operator of offences committed in registered operator’s vehicle","content":"### sec.77AAA Chief executive may advise registered operator of offences committed in registered operator’s vehicle\n\nSubsection&#160;(2) applies if—\na person (the offender ) does something in a motor vehicle that is a contravention that forms part of the offender’s traffic history; and\nthe offender is not a registered operator of the motor vehicle.\nThe chief executive may by electronic communication notify the registered operator of the following—\nthe name of the offender;\na description of the offender’s contravention;\nthe time, date and location of the contravention.\nThe reference in subsection&#160;(2) to the registered operator is a reference to—\nif there is only 1 registered operator of the vehicle—the registered operator; or\nif there is more than 1 registered operator of the vehicle—the registered operator mentioned first on the vehicle’s registration certificate.\ns&#160;77AAA ins 2018 No.&#160;10 s&#160;47\n(sec.77AAA-ssec.1) Subsection&#160;(2) applies if— a person (the offender ) does something in a motor vehicle that is a contravention that forms part of the offender’s traffic history; and the offender is not a registered operator of the motor vehicle.\n(sec.77AAA-ssec.2) The chief executive may by electronic communication notify the registered operator of the following— the name of the offender; a description of the offender’s contravention; the time, date and location of the contravention.\n(sec.77AAA-ssec.3) The reference in subsection&#160;(2) to the registered operator is a reference to— if there is only 1 registered operator of the vehicle—the registered operator; or if there is more than 1 registered operator of the vehicle—the registered operator mentioned first on the vehicle’s registration certificate.\n- (a) a person (the offender ) does something in a motor vehicle that is a contravention that forms part of the offender’s traffic history; and\n- (b) the offender is not a registered operator of the motor vehicle.\n- (a) the name of the offender;\n- (b) a description of the offender’s contravention;\n- (c) the time, date and location of the contravention.\n- (a) if there is only 1 registered operator of the vehicle—the registered operator; or\n- (b) if there is more than 1 registered operator of the vehicle—the registered operator mentioned first on the vehicle’s registration certificate.","sortOrder":208},{"sectionNumber":"sec.77AA","sectionType":"section","heading":"Restricted oral release of particular information","content":"### sec.77AA 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 prescribed authority or traffic 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;77AA ins 2011 No.&#160;12 s&#160;99\n(sec.77AA-ssec.1) The chief executive may orally release, to a person, information kept under this Act about the person’s prescribed authority or traffic history.\n(sec.77AA-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":209},{"sectionNumber":"sec.77AB","sectionType":"section","heading":"Confirming Queensland driver licence is valid","content":"### sec.77AB Confirming Queensland driver licence is valid\n\nThis section applies if a person (the enquirer ) gives the chief executive, by electronic communication, all of the following items of information about a Queensland driver licence (the identifying information )—\nthe name and date of birth of the person in whose name the licence is issued;\nthe number of the licence;\nany other information prescribed by a regulation.\nIf all of the items of identifying information match the information held by the department for the licence, the chief executive may, by electronic communication, confirm this with the enquirer and advise whether the licence is valid.\nIf some of the items of identifying information do not match the information held by the department for the licence, the chief executive may, by electronic communication, advise the enquirer of this but must not advise which of the items do not match.\nIn this section—\nvalid , in relation to a Queensland driver licence, means—\nthe licence has not expired; or\nthe licence has not been cancelled or suspended; or\nthe person in whose name the licence is issued is not disqualified from holding or obtaining a Queensland driver licence.\ns&#160;77AB ins 2014 No.&#160;43 s&#160;81\n(sec.77AB-ssec.1) This section applies if a person (the enquirer ) gives the chief executive, by electronic communication, all of the following items of information about a Queensland driver licence (the identifying information )— the name and date of birth of the person in whose name the licence is issued; the number of the licence; any other information prescribed by a regulation.\n(sec.77AB-ssec.2) If all of the items of identifying information match the information held by the department for the licence, the chief executive may, by electronic communication, confirm this with the enquirer and advise whether the licence is valid.\n(sec.77AB-ssec.3) If some of the items of identifying information do not match the information held by the department for the licence, the chief executive may, by electronic communication, advise the enquirer of this but must not advise which of the items do not match.\n(sec.77AB-ssec.4) In this section— valid , in relation to a Queensland driver licence, means— the licence has not expired; or the licence has not been cancelled or suspended; or the person in whose name the licence is issued is not disqualified from holding or obtaining a Queensland driver licence.\n- (a) the name and date of birth of the person in whose name the licence is issued;\n- (b) the number of the licence;\n- (c) any other information prescribed by a regulation.\n- (a) the licence has not expired; or\n- (b) the licence has not been cancelled or suspended; or\n- (c) the person in whose name the licence is issued is not disqualified from holding or obtaining a Queensland driver licence.","sortOrder":210},{"sectionNumber":"sec.77A","sectionType":"section","heading":"Releasing information about Queensland driver licence or traffic history for research purposes","content":"### sec.77A Releasing information about Queensland driver licence or traffic history for research purposes\n\nThe chief executive may release prescribed information to an entity for road research purposes if—\neither—\nthe entity is conducting the research for the chief executive; or\nthe chief executive has, on application by the entity, approved the entity’s conduct of the research; and\nSee chapter&#160;5B for requirements about the application.\nthe information proposed to be released does not identify any person to whom it relates.\nIn this section—\nprescribed information means the following information recorded in a register kept by the chief executive under this Act—\ninformation about Queensland driver licences;\nthe traffic history of drivers.\ns&#160;77A ins 2008 No.&#160;71 s&#160;27\namd 2017 No.&#160;25 s&#160;73\n(sec.77A-ssec.1) The chief executive may release prescribed information to an entity for road research purposes if— either— the entity is conducting the research for the chief executive; or the chief executive has, on application by the entity, approved the entity’s conduct of the research; and See chapter&#160;5B for requirements about the application. the information proposed to be released does not identify any person to whom it relates.\n(sec.77A-ssec.2) In this section— prescribed information means the following information recorded in a register kept by the chief executive under this Act— information about Queensland driver licences; the traffic history of drivers.\n- (a) either— (i) the entity is conducting the research for the chief executive; or (ii) the chief executive has, on application by the entity, approved the entity’s conduct of the research; and Note— See chapter&#160;5B for requirements about the application.\n- (i) the entity is conducting the research for the chief executive; or\n- (ii) the chief executive has, on application by the entity, approved the entity’s conduct of the research; and Note— See chapter&#160;5B for requirements about the application.\n- (b) the information proposed to be released does not identify any person to whom it relates.\n- (i) the entity is conducting the research for the chief executive; or\n- (ii) the chief executive has, on application by the entity, approved the entity’s conduct of the research; and Note— See chapter&#160;5B for requirements about the application.\n- (a) information about Queensland driver licences;\n- (b) the traffic history of drivers.","sortOrder":211},{"sectionNumber":"sec.78","sectionType":"section","heading":"Driving of motor vehicle without a driver licence prohibited","content":"### sec.78 Driving of motor vehicle without a driver licence prohibited\n\nA person must not drive a motor vehicle on a road unless the person holds a driver licence authorising the person to drive the vehicle on the road.\nMaximum penalty—\nif the person committed the offence while the person was disqualified, by any court order, from holding or obtaining a driver licence—60 penalty units or 18 months imprisonment; or\notherwise—40 penalty units or 1 year’s imprisonment.\nAn infringement notice under the State Penalties Enforcement Act 1999 ( infringement notice ) may be issued to a person for a contravention of subsection&#160;(1) only if—\nthe person is an unlicensed driver for the motor vehicle driven by the person; and\nthe person has not, in the 5 years before the contravention, been convicted of an offence against subsection&#160;(1) ; and\nsubsections&#160;(1B) to (1E) do not prevent the infringement notice being issued to the person.\nAn infringement notice can not be issued to a person for a contravention of subsection&#160;(1) if—\nthe person has, in the 2 years before the contravention, been a person mentioned in section&#160;91J (1) ; and\nthe person did not become an interlock driver because a Queensland driver licence was not granted to the person after the person’s disqualification period mentioned in that section ended.\nSubject to subsection&#160;(1D) , an infringement notice can not be issued to a person for a contravention of subsection&#160;(1) if—\nthe person had been an interlock driver; but\nat the time of the contravention—\nthe person did not hold a valid Queensland driver licence; and\nthe person’s interlock period had not ended.\nAn infringement notice may be issued to a person mentioned in subsection&#160;(1C) whose Queensland driver licence expired within 4 weeks before the contravention mentioned in the subsection.\nAn infringement notice must not be issued to a person for a contravention of subsection&#160;(1) if the person has never held a driver licence.\nIf a person commits an offence against subsection&#160;(1) when the person is a disqualified driver, or is a repeat unlicensed driver for the offence, the court, in deciding what penalty to impose on the person, must consider—\nall the circumstances of the case, including circumstances of aggravation or mitigation; and\nthe public interest; and\nthe person’s criminal history and traffic history; and\nany information before it relating to the person’s medical history, or the person’s mental or physical capacity, that the court considers relevant; and\nwhether the offence was committed in association with the commission or attempted commission of another offence and, if so, the nature of the other offence; and\nany other matters that the court considers relevant.\nIf the court convicts a person of an offence against subsection&#160;(1) and any of the following circumstances apply, the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for the period mentioned in relation to the circumstance—\nif the person committed the offence while the person was disqualified, by any court order, from holding or obtaining a driver licence—for a period, of at least 2 years but not more than 5 years, decided by the court;\nif the person committed the offence while the person was disqualified from holding or obtaining a driver licence because of the allocation of demerit points—6 months;\nSee section&#160;127 (4) (b) for the effect of a suspension because of the allocation of demerit points under the driver licensing regulation.\nif the person committed the offence while the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended because of the allocation of demerit points—6 months;\nif the person committed the offence while the person was disqualified from holding or obtaining a driver licence because the person had been convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit—6 months;\nif the person committed the offence while the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended because the person had been convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit—6 months;\nif the person committed the offence while the person’s driver licence was suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 —a period, of at least 1 month but not more than 6 months, decided by the court;\nif the person committed the offence while the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 —a period, of at least 1 month but not more than 6 months, decided by the court;\nif the person committed the offence while the person was a repeat unlicensed driver for the offence—a period, of at least 1 month but not more than 6 months, decided by the court;\nif the person committed the offence while, under section&#160;79B —\nthe person’s Queensland driver licence was suspended; or\nthe person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended; or\nthe person was disqualified from holding or obtaining a Queensland driver licence;\nfor a period, of at least 2 years but not more than 5 years, decided by the court;\nif the person committed the offence while the person was a person mentioned in subsection&#160;(1B) or (1C) —for a period, of at least 1 month but not more than 6 months, decided by the court;\nif, at the time of committing the offence, the person had never held a driver licence—3 months.\nFor subsection&#160;(3) , if the circumstances mentioned in paragraph&#160;(a) and another paragraph of the subsection exist, the court must apply paragraph&#160;(a) .\nSubsection&#160;(3) applies whether or not a conviction is recorded for the offence.\nA person must not allow another person to drive a motor vehicle on a road if the person knows the other person does not hold a driver licence authorising the other person to drive the vehicle on the road.\nMaximum penalty—20 penalty units or 6 months imprisonment.\nIn this section—\nany court order means an order of any Australian court.\ndisqualified driver means a person—\nwho is disqualified from holding or obtaining a driver licence because of any court order; or\nwho is disqualified from holding or obtaining a driver licence because—\nof the allocation of demerit points; or\nthe person was convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit; or\nthe person’s driver licence is suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 ; or\nwhose authority to drive on a Queensland road under the person’s non-Queensland driver licence is suspended—\nbecause of the allocation of demerit points; or\nbecause the person was convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit; or\nunder the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 .\nrepeat unlicensed driver , for an offence, means a person who—\nis an unlicensed driver for the motor vehicle driven by the person when the offence is committed; and\nhas, in the 5 years before committing the offence, been convicted of an offence against subsection&#160;(1) .\nunlicensed driver , for a motor vehicle, means a person, other than a disqualified driver, who does not hold a driver licence authorising the person to drive the vehicle on the road.\ns&#160;78 (prev 1949 13 Geo 6 No. 26 s&#160;15) amd 1959 8 Eliz 2 No. 55 s&#160;12; 1961 10 Eliz 2 No. 27 s&#160;9; 1965 No.&#160;26 s&#160;14 ; 1974 No.&#160;18 s&#160;7 (amd 1984 No.&#160;102 s&#160;36 ); 1975 No.&#160;13 s&#160;3 ; 1984 No.&#160;102 s&#160;33 ; 1990 No.&#160;103 s&#160;2 .26; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdts 33–35\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 1999 No.&#160;70 s&#160;166 sch&#160;1\nsub 2001 No.&#160;79 s&#160;96\namd 2002 No.&#160;4 s&#160;3 ; 2002 No.&#160;71 s&#160;21 ; 2003 No.&#160;69 s&#160;5 ; 2005 No.&#160;49 s&#160;60 ; 2006 No.&#160;21 s&#160;141 ; 2010 No.&#160;13 ss&#160;14 , 3 sch pt&#160;1 ; 2014 No.&#160;43 s&#160;82 ; 2017 No.&#160;18 s&#160;33\namd 2024 No.&#160;45 s&#160;93 (uncommenced amendment)\n(sec.78-ssec.1) A person must not drive a motor vehicle on a road unless the person holds a driver licence authorising the person to drive the vehicle on the road. Maximum penalty— if the person committed the offence while the person was disqualified, by any court order, from holding or obtaining a driver licence—60 penalty units or 18 months imprisonment; or otherwise—40 penalty units or 1 year’s imprisonment.\n(sec.78-ssec.1A) An infringement notice under the State Penalties Enforcement Act 1999 ( infringement notice ) may be issued to a person for a contravention of subsection&#160;(1) only if— the person is an unlicensed driver for the motor vehicle driven by the person; and the person has not, in the 5 years before the contravention, been convicted of an offence against subsection&#160;(1) ; and subsections&#160;(1B) to (1E) do not prevent the infringement notice being issued to the person.\n(sec.78-ssec.1B) An infringement notice can not be issued to a person for a contravention of subsection&#160;(1) if— the person has, in the 2 years before the contravention, been a person mentioned in section&#160;91J (1) ; and the person did not become an interlock driver because a Queensland driver licence was not granted to the person after the person’s disqualification period mentioned in that section ended.\n(sec.78-ssec.1C) Subject to subsection&#160;(1D) , an infringement notice can not be issued to a person for a contravention of subsection&#160;(1) if— the person had been an interlock driver; but at the time of the contravention— the person did not hold a valid Queensland driver licence; and the person’s interlock period had not ended.\n(sec.78-ssec.1D) An infringement notice may be issued to a person mentioned in subsection&#160;(1C) whose Queensland driver licence expired within 4 weeks before the contravention mentioned in the subsection.\n(sec.78-ssec.1E) An infringement notice must not be issued to a person for a contravention of subsection&#160;(1) if the person has never held a driver licence.\n(sec.78-ssec.2) If a person commits an offence against subsection&#160;(1) when the person is a disqualified driver, or is a repeat unlicensed driver for the offence, the court, in deciding what penalty to impose on the person, must consider— all the circumstances of the case, including circumstances of aggravation or mitigation; and the public interest; and the person’s criminal history and traffic history; and any information before it relating to the person’s medical history, or the person’s mental or physical capacity, that the court considers relevant; and whether the offence was committed in association with the commission or attempted commission of another offence and, if so, the nature of the other offence; and any other matters that the court considers relevant.\n(sec.78-ssec.3) If the court convicts a person of an offence against subsection&#160;(1) and any of the following circumstances apply, the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for the period mentioned in relation to the circumstance— if the person committed the offence while the person was disqualified, by any court order, from holding or obtaining a driver licence—for a period, of at least 2 years but not more than 5 years, decided by the court; if the person committed the offence while the person was disqualified from holding or obtaining a driver licence because of the allocation of demerit points—6 months; See section&#160;127 (4) (b) for the effect of a suspension because of the allocation of demerit points under the driver licensing regulation. if the person committed the offence while the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended because of the allocation of demerit points—6 months; if the person committed the offence while the person was disqualified from holding or obtaining a driver licence because the person had been convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit—6 months; if the person committed the offence while the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended because the person had been convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit—6 months; if the person committed the offence while the person’s driver licence was suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 —a period, of at least 1 month but not more than 6 months, decided by the court; if the person committed the offence while the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 —a period, of at least 1 month but not more than 6 months, decided by the court; if the person committed the offence while the person was a repeat unlicensed driver for the offence—a period, of at least 1 month but not more than 6 months, decided by the court; if the person committed the offence while, under section&#160;79B — the person’s Queensland driver licence was suspended; or the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended; or the person was disqualified from holding or obtaining a Queensland driver licence; for a period, of at least 2 years but not more than 5 years, decided by the court; if the person committed the offence while the person was a person mentioned in subsection&#160;(1B) or (1C) —for a period, of at least 1 month but not more than 6 months, decided by the court; if, at the time of committing the offence, the person had never held a driver licence—3 months.\n(sec.78-ssec.3A) For subsection&#160;(3) , if the circumstances mentioned in paragraph&#160;(a) and another paragraph of the subsection exist, the court must apply paragraph&#160;(a) .\n(sec.78-ssec.4) Subsection&#160;(3) applies whether or not a conviction is recorded for the offence.\n(sec.78-ssec.5) A person must not allow another person to drive a motor vehicle on a road if the person knows the other person does not hold a driver licence authorising the other person to drive the vehicle on the road. Maximum penalty—20 penalty units or 6 months imprisonment.\n(sec.78-ssec.6) In this section— any court order means an order of any Australian court. disqualified driver means a person— who is disqualified from holding or obtaining a driver licence because of any court order; or who is disqualified from holding or obtaining a driver licence because— of the allocation of demerit points; or the person was convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit; or the person’s driver licence is suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 ; or whose authority to drive on a Queensland road under the person’s non-Queensland driver licence is suspended— because of the allocation of demerit points; or because the person was convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit; or under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 . repeat unlicensed driver , for an offence, means a person who— is an unlicensed driver for the motor vehicle driven by the person when the offence is committed; and has, in the 5 years before committing the offence, been convicted of an offence against subsection&#160;(1) . unlicensed driver , for a motor vehicle, means a person, other than a disqualified driver, who does not hold a driver licence authorising the person to drive the vehicle on the road.\n- (a) if the person committed the offence while the person was disqualified, by any court order, from holding or obtaining a driver licence—60 penalty units or 18 months imprisonment; or\n- (b) otherwise—40 penalty units or 1 year’s imprisonment.\n- (a) the person is an unlicensed driver for the motor vehicle driven by the person; and\n- (b) the person has not, in the 5 years before the contravention, been convicted of an offence against subsection&#160;(1) ; and\n- (c) subsections&#160;(1B) to (1E) do not prevent the infringement notice being issued to the person.\n- (a) the person has, in the 2 years before the contravention, been a person mentioned in section&#160;91J (1) ; and\n- (b) the person did not become an interlock driver because a Queensland driver licence was not granted to the person after the person’s disqualification period mentioned in that section ended.\n- (a) the person had been an interlock driver; but\n- (b) at the time of the contravention— (i) the person did not hold a valid Queensland driver licence; and (ii) the person’s interlock period had not ended.\n- (i) the person did not hold a valid Queensland driver licence; and\n- (ii) the person’s interlock period had not ended.\n- (i) the person did not hold a valid Queensland driver licence; and\n- (ii) the person’s interlock period had not ended.\n- (a) all the circumstances of the case, including circumstances of aggravation or mitigation; and\n- (b) the public interest; and\n- (c) the person’s criminal history and traffic history; and\n- (d) any information before it relating to the person’s medical history, or the person’s mental or physical capacity, that the court considers relevant; and\n- (e) whether the offence was committed in association with the commission or attempted commission of another offence and, if so, the nature of the other offence; and\n- (f) any other matters that the court considers relevant.\n- (a) if the person committed the offence while the person was disqualified, by any court order, from holding or obtaining a driver licence—for a period, of at least 2 years but not more than 5 years, decided by the court;\n- (b) if the person committed the offence while the person was disqualified from holding or obtaining a driver licence because of the allocation of demerit points—6 months; Note— See section&#160;127 (4) (b) for the effect of a suspension because of the allocation of demerit points under the driver licensing regulation.\n- (c) if the person committed the offence while the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended because of the allocation of demerit points—6 months;\n- (d) if the person committed the offence while the person was disqualified from holding or obtaining a driver licence because the person had been convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit—6 months;\n- (e) if the person committed the offence while the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended because the person had been convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit—6 months;\n- (f) if the person committed the offence while the person’s driver licence was suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 —a period, of at least 1 month but not more than 6 months, decided by the court;\n- (g) if the person committed the offence while the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 —a period, of at least 1 month but not more than 6 months, decided by the court;\n- (h) if the person committed the offence while the person was a repeat unlicensed driver for the offence—a period, of at least 1 month but not more than 6 months, decided by the court;\n- (i) if the person committed the offence while, under section&#160;79B — (i) the person’s Queensland driver licence was suspended; or (ii) the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended; or (iii) the person was disqualified from holding or obtaining a Queensland driver licence; for a period, of at least 2 years but not more than 5 years, decided by the court;\n- (i) the person’s Queensland driver licence was suspended; or\n- (ii) the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended; or\n- (iii) the person was disqualified from holding or obtaining a Queensland driver licence;\n- (j) if the person committed the offence while the person was a person mentioned in subsection&#160;(1B) or (1C) —for a period, of at least 1 month but not more than 6 months, decided by the court;\n- (k) if, at the time of committing the offence, the person had never held a driver licence—3 months.\n- (i) the person’s Queensland driver licence was suspended; or\n- (ii) the person’s authority to drive on a Queensland road under a non-Queensland driver licence was suspended; or\n- (iii) the person was disqualified from holding or obtaining a Queensland driver licence;\n- (a) who is disqualified from holding or obtaining a driver licence because of any court order; or\n- (b) who is disqualified from holding or obtaining a driver licence because— (i) of the allocation of demerit points; or (ii) the person was convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit; or (iii) the person’s driver licence is suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 ; or\n- (i) of the allocation of demerit points; or\n- (ii) the person was convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit; or\n- (iii) the person’s driver licence is suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 ; or\n- (c) whose authority to drive on a Queensland road under the person’s non-Queensland driver licence is suspended— (i) because of the allocation of demerit points; or (ii) because the person was convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit; or (iii) under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 .\n- (i) because of the allocation of demerit points; or\n- (ii) because the person was convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit; or\n- (iii) under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 .\n- (i) of the allocation of demerit points; or\n- (ii) the person was convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit; or\n- (iii) the person’s driver licence is suspended under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 ; or\n- (i) because of the allocation of demerit points; or\n- (ii) because the person was convicted of an offence against the Queensland Road Rules , section&#160;20 , for driving more than 40km/h over the speed limit; or\n- (iii) under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 .\n- (a) is an unlicensed driver for the motor vehicle driven by the person when the offence is committed; and\n- (b) has, in the 5 years before committing the offence, been convicted of an offence against subsection&#160;(1) .","sortOrder":212},{"sectionNumber":"sec.78A","sectionType":"section","heading":"Permit to drive—recently expired driver licence","content":"### sec.78A Permit to drive—recently expired driver licence\n\nThis section applies if a police officer issues an infringement notice under the State Penalties Enforcement Act 1999 to a person with a recently expired licence for a contravention of section&#160;78 (1) .\nThe police officer may issue a permit authorising the person to drive to a stated place.\nThe permit must—\nbe in the approved form; and\nstate the number of the infringement notice; and\nstate the term, not longer than 24 hours, for which it is issued; and\nstate the conditions, if any, on which it is issued.\nIf the permit is issued on a condition, the permit is cancelled if the condition is contravened.\nTo remove any doubt, it is declared that a police officer issuing a permit under subsection&#160;(2) does not contravene section&#160;78 (5) .\nIn this section—\nrecently expired licence , in relation to a person’s contravention of section&#160;78 (1) , means—\na driver licence that has been expired for no more than 1 year before the contravention; or\na non-Queensland driver licence if, within the 1 year before the contravention, the authority to drive on a Queensland road under the licence has been withdrawn, other than because—\nthe person was granted a Queensland driver licence; or\nthe chief executive reasonably believed the person had a mental or physical incapacity that was likely to adversely affect the person’s ability to drive safely.\ns&#160;78A ins 2002 No.&#160;4 s&#160;4\namd 2002 No.&#160;71 s&#160;22\n(sec.78A-ssec.1) This section applies if a police officer issues an infringement notice under the State Penalties Enforcement Act 1999 to a person with a recently expired licence for a contravention of section&#160;78 (1) .\n(sec.78A-ssec.2) The police officer may issue a permit authorising the person to drive to a stated place.\n(sec.78A-ssec.3) The permit must— be in the approved form; and state the number of the infringement notice; and state the term, not longer than 24 hours, for which it is issued; and state the conditions, if any, on which it is issued.\n(sec.78A-ssec.4) If the permit is issued on a condition, the permit is cancelled if the condition is contravened.\n(sec.78A-ssec.5) To remove any doubt, it is declared that a police officer issuing a permit under subsection&#160;(2) does not contravene section&#160;78 (5) .\n(sec.78A-ssec.6) In this section— recently expired licence , in relation to a person’s contravention of section&#160;78 (1) , means— a driver licence that has been expired for no more than 1 year before the contravention; or a non-Queensland driver licence if, within the 1 year before the contravention, the authority to drive on a Queensland road under the licence has been withdrawn, other than because— the person was granted a Queensland driver licence; or the chief executive reasonably believed the person had a mental or physical incapacity that was likely to adversely affect the person’s ability to drive safely.\n- (a) be in the approved form; and\n- (b) state the number of the infringement notice; and\n- (c) state the term, not longer than 24 hours, for which it is issued; and\n- (d) state the conditions, if any, on which it is issued.\n- (a) a driver licence that has been expired for no more than 1 year before the contravention; or\n- (b) a non-Queensland driver licence if, within the 1 year before the contravention, the authority to drive on a Queensland road under the licence has been withdrawn, other than because— (i) the person was granted a Queensland driver licence; or (ii) the chief executive reasonably believed the person had a mental or physical incapacity that was likely to adversely affect the person’s ability to drive safely.\n- (i) the person was granted a Queensland driver licence; or\n- (ii) the chief executive reasonably believed the person had a mental or physical incapacity that was likely to adversely affect the person’s ability to drive safely.\n- (i) the person was granted a Queensland driver licence; or\n- (ii) the chief executive reasonably believed the person had a mental or physical incapacity that was likely to adversely affect the person’s ability to drive safely.","sortOrder":213},{"sectionNumber":"sec.79","sectionType":"section","heading":"Vehicle offences involving liquor or other drugs","content":"### sec.79 Vehicle offences involving liquor or other drugs\n\nAny person who, while under the influence of liquor or a drug—\ndrives a motor vehicle, tram, train or vessel; or\nattempts to put in motion a motor vehicle, tram, train or vessel; or\nis in charge of a motor vehicle, tram, train or vessel;\nis guilty of an offence and liable to a penalty not exceeding 28 penalty units or to imprisonment for a term not exceeding 9 months.\nIf within the period of 5 years before conviction for an offence under subsection&#160;(1) the offender has been previously convicted under that subsection, the person is liable for that offence to a maximum penalty of 60 penalty units or 18 months imprisonment.\nIf within the period of 5 years before conviction for an offence under subsection&#160;(1) the offender has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender or has been summarily convicted of an offence against any provision of the Criminal Code , section&#160;328A , the offender is liable for the first mentioned offence to a maximum penalty of 60 penalty units or 18 months imprisonment.\nIf within the period of 5 years before conviction for an offence under subsection&#160;(1) the offender has been twice previously convicted—\nunder subsection&#160;(1) ; or\non indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender; or\nsummarily of an offence against any provision of the Criminal Code , section&#160;328A ;\nor has been previously convicted—\nunder subsection&#160;(1) and on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender; or\nunder subsection&#160;(1) and summarily of an offence against any provision of the Criminal Code , section&#160;328A ; or\non indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender and summarily of an offence against any provision of the Criminal Code , section&#160;328A ;\nthe justices must for that offence impose, as the whole or part of the punishment, imprisonment.\nIf within the period of 5 years before conviction for an offence under subsection&#160;(1) the offender has been previously convicted of an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the offender is liable for the first mentioned offence to a penalty not exceeding 30 penalty units or to imprisonment for a term not exceeding 1 year.\nIf within the period of 5 years before conviction for an offence under subsection&#160;(1) the offender has been twice previously convicted of an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the offender is liable for the first mentioned offence to a maximum penalty of 60 penalty units or 18 months imprisonment.\nAny person who, while the person is over the middle alcohol limit but is not over the high alcohol limit—\ndrives a motor vehicle, tram, train or vessel; or\nattempts to put in motion a motor vehicle, tram, train or vessel; or\nis in charge of a motor vehicle, tram, train or vessel;\nis guilty of an offence and liable to a penalty not exceeding 20 penalty units or to imprisonment for a term not exceeding 6 months.\nAny person who, while the person is over the general alcohol limit but is not over the middle alcohol limit—\ndrives a motor vehicle, tram, train or vessel; or\nattempts to put in motion a motor vehicle, tram, train or vessel; or\nis in charge of a motor vehicle, tram, train or vessel;\nis guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 3 months.\nAny person who, while a relevant drug is present in the person’s blood or saliva—\ndrives a motor vehicle, tram, train or vessel; or\nattempts to put in motion a motor vehicle, tram, train or vessel; or\nis in charge of a motor vehicle, tram, train or vessel;\nis guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 3 months.\nAny person who is the holder of a learner, probationary or provisional licence or is not the holder of a driver licence, and who, while the person is over the no alcohol limit but is not over the general alcohol limit—\ndrives a motor vehicle (other than a motor vehicle to which subsection&#160;(2B) applies); or\nattempts to put such motor vehicle in motion; or\nis in charge of such motor vehicle;\nis guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 3 months.\nIn subsection&#160;(2A) —\nlearner, probationary or provisional licence includes a licence, permit, certificate or other authority issued under a law of another State, the Commonwealth or another country that corresponds to a learner licence, probationary licence or provisional licence.\nAny person who, while the person is over the no alcohol limit but is not over the general alcohol limit—\ndrives a motor vehicle to which this subsection applies; or\nattempts to put such motor vehicle in motion; or\nis in charge of such motor vehicle;\nis guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 3 months.\nSubsection&#160;(2B) applies to the following motor vehicles—\na truck, a bus, an articulated motor vehicle, a B-double, a road train;\na vehicle carrying a placard load of dangerous goods;\nan authorised tow truck for an operator accreditation under the Tow Truck Act 2023 ;\na tow truck, within the meaning of the Tow Truck Act 2023 , if—\nthe tow truck is used in a tow truck business under that Act; and\nthe person conducting the tow truck business must hold an operator accreditation under that Act;\na pilot or escort vehicle that is escorting an oversize vehicle;\na taxi or limousine under the Transport Operations (Passenger Transport) Act 1994 ;\na vehicle that is not a taxi or limousine under the Transport Operations (Passenger Transport) Act 1994 that is available to be used, about to be used or being used to provide a public passenger service under the Transport Operations (Passenger Transport) Act 1994 ;\na driver of the vehicle is on duty to accept bookings for a booked hire service, including, for example, by being connected to a booking service or app to accept bookings\na vehicle while it is being used by a driver trainer to give driver training;\na specially constructed vehicle within the meaning of the driver licensing regulation;\na tractor that is not a specially constructed vehicle mentioned in paragraph&#160;(g) .\nAny person who, while the person is over the no alcohol limit but is not over the general alcohol limit—\ndrives a tram, a train or a vessel to which this subsection applies; or\nattempts to put in motion a tram, a train or a vessel to which this subsection applies; or\nis in charge of a tram, a train or a vessel to which this subsection applies;\nis guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 3 months.\nVessels to which subsection&#160;(2D) apply are air cushion vehicles and non-recreational vessels that carry, or are authorised to carry, more than 12 passengers.\nFor subsection&#160;(2E) —\nauthorised to carry , for a non-recreational vessel, means authorised to carry under—\nfor an other Queensland regulated ship—the Transport Operations (Marine Safety) Act 1994 ; or\nfor a domestic commercial vessel—the domestic commercial vessel national law.\ndomestic commercial vessel national law see the Transport Operations (Marine Safety—Domestic Commercial Vessel National Law Application) Act 2016 , section&#160;20 .\nnon-recreational vessel means—\nan other Queensland regulated ship under the Transport Operations (Marine Safety) Act 1994 ; or\na domestic commercial vessel under the domestic commercial vessel national law.\npassenger , for a vessel, means a passenger as defined in part B of the National Standard for Commercial Vessels.\nIf within the period of 5 years before conviction for an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) the offender has been previously convicted under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is liable for that offence to a penalty not exceeding 20 penalty units or to imprisonment for a term not exceeding 6 months.\nIf within the period of 5 years before conviction for an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) the offender has been twice previously convicted under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is liable for that offence to a penalty not exceeding 28 penalty units or to imprisonment for a term not exceeding 9 months.\nIf within the period of 5 years before conviction for an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) the offender has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or has been summarily convicted of an offence against any provision of the Criminal Code , section&#160;328A or has been previously convicted under subsection&#160;(1) , the person is liable for the first mentioned offence to a penalty not exceeding 30 penalty units or to imprisonment for a term not exceeding 1 year.\nIf within the period of 5 years before conviction for an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) the offender has been previously convicted under those subsections and—\nhas been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person; or\nhas been summarily convicted of an offence against any provision of the Criminal Code , section&#160;328A ; or\nhas been previously convicted under subsection&#160;(1) ;\nthe person is liable for the first mentioned offence to a maximum penalty of 60 penalty units or 18 months imprisonment.\nA person who is the holder of a restricted licence, or is a section&#160;79E driver or interlock driver, while the person is over the no alcohol limit but is not over the general alcohol limit, must not—\ndrive a motor vehicle; or\nattempt to put a motor vehicle in motion; or\nbe in charge of a motor vehicle.\nMaximum penalty—20 penalty units or 6 months imprisonment.\nA person who is the holder of a class RE licence, while the person is over the no alcohol limit but not over the general alcohol limit, must not—\nride a motorbike; or\nattempt to put a motorbike in motion; or\nbe in charge of a motorbike;\nunless the person has held a valid class RE licence for a period of least 1 year during the previous 5-year period.\nMaximum penalty—14 penalty units or 3 months imprisonment.\nSee subsections&#160;(2) and (2B) for offences relating to driving other motor vehicles.\nA person who is the holder of a class RE licence, while the person is over the no alcohol limit but is not over the general alcohol limit, must not—\nlearn to ride a class R motorbike; or\nattempt to put a class R motorbike in motion; or\nbe in charge of a class R motorbike.\nMaximum penalty—14 penalty units or 3 months imprisonment.\nIn subsections&#160;(2K) and (2L) , where a following defined term appears—\nclass RE licence —\nmeans a class RE provisional, probationary or open licence within the meaning of the driver licensing regulation; and\nincludes a licence issued under a law of another State, the Commonwealth or another country corresponding to a licence mentioned in paragraph&#160;(a) .\nclass R motorbike means a class R motorbike within the meaning of the driver licensing regulation.\nvalid , in relation to a class RE licence, means—\nthe licence has not expired; or\nthe licence has not been cancelled or suspended; or\nthe licensee is not disqualified, by order of an Australian court, from holding or obtaining a driver licence.\nIf on the hearing of a complaint of an offence against subsection&#160;(1) the court is satisfied that at the material time the defendant was over the high alcohol limit, the defendant is conclusively presumed to have been at that time under the influence of liquor.\nSubject to subsection&#160;(3) , if on the hearing of a complaint of an offence against subsection&#160;(1) the court is satisfied—\nas to all the elements of the offence charged other than the element of the defendant’s being under the influence of liquor or a drug at the material time; and\nthat at the material time the defendant—\nwas over the middle alcohol limit; or\nwas over the general alcohol limit; or\nwas a person to whom subsection&#160;(2A) , (2B) , (2D) , (2J) , (2K) or (2L) referred and was over the no alcohol limit;\nthe court must convict the defendant of the offence under subsection&#160;(1F) , (2) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) that is established by the evidence.\nIf in the circumstances provided for in subsection&#160;(4) , the court is satisfied that an offence under subsection&#160;(1F) or (2) and an offence under subsection&#160;(2A) , (2B) , (2D) , (2J) , (2K) or (2L) are both established by the evidence, the court must convict the defendant of the offence under subsection&#160;(1F) or (2) .\nIf, on the hearing of a complaint of an offence against subsection&#160;(1) , the court is satisfied—\nas to all the elements of the offence charged other than the element of the defendant’s being under the influence of liquor or a drug at the material time; and\nthat at the material time there was a relevant drug present in the defendant’s blood or saliva;\nthe court must convict the defendant of the offence under subsection&#160;(2AA) that is established by the evidence.\nSubsection&#160;(5) does not limit subsections&#160;(4) and (4A) .\nIf on the hearing of a complaint of an offence against subsection&#160;(1) (c) , (1F) (c) , (2) (c) , (2AA) (c) , (2A) (c) , (2B) (c) , (2J) (c) , (2K) (c) or (2L) (c) in respect of a motor vehicle the court is satisfied beyond reasonable doubt by evidence on oath that at the material time—\nthe defendant—\nby occupying a compartment of the motor vehicle in respect of which the offence is charged other than the compartment containing the driving seat of that motor vehicle; or\nnot being in that motor vehicle, by some action;\nhad manifested an intention of refraining from driving that motor vehicle while any of the following circumstances relevant to a conviction on the complaint applied—\nthe defendant was under the influence of liquor or a drug;\nthe defendant was over—\nthe middle alcohol limit; or\nthe general alcohol limit; or\nif at the material time the defendant was a person to whom subsection&#160;(2A) , (2B) , (2J) , (2K) or (2L) referred—the no alcohol limit;\nthere was a relevant drug present in the defendant’s blood or saliva; and\nthe defendant—\nwas not under the influence of liquor or a drug to such an extent; or\nwas not, as indicated by the concentration of alcohol in the defendant’s blood or breath, influenced by alcohol to such an extent;\nas to be incapable of understanding what the defendant was doing or as to be incapable of forming the intention referred to in paragraph&#160;(a) ; and\nthe motor vehicle in respect of which the offence is charged was parked in such a way as not to constitute a source of danger to other persons or other traffic; and\nthe defendant had not previously been convicted of an offence under subsection&#160;(1) , (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) within a period of 1 year before the date in respect of which the defendant is charged;\nthe court must not convict the defendant of the offence charged.\nAny person who, while under the influence of liquor or a drug, drives or is in charge of any horse or other animal on a road, or drives or is in charge of any vehicle (other than a motor vehicle) on a road, or attempts to put in motion any vehicle (other than a motor vehicle) on a road, is guilty of an offence.\nMaximum penalty—40 penalty units or 9 months imprisonment.\nA complaint for an offence against any provision of subsection&#160;(1) or (7) is not bad for uncertainty or duplicity because it charges the alleged offender with being under the influence of ‘liquor or a drug’.\nIf, on the hearing of a complaint mentioned in subsection&#160;(8) , the evidence led and admitted (including evidence (if any) for the defence) establishes—\nthat the person so charged was under an influence which was that of liquor or a drug, or both liquor and a drug; and\nall other elements of the offence;\nthe person must be convicted of the offence even though the particular influence is not established by the evidence.\nIf a person charged with an offence against any provision of subsection&#160;(1) , (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) in relation to a motor vehicle does not appear personally before a Magistrates Court at any time and place when and where the person is required to appear, the court must then and there order that any and every Queensland driver licence held by the person be from that time suspended until—\nthe court revokes the order in the interests of justice; or\nthe time when the charge is heard and decided or otherwise disposed of.\nSubsection&#160;(9) applies subject to the following—\nsubsection&#160;(10) ;\nthe Bail Act 1980 , section&#160;20 (3AA) to the extent the section provides that the person need not appear personally if the person is represented by the person’s lawyer.\nA Magistrates Court has and may exercise a discretion not to make an order under subsection&#160;(9) if it is satisfied—\non medical or other evidence placed before the court that the person’s failure to appear before it was caused by any medical or other circumstance making the person physically incapable of appearing before the court; or\nmaking the order would not otherwise be in the interests of justice.\nA Magistrates Court has and may exercise a discretion to make an order revoking an order made under subsection&#160;(9) if it is satisfied revoking the order is in the interests of justice.\nIn subsection&#160;(10) —\nmedical or other evidence placed before the court means—\nthe oral testimony of at least 1 doctor adduced before the court; or\nat least 1 certificate placed before the court purporting to be a medical certificate by a doctor; or\nboth such testimony and certificate; or\nsuch other evidence as is considered by the court to be sufficient in the circumstances to satisfy the court that the person was physically incapable of appearing before the court.\nSubsections&#160;(1) to (2L) apply in relation to any person—\nwho is in charge of a motor vehicle on a road or elsewhere; or\nwho drives a motor vehicle on a road or elsewhere; or\nwho on a road or elsewhere attempts to put a motor vehicle in motion; or\nwho drives or is in charge of or attempts to put in motion a tram or train on a road or elsewhere; or\nwho drives or is in charge of or attempts to put in motion a vessel that is being used, or is apparently about to be used, in navigation.\nThe Criminal Code , section&#160;24 does not apply to an offence under this section.\nIn this section—\nattempts to put in motion , a motor vehicle, for an interlock driver, does not, subject to subsection&#160;(14) , include an attempt to put in motion a motor vehicle nominated by the interlock driver under section&#160;91L and fitted with a prescribed interlock.\nin charge of , a motor vehicle, for an interlock driver, does not, subject to subsection&#160;(14) , include being in charge of a motor vehicle nominated by the interlock driver under section&#160;91L and fitted with a prescribed interlock.\nThe definitions in subsection&#160;(13) do not restrict the operation of subsection&#160;(1) or (2AA) in so far as the interlock driver attempts to put in motion, or is in charge of, a motor vehicle while under the influence of a drug or while a relevant drug is present in the person’s blood or saliva.\ns&#160;79 prev s&#160;79 om 1999 No.&#160;42 s&#160;54 (2) sch amdt 180\npres s&#160;79 (prev 1949 13 Geo 6 No. 26 s&#160;16) amd 1959 8 Eliz 2 No. 55 s&#160;13; 1961 10 Eliz 2 No. 27 s&#160;10; 1965 No.&#160;26 s&#160;15 ; 1968 No.&#160;22 s&#160;6\nsub 1974 No.&#160;18 s&#160;8\namd 1977 No.&#160;26 ss&#160;3 , 4 ; 1980 No.&#160;35 s&#160;4 (1) sch&#160;1 ; 1982 No.&#160;15 s&#160;6 ; 1982 No.&#160;52 s&#160;4 ; 1984 No.&#160;102 ss&#160;8 , 33 ; 1988 No.&#160;94 s&#160;2 ; 1988 No.&#160;105 s&#160;32 ; 1990 No.&#160;103 ss&#160;2 .7, 2.26; 1994 No.&#160;7 s&#160;3 sch ; 1994 No.&#160;43 s&#160;143 sch&#160;3 ; 1997 No.&#160;81 s&#160;3 sch ; 1999 No.&#160;42 s&#160;7 , s&#160;54 (1) sch amdts 36–44\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2001 No.&#160;79 s&#160;97 ; 2003 No.&#160;69 s&#160;6 ; 2004 No.&#160;53 s&#160;2 sch ; 2006 No.&#160;57 s&#160;54 ; 2007 No.&#160;6 ss&#160;55 , 66 sch s&#160;2 – 3 ; 2010 No.&#160;13 ss&#160;4 , 15 , 3 sch pt&#160;1 ; 2011 No.&#160;12 s&#160;100 ; 2016 No.&#160;3 s&#160;75 ; 2017 No.&#160;18 s&#160;34 ; 2023 No.&#160;28 s&#160;207\namd 2024 No.&#160;45 s&#160;94 (uncommenced amendment)\n(sec.79-ssec.1) Any person who, while under the influence of liquor or a drug— drives a motor vehicle, tram, train or vessel; or attempts to put in motion a motor vehicle, tram, train or vessel; or is in charge of a motor vehicle, tram, train or vessel; is guilty of an offence and liable to a penalty not exceeding 28 penalty units or to imprisonment for a term not exceeding 9 months.\n(sec.79-ssec.1A) If within the period of 5 years before conviction for an offence under subsection&#160;(1) the offender has been previously convicted under that subsection, the person is liable for that offence to a maximum penalty of 60 penalty units or 18 months imprisonment.\n(sec.79-ssec.1B) If within the period of 5 years before conviction for an offence under subsection&#160;(1) the offender has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender or has been summarily convicted of an offence against any provision of the Criminal Code , section&#160;328A , the offender is liable for the first mentioned offence to a maximum penalty of 60 penalty units or 18 months imprisonment.\n(sec.79-ssec.1C) If within the period of 5 years before conviction for an offence under subsection&#160;(1) the offender has been twice previously convicted— under subsection&#160;(1) ; or on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender; or summarily of an offence against any provision of the Criminal Code , section&#160;328A ; or has been previously convicted— under subsection&#160;(1) and on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender; or under subsection&#160;(1) and summarily of an offence against any provision of the Criminal Code , section&#160;328A ; or on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender and summarily of an offence against any provision of the Criminal Code , section&#160;328A ; the justices must for that offence impose, as the whole or part of the punishment, imprisonment.\n(sec.79-ssec.1D) If within the period of 5 years before conviction for an offence under subsection&#160;(1) the offender has been previously convicted of an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the offender is liable for the first mentioned offence to a penalty not exceeding 30 penalty units or to imprisonment for a term not exceeding 1 year.\n(sec.79-ssec.1E) If within the period of 5 years before conviction for an offence under subsection&#160;(1) the offender has been twice previously convicted of an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the offender is liable for the first mentioned offence to a maximum penalty of 60 penalty units or 18 months imprisonment.\n(sec.79-ssec.1F) Any person who, while the person is over the middle alcohol limit but is not over the high alcohol limit— drives a motor vehicle, tram, train or vessel; or attempts to put in motion a motor vehicle, tram, train or vessel; or is in charge of a motor vehicle, tram, train or vessel; is guilty of an offence and liable to a penalty not exceeding 20 penalty units or to imprisonment for a term not exceeding 6 months.\n(sec.79-ssec.2) Any person who, while the person is over the general alcohol limit but is not over the middle alcohol limit— drives a motor vehicle, tram, train or vessel; or attempts to put in motion a motor vehicle, tram, train or vessel; or is in charge of a motor vehicle, tram, train or vessel; is guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 3 months.\n(sec.79-ssec.2AA) Any person who, while a relevant drug is present in the person’s blood or saliva— drives a motor vehicle, tram, train or vessel; or attempts to put in motion a motor vehicle, tram, train or vessel; or is in charge of a motor vehicle, tram, train or vessel; is guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 3 months.\n(sec.79-ssec.2A) Any person who is the holder of a learner, probationary or provisional licence or is not the holder of a driver licence, and who, while the person is over the no alcohol limit but is not over the general alcohol limit— drives a motor vehicle (other than a motor vehicle to which subsection&#160;(2B) applies); or attempts to put such motor vehicle in motion; or is in charge of such motor vehicle; is guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 3 months.\n(sec.79-ssec.2BB) In subsection&#160;(2A) — learner, probationary or provisional licence includes a licence, permit, certificate or other authority issued under a law of another State, the Commonwealth or another country that corresponds to a learner licence, probationary licence or provisional licence.\n(sec.79-ssec.2B) Any person who, while the person is over the no alcohol limit but is not over the general alcohol limit— drives a motor vehicle to which this subsection applies; or attempts to put such motor vehicle in motion; or is in charge of such motor vehicle; is guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 3 months.\n(sec.79-ssec.2C) Subsection&#160;(2B) applies to the following motor vehicles— a truck, a bus, an articulated motor vehicle, a B-double, a road train; a vehicle carrying a placard load of dangerous goods; an authorised tow truck for an operator accreditation under the Tow Truck Act 2023 ; a tow truck, within the meaning of the Tow Truck Act 2023 , if— the tow truck is used in a tow truck business under that Act; and the person conducting the tow truck business must hold an operator accreditation under that Act; a pilot or escort vehicle that is escorting an oversize vehicle; a taxi or limousine under the Transport Operations (Passenger Transport) Act 1994 ; a vehicle that is not a taxi or limousine under the Transport Operations (Passenger Transport) Act 1994 that is available to be used, about to be used or being used to provide a public passenger service under the Transport Operations (Passenger Transport) Act 1994 ; a driver of the vehicle is on duty to accept bookings for a booked hire service, including, for example, by being connected to a booking service or app to accept bookings a vehicle while it is being used by a driver trainer to give driver training; a specially constructed vehicle within the meaning of the driver licensing regulation; a tractor that is not a specially constructed vehicle mentioned in paragraph&#160;(g) .\n(sec.79-ssec.2D) Any person who, while the person is over the no alcohol limit but is not over the general alcohol limit— drives a tram, a train or a vessel to which this subsection applies; or attempts to put in motion a tram, a train or a vessel to which this subsection applies; or is in charge of a tram, a train or a vessel to which this subsection applies; is guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 3 months.\n(sec.79-ssec.2E) Vessels to which subsection&#160;(2D) apply are air cushion vehicles and non-recreational vessels that carry, or are authorised to carry, more than 12 passengers.\n(sec.79-ssec.2EA) For subsection&#160;(2E) — authorised to carry , for a non-recreational vessel, means authorised to carry under— for an other Queensland regulated ship—the Transport Operations (Marine Safety) Act 1994 ; or for a domestic commercial vessel—the domestic commercial vessel national law. domestic commercial vessel national law see the Transport Operations (Marine Safety—Domestic Commercial Vessel National Law Application) Act 2016 , section&#160;20 . non-recreational vessel means— an other Queensland regulated ship under the Transport Operations (Marine Safety) Act 1994 ; or a domestic commercial vessel under the domestic commercial vessel national law. passenger , for a vessel, means a passenger as defined in part B of the National Standard for Commercial Vessels.\n(sec.79-ssec.2F) If within the period of 5 years before conviction for an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) the offender has been previously convicted under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is liable for that offence to a penalty not exceeding 20 penalty units or to imprisonment for a term not exceeding 6 months.\n(sec.79-ssec.2G) If within the period of 5 years before conviction for an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) the offender has been twice previously convicted under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is liable for that offence to a penalty not exceeding 28 penalty units or to imprisonment for a term not exceeding 9 months.\n(sec.79-ssec.2H) If within the period of 5 years before conviction for an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) the offender has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or has been summarily convicted of an offence against any provision of the Criminal Code , section&#160;328A or has been previously convicted under subsection&#160;(1) , the person is liable for the first mentioned offence to a penalty not exceeding 30 penalty units or to imprisonment for a term not exceeding 1 year.\n(sec.79-ssec.2I) If within the period of 5 years before conviction for an offence under subsection&#160;(1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) the offender has been previously convicted under those subsections and— has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person; or has been summarily convicted of an offence against any provision of the Criminal Code , section&#160;328A ; or has been previously convicted under subsection&#160;(1) ; the person is liable for the first mentioned offence to a maximum penalty of 60 penalty units or 18 months imprisonment.\n(sec.79-ssec.2J) A person who is the holder of a restricted licence, or is a section&#160;79E driver or interlock driver, while the person is over the no alcohol limit but is not over the general alcohol limit, must not— drive a motor vehicle; or attempt to put a motor vehicle in motion; or be in charge of a motor vehicle. Maximum penalty—20 penalty units or 6 months imprisonment.\n(sec.79-ssec.2K) A person who is the holder of a class RE licence, while the person is over the no alcohol limit but not over the general alcohol limit, must not— ride a motorbike; or attempt to put a motorbike in motion; or be in charge of a motorbike; unless the person has held a valid class RE licence for a period of least 1 year during the previous 5-year period. Maximum penalty—14 penalty units or 3 months imprisonment. See subsections&#160;(2) and (2B) for offences relating to driving other motor vehicles.\n(sec.79-ssec.2L) A person who is the holder of a class RE licence, while the person is over the no alcohol limit but is not over the general alcohol limit, must not— learn to ride a class R motorbike; or attempt to put a class R motorbike in motion; or be in charge of a class R motorbike. Maximum penalty—14 penalty units or 3 months imprisonment.\n(sec.79-ssec.2M) In subsections&#160;(2K) and (2L) , where a following defined term appears— class RE licence — means a class RE provisional, probationary or open licence within the meaning of the driver licensing regulation; and includes a licence issued under a law of another State, the Commonwealth or another country corresponding to a licence mentioned in paragraph&#160;(a) . class R motorbike means a class R motorbike within the meaning of the driver licensing regulation. valid , in relation to a class RE licence, means— the licence has not expired; or the licence has not been cancelled or suspended; or the licensee is not disqualified, by order of an Australian court, from holding or obtaining a driver licence.\n(sec.79-ssec.3) If on the hearing of a complaint of an offence against subsection&#160;(1) the court is satisfied that at the material time the defendant was over the high alcohol limit, the defendant is conclusively presumed to have been at that time under the influence of liquor.\n(sec.79-ssec.4) Subject to subsection&#160;(3) , if on the hearing of a complaint of an offence against subsection&#160;(1) the court is satisfied— as to all the elements of the offence charged other than the element of the defendant’s being under the influence of liquor or a drug at the material time; and that at the material time the defendant— was over the middle alcohol limit; or was over the general alcohol limit; or was a person to whom subsection&#160;(2A) , (2B) , (2D) , (2J) , (2K) or (2L) referred and was over the no alcohol limit; the court must convict the defendant of the offence under subsection&#160;(1F) , (2) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) that is established by the evidence.\n(sec.79-ssec.4A) If in the circumstances provided for in subsection&#160;(4) , the court is satisfied that an offence under subsection&#160;(1F) or (2) and an offence under subsection&#160;(2A) , (2B) , (2D) , (2J) , (2K) or (2L) are both established by the evidence, the court must convict the defendant of the offence under subsection&#160;(1F) or (2) .\n(sec.79-ssec.5) If, on the hearing of a complaint of an offence against subsection&#160;(1) , the court is satisfied— as to all the elements of the offence charged other than the element of the defendant’s being under the influence of liquor or a drug at the material time; and that at the material time there was a relevant drug present in the defendant’s blood or saliva; the court must convict the defendant of the offence under subsection&#160;(2AA) that is established by the evidence.\n(sec.79-ssec.5A) Subsection&#160;(5) does not limit subsections&#160;(4) and (4A) .\n(sec.79-ssec.6) If on the hearing of a complaint of an offence against subsection&#160;(1) (c) , (1F) (c) , (2) (c) , (2AA) (c) , (2A) (c) , (2B) (c) , (2J) (c) , (2K) (c) or (2L) (c) in respect of a motor vehicle the court is satisfied beyond reasonable doubt by evidence on oath that at the material time— the defendant— by occupying a compartment of the motor vehicle in respect of which the offence is charged other than the compartment containing the driving seat of that motor vehicle; or not being in that motor vehicle, by some action; had manifested an intention of refraining from driving that motor vehicle while any of the following circumstances relevant to a conviction on the complaint applied— the defendant was under the influence of liquor or a drug; the defendant was over— the middle alcohol limit; or the general alcohol limit; or if at the material time the defendant was a person to whom subsection&#160;(2A) , (2B) , (2J) , (2K) or (2L) referred—the no alcohol limit; there was a relevant drug present in the defendant’s blood or saliva; and the defendant— was not under the influence of liquor or a drug to such an extent; or was not, as indicated by the concentration of alcohol in the defendant’s blood or breath, influenced by alcohol to such an extent; as to be incapable of understanding what the defendant was doing or as to be incapable of forming the intention referred to in paragraph&#160;(a) ; and the motor vehicle in respect of which the offence is charged was parked in such a way as not to constitute a source of danger to other persons or other traffic; and the defendant had not previously been convicted of an offence under subsection&#160;(1) , (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) within a period of 1 year before the date in respect of which the defendant is charged; the court must not convict the defendant of the offence charged.\n(sec.79-ssec.7) Any person who, while under the influence of liquor or a drug, drives or is in charge of any horse or other animal on a road, or drives or is in charge of any vehicle (other than a motor vehicle) on a road, or attempts to put in motion any vehicle (other than a motor vehicle) on a road, is guilty of an offence. Maximum penalty—40 penalty units or 9 months imprisonment.\n(sec.79-ssec.8) A complaint for an offence against any provision of subsection&#160;(1) or (7) is not bad for uncertainty or duplicity because it charges the alleged offender with being under the influence of ‘liquor or a drug’.\n(sec.79-ssec.8A) If, on the hearing of a complaint mentioned in subsection&#160;(8) , the evidence led and admitted (including evidence (if any) for the defence) establishes— that the person so charged was under an influence which was that of liquor or a drug, or both liquor and a drug; and all other elements of the offence; the person must be convicted of the offence even though the particular influence is not established by the evidence.\n(sec.79-ssec.9) If a person charged with an offence against any provision of subsection&#160;(1) , (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) in relation to a motor vehicle does not appear personally before a Magistrates Court at any time and place when and where the person is required to appear, the court must then and there order that any and every Queensland driver licence held by the person be from that time suspended until— the court revokes the order in the interests of justice; or the time when the charge is heard and decided or otherwise disposed of.\n(sec.79-ssec.9A) Subsection&#160;(9) applies subject to the following— subsection&#160;(10) ; the Bail Act 1980 , section&#160;20 (3AA) to the extent the section provides that the person need not appear personally if the person is represented by the person’s lawyer.\n(sec.79-ssec.10) A Magistrates Court has and may exercise a discretion not to make an order under subsection&#160;(9) if it is satisfied— on medical or other evidence placed before the court that the person’s failure to appear before it was caused by any medical or other circumstance making the person physically incapable of appearing before the court; or making the order would not otherwise be in the interests of justice.\n(sec.79-ssec.10AA) A Magistrates Court has and may exercise a discretion to make an order revoking an order made under subsection&#160;(9) if it is satisfied revoking the order is in the interests of justice.\n(sec.79-ssec.10A) In subsection&#160;(10) — medical or other evidence placed before the court means— the oral testimony of at least 1 doctor adduced before the court; or at least 1 certificate placed before the court purporting to be a medical certificate by a doctor; or both such testimony and certificate; or such other evidence as is considered by the court to be sufficient in the circumstances to satisfy the court that the person was physically incapable of appearing before the court.\n(sec.79-ssec.11) Subsections&#160;(1) to (2L) apply in relation to any person— who is in charge of a motor vehicle on a road or elsewhere; or who drives a motor vehicle on a road or elsewhere; or who on a road or elsewhere attempts to put a motor vehicle in motion; or who drives or is in charge of or attempts to put in motion a tram or train on a road or elsewhere; or who drives or is in charge of or attempts to put in motion a vessel that is being used, or is apparently about to be used, in navigation.\n(sec.79-ssec.12) The Criminal Code , section&#160;24 does not apply to an offence under this section.\n(sec.79-ssec.13) In this section— attempts to put in motion , a motor vehicle, for an interlock driver, does not, subject to subsection&#160;(14) , include an attempt to put in motion a motor vehicle nominated by the interlock driver under section&#160;91L and fitted with a prescribed interlock. in charge of , a motor vehicle, for an interlock driver, does not, subject to subsection&#160;(14) , include being in charge of a motor vehicle nominated by the interlock driver under section&#160;91L and fitted with a prescribed interlock.\n(sec.79-ssec.14) The definitions in subsection&#160;(13) do not restrict the operation of subsection&#160;(1) or (2AA) in so far as the interlock driver attempts to put in motion, or is in charge of, a motor vehicle while under the influence of a drug or while a relevant drug is present in the person’s blood or saliva.\n- (a) drives a motor vehicle, tram, train or vessel; or\n- (b) attempts to put in motion a motor vehicle, tram, train or vessel; or\n- (c) is in charge of a motor vehicle, tram, train or vessel;\n- (a) under subsection&#160;(1) ; or\n- (b) on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender; or\n- (c) summarily of an offence against any provision of the Criminal Code , section&#160;328A ;\n- (d) under subsection&#160;(1) and on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender; or\n- (e) under subsection&#160;(1) and summarily of an offence against any provision of the Criminal Code , section&#160;328A ; or\n- (f) on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the offender and summarily of an offence against any provision of the Criminal Code , section&#160;328A ;\n- (a) drives a motor vehicle, tram, train or vessel; or\n- (b) attempts to put in motion a motor vehicle, tram, train or vessel; or\n- (c) is in charge of a motor vehicle, tram, train or vessel;\n- (a) drives a motor vehicle, tram, train or vessel; or\n- (b) attempts to put in motion a motor vehicle, tram, train or vessel; or\n- (c) is in charge of a motor vehicle, tram, train or vessel;\n- (a) drives a motor vehicle, tram, train or vessel; or\n- (b) attempts to put in motion a motor vehicle, tram, train or vessel; or\n- (c) is in charge of a motor vehicle, tram, train or vessel;\n- (a) drives a motor vehicle (other than a motor vehicle to which subsection&#160;(2B) applies); or\n- (b) attempts to put such motor vehicle in motion; or\n- (c) is in charge of such motor vehicle;\n- (a) drives a motor vehicle to which this subsection applies; or\n- (b) attempts to put such motor vehicle in motion; or\n- (c) is in charge of such motor vehicle;\n- (a) a truck, a bus, an articulated motor vehicle, a B-double, a road train;\n- (b) a vehicle carrying a placard load of dangerous goods;\n- (c) an authorised tow truck for an operator accreditation under the Tow Truck Act 2023 ;\n- (ca) a tow truck, within the meaning of the Tow Truck Act 2023 , if— (i) the tow truck is used in a tow truck business under that Act; and (ii) the person conducting the tow truck business must hold an operator accreditation under that Act;\n- (i) the tow truck is used in a tow truck business under that Act; and\n- (ii) the person conducting the tow truck business must hold an operator accreditation under that Act;\n- (d) a pilot or escort vehicle that is escorting an oversize vehicle;\n- (e) a taxi or limousine under the Transport Operations (Passenger Transport) Act 1994 ;\n- (ea) a vehicle that is not a taxi or limousine under the Transport Operations (Passenger Transport) Act 1994 that is available to be used, about to be used or being used to provide a public passenger service under the Transport Operations (Passenger Transport) Act 1994 ; Example of a vehicle available to be used to provide a public passenger service— a driver of the vehicle is on duty to accept bookings for a booked hire service, including, for example, by being connected to a booking service or app to accept bookings\n- (f) a vehicle while it is being used by a driver trainer to give driver training;\n- (g) a specially constructed vehicle within the meaning of the driver licensing regulation;\n- (h) a tractor that is not a specially constructed vehicle mentioned in paragraph&#160;(g) .\n- (i) the tow truck is used in a tow truck business under that Act; and\n- (ii) the person conducting the tow truck business must hold an operator accreditation under that Act;\n- (a) drives a tram, a train or a vessel to which this subsection applies; or\n- (b) attempts to put in motion a tram, a train or a vessel to which this subsection applies; or\n- (c) is in charge of a tram, a train or a vessel to which this subsection applies;\n- (a) for an other Queensland regulated ship—the Transport Operations (Marine Safety) Act 1994 ; or\n- (b) for a domestic commercial vessel—the domestic commercial vessel national law.\n- (a) an other Queensland regulated ship under the Transport Operations (Marine Safety) Act 1994 ; or\n- (b) a domestic commercial vessel under the domestic commercial vessel national law.\n- (a) has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person; or\n- (b) has been summarily convicted of an offence against any provision of the Criminal Code , section&#160;328A ; or\n- (c) has been previously convicted under subsection&#160;(1) ;\n- (a) drive a motor vehicle; or\n- (b) attempt to put a motor vehicle in motion; or\n- (c) be in charge of a motor vehicle.\n- (a) ride a motorbike; or\n- (b) attempt to put a motorbike in motion; or\n- (c) be in charge of a motorbike;\n- (a) learn to ride a class R motorbike; or\n- (b) attempt to put a class R motorbike in motion; or\n- (c) be in charge of a class R motorbike.\n- (a) means a class RE provisional, probationary or open licence within the meaning of the driver licensing regulation; and\n- (b) includes a licence issued under a law of another State, the Commonwealth or another country corresponding to a licence mentioned in paragraph&#160;(a) .\n- (a) the licence has not expired; or\n- (b) the licence has not been cancelled or suspended; or\n- (c) the licensee is not disqualified, by order of an Australian court, from holding or obtaining a driver licence.\n- (a) as to all the elements of the offence charged other than the element of the defendant’s being under the influence of liquor or a drug at the material time; and\n- (b) that at the material time the defendant— (i) was over the middle alcohol limit; or (ii) was over the general alcohol limit; or\n- (i) was over the middle alcohol limit; or\n- (ii) was over the general alcohol limit; or\n- (iii) was a person to whom subsection&#160;(2A) , (2B) , (2D) , (2J) , (2K) or (2L) referred and was over the no alcohol limit;\n- (i) was over the middle alcohol limit; or\n- (ii) was over the general alcohol limit; or\n- (a) as to all the elements of the offence charged other than the element of the defendant’s being under the influence of liquor or a drug at the material time; and\n- (b) that at the material time there was a relevant drug present in the defendant’s blood or saliva;\n- (a) the defendant— (i) by occupying a compartment of the motor vehicle in respect of which the offence is charged other than the compartment containing the driving seat of that motor vehicle; or (ii) not being in that motor vehicle, by some action; had manifested an intention of refraining from driving that motor vehicle while any of the following circumstances relevant to a conviction on the complaint applied— (iii) the defendant was under the influence of liquor or a drug; (iv) the defendant was over— (A) the middle alcohol limit; or (B) the general alcohol limit; or (C) if at the material time the defendant was a person to whom subsection&#160;(2A) , (2B) , (2J) , (2K) or (2L) referred—the no alcohol limit; (v) there was a relevant drug present in the defendant’s blood or saliva; and\n- (i) by occupying a compartment of the motor vehicle in respect of which the offence is charged other than the compartment containing the driving seat of that motor vehicle; or\n- (ii) not being in that motor vehicle, by some action;\n- (iii) the defendant was under the influence of liquor or a drug;\n- (iv) the defendant was over— (A) the middle alcohol limit; or (B) the general alcohol limit; or (C) if at the material time the defendant was a person to whom subsection&#160;(2A) , (2B) , (2J) , (2K) or (2L) referred—the no alcohol limit;\n- (A) the middle alcohol limit; or\n- (B) the general alcohol limit; or\n- (C) if at the material time the defendant was a person to whom subsection&#160;(2A) , (2B) , (2J) , (2K) or (2L) referred—the no alcohol limit;\n- (v) there was a relevant drug present in the defendant’s blood or saliva; and\n- (b) the defendant— (i) was not under the influence of liquor or a drug to such an extent; or (ii) was not, as indicated by the concentration of alcohol in the defendant’s blood or breath, influenced by alcohol to such an extent; as to be incapable of understanding what the defendant was doing or as to be incapable of forming the intention referred to in paragraph&#160;(a) ; and\n- (i) was not under the influence of liquor or a drug to such an extent; or\n- (ii) was not, as indicated by the concentration of alcohol in the defendant’s blood or breath, influenced by alcohol to such an extent;\n- (c) the motor vehicle in respect of which the offence is charged was parked in such a way as not to constitute a source of danger to other persons or other traffic; and\n- (d) the defendant had not previously been convicted of an offence under subsection&#160;(1) , (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) within a period of 1 year before the date in respect of which the defendant is charged;\n- (i) by occupying a compartment of the motor vehicle in respect of which the offence is charged other than the compartment containing the driving seat of that motor vehicle; or\n- (ii) not being in that motor vehicle, by some action;\n- (iii) the defendant was under the influence of liquor or a drug;\n- (iv) the defendant was over— (A) the middle alcohol limit; or (B) the general alcohol limit; or (C) if at the material time the defendant was a person to whom subsection&#160;(2A) , (2B) , (2J) , (2K) or (2L) referred—the no alcohol limit;\n- (A) the middle alcohol limit; or\n- (B) the general alcohol limit; or\n- (C) if at the material time the defendant was a person to whom subsection&#160;(2A) , (2B) , (2J) , (2K) or (2L) referred—the no alcohol limit;\n- (v) there was a relevant drug present in the defendant’s blood or saliva; and\n- (A) the middle alcohol limit; or\n- (B) the general alcohol limit; or\n- (C) if at the material time the defendant was a person to whom subsection&#160;(2A) , (2B) , (2J) , (2K) or (2L) referred—the no alcohol limit;\n- (i) was not under the influence of liquor or a drug to such an extent; or\n- (ii) was not, as indicated by the concentration of alcohol in the defendant’s blood or breath, influenced by alcohol to such an extent;\n- (a) that the person so charged was under an influence which was that of liquor or a drug, or both liquor and a drug; and\n- (b) all other elements of the offence;\n- (a) the court revokes the order in the interests of justice; or\n- (b) the time when the charge is heard and decided or otherwise disposed of.\n- (a) subsection&#160;(10) ;\n- (b) the Bail Act 1980 , section&#160;20 (3AA) to the extent the section provides that the person need not appear personally if the person is represented by the person’s lawyer.\n- (a) on medical or other evidence placed before the court that the person’s failure to appear before it was caused by any medical or other circumstance making the person physically incapable of appearing before the court; or\n- (b) making the order would not otherwise be in the interests of justice.\n- (a) the oral testimony of at least 1 doctor adduced before the court; or\n- (b) at least 1 certificate placed before the court purporting to be a medical certificate by a doctor; or\n- (c) both such testimony and certificate; or\n- (d) such other evidence as is considered by the court to be sufficient in the circumstances to satisfy the court that the person was physically incapable of appearing before the court.\n- (a) who is in charge of a motor vehicle on a road or elsewhere; or\n- (b) who drives a motor vehicle on a road or elsewhere; or\n- (c) who on a road or elsewhere attempts to put a motor vehicle in motion; or\n- (d) who drives or is in charge of or attempts to put in motion a tram or train on a road or elsewhere; or\n- (e) who drives or is in charge of or attempts to put in motion a vessel that is being used, or is apparently about to be used, in navigation.","sortOrder":214},{"sectionNumber":"sec.79AA","sectionType":"section","heading":"Provisions applying to supervisor of a learner","content":"### sec.79AA Provisions applying to supervisor of a learner\n\nThis section applies to a person who is the supervisor of a learner while the learner is driving a motor vehicle under the direction of the supervisor.\nThe supervisor is in charge of the motor vehicle for the purposes of—\nthe relevant provisions; and\nother provisions of this Act applying in relation to any charge, proceedings, conviction or sentence for an offence against a relevant provision.\nIf a learner is driving a car under the direction of a supervisor, the supervisor is in charge of the car and must not be over the general alcohol limit.\nIf a learner is driving a truck or bus under the direction of a supervisor, the supervisor of the learner is in charge of the truck or bus and must not be over the no alcohol limit.\nSubsection&#160;(2) has no effect on the application of the relevant provisions, or any other provisions of this Act, to the learner.\nIn this section—\nlearner means—\nthe holder of a licence that, under a regulation, authorises the holder to learn to drive a motor vehicle; or\nthe holder of a licence granted outside Queensland that corresponds to a licence mentioned in paragraph&#160;(a) .\nrelevant provisions means sections&#160;79 and 80 .\nsupervisor , of a learner—\nmeans a person who—\nunder a regulation, is a person with whom a learner is authorised to drive under direction; or\npurports to be a person mentioned in subparagraph&#160;(i) ; but\ndoes not include a person accredited as a driver trainer under a regulation while the person is acting in the person’s professional capacity as a driver trainer.\ns&#160;79AA ins 2006 No.&#160;21 s&#160;142\n(sec.79AA-ssec.1) This section applies to a person who is the supervisor of a learner while the learner is driving a motor vehicle under the direction of the supervisor.\n(sec.79AA-ssec.2) The supervisor is in charge of the motor vehicle for the purposes of— the relevant provisions; and other provisions of this Act applying in relation to any charge, proceedings, conviction or sentence for an offence against a relevant provision. If a learner is driving a car under the direction of a supervisor, the supervisor is in charge of the car and must not be over the general alcohol limit. If a learner is driving a truck or bus under the direction of a supervisor, the supervisor of the learner is in charge of the truck or bus and must not be over the no alcohol limit.\n(sec.79AA-ssec.3) Subsection&#160;(2) has no effect on the application of the relevant provisions, or any other provisions of this Act, to the learner.\n(sec.79AA-ssec.4) In this section— learner means— the holder of a licence that, under a regulation, authorises the holder to learn to drive a motor vehicle; or the holder of a licence granted outside Queensland that corresponds to a licence mentioned in paragraph&#160;(a) . relevant provisions means sections&#160;79 and 80 . supervisor , of a learner— means a person who— under a regulation, is a person with whom a learner is authorised to drive under direction; or purports to be a person mentioned in subparagraph&#160;(i) ; but does not include a person accredited as a driver trainer under a regulation while the person is acting in the person’s professional capacity as a driver trainer.\n- (a) the relevant provisions; and\n- (b) other provisions of this Act applying in relation to any charge, proceedings, conviction or sentence for an offence against a relevant provision.\n- 1 If a learner is driving a car under the direction of a supervisor, the supervisor is in charge of the car and must not be over the general alcohol limit.\n- 2 If a learner is driving a truck or bus under the direction of a supervisor, the supervisor of the learner is in charge of the truck or bus and must not be over the no alcohol limit.\n- (a) the holder of a licence that, under a regulation, authorises the holder to learn to drive a motor vehicle; or\n- (b) the holder of a licence granted outside Queensland that corresponds to a licence mentioned in paragraph&#160;(a) .\n- (a) means a person who— (i) under a regulation, is a person with whom a learner is authorised to drive under direction; or (ii) purports to be a person mentioned in subparagraph&#160;(i) ; but\n- (i) under a regulation, is a person with whom a learner is authorised to drive under direction; or\n- (ii) purports to be a person mentioned in subparagraph&#160;(i) ; but\n- (b) does not include a person accredited as a driver trainer under a regulation while the person is acting in the person’s professional capacity as a driver trainer.\n- (i) under a regulation, is a person with whom a learner is authorised to drive under direction; or\n- (ii) purports to be a person mentioned in subparagraph&#160;(i) ; but","sortOrder":215},{"sectionNumber":"sec.79A","sectionType":"section","heading":"When is a person over the limit","content":"### sec.79A When is a person over the limit\n\nFor this Act, a person is over the no alcohol limit if—\nthe concentration of alcohol in the person’s blood is more than 0mg of alcohol in 100mL of blood; or\nthe concentration of alcohol in the person’s breath is more than 0g of alcohol in 210L of breath.\nFor this Act, a person is over the general alcohol limit if—\nthe concentration of alcohol in the person’s blood is, or is more than, 50mg of alcohol in 100mL of blood; or\nthe concentration of alcohol in the person’s breath is, or is more than, 0.050g of alcohol in 210L of breath.\nFor this Act, a person is over the middle alcohol limit if—\nthe concentration of alcohol in the person’s blood is, or is more than, 100mg of alcohol in 100mL of blood; or\nthe concentration of alcohol in the person’s breath is, or is more than, 0.100g of alcohol in 210L of breath.\nFor this Act, a person is over the high alcohol limit if—\nthe concentration of alcohol in the person’s blood is, or is more than, 150mg of alcohol in 100mL of blood; or\nthe concentration of alcohol in the person’s breath is, or is more than, 0.150g of alcohol in 210L of breath.\nFor this Act—\nthe concentration of alcohol in a person’s blood may be expressed as—\na stated number of milligrams of alcohol in 100mL of blood; or\na percentage that expresses the stated number of milligrams of alcohol in 100mL of blood; and\nthe concentration of alcohol in a person’s breath may be expressed as—\na stated number of grams of alcohol in 210L of breath; or\na stated number of grams in 210L.\nThe concentration of alcohol in a person’s blood may be expressed as 63mg of alcohol in 100mL of blood or as 0.063%.\nThe concentration of alcohol in a person’s breath may be expressed as 0.063g of alcohol in 210L of breath or as 0.063g/210L.\ns&#160;79A ins 2003 No.&#160;69 s&#160;7\namd 2007 No.&#160;6 s&#160;66 (1) sch&#160;2 ; 2011 No.&#160;12 s&#160;101\n(sec.79A-ssec.1) For this Act, a person is over the no alcohol limit if— the concentration of alcohol in the person’s blood is more than 0mg of alcohol in 100mL of blood; or the concentration of alcohol in the person’s breath is more than 0g of alcohol in 210L of breath.\n(sec.79A-ssec.2) For this Act, a person is over the general alcohol limit if— the concentration of alcohol in the person’s blood is, or is more than, 50mg of alcohol in 100mL of blood; or the concentration of alcohol in the person’s breath is, or is more than, 0.050g of alcohol in 210L of breath.\n(sec.79A-ssec.2A) For this Act, a person is over the middle alcohol limit if— the concentration of alcohol in the person’s blood is, or is more than, 100mg of alcohol in 100mL of blood; or the concentration of alcohol in the person’s breath is, or is more than, 0.100g of alcohol in 210L of breath.\n(sec.79A-ssec.3) For this Act, a person is over the high alcohol limit if— the concentration of alcohol in the person’s blood is, or is more than, 150mg of alcohol in 100mL of blood; or the concentration of alcohol in the person’s breath is, or is more than, 0.150g of alcohol in 210L of breath.\n(sec.79A-ssec.4) For this Act— the concentration of alcohol in a person’s blood may be expressed as— a stated number of milligrams of alcohol in 100mL of blood; or a percentage that expresses the stated number of milligrams of alcohol in 100mL of blood; and the concentration of alcohol in a person’s breath may be expressed as— a stated number of grams of alcohol in 210L of breath; or a stated number of grams in 210L. The concentration of alcohol in a person’s blood may be expressed as 63mg of alcohol in 100mL of blood or as 0.063%. The concentration of alcohol in a person’s breath may be expressed as 0.063g of alcohol in 210L of breath or as 0.063g/210L.\n- (a) the concentration of alcohol in the person’s blood is more than 0mg of alcohol in 100mL of blood; or\n- (b) the concentration of alcohol in the person’s breath is more than 0g of alcohol in 210L of breath.\n- (a) the concentration of alcohol in the person’s blood is, or is more than, 50mg of alcohol in 100mL of blood; or\n- (b) the concentration of alcohol in the person’s breath is, or is more than, 0.050g of alcohol in 210L of breath.\n- (a) the concentration of alcohol in the person’s blood is, or is more than, 100mg of alcohol in 100mL of blood; or\n- (b) the concentration of alcohol in the person’s breath is, or is more than, 0.100g of alcohol in 210L of breath.\n- (a) the concentration of alcohol in the person’s blood is, or is more than, 150mg of alcohol in 100mL of blood; or\n- (b) the concentration of alcohol in the person’s breath is, or is more than, 0.150g of alcohol in 210L of breath.\n- (a) the concentration of alcohol in a person’s blood may be expressed as— (i) a stated number of milligrams of alcohol in 100mL of blood; or (ii) a percentage that expresses the stated number of milligrams of alcohol in 100mL of blood; and\n- (i) a stated number of milligrams of alcohol in 100mL of blood; or\n- (ii) a percentage that expresses the stated number of milligrams of alcohol in 100mL of blood; and\n- (b) the concentration of alcohol in a person’s breath may be expressed as— (i) a stated number of grams of alcohol in 210L of breath; or (ii) a stated number of grams in 210L.\n- (i) a stated number of grams of alcohol in 210L of breath; or\n- (ii) a stated number of grams in 210L.\n- (i) a stated number of milligrams of alcohol in 100mL of blood; or\n- (ii) a percentage that expresses the stated number of milligrams of alcohol in 100mL of blood; and\n- (i) a stated number of grams of alcohol in 210L of breath; or\n- (ii) a stated number of grams in 210L.\n- 1 The concentration of alcohol in a person’s blood may be expressed as 63mg of alcohol in 100mL of blood or as 0.063%.\n- 2 The concentration of alcohol in a person’s breath may be expressed as 0.063g of alcohol in 210L of breath or as 0.063g/210L.","sortOrder":216},{"sectionNumber":"sec.79B","sectionType":"section","heading":"Immediate suspension or disqualification","content":"### sec.79B Immediate suspension or disqualification\n\nThis section applies if a person is—\ncharged under section&#160;79 (1) with an offence committed while under the influence of liquor or a drug; or\ncharged under section&#160;79 (1F) with an offence; or\ncharged under section&#160;80 (11) with failing to provide a specimen of the person’s breath or saliva for analysis or a specimen of the person’s blood for a laboratory test; or\ncharged under section&#160;79 (2) , (2AA) , (2A) , (2B) , (2J) , (2K) or (2L) with an offence committed after having been charged, after the commencement of this paragraph, with another offence under section&#160;79 (2) , (2AA) , (2A) , (2B) , (2J) , (2K) or (2L) and the earlier charge has not been dealt with by a court, or withdrawn or otherwise discontinued; or\ncharged under section&#160;79 (2) , (2AA) , (2A) , (2B) , (2J) , (2K) or (2L) with an offence committed after a replacement licence is issued, and while a section&#160;79E order applies, to the person; or\ncharged under the Criminal Code , section&#160;328A (1) or (4) with the dangerous operation of a motor vehicle, when accompanied by the circumstance of aggravation that at the time of committing the offence the person was adversely affected by an intoxicating substance.\nHowever, this section only applies in the circumstances mentioned in subsection&#160;(1) (a) to (ca) if the person is charged under a provision mentioned in subsection&#160;(1) (a) to (ca) with an offence relating to—\ndriving a motor vehicle; or\nattempting to put in motion a motor vehicle; or\nbeing in charge of a motor vehicle.\nIf the person holds a Queensland driver licence, the person’s Queensland driver licence is suspended.\nIf the person’s authority to drive on a Queensland road is under a non-Queensland driver licence, the person’s authority under the licence to drive on a Queensland road is suspended.\nIf the person does not hold a driver licence, the person is disqualified from obtaining or holding a Queensland driver licence.\nThe suspension or disqualification under subsection&#160;(2) , (3) or (4) starts when the person is charged and ends—\nfor a suspension of a Queensland driver licence in relation to which a court may make a section&#160;79E order, when the first of the following happens—\na replacement licence is issued to the person under section&#160;79F ;\nthe charge is dealt with by a court or is withdrawn or otherwise discontinued; or\nin any other case, when the charge is dealt with by a court or is withdrawn or otherwise discontinued.\nSection&#160;127 provides for consequences for disqualifications, suspensions, etc. In particular, see section&#160;127 (4) and (5) .\nIf a person’s driver licence is suspended under this section and, at the time the driver licence is suspended, section&#160;80 (22AA) also applies to the person, the suspension of the driver licence under section&#160;80 (22AA) is superseded by the suspension under this section.\nIn this section—\nreplacement licence see section&#160;79F (2) .\ns&#160;79B ins 2006 No.&#160;21 s&#160;143 (amd 2006 No.&#160;57 s&#160;47 )\namd 2007 No.&#160;6 s&#160;56 ; 2007 No.&#160;43 s&#160;79 ; 2010 No.&#160;13 ss&#160;5 , 3 sch pt&#160;1 ; 2011 No.&#160;12 s&#160;102\namd 2024 No.&#160;45 s&#160;95 (uncommenced amendment)\n(sec.79B-ssec.1) This section applies if a person is— charged under section&#160;79 (1) with an offence committed while under the influence of liquor or a drug; or charged under section&#160;79 (1F) with an offence; or charged under section&#160;80 (11) with failing to provide a specimen of the person’s breath or saliva for analysis or a specimen of the person’s blood for a laboratory test; or charged under section&#160;79 (2) , (2AA) , (2A) , (2B) , (2J) , (2K) or (2L) with an offence committed after having been charged, after the commencement of this paragraph, with another offence under section&#160;79 (2) , (2AA) , (2A) , (2B) , (2J) , (2K) or (2L) and the earlier charge has not been dealt with by a court, or withdrawn or otherwise discontinued; or charged under section&#160;79 (2) , (2AA) , (2A) , (2B) , (2J) , (2K) or (2L) with an offence committed after a replacement licence is issued, and while a section&#160;79E order applies, to the person; or charged under the Criminal Code , section&#160;328A (1) or (4) with the dangerous operation of a motor vehicle, when accompanied by the circumstance of aggravation that at the time of committing the offence the person was adversely affected by an intoxicating substance.\n(sec.79B-ssec.1A) However, this section only applies in the circumstances mentioned in subsection&#160;(1) (a) to (ca) if the person is charged under a provision mentioned in subsection&#160;(1) (a) to (ca) with an offence relating to— driving a motor vehicle; or attempting to put in motion a motor vehicle; or being in charge of a motor vehicle.\n(sec.79B-ssec.2) If the person holds a Queensland driver licence, the person’s Queensland driver licence is suspended.\n(sec.79B-ssec.3) If the person’s authority to drive on a Queensland road is under a non-Queensland driver licence, the person’s authority under the licence to drive on a Queensland road is suspended.\n(sec.79B-ssec.4) If the person does not hold a driver licence, the person is disqualified from obtaining or holding a Queensland driver licence.\n(sec.79B-ssec.5) The suspension or disqualification under subsection&#160;(2) , (3) or (4) starts when the person is charged and ends— for a suspension of a Queensland driver licence in relation to which a court may make a section&#160;79E order, when the first of the following happens— a replacement licence is issued to the person under section&#160;79F ; the charge is dealt with by a court or is withdrawn or otherwise discontinued; or in any other case, when the charge is dealt with by a court or is withdrawn or otherwise discontinued. Section&#160;127 provides for consequences for disqualifications, suspensions, etc. In particular, see section&#160;127 (4) and (5) .\n(sec.79B-ssec.6) If a person’s driver licence is suspended under this section and, at the time the driver licence is suspended, section&#160;80 (22AA) also applies to the person, the suspension of the driver licence under section&#160;80 (22AA) is superseded by the suspension under this section.\n(sec.79B-ssec.7) In this section— replacement licence see section&#160;79F (2) .\n- (a) charged under section&#160;79 (1) with an offence committed while under the influence of liquor or a drug; or\n- (ab) charged under section&#160;79 (1F) with an offence; or\n- (b) charged under section&#160;80 (11) with failing to provide a specimen of the person’s breath or saliva for analysis or a specimen of the person’s blood for a laboratory test; or\n- (c) charged under section&#160;79 (2) , (2AA) , (2A) , (2B) , (2J) , (2K) or (2L) with an offence committed after having been charged, after the commencement of this paragraph, with another offence under section&#160;79 (2) , (2AA) , (2A) , (2B) , (2J) , (2K) or (2L) and the earlier charge has not been dealt with by a court, or withdrawn or otherwise discontinued; or\n- (ca) charged under section&#160;79 (2) , (2AA) , (2A) , (2B) , (2J) , (2K) or (2L) with an offence committed after a replacement licence is issued, and while a section&#160;79E order applies, to the person; or\n- (d) charged under the Criminal Code , section&#160;328A (1) or (4) with the dangerous operation of a motor vehicle, when accompanied by the circumstance of aggravation that at the time of committing the offence the person was adversely affected by an intoxicating substance.\n- (a) driving a motor vehicle; or\n- (b) attempting to put in motion a motor vehicle; or\n- (c) being in charge of a motor vehicle.\n- (a) for a suspension of a Queensland driver licence in relation to which a court may make a section&#160;79E order, when the first of the following happens— (i) a replacement licence is issued to the person under section&#160;79F ; (ii) the charge is dealt with by a court or is withdrawn or otherwise discontinued; or\n- (i) a replacement licence is issued to the person under section&#160;79F ;\n- (ii) the charge is dealt with by a court or is withdrawn or otherwise discontinued; or\n- (b) in any other case, when the charge is dealt with by a court or is withdrawn or otherwise discontinued.\n- (i) a replacement licence is issued to the person under section&#160;79F ;\n- (ii) the charge is dealt with by a court or is withdrawn or otherwise discontinued; or","sortOrder":217},{"sectionNumber":"sec.79C","sectionType":"section","heading":"When person is charged for s&#160;79B","content":"### sec.79C When person is charged for s&#160;79B\n\nThis section applies if a proceeding for an offence as mentioned in section&#160;79B (1) is started against a person by notice to appear, arrest or on complaint and summons.\nIf the proceeding is started by notice to appear, the person is, for section&#160;79B , taken to be charged with the offence when the notice to appear is issued and served on the person.\nIf the proceeding is started by arrest, the person is, for section&#160;79B , taken to have been charged with the offence when the person is arrested.\nIf the proceeding is started by complaint and summons, the person is, for section&#160;79B , taken to have been charged with the offence when the complaint and summons is issued and served on the person.\nIn this section—\nnotice to appear has the meaning given by the Police Powers and Responsibilities Act 2000 .\ns&#160;79C ins 2006 No.&#160;21 s&#160;143\n(sec.79C-ssec.1) This section applies if a proceeding for an offence as mentioned in section&#160;79B (1) is started against a person by notice to appear, arrest or on complaint and summons.\n(sec.79C-ssec.2) If the proceeding is started by notice to appear, the person is, for section&#160;79B , taken to be charged with the offence when the notice to appear is issued and served on the person.\n(sec.79C-ssec.3) If the proceeding is started by arrest, the person is, for section&#160;79B , taken to have been charged with the offence when the person is arrested.\n(sec.79C-ssec.4) If the proceeding is started by complaint and summons, the person is, for section&#160;79B , taken to have been charged with the offence when the complaint and summons is issued and served on the person.\n(sec.79C-ssec.5) In this section— notice to appear has the meaning given by the Police Powers and Responsibilities Act 2000 .","sortOrder":218},{"sectionNumber":"sec.79D","sectionType":"section","heading":"Notice to be given of suspension or disqualification","content":"### sec.79D Notice to be given of suspension or disqualification\n\nThis section applies if, under section&#160;79B —\na person’s Queensland driver licence, or authority to drive on a Queensland road under a non-Queensland driver licence, is suspended; or\na person is disqualified from obtaining or holding a Queensland driver licence.\nAs soon as practicable after the person is charged with the offence to which the suspension or disqualification relates—\na police officer must give the person a notice about the suspension or disqualification, in the approved form, for the person’s information; and\nthe commissioner must give the chief executive notice about the details of the suspension or disqualification.\nFailure by a police officer or the commissioner to give notice under subsection&#160;(2) (a) or (b) about the suspension or disqualification does not invalidate the suspension or disqualification, or affect anything done in relation to the suspension or disqualification unless, in relation to a notice under subsection&#160;(2) (a) , the police officer has no reasonable excuse for failing to give the notice.\ns&#160;79D ins 2006 No.&#160;21 s&#160;143\n(sec.79D-ssec.1) This section applies if, under section&#160;79B — a person’s Queensland driver licence, or authority to drive on a Queensland road under a non-Queensland driver licence, is suspended; or a person is disqualified from obtaining or holding a Queensland driver licence.\n(sec.79D-ssec.2) As soon as practicable after the person is charged with the offence to which the suspension or disqualification relates— a police officer must give the person a notice about the suspension or disqualification, in the approved form, for the person’s information; and the commissioner must give the chief executive notice about the details of the suspension or disqualification.\n(sec.79D-ssec.3) Failure by a police officer or the commissioner to give notice under subsection&#160;(2) (a) or (b) about the suspension or disqualification does not invalidate the suspension or disqualification, or affect anything done in relation to the suspension or disqualification unless, in relation to a notice under subsection&#160;(2) (a) , the police officer has no reasonable excuse for failing to give the notice.\n- (a) a person’s Queensland driver licence, or authority to drive on a Queensland road under a non-Queensland driver licence, is suspended; or\n- (b) a person is disqualified from obtaining or holding a Queensland driver licence.\n- (a) a police officer must give the person a notice about the suspension or disqualification, in the approved form, for the person’s information; and\n- (b) the commissioner must give the chief executive notice about the details of the suspension or disqualification.","sortOrder":219},{"sectionNumber":"sec.79E","sectionType":"section","heading":"Court may allow particular person whose licence is suspended under s&#160;79B to drive","content":"### sec.79E Court may allow particular person whose licence is suspended under s&#160;79B to drive\n\nThis section applies to a person—\nwhose Queensland driver licence is suspended under section&#160;79B (2) because the person has been charged as mentioned in section&#160;79B (1) (a) , (ab) , (b) or (d) ; and\nwho is eligible, and who applies, under a regulation as mentioned in subsection&#160;(4) .\nOn application to a court by the person, the court may, by order, authorise the person to continue to drive motor vehicles under a Queensland driver licence in stated circumstances.\nDespite the order, the person is not authorised to drive a motor vehicle under a Queensland driver licence until the person obtains a replacement licence under section&#160;79F .\nUntil a replacement licence is obtained under 79F, the suspension continues under section&#160;79B and it would be an offence against section&#160;78 for the person to drive a motor vehicle for which a licence is required.\nA regulation may provide for matters relating to an order under subsection&#160;(2) , including, for example, the following—\nthe persons who are eligible, and who are not eligible, to apply for an order;\nhow and when an application for an order is to be made;\nthe criteria to be used in deciding an application for an order;\nthe types of restrictions the court may or must apply to a licence;\nthe period for which an order is effective;\nvariation of an order;\nthe consequences for failing to comply with an order or a restriction applicable to a licence, including, for example, the creation of offences and the disqualification of a person from holding or obtaining a licence.\ns&#160;79E ins 2006 No.&#160;57 s&#160;55\namd 2007 No.&#160;6 s&#160;56A ; 2011 No.&#160;12 s&#160;103\n(sec.79E-ssec.1) This section applies to a person— whose Queensland driver licence is suspended under section&#160;79B (2) because the person has been charged as mentioned in section&#160;79B (1) (a) , (ab) , (b) or (d) ; and who is eligible, and who applies, under a regulation as mentioned in subsection&#160;(4) .\n(sec.79E-ssec.2) On application to a court by the person, the court may, by order, authorise the person to continue to drive motor vehicles under a Queensland driver licence in stated circumstances.\n(sec.79E-ssec.3) Despite the order, the person is not authorised to drive a motor vehicle under a Queensland driver licence until the person obtains a replacement licence under section&#160;79F . Until a replacement licence is obtained under 79F, the suspension continues under section&#160;79B and it would be an offence against section&#160;78 for the person to drive a motor vehicle for which a licence is required.\n(sec.79E-ssec.4) A regulation may provide for matters relating to an order under subsection&#160;(2) , including, for example, the following— the persons who are eligible, and who are not eligible, to apply for an order; how and when an application for an order is to be made; the criteria to be used in deciding an application for an order; the types of restrictions the court may or must apply to a licence; the period for which an order is effective; variation of an order; the consequences for failing to comply with an order or a restriction applicable to a licence, including, for example, the creation of offences and the disqualification of a person from holding or obtaining a licence.\n- (a) whose Queensland driver licence is suspended under section&#160;79B (2) because the person has been charged as mentioned in section&#160;79B (1) (a) , (ab) , (b) or (d) ; and\n- (b) who is eligible, and who applies, under a regulation as mentioned in subsection&#160;(4) .\n- (a) the persons who are eligible, and who are not eligible, to apply for an order;\n- (b) how and when an application for an order is to be made;\n- (c) the criteria to be used in deciding an application for an order;\n- (d) the types of restrictions the court may or must apply to a licence;\n- (e) the period for which an order is effective;\n- (f) variation of an order;\n- (g) the consequences for failing to comply with an order or a restriction applicable to a licence, including, for example, the creation of offences and the disqualification of a person from holding or obtaining a licence.","sortOrder":220},{"sectionNumber":"sec.79F","sectionType":"section","heading":"Replacement licence if there is an order under s&#160;79E","content":"### sec.79F Replacement licence if there is an order under s&#160;79E\n\nThis section applies to a person authorised to continue to drive motor vehicles by a section&#160;79E order.\nThe person may apply for a form of licence (a replacement licence ) that is the same kind, class or description as the licence suspended under section&#160;79B except for the inclusion of a code indicating that the holder of the licence is authorised to drive motor vehicles only under a section&#160;79E order.\nSee chapter&#160;5B for requirements about the application.\nIn making a decision about the application, the chief executive must—\nhave regard to the section&#160;79E order; and\ndeal with the application as if it were an application for a Queensland driver licence.\nThe chief executive may only refuse the application if under an Act—\nthe person’s licence is suspended or cancelled, or the person is disqualified from holding or obtaining a Queensland driver licence, for a reason other than the reason that resulted in the suspension to which the section&#160;79E order relates; or\nthe person’s licence would have been suspended or cancelled, or the person would have been disqualified from holding or obtaining a Queensland driver licence, except the person’s licence was already suspended under section&#160;79B (2) .\nSubsection&#160;(4) applies—\ndespite subsection&#160;(3) (b) ; and\nsubject to section&#160;163B (4) .\ns&#160;79F ins 2006 No.&#160;57 s&#160;55\namd 2007 No.&#160;6 s&#160;56B ; 2017 No.&#160;25 s&#160;74\n(sec.79F-ssec.1) This section applies to a person authorised to continue to drive motor vehicles by a section&#160;79E order.\n(sec.79F-ssec.2) The person may apply for a form of licence (a replacement licence ) that is the same kind, class or description as the licence suspended under section&#160;79B except for the inclusion of a code indicating that the holder of the licence is authorised to drive motor vehicles only under a section&#160;79E order. See chapter&#160;5B for requirements about the application.\n(sec.79F-ssec.3) In making a decision about the application, the chief executive must— have regard to the section&#160;79E order; and deal with the application as if it were an application for a Queensland driver licence.\n(sec.79F-ssec.4) The chief executive may only refuse the application if under an Act— the person’s licence is suspended or cancelled, or the person is disqualified from holding or obtaining a Queensland driver licence, for a reason other than the reason that resulted in the suspension to which the section&#160;79E order relates; or the person’s licence would have been suspended or cancelled, or the person would have been disqualified from holding or obtaining a Queensland driver licence, except the person’s licence was already suspended under section&#160;79B (2) .\n(sec.79F-ssec.5) Subsection&#160;(4) applies— despite subsection&#160;(3) (b) ; and subject to section&#160;163B (4) .\n- (a) have regard to the section&#160;79E order; and\n- (b) deal with the application as if it were an application for a Queensland driver licence.\n- (a) the person’s licence is suspended or cancelled, or the person is disqualified from holding or obtaining a Queensland driver licence, for a reason other than the reason that resulted in the suspension to which the section&#160;79E order relates; or\n- (b) the person’s licence would have been suspended or cancelled, or the person would have been disqualified from holding or obtaining a Queensland driver licence, except the person’s licence was already suspended under section&#160;79B (2) .\n- (a) despite subsection&#160;(3) (b) ; and\n- (b) subject to section&#160;163B (4) .","sortOrder":221},{"sectionNumber":"sec.79G","sectionType":"section","heading":"When person is disqualified while section&#160;79E order applies","content":"### sec.79G When person is disqualified while section&#160;79E order applies\n\nThis section applies if—\na person in relation to whom a section&#160;79E order applies is, for any reason, disqualified by a court for a period from holding or obtaining a Queensland driver licence; and\nthe period of disqualification ends before the relevant charge for the person’s suspended licence, in relation to which the section&#160;79E order was made, is dealt with by a court or is withdrawn or is otherwise discontinued.\nThe person is, by operation of law and without a specific order, disqualified from holding or obtaining a Queensland driver licence until the relevant charge is dealt with by a court or is withdrawn or is otherwise discontinued.\nIn this section—\nrelevant charge , for a person’s suspended licence, means the charge that resulted in the licence being suspended under section&#160;79B (2) .\nsuspended licence , of a person, means the person’s Queensland driver licence that has been suspended under section&#160;79B (2) because the person has been charged as mentioned in section&#160;79B (1) (a) , (ab) , (b) or (d) .\ns&#160;79G ins 2007 No.&#160;6 s&#160;56C\namd 2010 No.&#160;13 s&#160;3 sch pt&#160;1 ; 2011 No.&#160;12 s&#160;104\n_____\nss&#160;79H–79J ins 2024 No.&#160;45 s&#160;96 (uncommenced amendment)\n(sec.79G-ssec.1) This section applies if— a person in relation to whom a section&#160;79E order applies is, for any reason, disqualified by a court for a period from holding or obtaining a Queensland driver licence; and the period of disqualification ends before the relevant charge for the person’s suspended licence, in relation to which the section&#160;79E order was made, is dealt with by a court or is withdrawn or is otherwise discontinued.\n(sec.79G-ssec.2) The person is, by operation of law and without a specific order, disqualified from holding or obtaining a Queensland driver licence until the relevant charge is dealt with by a court or is withdrawn or is otherwise discontinued.\n(sec.79G-ssec.3) In this section— relevant charge , for a person’s suspended licence, means the charge that resulted in the licence being suspended under section&#160;79B (2) . suspended licence , of a person, means the person’s Queensland driver licence that has been suspended under section&#160;79B (2) because the person has been charged as mentioned in section&#160;79B (1) (a) , (ab) , (b) or (d) .\n- (a) a person in relation to whom a section&#160;79E order applies is, for any reason, disqualified by a court for a period from holding or obtaining a Queensland driver licence; and\n- (b) the period of disqualification ends before the relevant charge for the person’s suspended licence, in relation to which the section&#160;79E order was made, is dealt with by a court or is withdrawn or is otherwise discontinued.","sortOrder":222},{"sectionNumber":"sec.80","sectionType":"section","heading":"Breath and saliva tests, and analysis and laboratory tests","content":"### sec.80 Breath and saliva tests, and analysis and laboratory tests\n\nIn this section—\nauthorised police officer means any police officer authorised by the commissioner under subsection&#160;(8G) to operate either or both of the following—\na breath analysing instrument;\na saliva analysing instrument.\nbreath analysing instrument means an instrument—\nfor finding out the concentration of alcohol in—\na person’s blood by analysing a specimen of the person’s breath; or\na person’s breath by analysing a specimen of the person’s breath; and\napproved under a regulation.\nbreath test means a test to obtain an indication of the concentration of alcohol in a person’s breath using a device approved under a regulation.\nAs to devices previously approved by gazette notice, see the Statutory Instruments Act 1992 , section&#160;20C .\nhealth care professional means—\na doctor; or\na nurse; or\na qualified assistant.\nnurse means a person registered under the Health Practitioner Regulation National Law—\nto practise in the nursing profession, other than as a student; and\nin the registered nurses division of that profession.\nqualified assistant means a person whose duties include the taking of blood.\nsaliva analysing instrument means an instrument, that is approved under a regulation, for finding out whether a relevant drug is present in a person’s saliva by analysing a specimen of the person’s saliva.\nsaliva analysis , for a specimen of saliva, means analysis of the specimen by using a saliva analysing instrument and, if the saliva analysing instrument indicates the presence of a relevant drug in the specimen, analysis of another part of the specimen of saliva by a laboratory test approved under a regulation.\nsaliva test means a test to obtain an indication of the presence of a relevant drug in a person’s saliva by using a device approved under a regulation.\nspecimen , in relation to saliva, includes parts of the saliva specimen.\nsuspend , in relation to a driver licence issued outside Queensland, includes suspend the authority to drive on a Queensland road under the licence.\nIf a person is required under this section to provide a specimen of breath for a breath test or analysis, a specimen of saliva for a saliva test or for saliva analysis or a specimen of blood for a laboratory test, the person is taken not to have provided the specimen unless it—\nis sufficient to enable the test or the analysis to be carried out; and\nis provided in a way that enables the objective of the test or analysis to be satisfactorily achieved.\nA police officer may require any person found by the officer or who the officer reasonably suspects was during the last preceding 3 hours—\ndriving a motor vehicle, tram or train on a road or elsewhere; or\nattempting to put in motion a motor vehicle, tram or train on a road or elsewhere; or\nin charge of a motor vehicle, tram or train on a road or elsewhere; or\notherwise operating, or interfering with the operation of, a motor vehicle dangerously on a road or elsewhere; or\ndriving or in charge of or attempting to put in motion a vessel being used or apparently about to be used in navigation;\nto provide a specimen of breath for a breath test by the person, a specimen of saliva for a saliva test by the person, or both.\nIf a motor vehicle, tram, train or vessel is involved in an incident resulting in injury to or death of any person or damage to property a police officer may require any person who the officer reasonably suspects—\nwas driving or attempting to drive the motor vehicle, tram or train on a road or elsewhere; or\nwas in charge of the motor vehicle, tram or train on a road or elsewhere; or\nfor an incident involving a motor vehicle—was otherwise operating, or interfering with the operation of, the motor vehicle dangerously; or\nwas driving or in charge of or attempting to drive the vessel;\nat the time of the incident to provide a specimen of breath for a breath test by the person, a specimen of saliva for a saliva test by the person or both.\nSubsection&#160;(2C) applies if—\na police officer requires a person to provide a specimen of breath for a breath test by the person, a specimen of saliva for a saliva test by the person, or both, under subsection&#160;(2) or (2A) ; and\nthe person—\nis taken not to have provided the specimen of breath or saliva under subsection&#160;(1A) ; or\nprovides the specimen of breath or saliva; but—\nthe device used for the test is or becomes defective precluding its satisfactory operation; or\nfor any reason it is not possible to use or continue using the device to conduct the breath test or saliva test; or\nfor any other reason it is not possible to complete the breath test or saliva test.\nUnder subsection&#160;(2) or (2A) , the police officer may require the person to provide as many specimens of breath or saliva, or both, as the police officer considers reasonably necessary to carry out the breath test, the saliva test or both.\nA police officer who is exercising a power conferred on the officer by subsection&#160;(2) or (2A) may require the person in question to provide the specimen of breath or saliva—\nat the time when and the place where the police officer makes the requirement including at any police station where the person may then be; or\nat the police station nearest to that place or at some other police station conveniently located as soon as practicable after the police officer makes the requirement if the police officer believes on reasonable grounds that it is reasonable for such person to be taken to a police station for the purpose, having regard to the circumstances of the case; or\nwithout limiting paragraph&#160;(b) , as soon as practicable after the police officer makes the requirement, at a place at which the police officer believes on reasonable grounds there is located a device that the police officer may use for carrying out a breath test or saliva test if the police officer does not have a device for the relevant test with him or her.\nA requirement must not be made under subsection&#160;(2) or (2A) unless it is made as soon as practicable and within 3 hours after the event happens that authorises the police officer to make the requirement under the subsection.\nIf a person required by a police officer under subsection&#160;(2) or (2A) to provide at a police station or other place a specimen of breath for a breath test, or of saliva for a saliva test, by the person fails to go voluntarily to the police station or other place for that purpose, any police officer, using such force as is necessary, may take the person to the police station or, as the case may be, other place for that purpose.\nSubject to subsection&#160;(5B) , if a person required by a police officer under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test, or a specimen of saliva for a saliva test, by the person either—\nfails to provide the specimen; or\nfails to provide the specimen in the manner directed by the police officer who makes the requirement;\nthe person commits an offence against this Act.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nA person referred to in subsection&#160;(5A) is not guilty of an offence under that subsection if—\nimmediately after the requirement is made, the person produces to the police officer a certificate in the approved form from a doctor stating that—\nbecause of a stated illness or disability, the person is incapable of providing a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva; or\nthe provision of a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva could adversely affect the person’s health; or\nthe person satisfies the justices that the requisition to provide a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva was not lawfully made or that the person was, by reason of the events that occurred, incapable of providing the specimen as required or that there was some other reason of a substantial character for the person’s failure to provide the specimen as required other than a desire to avoid providing information that might be used in evidence.\nIf—\nit appears to a police officer in consequence of a breath test carried out by the officer on a specimen of breath of any person that the person is over the general alcohol limit; or\nit appears to a police officer in consequence of a breath test carried out by the officer on a specimen of breath of any person that the person is over the no alcohol limit and the police officer reasonably suspects that the person is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers; or\nit appears to a police officer in consequence of a saliva test carried out by the officer on a specimen of saliva of any person that a relevant drug is present in the person’s saliva; or\na person required by a police officer under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test, or a specimen of saliva for a saliva test, by the person—\nfails to provide the specimen; or\nfails to provide the specimen in the manner directed by the police officer who makes the requirement; or\ndeclines to wait for such time as is reasonable in the circumstances to enable the test to be carried out satisfactorily; or\na police officer reasonably suspects that a person who produces a certificate under subsection&#160;(5B) (a) is, because of the external signs exhibited by the person, affected by liquor or a drug;\nany police officer, using such force as is necessary, may—\ntake the person to a police station, hospital or other place authorised under this section; or\ntake the person to a vehicle or vessel where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva; or\nif the person is already at a police station—detain the person there or take the person—\nto such other police station as is convenient and reasonable in the circumstances; or\nto a vehicle or vessel, such as is convenient and reasonable in the circumstances, where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva; or\nif the person is already at a vehicle or vessel where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva—detain the person there or take the person—\nto another such vehicle or vessel as is convenient and reasonable in the circumstances; or\nto a police station such as is convenient and reasonable in the circumstances;\nfor the purposes of subsections&#160;(8) to (8L) .\nAny person who—\nis arrested for an offence against section&#160;79 or 83 ; or\nis arrested for any indictable offence in connection with or arising out of the driving of a motor vehicle by the person (including any offence against any provision of the Criminal Code , section&#160;328A ); or\nis arrested for an offence against the Criminal Code , section&#160;328A in connection with or arising out of the operation, or interference with the operation, of a motor vehicle, other than an offence mentioned in paragraph&#160;(b) ; or\nis, for the purposes of subsections&#160;(8) to (8L) , detained at or taken to a police station, or detained at or taken to a vehicle or vessel where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva, or taken to a hospital or other place authorised under this section;\nmay, while at a police station, vehicle, vessel, hospital or other place authorised under this section as aforesaid, be required by any police officer to provide 1 or more of the following as any police officer requires—\na specimen of the person’s breath for analysis by a breath analysing instrument;\na specimen of the person’s saliva for saliva analysis;\na specimen of the person’s blood for a laboratory test.\nA person to whom subsection&#160;(8) applies may be detained at a police station, vehicle, vessel, hospital or other place as aforesaid for the purposes of subsections&#160;(8) to (8L) by a police officer.\nAny person referred to in subsection&#160;(8) may, for the purposes of subsections&#160;(8) to (8L) , be taken—\nto a police station; or\nto a police station, vehicle or vessel where facilities are available for either or both of the following—\nanalysing a specimen of breath by a breath analysing instrument;\nanalysing a specimen of saliva by a saliva analysing instrument; or\nto a hospital; or\nif there are reasonable grounds for believing that a doctor or nurse is available at any other place—to that place;\nand such person may be taken to more than 1 of such places if the purposes of those subsections can not be carried out or effected at a place to which the person has been first taken.\nIf a person whom a police officer may require under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test, or a specimen of saliva for a saliva test, by the person (an authorising requirement ) is at the hospital for treatment, that person may be required by any police officer to provide at the hospital—\nif the specimen that may be required under the authorising requirement is a specimen of breath—a specimen of the person’s breath for analysis by a breath analysing instrument or a specimen of the person’s blood for a laboratory test; or\nif the specimen that may be required under the authorising requirement is a specimen of saliva—a specimen of the person’s saliva for saliva analysis or a specimen of the person’s blood for a laboratory test.\nA requirement for a person to provide a specimen under subsection&#160;(8C) must not be made under the subsection unless—\na doctor who is familiar with the person’s injuries and apparent state of health at the time of the requirement approves of the person providing the specimen; and\nthe requirement is made as soon as practicable and within 3 hours of the event that authorises the police officer to make the authorising requirement.\nIf a person who is required under subsection&#160;(8) or (8C) to provide a specimen of the person’s breath or saliva for analysis forthwith on being so required produces to the police officer who made the requisition a doctor’s certificate mentioned in subsection&#160;(5B) (a) material to the provision of the specimen, the police officer must not require a specimen of breath or saliva of the person but must require a specimen of the person’s blood.\nA person who is required under subsection&#160;(8) or (8C) to provide a specimen of the person’s breath for analysis must do so, when directed by the doctor or authorised police officer operating or who is to operate the breath analysing instrument, by placing the person’s mouth over the mouthpiece of the instrument and blowing directly and continuously (and without escape of breath otherwise) through that mouthpiece into the instrument until told to stop by the doctor or authorised police officer operating the instrument.\nA person required under subsection&#160;(8) or (8C) to provide a specimen of the person’s saliva for saliva analysis must do so by—\nplacing a collection unit, that is prescribed under a regulation, into or adjacent to the person’s mouth when directed by the authorised police officer operating, or who is to operate, a saliva analysing instrument; and\nwhile providing the specimen, holding or otherwise dealing with the collection unit, in a way prescribed under a regulation, until told to stop by the authorised police officer.\nThe commissioner may, by writing under the commissioner’s hand, authorise any police officer to be an authorised police officer to operate either or both of the following on being satisfied the officer is competent to operate the instrument—\na breath analysing instrument;\na saliva analysing instrument.\nIf an authorised police officer’s instrument of authority issued under subsection&#160;(8G) is lost, mislaid, or destroyed or otherwise can not be produced—\nthe police officer continues to be an authorised police officer even though the instrument of authority has been lost, mislaid, or destroyed or otherwise can not be produced; and\nthe commissioner may issue to the officer a replacement instrument of authority; and\nthe replacement instrument of authority is taken to have effect from the date the original instrument of authority was issued.\nA certificate purporting to be signed by the commissioner that the police officer named in the certificate is authorised by the commissioner to operate a breath analysing instrument or saliva analysing instrument is, in the absence of proof to the contrary, proof that the named police officer is so authorised.\nSubsection&#160;(8M) applies if—\na person has been required to provide, under subsection&#160;(8) or (8C) , a specimen of the person’s breath for analysis by a breath analysing instrument, a specimen of the person’s saliva for saliva analysis or a specimen of the person’s blood for a laboratory test; and\nthe person—\nis taken under subsection&#160;(1A) not to have provided the specimen that was required; or\nprovides a specimen of breath for analysis by a breath analysing instrument or a specimen of saliva for saliva analysis; but—\nthe relevant breath analysing instrument or saliva analysing instrument is or becomes defective precluding its satisfactory operation to analyse the breath specimen or saliva specimen; or\nfor any reason it is not possible to use or continue using the breath analysing instrument for analysing the breath specimen or the saliva analysing instrument for analysing the saliva specimen; or\nfor an analysis by a breath analysing instrument, the instrument indicates to the authorised police officer operating the instrument that alcohol or some other substance is present in the mouth of the person supplying the breath specimen; or\nfor any other reason it is not possible to complete the analysis.\nUnder subsection&#160;(8) or (8C) , the police officer is authorised to require the person to provide as many specimens of breath, saliva or blood as the officer considers reasonably necessary to carry out the analysis or test.\nIf a person—\nis arrested for any offence referred to in subsection&#160;(8) ; or\nis, for the purposes of subsections&#160;(8) to (8L) , detained at or taken to a police station, vehicle or vessel, or taken to a hospital or other place authorised under this section;\nand while at a police station, vehicle, vessel, hospital or other place authorised under this section as aforesaid is required by a police officer to provide a specimen of the person’s breath for analysis by a breath analysing instrument, or the person’s saliva for saliva analysis, the police officer making the requisition may—\nif the police officer who arrested, detained or took as aforesaid the person believes on reasonable grounds that at the time of the arrest, detaining or taking the person exhibited external signs indicating that the person was affected by liquor or a drug; and\nif—\nthe analysis by the breath analysing instrument of the specimen of breath provided under the requisition indicates either that there is no alcohol in the person’s blood or breath or that the concentration of alcohol in the person’s blood or breath does not reasonably explain the external signs exhibited and observed; or\nthe analysis by the saliva analysing instrument of the specimen of saliva provided under the requisition indicates that there is no relevant drug in the person’s saliva;\nrequire the person to provide a specimen of the person’s blood for a laboratory test and, subject to the direction of a doctor or nurse, a specimen of the person’s urine for a laboratory test.\nThe police officer making the requisition may detain the person at a police station, vehicle, vessel, hospital or other place authorised under this section for a period of time that is reasonable in the circumstances to enable a doctor to attend there in connection with the provision by the person of a specimen of blood or urine or, as the case requires, such police officer may take the person to a place where, in the reasonable belief of such officer, a doctor or nurse is available for the purposes of the provision by the person of a specimen of the person’s blood.\nA person who is required by a police officer, under this section, to provide a specimen of the person’s blood for a laboratory test must allow a doctor or nurse, or a qualified assistant directed by a doctor or nurse to take the specimen, to take the specimen when and as directed by and to the satisfaction of the health care professional, the health care professional being hereby authorised to take such specimen whether or not the person consents to the taking.\nA person who is required under subsection&#160;(9) to provide a specimen of the person’s urine for a laboratory test must do so when and as directed by a doctor or nurse.\nA police officer may require a doctor or nurse who is attending a person who is at a hospital for treatment to obtain a specimen of the person’s blood for a laboratory test, if the person—\nis a person whom a police officer may require under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test or a specimen of saliva for a saliva test; and\nis, or appears to be, unable to consent to the taking of the specimen of blood because the person is, or appears to be, unconscious or otherwise unable to communicate.\nThe doctor or nurse must—\ntake a specimen of the person’s blood that will enable the laboratory test to be carried out; or\nensure that a qualified assistant takes a specimen of the person’s blood that will enable the laboratory test to be carried out.\nA qualified assistant may take the specimen of the person’s blood if directed to do so by the doctor or nurse.\nThe health care professional who takes the specimen of the person’s blood under subsection&#160;(10A) (a) or (10B) must, immediately after taking the specimen, take another specimen of the person’s blood and give it to the person as soon as practicable.\nThe doctor or nurse need not comply with subsection&#160;(10A) if the doctor or nurse—\nreasonably believes that taking the specimen would be prejudicial to the person’s treatment; or\nhas another reasonable excuse.\nA doctor or nurse would have a reasonable excuse if he or she was required to attend to a patient suffering a heart attack and was unable to take the specimen of blood when required.\nA police officer must not make a requirement under subsection&#160;(10) relating to a person whom a police officer may require under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test if—\nunder this section, the person has provided a specimen of breath (the analysis specimen ) for analysis by a breath analysing instrument in relation to the occurrence or event in relation to which the police officer may require a specimen of breath for a breath test as mentioned in subsection&#160;(10) (a) ; and\nthe analysis specimen has been analysed by a breath analysing instrument; and\nthere is a certificate under subsection&#160;(15) for the analysis.\nAlso, a police officer must not make a requirement under subsection&#160;(10) relating to a person whom a police officer may require under subsection&#160;(2) or (2A) to provide a specimen of saliva for a saliva test if—\nunder this section, the person has provided a specimen of saliva for saliva analysis in relation to the occurrence or event in relation to which the police officer may require a specimen of saliva for a saliva test as mentioned in subsection&#160;(10) (a) ; and\nthe specimen for saliva analysis has been analysed by a saliva analysing instrument; and\na notice about the analysis is retained by, or given to, the police officer as mentioned in subsection&#160;(15AB) (b) (i) and (ii) .\nSubsections&#160;(10A) and (10C) do not create offences.\nIt is lawful for a health care professional to take a specimen of a person’s blood under subsection&#160;(10A) (a) , (10B) or (10C) even though the person has not consented to the taking.\nIf a police officer makes a requisition under subsection&#160;(8) , (8C) or (9) in relation to a person driving, attempting to put in motion or in charge of a motor vehicle, tram, train or vessel, and the person fails to provide as prescribed in this section—\na specimen of the person’s breath for analysis by a breath analysing instrument; or\na specimen of the person’s saliva for saliva analysis; or\na specimen of the person’s blood for a laboratory test;\neach of the following applies—\nthe person is guilty of an offence that is taken to be an offence against the appropriate provision of section&#160;79 (1) ;\nthe person is liable to the same punishment in all respects, including disqualification from holding or obtaining a Queensland driver licence, as the person would be if the offence were actually an offence committed by the person against the appropriate provision of section&#160;79 (1) .\nIf a police officer makes a requisition under subsection&#160;(8) , (8C) or (9) in relation to a person other than a person mentioned in subsection&#160;(11) , and the person fails to provide as prescribed in this section—\na specimen of the person’s breath for analysis by a breath analysing instrument; or\na specimen of the person’s saliva for saliva analysis; or\na specimen of the person’s blood for a laboratory test;\nthe person commits an offence against this Act.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nA person referred to in subsection&#160;(11) or (11AA) is not guilty of an offence under that subsection if the person satisfies the justices that the requisition to provide the specimen was not lawfully made or that the person was, because of the events that occurred, incapable of providing the specimen or that there was some other reason of a substantial character for the person’s failure to provide the specimen other than a desire to avoid providing information that might be used in evidence.\nAs soon as practicable after a specimen of breath provided under a requisition has been analysed by means of a breath analysing instrument, the doctor or authorised police officer operating such instrument must sign 2 copies of a certificate in writing stating the concentration of alcohol indicated by the analysis to be present in the blood or breath of the person whose breath has been analysed, the date and time at which the analysis was made, and must—\neither—\nif the specimen was analysed by the police officer who made the requisition—retain 1 copy of the certificate; or\notherwise—deliver 1 copy of the certificate to the police officer who made the requisition; and\ndeliver the other copy to the person whose breath has been analysed (or to another person on behalf of that person on request by that other person).\nA copy of a certificate under subsection&#160;(15) —\nis evidence that the instrument operated by the doctor or officer was a breath analysing instrument; and\nis evidence that the instrument was in proper working order and properly operated by the doctor or officer; and\nis evidence that all regulations relating to breath analysing instruments were complied with; and\nis presumed to have been given to the person whose breath was analysed, unless the contrary is proved.\nAs soon as practicable after a specimen of saliva provided under a requisition has been analysed by means of a saliva analysing instrument, the authorised police officer operating the instrument must—\nenter details in a notice, in the approved form, about the analysis; and\neither—\nif the specimen was analysed by the police officer who made the requisition—retain 1 copy of the notice; or\notherwise—give 1 copy of the notice to the police officer who made the requisition; and\ngive a copy of the notice to the person whose saliva has been analysed (or, at the person’s request, to another person on the person’s behalf).\nIf a relevant drug is present in analysed saliva, the approved form given to a person as mentioned in subsection&#160;(15AB) (c) for the analysis must include notice about each of the following—\nthe person may request a specimen of the person’s saliva be given to him or her as stated in subsection&#160;(20A) ;\nanother part of the specimen that was analysed by the saliva analysing instrument will be delivered to a laboratory of an analyst to be tested for the presence of a relevant drug.\nIf a person who is required under subsection&#160;(8) or (8C) to provide a specimen of the person’s breath for analysis or saliva for saliva analysis fails to do so as prescribed by that subsection, the doctor or authorised police officer operating or to operate the breath analysing instrument or the police officer operating or to operate the saliva analysing instrument must, as soon as practicable after the person fails to provide the specimen, sign 2 copies of a certificate in writing stating—\nthe full name of the person concerned; and\nthe name of the police officer who made the requisition; and\nwhether the requisition was for a specimen of the person’s breath for analysis or saliva for saliva analysis; and\nthe name of the operator of the breath analysing instrument or saliva analysing instrument; and\nthe name and patent number or name and model number appearing on the breath analysing instrument or saliva analysing instrument; and\nthat the person concerned failed to provide as prescribed by that subsection a specimen of breath or saliva when required;\nand must—\neither—\nif the operator of the breath analysing instrument is the police officer who made the requisition—retain 1 copy of the certificate; or\notherwise—deliver 1 copy of the certificate to the police officer who made the requisition; and\ndeliver the other copy to the person who failed to provide as prescribed the specimen of breath or saliva when required (or to another person on behalf of that person on request by that other person).\nA certificate referred to in subsection&#160;(15B) must, on its production in any proceeding, be accepted as evidence—\nthat a requisition to provide a specimen of the person’s breath for analysis or saliva for saliva analysis was made to the person concerned by the police officer named in the certificate as the police officer making the requisition; and\nthat the person concerned failed to provide as prescribed by subsections&#160;(8) to (8L) a specimen of breath or saliva when required; and\nthat an approved breath analysing instrument or saliva analysing instrument was available at the place where and at the time when the requisition was made for the purpose of analysing a specimen provided in accordance with the requisition;\nand until the contrary is proved is conclusive such evidence.\nEvidence by a doctor or an authorised police officer or by a copy of a certificate referred to in subsection&#160;(15) purporting to be signed by a doctor or an authorised police officer of the concentration of alcohol indicated to be present in the blood or breath of a person by a breath analysing instrument operated by such doctor or authorised police officer is, subject to subsection&#160;(15H) , conclusive evidence of the concentration of alcohol present in the blood or breath of the person in question at the time (being in the case of such certificate the date and time stated therein) the breath of that person was analysed and at a material time in any proceedings if the analysis was made not more than 3 hours after such material time, and at all material times between those times.\nThe defendant may negative such evidence as aforesaid if the defendant proves that at the time of the operation of the breath analysing instrument it was defective or was not properly operated.\nAs soon as practicable after—\na specimen of blood or urine has been obtained under this section; or\na specimen of saliva has been obtained under this section and a notice is retained by, or given to a police officer as mentioned in subsection&#160;(15AB) (b) (i) and (ii) stating that a relevant drug was present in the analysed specimen of saliva;\nthe police officer who required the specimen must deliver it, or arrange for it to be delivered on the police officer’s behalf, to the laboratory of an analyst.\nThe specimen of blood, urine or saliva to be delivered under subsection&#160;(16) must be delivered to the analyst’s laboratory in the way prescribed under a regulation.\nA certificate purporting to be signed by an analyst and stating—\nthat there was received at the laboratory of the analyst from the police officer named in the certificate a specimen of the blood, or a specimen of the saliva, as stated in the certificate (the delivered specimen ) of the person named in the certificate provided by that person on the date and at the place and time stated in the certificate; and\nthat the analyst or another analyst made a laboratory test of the delivered specimen on the date and at the place stated in the certificate; and\nif a laboratory test of the delivered specimen was done by another analyst—the analyst who signed the certificate—\nexamined the laboratory’s records about the receipt, storage and testing of the delivered specimen; and\nconfirms the records show that all quality assurance procedures for the receipt, storage and testing of the delivered specimen that were in place in the laboratory at the time of the laboratory test were complied with; and\nthat—\nif the delivered specimen was a specimen of blood—\nthe concentration of alcohol in the person’s blood indicated by the laboratory test was a stated number of milligrams of alcohol in the blood per 100mL of blood; or\na stated drug or metabolite of a stated drug was indicated by the laboratory test to be present in the person’s blood; or\nif the delivered specimen was a specimen of saliva—a stated relevant drug or metabolite of a stated relevant drug was indicated by the laboratory test to be present in the person’s saliva;\nis evidence of those matters and until the contrary is proved is conclusive such evidence.\nIf the commissioner receives a written request for a copy of the laboratory’s records about the receipt, storage or testing of a delivered specimen from the person who gave the specimen, the commissioner must give a copy of the records to the person within 7 business days after receiving the request.\nIf a person who is required under subsection&#160;(8) , (8C) or (9) to provide a specimen of the person’s blood for a laboratory test fails to do so as prescribed by the subsection under which the requisition is made, the health care professional by whom the specimen is to be taken must, as soon as practicable thereafter, sign 2 copies of a certificate in writing stating—\nthe full name of the person concerned; and\nthe name of the police officer who made the requisition; and\nthat the person concerned failed to provide a specimen of blood when required;\nand must deliver—\n1 copy of such certificate to the police officer who made the requisition; and\nthe other copy to the person who failed to provide the specimen of blood when required (or to another person on behalf of that person on request by that other person).\nA certificate referred to in subsection&#160;(16C) must, on its production in any proceeding, be accepted as evidence—\nthat a requisition to provide a specimen of the person’s blood for a laboratory test was made to the person concerned by the police officer named in the certificate as the police officer making the requisition; and\nthat the person concerned failed to provide as prescribed by the subsection under which the requisition was made a specimen of the person’s blood when required;\nand until the contrary is proved is conclusive such evidence.\nEvidence by an analyst or by a certificate referred to in subsection&#160;(16B) of the concentration of alcohol indicated to be present in, or of the drug or metabolite of the drug indicated to be present in, the blood of a person by a laboratory test of a specimen of the blood of that person is, subject to subsection&#160;(16G) , conclusive evidence of the presence of the concentration of alcohol in, or the drug or the metabolite of the drug in, the blood of that person at the time (being in the case of such certificate the date and time stated therein) when the person provided the specimen and at a material time in any proceedings if the specimen was provided not more than 3 hours after such material time, and at all material times between those times.\nThe reference to drug in this subsection, because of its generality, includes a relevant drug.\nEvidence by an analyst, or by a certificate referred to in subsection&#160;(16B) , that a stated relevant drug or metabolite of a stated relevant drug is indicated to be present in the blood or saliva of a person by a laboratory test of a specimen of the blood or saliva of the person, subject to subsection&#160;(16G) , is conclusive evidence of the presence of the stated relevant drug or the metabolite of the stated relevant drug in the person’s blood or saliva—\nat the time (being for a certificate the date and time stated in the certificate) when the person provided the specimen; and\nat a material time in any proceedings if the specimen was provided not more than 3 hours after the material time; and\nat all material times between those times.\nThe defendant may negative the evidence mentioned in subsection&#160;(16F) or (16FA) if the defendant proves the result of the laboratory test of that specimen of blood or saliva was not a correct result.\nThe court must on the application of the complainant adjourn the hearing as necessary to enable the production in evidence of the certificate of the analyst and if within 3 days after providing the specimen the defendant has given to the police officer in charge of the police station at which or nearest to the hospital or other place where the specimen of blood for the laboratory test, or the specimen of saliva for saliva analysis, was provided a notice in writing that the defendant requires a copy of the certificate to be given to the defendant at the address stated in the notice must, at the request of the defendant, adjourn the hearing as necessary to ensure that such copy has been given to the defendant at such address not less than 3 days before the production of the certificate in evidence.\nSuch copy may be given either personally or by sending it by registered post or certified mail.\nThe person who gives the copy (whether personally or by sending it by registered post or certified mail) may attend before any justice of the peace having jurisdiction in the State or part of the State or part of the Commonwealth where the person gives the copy and depose on oath and in writing endorsed on a copy of the certificate to the giving thereof.\nThe deposition is, on production to the court, evidence of the matters contained therein and, until the contrary is proved, is conclusive such evidence.\nNothing contained in subsections&#160;(16H) to (16K) precludes the court in its discretion from dealing with a charge of an offence against section&#160;79 (1) or (2AA) on the application of the defendant notwithstanding that at that time the result of the laboratory test of the specimen of the blood or of saliva of the defendant is not known if—\nthe defendant pleads guilty to the offence; and\nthe court is satisfied that the facts available to be put forward by the prosecution, and unchallenged by the defendant, are sufficient to enable it to deal properly with the matter.\nA certificate purporting to be signed by a health care professional that on a date and at a place and time stated therein the health care professional took a specimen of blood for a laboratory test, or a specimen of saliva for saliva analysis, of a person named in the certificate must, on its production in any proceeding, be accepted as evidence of those matters and until the contrary is proved is conclusive such evidence.\nIf by any provision of this section a certificate of or purporting to be signed by a health care professional, an authorised police officer or an analyst is made evidence of any matter, a certificate purporting to be signed by a health care professional, an authorised police officer or an analyst, as the case may be, as to that matter must, on its production in any proceeding, be accepted as evidence—\nthat the signature on the certificate is that of the person by whom the certificate purports to be made; and\nof all matters contained therein including the status, authority or qualification of the person by whom the certificate purports to be made;\nand until the contrary is proved is conclusive such evidence.\nIf a police officer delivers a specimen of blood (the specimen ), or a specimen of saliva (also the specimen ), or arranges for the specimen to be delivered on the officer’s behalf, to an analyst’s laboratory in a way prescribed by regulation, in any proceeding—\nevidence of that fact given by the officer and any person who delivered the specimen on the officer’s behalf; and\na certificate, produced in evidence, purporting to be signed by the analyst certifying that the specimen was received at the analyst’s laboratory from the officer;\nis sufficient evidence of compliance with subsection&#160;(16A) .\nA person who, being thereunto required under subsection&#160;(8) , (8C) or (9) , has provided a specimen of blood for a laboratory test, or a specimen of saliva for saliva analysis, may when the person provides the specimen or immediately after providing it and where the person provides it (or another person on behalf of that person may when or immediately after the person provides the specimen and where the person provides it) request—\nthe health care professional who took the specimen of blood to give the person a specimen of the person’s blood; or\nthe police officer who took the specimen of saliva for saliva analysis to give to the person a specimen of the person’s saliva.\nUpon such request, subject to the person concerned then and there providing a second specimen of blood or saliva, the health care professional must give the second specimen of blood, or the police officer must give the second specimen of saliva, to the person or to the person requesting it on the person’s behalf.\nIn subsection&#160;(22) —\nrelevant provision means—\nsubsection&#160;(8) to the extent it applies to a person mentioned in subsection&#160;(8) (a) , (b) or (c) ; or\nsubsection&#160;(8C) to the extent it applies to a person who may be required to provide a specimen of breath for a breath test under subsection&#160;(2) (a) , (b) , (c) or (d) or (2A) (a) , (b) or (c) .\nSubsection&#160;(22AA) applies if—\nthe analysis by means of a breath analysing instrument of a specimen of breath of a person required by a police officer to be provided under a relevant provision indicates that the person is over the general alcohol limit or in the case of a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers, that the person is over the no alcohol limit; or\nthe analysis by means of a saliva analysing instrument of a specimen of saliva of a person required by a police officer to be provided under a relevant provision indicates that a relevant drug is present in the person’s saliva; or\na person required to provide a specimen of breath, or a specimen of saliva for saliva analysis, as mentioned in paragraph&#160;(a) or (ab) fails to provide the specimen as prescribed under subsections&#160;(8) to (8L) ; or\na person has been arrested for an offence under section&#160;79 (1) but has not been required by a police officer to provide a specimen of breath for analysis or a specimen of blood for a laboratory test under subsection&#160;(8) or (8C) —\nbecause the person is violent; or\nbecause of the external signs exhibited by the person, the police officer reasonably believes the person is so affected by alcohol or a drug as to be unable to provide the specimen; or\nbecause of the remoteness of the area—\na breath analysing instrument is not available to analyse a specimen of the person’s breath; or\na doctor or nurse is not available to take a specimen of blood from the person for a laboratory test or to direct a qualified assistant to take the specimen; or\na person who is required by a police officer under a relevant provision to provide a specimen of the person’s blood for a laboratory test permits a specimen of the person’s blood to be taken for the purpose and thereupon such police officer requires that person to provide a specimen of breath for a breath test, or saliva for a saliva test, by the officer (the officer being hereby authorised to require such a specimen of breath for a breath test, or saliva for a saliva test, to be provided), and—\nit appears to the police officer in consequence of the breath test carried out by the officer that the device by means of which the test is carried out indicates that the person is over the general alcohol limit or in the case of a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers, that the person is over the no alcohol limit; or\nit appears to the police officer in consequence of the saliva test carried out by the officer that the device by means of which the test is carried out indicates a relevant drug is present in the person’s saliva; or\nthe person fails to provide such specimen of breath or saliva; or\na person who is required by a police officer under a relevant provision, or under subsection&#160;(9) in relation to a relevant provision, to provide a specimen of the person’s blood for a laboratory test fails to provide such specimen; or\na specimen of a person’s blood is taken under a relevant provision, or under another provision of this section in relation to a relevant provision, for a laboratory test and a doctor or nurse certifies in writing to the police officer who made the requisition for the provision or taking of the specimen of blood that, in respect of the person concerned, the case is a proper one for the suspension of that person’s driver licence for a period of 24 hours.\nThe person’s driver licence is suspended for 24 hours from when—\nthe analysis mentioned in subsection&#160;(22) (a) or (ab) was made; or\nthe requirement mentioned in subsection&#160;(22) (b) , (c) (ii) or (d) was made; or\nthe arrest mentioned in subsection&#160;(22) (ba) was made; or\nthe breath test of the specimen of the person’s breath mentioned in subsection&#160;(22) (c) (i) , or the saliva test of the specimen of the person’s saliva mentioned in subsection&#160;(22) (c) (ia) , was carried out; or\nthe certificate in writing mentioned in subsection&#160;(22) (e) was given.\nThe police officer who required the specimen must sign and deliver to the person concerned (or to another person on behalf of that person at the request of that other person) a statement in writing that the driver licence of the person concerned is suspended as prescribed by subsection&#160;(22AA) for the period of 24 hours commencing at the time stated therein.\nIt is immaterial, in any of the cases referred to in subsection&#160;(22) , whether the person concerned is arrested or not.\nNotwithstanding any other provision of this Act, a review or an appeal does not lie in respect of the suspension of a driver licence under subsection&#160;(22AA) .\nAny person who, while the person’s driver licence is suspended under subsection&#160;(22AA) , drives a motor vehicle on a road or elsewhere is guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 1 year.\nIf under this section a police officer may in the performance, exercise or carrying out of the officer’s functions, powers or duties under this section take a person to a hospital or police station for the taking of a specimen and the police officer believes on reasonable grounds that a doctor is not available at the hospital or to go to the police station, or that, for the taking of a specimen of blood at the hospital, a nurse also is not available, the officer may, whether the person concerned is under arrest or not, take such person to a place where to the officer’s knowledge or in the officer’s reasonable belief a doctor is available for the taking of a specimen.\nEvidence of either or both of the following—\nthe presence of the concentration of alcohol in the blood or breath of a person, or the concentration of a drug or metabolite of a drug (other than a relevant drug or a metabolite of a relevant drug) in the blood of a person;\nthe presence of a relevant drug in the blood or saliva of a person;\nat a time material to the time of an offence as hereinafter mentioned obtained in accordance with any of the provisions of this section is admissible in the trial on indictment of that person of any offence in connection with or arising out of the driving, operation, or interference with the operation, of a motor vehicle or on any hearing of a charge summarily against the person of an offence against any provision of the Criminal Code , section&#160;328A , and must not be excluded only because the evidence was compulsorily obtained or otherwise obtained in accordance with this section.\nEvidence admissible under subsection&#160;(24) —\nmay be given in the same manner, whether by a witness or by a certificate, as it may be given under the provisions of this section, other than that subsection, in respect of an offence against this Act; and\nis admissible in the same circumstances and in all respects to the same extent as it would be admissible under the provisions of this section, other than subsection&#160;(24) , in respect of an offence against this Act and, subject to paragraph&#160;(c) , has the same evidentiary value in relation to the same matters and times as are provided for by the provisions of this section, other than that subsection, in respect of such evidence; and\nwhere such evidence indicates a person was over the high alcohol limit, is conclusive evidence that the person was adversely affected by alcohol at all times in relation to which such evidence has evidentiary value under this section.\nIf a defendant proposes to lead evidence to prove in any proceeding—\nunder subsection&#160;(15H) , that at the time of the operation of a breath analysing instrument it was defective or was not properly operated; or\nunder subsection&#160;(16G) , that the result of a laboratory test of a specimen of blood or saliva referred to in subsection&#160;(16F) or (16FA) was not a correct result; or\nunder subsection&#160;(18) or (18A) , that the signature referred to therein is not the signature of the health care professional, authorised police officer or analyst by whom the certificate referred to therein purports to be signed or that any matter contained in the said certificate is not correct;\nthe defendant must give notice thereof to the complainant not less than 14 clear days before the return date of the summons or the appointed date for the hearing of the charge.\nThe notice must—\nbe written; and\nbe signed by the defendant or the defendant’s solicitor; and\nfor a notice under subsection&#160;(26) (a) —state the grounds on which the defendant intends to rely to prove that the breath analysing instrument was defective or was not properly operated; and\na claim that the breath analysing instrument was defective because it mistook the presence of mouthwash in the defendant’s mouth for the presence of alcohol in the defendant’s blood\nfor a notice under subsection&#160;(26) (b) —state the grounds on which the defendant intends to rely to prove that the result of the laboratory test was not a correct result.\nA defendant who gives a notice under subsection&#160;(26) (b) may, only with the court’s leave, require a person who was involved in the taking, receipt, storage or testing of the specimen of blood or saliva to attend the hearing to give evidence.\nThe court may grant the leave only if satisfied—\nthat the complainant has been given an opportunity to make a submission to the court about granting the leave; and\nthat—\nthere is a reasonable possibility that an irregularity or defect exists in relation to the taking, receipt, storage or testing of the specimen of blood or saliva about which the person required to attend the hearing is able to give evidence; or\nit is otherwise in the interests of justice that the person be required to attend the hearing to give evidence relevant to the proceeding.\nIn a proceeding for an offence against section&#160;79 or 83 or the Criminal Code , section&#160;328A , unless the contrary is proved—\na qualified assistant who takes a specimen of blood from a person for a laboratory test is to be taken to have been directed by a doctor or nurse to take the specimen; and\nany equipment used in a laboratory test of a specimen of blood or saliva is to be taken to have given accurate results.\ns&#160;80 (prev 1949 13 Geo 6 No. 26 s&#160;16A) ins 1968 No.&#160;22 s&#160;7\namd 1969 No.&#160;22 s&#160;5\nsub 1974 No.&#160;18 s&#160;9 (amd 1977 No.&#160;26 s&#160;9 (1) (a) ; 1982 No.&#160;52 s&#160;9 (1) (a) ; 1984 No.&#160;102 s&#160;35 )\namd 1975 No.&#160;13 s&#160;4 ; 1975 No.&#160;69 ss&#160;2 – 11 ; 1977 No.&#160;26 ss&#160;5 , 6 ; 1982 No.&#160;15 s&#160;7 ; 1982 No.&#160;52 s&#160;5 ; 1984 No.&#160;102 ss&#160;9 , 33 ; 1988 No.&#160;94 s&#160;3 ; 1990 No.&#160;103 ss&#160;2 .8, 2.26; 1994 No.&#160;7 s&#160;12 ; 1994 No.&#160;87 s&#160;3 sch&#160;1 ; 1997 No.&#160;66 s&#160;19 ; 1999 No.&#160;42 s&#160;8 , s&#160;54 (1) sch amdts 45–50\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2000 No.&#160;46 s&#160;3 sch ; 2001 No.&#160;79 s&#160;98 ; 2002 No.&#160;48 s&#160;3 ; 2003 No.&#160;69 s&#160;8 ; 2006 No.&#160;21 s&#160;143A ; 2007 No.&#160;6 ss&#160;57 , (64)–(87), 66 schs 2–3; 2007 No.&#160;43 s&#160;33 sch ; 2008 No.&#160;31 s&#160;72 sch ; 2009 No.&#160;24 s&#160;1784 ; 2010 No.&#160;13 ss&#160;6 , 3 sch pt&#160;1 ; 2010 No.&#160;14 s&#160;124 sch ; 2011 No.&#160;12 s&#160;105 ; 2014 No.&#160;43 s&#160;83 ; 2018 No.&#160;10 s&#160;48 ; 2017 No.&#160;32 s&#160;87 (2) s ch&#160;1 pt&#160;2 ; 2019 No.&#160;25 s&#160;35 ; 2020 No.&#160;21 s&#160;52\nNote—‘the appropriate provision of’ as appearing in all reprints of subsection&#160;(11) since the Traffic Act 1949, reprint 1 until the re-enactment of subsection&#160;(11) by 2007 No.&#160;6 were extraneous words inserted by that reprint.\n(sec.80-ssec.1) In this section— authorised police officer means any police officer authorised by the commissioner under subsection&#160;(8G) to operate either or both of the following— a breath analysing instrument; a saliva analysing instrument. breath analysing instrument means an instrument— for finding out the concentration of alcohol in— a person’s blood by analysing a specimen of the person’s breath; or a person’s breath by analysing a specimen of the person’s breath; and approved under a regulation. breath test means a test to obtain an indication of the concentration of alcohol in a person’s breath using a device approved under a regulation. As to devices previously approved by gazette notice, see the Statutory Instruments Act 1992 , section&#160;20C . health care professional means— a doctor; or a nurse; or a qualified assistant. nurse means a person registered under the Health Practitioner Regulation National Law— to practise in the nursing profession, other than as a student; and in the registered nurses division of that profession. qualified assistant means a person whose duties include the taking of blood. saliva analysing instrument means an instrument, that is approved under a regulation, for finding out whether a relevant drug is present in a person’s saliva by analysing a specimen of the person’s saliva. saliva analysis , for a specimen of saliva, means analysis of the specimen by using a saliva analysing instrument and, if the saliva analysing instrument indicates the presence of a relevant drug in the specimen, analysis of another part of the specimen of saliva by a laboratory test approved under a regulation. saliva test means a test to obtain an indication of the presence of a relevant drug in a person’s saliva by using a device approved under a regulation. specimen , in relation to saliva, includes parts of the saliva specimen. suspend , in relation to a driver licence issued outside Queensland, includes suspend the authority to drive on a Queensland road under the licence.\n(sec.80-ssec.1A) If a person is required under this section to provide a specimen of breath for a breath test or analysis, a specimen of saliva for a saliva test or for saliva analysis or a specimen of blood for a laboratory test, the person is taken not to have provided the specimen unless it— is sufficient to enable the test or the analysis to be carried out; and is provided in a way that enables the objective of the test or analysis to be satisfactorily achieved.\n(sec.80-ssec.2) A police officer may require any person found by the officer or who the officer reasonably suspects was during the last preceding 3 hours— driving a motor vehicle, tram or train on a road or elsewhere; or attempting to put in motion a motor vehicle, tram or train on a road or elsewhere; or in charge of a motor vehicle, tram or train on a road or elsewhere; or otherwise operating, or interfering with the operation of, a motor vehicle dangerously on a road or elsewhere; or driving or in charge of or attempting to put in motion a vessel being used or apparently about to be used in navigation; to provide a specimen of breath for a breath test by the person, a specimen of saliva for a saliva test by the person, or both.\n(sec.80-ssec.2A) If a motor vehicle, tram, train or vessel is involved in an incident resulting in injury to or death of any person or damage to property a police officer may require any person who the officer reasonably suspects— was driving or attempting to drive the motor vehicle, tram or train on a road or elsewhere; or was in charge of the motor vehicle, tram or train on a road or elsewhere; or for an incident involving a motor vehicle—was otherwise operating, or interfering with the operation of, the motor vehicle dangerously; or was driving or in charge of or attempting to drive the vessel; at the time of the incident to provide a specimen of breath for a breath test by the person, a specimen of saliva for a saliva test by the person or both.\n(sec.80-ssec.2B) Subsection&#160;(2C) applies if— a police officer requires a person to provide a specimen of breath for a breath test by the person, a specimen of saliva for a saliva test by the person, or both, under subsection&#160;(2) or (2A) ; and the person— is taken not to have provided the specimen of breath or saliva under subsection&#160;(1A) ; or provides the specimen of breath or saliva; but— the device used for the test is or becomes defective precluding its satisfactory operation; or for any reason it is not possible to use or continue using the device to conduct the breath test or saliva test; or for any other reason it is not possible to complete the breath test or saliva test.\n(sec.80-ssec.2C) Under subsection&#160;(2) or (2A) , the police officer may require the person to provide as many specimens of breath or saliva, or both, as the police officer considers reasonably necessary to carry out the breath test, the saliva test or both.\n(sec.80-ssec.3) A police officer who is exercising a power conferred on the officer by subsection&#160;(2) or (2A) may require the person in question to provide the specimen of breath or saliva— at the time when and the place where the police officer makes the requirement including at any police station where the person may then be; or at the police station nearest to that place or at some other police station conveniently located as soon as practicable after the police officer makes the requirement if the police officer believes on reasonable grounds that it is reasonable for such person to be taken to a police station for the purpose, having regard to the circumstances of the case; or without limiting paragraph&#160;(b) , as soon as practicable after the police officer makes the requirement, at a place at which the police officer believes on reasonable grounds there is located a device that the police officer may use for carrying out a breath test or saliva test if the police officer does not have a device for the relevant test with him or her.\n(sec.80-ssec.4) A requirement must not be made under subsection&#160;(2) or (2A) unless it is made as soon as practicable and within 3 hours after the event happens that authorises the police officer to make the requirement under the subsection.\n(sec.80-ssec.5) If a person required by a police officer under subsection&#160;(2) or (2A) to provide at a police station or other place a specimen of breath for a breath test, or of saliva for a saliva test, by the person fails to go voluntarily to the police station or other place for that purpose, any police officer, using such force as is necessary, may take the person to the police station or, as the case may be, other place for that purpose.\n(sec.80-ssec.5A) Subject to subsection&#160;(5B) , if a person required by a police officer under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test, or a specimen of saliva for a saliva test, by the person either— fails to provide the specimen; or fails to provide the specimen in the manner directed by the police officer who makes the requirement; the person commits an offence against this Act. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.80-ssec.5B) A person referred to in subsection&#160;(5A) is not guilty of an offence under that subsection if— immediately after the requirement is made, the person produces to the police officer a certificate in the approved form from a doctor stating that— because of a stated illness or disability, the person is incapable of providing a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva; or the provision of a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva could adversely affect the person’s health; or the person satisfies the justices that the requisition to provide a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva was not lawfully made or that the person was, by reason of the events that occurred, incapable of providing the specimen as required or that there was some other reason of a substantial character for the person’s failure to provide the specimen as required other than a desire to avoid providing information that might be used in evidence.\n(sec.80-ssec.6) If— it appears to a police officer in consequence of a breath test carried out by the officer on a specimen of breath of any person that the person is over the general alcohol limit; or it appears to a police officer in consequence of a breath test carried out by the officer on a specimen of breath of any person that the person is over the no alcohol limit and the police officer reasonably suspects that the person is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers; or it appears to a police officer in consequence of a saliva test carried out by the officer on a specimen of saliva of any person that a relevant drug is present in the person’s saliva; or a person required by a police officer under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test, or a specimen of saliva for a saliva test, by the person— fails to provide the specimen; or fails to provide the specimen in the manner directed by the police officer who makes the requirement; or declines to wait for such time as is reasonable in the circumstances to enable the test to be carried out satisfactorily; or a police officer reasonably suspects that a person who produces a certificate under subsection&#160;(5B) (a) is, because of the external signs exhibited by the person, affected by liquor or a drug; any police officer, using such force as is necessary, may— take the person to a police station, hospital or other place authorised under this section; or take the person to a vehicle or vessel where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva; or if the person is already at a police station—detain the person there or take the person— to such other police station as is convenient and reasonable in the circumstances; or to a vehicle or vessel, such as is convenient and reasonable in the circumstances, where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva; or if the person is already at a vehicle or vessel where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva—detain the person there or take the person— to another such vehicle or vessel as is convenient and reasonable in the circumstances; or to a police station such as is convenient and reasonable in the circumstances; for the purposes of subsections&#160;(8) to (8L) .\n(sec.80-ssec.8) Any person who— is arrested for an offence against section&#160;79 or 83 ; or is arrested for any indictable offence in connection with or arising out of the driving of a motor vehicle by the person (including any offence against any provision of the Criminal Code , section&#160;328A ); or is arrested for an offence against the Criminal Code , section&#160;328A in connection with or arising out of the operation, or interference with the operation, of a motor vehicle, other than an offence mentioned in paragraph&#160;(b) ; or is, for the purposes of subsections&#160;(8) to (8L) , detained at or taken to a police station, or detained at or taken to a vehicle or vessel where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva, or taken to a hospital or other place authorised under this section; may, while at a police station, vehicle, vessel, hospital or other place authorised under this section as aforesaid, be required by any police officer to provide 1 or more of the following as any police officer requires— a specimen of the person’s breath for analysis by a breath analysing instrument; a specimen of the person’s saliva for saliva analysis; a specimen of the person’s blood for a laboratory test.\n(sec.80-ssec.8A) A person to whom subsection&#160;(8) applies may be detained at a police station, vehicle, vessel, hospital or other place as aforesaid for the purposes of subsections&#160;(8) to (8L) by a police officer.\n(sec.80-ssec.8B) Any person referred to in subsection&#160;(8) may, for the purposes of subsections&#160;(8) to (8L) , be taken— to a police station; or to a police station, vehicle or vessel where facilities are available for either or both of the following— analysing a specimen of breath by a breath analysing instrument; analysing a specimen of saliva by a saliva analysing instrument; or to a hospital; or if there are reasonable grounds for believing that a doctor or nurse is available at any other place—to that place; and such person may be taken to more than 1 of such places if the purposes of those subsections can not be carried out or effected at a place to which the person has been first taken.\n(sec.80-ssec.8C) If a person whom a police officer may require under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test, or a specimen of saliva for a saliva test, by the person (an authorising requirement ) is at the hospital for treatment, that person may be required by any police officer to provide at the hospital— if the specimen that may be required under the authorising requirement is a specimen of breath—a specimen of the person’s breath for analysis by a breath analysing instrument or a specimen of the person’s blood for a laboratory test; or if the specimen that may be required under the authorising requirement is a specimen of saliva—a specimen of the person’s saliva for saliva analysis or a specimen of the person’s blood for a laboratory test.\n(sec.80-ssec.8D) A requirement for a person to provide a specimen under subsection&#160;(8C) must not be made under the subsection unless— a doctor who is familiar with the person’s injuries and apparent state of health at the time of the requirement approves of the person providing the specimen; and the requirement is made as soon as practicable and within 3 hours of the event that authorises the police officer to make the authorising requirement.\n(sec.80-ssec.8E) If a person who is required under subsection&#160;(8) or (8C) to provide a specimen of the person’s breath or saliva for analysis forthwith on being so required produces to the police officer who made the requisition a doctor’s certificate mentioned in subsection&#160;(5B) (a) material to the provision of the specimen, the police officer must not require a specimen of breath or saliva of the person but must require a specimen of the person’s blood.\n(sec.80-ssec.8F) A person who is required under subsection&#160;(8) or (8C) to provide a specimen of the person’s breath for analysis must do so, when directed by the doctor or authorised police officer operating or who is to operate the breath analysing instrument, by placing the person’s mouth over the mouthpiece of the instrument and blowing directly and continuously (and without escape of breath otherwise) through that mouthpiece into the instrument until told to stop by the doctor or authorised police officer operating the instrument.\n(sec.80-ssec.8FA) A person required under subsection&#160;(8) or (8C) to provide a specimen of the person’s saliva for saliva analysis must do so by— placing a collection unit, that is prescribed under a regulation, into or adjacent to the person’s mouth when directed by the authorised police officer operating, or who is to operate, a saliva analysing instrument; and while providing the specimen, holding or otherwise dealing with the collection unit, in a way prescribed under a regulation, until told to stop by the authorised police officer.\n(sec.80-ssec.8G) The commissioner may, by writing under the commissioner’s hand, authorise any police officer to be an authorised police officer to operate either or both of the following on being satisfied the officer is competent to operate the instrument— a breath analysing instrument; a saliva analysing instrument.\n(sec.80-ssec.8H) If an authorised police officer’s instrument of authority issued under subsection&#160;(8G) is lost, mislaid, or destroyed or otherwise can not be produced— the police officer continues to be an authorised police officer even though the instrument of authority has been lost, mislaid, or destroyed or otherwise can not be produced; and the commissioner may issue to the officer a replacement instrument of authority; and the replacement instrument of authority is taken to have effect from the date the original instrument of authority was issued.\n(sec.80-ssec.8I) A certificate purporting to be signed by the commissioner that the police officer named in the certificate is authorised by the commissioner to operate a breath analysing instrument or saliva analysing instrument is, in the absence of proof to the contrary, proof that the named police officer is so authorised.\n(sec.80-ssec.8L) Subsection&#160;(8M) applies if— a person has been required to provide, under subsection&#160;(8) or (8C) , a specimen of the person’s breath for analysis by a breath analysing instrument, a specimen of the person’s saliva for saliva analysis or a specimen of the person’s blood for a laboratory test; and the person— is taken under subsection&#160;(1A) not to have provided the specimen that was required; or provides a specimen of breath for analysis by a breath analysing instrument or a specimen of saliva for saliva analysis; but— the relevant breath analysing instrument or saliva analysing instrument is or becomes defective precluding its satisfactory operation to analyse the breath specimen or saliva specimen; or for any reason it is not possible to use or continue using the breath analysing instrument for analysing the breath specimen or the saliva analysing instrument for analysing the saliva specimen; or for an analysis by a breath analysing instrument, the instrument indicates to the authorised police officer operating the instrument that alcohol or some other substance is present in the mouth of the person supplying the breath specimen; or for any other reason it is not possible to complete the analysis.\n(sec.80-ssec.8M) Under subsection&#160;(8) or (8C) , the police officer is authorised to require the person to provide as many specimens of breath, saliva or blood as the officer considers reasonably necessary to carry out the analysis or test.\n(sec.80-ssec.9) If a person— is arrested for any offence referred to in subsection&#160;(8) ; or is, for the purposes of subsections&#160;(8) to (8L) , detained at or taken to a police station, vehicle or vessel, or taken to a hospital or other place authorised under this section; and while at a police station, vehicle, vessel, hospital or other place authorised under this section as aforesaid is required by a police officer to provide a specimen of the person’s breath for analysis by a breath analysing instrument, or the person’s saliva for saliva analysis, the police officer making the requisition may— if the police officer who arrested, detained or took as aforesaid the person believes on reasonable grounds that at the time of the arrest, detaining or taking the person exhibited external signs indicating that the person was affected by liquor or a drug; and if— the analysis by the breath analysing instrument of the specimen of breath provided under the requisition indicates either that there is no alcohol in the person’s blood or breath or that the concentration of alcohol in the person’s blood or breath does not reasonably explain the external signs exhibited and observed; or the analysis by the saliva analysing instrument of the specimen of saliva provided under the requisition indicates that there is no relevant drug in the person’s saliva; require the person to provide a specimen of the person’s blood for a laboratory test and, subject to the direction of a doctor or nurse, a specimen of the person’s urine for a laboratory test.\n(sec.80-ssec.9A) The police officer making the requisition may detain the person at a police station, vehicle, vessel, hospital or other place authorised under this section for a period of time that is reasonable in the circumstances to enable a doctor to attend there in connection with the provision by the person of a specimen of blood or urine or, as the case requires, such police officer may take the person to a place where, in the reasonable belief of such officer, a doctor or nurse is available for the purposes of the provision by the person of a specimen of the person’s blood.\n(sec.80-ssec.9B) A person who is required by a police officer, under this section, to provide a specimen of the person’s blood for a laboratory test must allow a doctor or nurse, or a qualified assistant directed by a doctor or nurse to take the specimen, to take the specimen when and as directed by and to the satisfaction of the health care professional, the health care professional being hereby authorised to take such specimen whether or not the person consents to the taking.\n(sec.80-ssec.9C) A person who is required under subsection&#160;(9) to provide a specimen of the person’s urine for a laboratory test must do so when and as directed by a doctor or nurse.\n(sec.80-ssec.10) A police officer may require a doctor or nurse who is attending a person who is at a hospital for treatment to obtain a specimen of the person’s blood for a laboratory test, if the person— is a person whom a police officer may require under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test or a specimen of saliva for a saliva test; and is, or appears to be, unable to consent to the taking of the specimen of blood because the person is, or appears to be, unconscious or otherwise unable to communicate.\n(sec.80-ssec.10A) The doctor or nurse must— take a specimen of the person’s blood that will enable the laboratory test to be carried out; or ensure that a qualified assistant takes a specimen of the person’s blood that will enable the laboratory test to be carried out.\n(sec.80-ssec.10B) A qualified assistant may take the specimen of the person’s blood if directed to do so by the doctor or nurse.\n(sec.80-ssec.10C) The health care professional who takes the specimen of the person’s blood under subsection&#160;(10A) (a) or (10B) must, immediately after taking the specimen, take another specimen of the person’s blood and give it to the person as soon as practicable.\n(sec.80-ssec.10D) The doctor or nurse need not comply with subsection&#160;(10A) if the doctor or nurse— reasonably believes that taking the specimen would be prejudicial to the person’s treatment; or has another reasonable excuse. A doctor or nurse would have a reasonable excuse if he or she was required to attend to a patient suffering a heart attack and was unable to take the specimen of blood when required.\n(sec.80-ssec.10E) A police officer must not make a requirement under subsection&#160;(10) relating to a person whom a police officer may require under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test if— under this section, the person has provided a specimen of breath (the analysis specimen ) for analysis by a breath analysing instrument in relation to the occurrence or event in relation to which the police officer may require a specimen of breath for a breath test as mentioned in subsection&#160;(10) (a) ; and the analysis specimen has been analysed by a breath analysing instrument; and there is a certificate under subsection&#160;(15) for the analysis.\n(sec.80-ssec.10EA) Also, a police officer must not make a requirement under subsection&#160;(10) relating to a person whom a police officer may require under subsection&#160;(2) or (2A) to provide a specimen of saliva for a saliva test if— under this section, the person has provided a specimen of saliva for saliva analysis in relation to the occurrence or event in relation to which the police officer may require a specimen of saliva for a saliva test as mentioned in subsection&#160;(10) (a) ; and the specimen for saliva analysis has been analysed by a saliva analysing instrument; and a notice about the analysis is retained by, or given to, the police officer as mentioned in subsection&#160;(15AB) (b) (i) and (ii) .\n(sec.80-ssec.10F) Subsections&#160;(10A) and (10C) do not create offences.\n(sec.80-ssec.10G) It is lawful for a health care professional to take a specimen of a person’s blood under subsection&#160;(10A) (a) , (10B) or (10C) even though the person has not consented to the taking.\n(sec.80-ssec.11) If a police officer makes a requisition under subsection&#160;(8) , (8C) or (9) in relation to a person driving, attempting to put in motion or in charge of a motor vehicle, tram, train or vessel, and the person fails to provide as prescribed in this section— a specimen of the person’s breath for analysis by a breath analysing instrument; or a specimen of the person’s saliva for saliva analysis; or a specimen of the person’s blood for a laboratory test; each of the following applies— the person is guilty of an offence that is taken to be an offence against the appropriate provision of section&#160;79 (1) ; the person is liable to the same punishment in all respects, including disqualification from holding or obtaining a Queensland driver licence, as the person would be if the offence were actually an offence committed by the person against the appropriate provision of section&#160;79 (1) .\n(sec.80-ssec.11AA) If a police officer makes a requisition under subsection&#160;(8) , (8C) or (9) in relation to a person other than a person mentioned in subsection&#160;(11) , and the person fails to provide as prescribed in this section— a specimen of the person’s breath for analysis by a breath analysing instrument; or a specimen of the person’s saliva for saliva analysis; or a specimen of the person’s blood for a laboratory test; the person commits an offence against this Act. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.80-ssec.11A) A person referred to in subsection&#160;(11) or (11AA) is not guilty of an offence under that subsection if the person satisfies the justices that the requisition to provide the specimen was not lawfully made or that the person was, because of the events that occurred, incapable of providing the specimen or that there was some other reason of a substantial character for the person’s failure to provide the specimen other than a desire to avoid providing information that might be used in evidence.\n(sec.80-ssec.15) As soon as practicable after a specimen of breath provided under a requisition has been analysed by means of a breath analysing instrument, the doctor or authorised police officer operating such instrument must sign 2 copies of a certificate in writing stating the concentration of alcohol indicated by the analysis to be present in the blood or breath of the person whose breath has been analysed, the date and time at which the analysis was made, and must— either— if the specimen was analysed by the police officer who made the requisition—retain 1 copy of the certificate; or otherwise—deliver 1 copy of the certificate to the police officer who made the requisition; and deliver the other copy to the person whose breath has been analysed (or to another person on behalf of that person on request by that other person).\n(sec.80-ssec.15A) A copy of a certificate under subsection&#160;(15) — is evidence that the instrument operated by the doctor or officer was a breath analysing instrument; and is evidence that the instrument was in proper working order and properly operated by the doctor or officer; and is evidence that all regulations relating to breath analysing instruments were complied with; and is presumed to have been given to the person whose breath was analysed, unless the contrary is proved.\n(sec.80-ssec.15AB) As soon as practicable after a specimen of saliva provided under a requisition has been analysed by means of a saliva analysing instrument, the authorised police officer operating the instrument must— enter details in a notice, in the approved form, about the analysis; and either— if the specimen was analysed by the police officer who made the requisition—retain 1 copy of the notice; or otherwise—give 1 copy of the notice to the police officer who made the requisition; and give a copy of the notice to the person whose saliva has been analysed (or, at the person’s request, to another person on the person’s behalf).\n(sec.80-ssec.15AC) If a relevant drug is present in analysed saliva, the approved form given to a person as mentioned in subsection&#160;(15AB) (c) for the analysis must include notice about each of the following— the person may request a specimen of the person’s saliva be given to him or her as stated in subsection&#160;(20A) ; another part of the specimen that was analysed by the saliva analysing instrument will be delivered to a laboratory of an analyst to be tested for the presence of a relevant drug.\n(sec.80-ssec.15B) If a person who is required under subsection&#160;(8) or (8C) to provide a specimen of the person’s breath for analysis or saliva for saliva analysis fails to do so as prescribed by that subsection, the doctor or authorised police officer operating or to operate the breath analysing instrument or the police officer operating or to operate the saliva analysing instrument must, as soon as practicable after the person fails to provide the specimen, sign 2 copies of a certificate in writing stating— the full name of the person concerned; and the name of the police officer who made the requisition; and whether the requisition was for a specimen of the person’s breath for analysis or saliva for saliva analysis; and the name of the operator of the breath analysing instrument or saliva analysing instrument; and the name and patent number or name and model number appearing on the breath analysing instrument or saliva analysing instrument; and that the person concerned failed to provide as prescribed by that subsection a specimen of breath or saliva when required; and must— either— if the operator of the breath analysing instrument is the police officer who made the requisition—retain 1 copy of the certificate; or otherwise—deliver 1 copy of the certificate to the police officer who made the requisition; and deliver the other copy to the person who failed to provide as prescribed the specimen of breath or saliva when required (or to another person on behalf of that person on request by that other person).\n(sec.80-ssec.15F) A certificate referred to in subsection&#160;(15B) must, on its production in any proceeding, be accepted as evidence— that a requisition to provide a specimen of the person’s breath for analysis or saliva for saliva analysis was made to the person concerned by the police officer named in the certificate as the police officer making the requisition; and that the person concerned failed to provide as prescribed by subsections&#160;(8) to (8L) a specimen of breath or saliva when required; and that an approved breath analysing instrument or saliva analysing instrument was available at the place where and at the time when the requisition was made for the purpose of analysing a specimen provided in accordance with the requisition; and until the contrary is proved is conclusive such evidence.\n(sec.80-ssec.15G) Evidence by a doctor or an authorised police officer or by a copy of a certificate referred to in subsection&#160;(15) purporting to be signed by a doctor or an authorised police officer of the concentration of alcohol indicated to be present in the blood or breath of a person by a breath analysing instrument operated by such doctor or authorised police officer is, subject to subsection&#160;(15H) , conclusive evidence of the concentration of alcohol present in the blood or breath of the person in question at the time (being in the case of such certificate the date and time stated therein) the breath of that person was analysed and at a material time in any proceedings if the analysis was made not more than 3 hours after such material time, and at all material times between those times.\n(sec.80-ssec.15H) The defendant may negative such evidence as aforesaid if the defendant proves that at the time of the operation of the breath analysing instrument it was defective or was not properly operated.\n(sec.80-ssec.16) As soon as practicable after— a specimen of blood or urine has been obtained under this section; or a specimen of saliva has been obtained under this section and a notice is retained by, or given to a police officer as mentioned in subsection&#160;(15AB) (b) (i) and (ii) stating that a relevant drug was present in the analysed specimen of saliva; the police officer who required the specimen must deliver it, or arrange for it to be delivered on the police officer’s behalf, to the laboratory of an analyst.\n(sec.80-ssec.16A) The specimen of blood, urine or saliva to be delivered under subsection&#160;(16) must be delivered to the analyst’s laboratory in the way prescribed under a regulation.\n(sec.80-ssec.16B) A certificate purporting to be signed by an analyst and stating— that there was received at the laboratory of the analyst from the police officer named in the certificate a specimen of the blood, or a specimen of the saliva, as stated in the certificate (the delivered specimen ) of the person named in the certificate provided by that person on the date and at the place and time stated in the certificate; and that the analyst or another analyst made a laboratory test of the delivered specimen on the date and at the place stated in the certificate; and if a laboratory test of the delivered specimen was done by another analyst—the analyst who signed the certificate— examined the laboratory’s records about the receipt, storage and testing of the delivered specimen; and confirms the records show that all quality assurance procedures for the receipt, storage and testing of the delivered specimen that were in place in the laboratory at the time of the laboratory test were complied with; and that— if the delivered specimen was a specimen of blood— the concentration of alcohol in the person’s blood indicated by the laboratory test was a stated number of milligrams of alcohol in the blood per 100mL of blood; or a stated drug or metabolite of a stated drug was indicated by the laboratory test to be present in the person’s blood; or if the delivered specimen was a specimen of saliva—a stated relevant drug or metabolite of a stated relevant drug was indicated by the laboratory test to be present in the person’s saliva; is evidence of those matters and until the contrary is proved is conclusive such evidence.\n(sec.80-ssec.16BA) If the commissioner receives a written request for a copy of the laboratory’s records about the receipt, storage or testing of a delivered specimen from the person who gave the specimen, the commissioner must give a copy of the records to the person within 7 business days after receiving the request.\n(sec.80-ssec.16C) If a person who is required under subsection&#160;(8) , (8C) or (9) to provide a specimen of the person’s blood for a laboratory test fails to do so as prescribed by the subsection under which the requisition is made, the health care professional by whom the specimen is to be taken must, as soon as practicable thereafter, sign 2 copies of a certificate in writing stating— the full name of the person concerned; and the name of the police officer who made the requisition; and that the person concerned failed to provide a specimen of blood when required; and must deliver— 1 copy of such certificate to the police officer who made the requisition; and the other copy to the person who failed to provide the specimen of blood when required (or to another person on behalf of that person on request by that other person).\n(sec.80-ssec.16E) A certificate referred to in subsection&#160;(16C) must, on its production in any proceeding, be accepted as evidence— that a requisition to provide a specimen of the person’s blood for a laboratory test was made to the person concerned by the police officer named in the certificate as the police officer making the requisition; and that the person concerned failed to provide as prescribed by the subsection under which the requisition was made a specimen of the person’s blood when required; and until the contrary is proved is conclusive such evidence.\n(sec.80-ssec.16F) Evidence by an analyst or by a certificate referred to in subsection&#160;(16B) of the concentration of alcohol indicated to be present in, or of the drug or metabolite of the drug indicated to be present in, the blood of a person by a laboratory test of a specimen of the blood of that person is, subject to subsection&#160;(16G) , conclusive evidence of the presence of the concentration of alcohol in, or the drug or the metabolite of the drug in, the blood of that person at the time (being in the case of such certificate the date and time stated therein) when the person provided the specimen and at a material time in any proceedings if the specimen was provided not more than 3 hours after such material time, and at all material times between those times. The reference to drug in this subsection, because of its generality, includes a relevant drug.\n(sec.80-ssec.16FA) Evidence by an analyst, or by a certificate referred to in subsection&#160;(16B) , that a stated relevant drug or metabolite of a stated relevant drug is indicated to be present in the blood or saliva of a person by a laboratory test of a specimen of the blood or saliva of the person, subject to subsection&#160;(16G) , is conclusive evidence of the presence of the stated relevant drug or the metabolite of the stated relevant drug in the person’s blood or saliva— at the time (being for a certificate the date and time stated in the certificate) when the person provided the specimen; and at a material time in any proceedings if the specimen was provided not more than 3 hours after the material time; and at all material times between those times.\n(sec.80-ssec.16G) The defendant may negative the evidence mentioned in subsection&#160;(16F) or (16FA) if the defendant proves the result of the laboratory test of that specimen of blood or saliva was not a correct result.\n(sec.80-ssec.16H) The court must on the application of the complainant adjourn the hearing as necessary to enable the production in evidence of the certificate of the analyst and if within 3 days after providing the specimen the defendant has given to the police officer in charge of the police station at which or nearest to the hospital or other place where the specimen of blood for the laboratory test, or the specimen of saliva for saliva analysis, was provided a notice in writing that the defendant requires a copy of the certificate to be given to the defendant at the address stated in the notice must, at the request of the defendant, adjourn the hearing as necessary to ensure that such copy has been given to the defendant at such address not less than 3 days before the production of the certificate in evidence.\n(sec.80-ssec.16I) Such copy may be given either personally or by sending it by registered post or certified mail.\n(sec.80-ssec.16J) The person who gives the copy (whether personally or by sending it by registered post or certified mail) may attend before any justice of the peace having jurisdiction in the State or part of the State or part of the Commonwealth where the person gives the copy and depose on oath and in writing endorsed on a copy of the certificate to the giving thereof.\n(sec.80-ssec.16K) The deposition is, on production to the court, evidence of the matters contained therein and, until the contrary is proved, is conclusive such evidence.\n(sec.80-ssec.16L) Nothing contained in subsections&#160;(16H) to (16K) precludes the court in its discretion from dealing with a charge of an offence against section&#160;79 (1) or (2AA) on the application of the defendant notwithstanding that at that time the result of the laboratory test of the specimen of the blood or of saliva of the defendant is not known if— the defendant pleads guilty to the offence; and the court is satisfied that the facts available to be put forward by the prosecution, and unchallenged by the defendant, are sufficient to enable it to deal properly with the matter.\n(sec.80-ssec.18) A certificate purporting to be signed by a health care professional that on a date and at a place and time stated therein the health care professional took a specimen of blood for a laboratory test, or a specimen of saliva for saliva analysis, of a person named in the certificate must, on its production in any proceeding, be accepted as evidence of those matters and until the contrary is proved is conclusive such evidence.\n(sec.80-ssec.18A) If by any provision of this section a certificate of or purporting to be signed by a health care professional, an authorised police officer or an analyst is made evidence of any matter, a certificate purporting to be signed by a health care professional, an authorised police officer or an analyst, as the case may be, as to that matter must, on its production in any proceeding, be accepted as evidence— that the signature on the certificate is that of the person by whom the certificate purports to be made; and of all matters contained therein including the status, authority or qualification of the person by whom the certificate purports to be made; and until the contrary is proved is conclusive such evidence.\n(sec.80-ssec.19) If a police officer delivers a specimen of blood (the specimen ), or a specimen of saliva (also the specimen ), or arranges for the specimen to be delivered on the officer’s behalf, to an analyst’s laboratory in a way prescribed by regulation, in any proceeding— evidence of that fact given by the officer and any person who delivered the specimen on the officer’s behalf; and a certificate, produced in evidence, purporting to be signed by the analyst certifying that the specimen was received at the analyst’s laboratory from the officer; is sufficient evidence of compliance with subsection&#160;(16A) .\n(sec.80-ssec.20) A person who, being thereunto required under subsection&#160;(8) , (8C) or (9) , has provided a specimen of blood for a laboratory test, or a specimen of saliva for saliva analysis, may when the person provides the specimen or immediately after providing it and where the person provides it (or another person on behalf of that person may when or immediately after the person provides the specimen and where the person provides it) request— the health care professional who took the specimen of blood to give the person a specimen of the person’s blood; or the police officer who took the specimen of saliva for saliva analysis to give to the person a specimen of the person’s saliva.\n(sec.80-ssec.20A) Upon such request, subject to the person concerned then and there providing a second specimen of blood or saliva, the health care professional must give the second specimen of blood, or the police officer must give the second specimen of saliva, to the person or to the person requesting it on the person’s behalf.\n(sec.80-ssec.21) In subsection&#160;(22) — relevant provision means— subsection&#160;(8) to the extent it applies to a person mentioned in subsection&#160;(8) (a) , (b) or (c) ; or subsection&#160;(8C) to the extent it applies to a person who may be required to provide a specimen of breath for a breath test under subsection&#160;(2) (a) , (b) , (c) or (d) or (2A) (a) , (b) or (c) .\n(sec.80-ssec.22) Subsection&#160;(22AA) applies if— the analysis by means of a breath analysing instrument of a specimen of breath of a person required by a police officer to be provided under a relevant provision indicates that the person is over the general alcohol limit or in the case of a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers, that the person is over the no alcohol limit; or the analysis by means of a saliva analysing instrument of a specimen of saliva of a person required by a police officer to be provided under a relevant provision indicates that a relevant drug is present in the person’s saliva; or a person required to provide a specimen of breath, or a specimen of saliva for saliva analysis, as mentioned in paragraph&#160;(a) or (ab) fails to provide the specimen as prescribed under subsections&#160;(8) to (8L) ; or a person has been arrested for an offence under section&#160;79 (1) but has not been required by a police officer to provide a specimen of breath for analysis or a specimen of blood for a laboratory test under subsection&#160;(8) or (8C) — because the person is violent; or because of the external signs exhibited by the person, the police officer reasonably believes the person is so affected by alcohol or a drug as to be unable to provide the specimen; or because of the remoteness of the area— a breath analysing instrument is not available to analyse a specimen of the person’s breath; or a doctor or nurse is not available to take a specimen of blood from the person for a laboratory test or to direct a qualified assistant to take the specimen; or a person who is required by a police officer under a relevant provision to provide a specimen of the person’s blood for a laboratory test permits a specimen of the person’s blood to be taken for the purpose and thereupon such police officer requires that person to provide a specimen of breath for a breath test, or saliva for a saliva test, by the officer (the officer being hereby authorised to require such a specimen of breath for a breath test, or saliva for a saliva test, to be provided), and— it appears to the police officer in consequence of the breath test carried out by the officer that the device by means of which the test is carried out indicates that the person is over the general alcohol limit or in the case of a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers, that the person is over the no alcohol limit; or it appears to the police officer in consequence of the saliva test carried out by the officer that the device by means of which the test is carried out indicates a relevant drug is present in the person’s saliva; or the person fails to provide such specimen of breath or saliva; or a person who is required by a police officer under a relevant provision, or under subsection&#160;(9) in relation to a relevant provision, to provide a specimen of the person’s blood for a laboratory test fails to provide such specimen; or a specimen of a person’s blood is taken under a relevant provision, or under another provision of this section in relation to a relevant provision, for a laboratory test and a doctor or nurse certifies in writing to the police officer who made the requisition for the provision or taking of the specimen of blood that, in respect of the person concerned, the case is a proper one for the suspension of that person’s driver licence for a period of 24 hours.\n(sec.80-ssec.22AA) The person’s driver licence is suspended for 24 hours from when— the analysis mentioned in subsection&#160;(22) (a) or (ab) was made; or the requirement mentioned in subsection&#160;(22) (b) , (c) (ii) or (d) was made; or the arrest mentioned in subsection&#160;(22) (ba) was made; or the breath test of the specimen of the person’s breath mentioned in subsection&#160;(22) (c) (i) , or the saliva test of the specimen of the person’s saliva mentioned in subsection&#160;(22) (c) (ia) , was carried out; or the certificate in writing mentioned in subsection&#160;(22) (e) was given.\n(sec.80-ssec.22A) The police officer who required the specimen must sign and deliver to the person concerned (or to another person on behalf of that person at the request of that other person) a statement in writing that the driver licence of the person concerned is suspended as prescribed by subsection&#160;(22AA) for the period of 24 hours commencing at the time stated therein.\n(sec.80-ssec.22B) It is immaterial, in any of the cases referred to in subsection&#160;(22) , whether the person concerned is arrested or not.\n(sec.80-ssec.22C) Notwithstanding any other provision of this Act, a review or an appeal does not lie in respect of the suspension of a driver licence under subsection&#160;(22AA) .\n(sec.80-ssec.22D) Any person who, while the person’s driver licence is suspended under subsection&#160;(22AA) , drives a motor vehicle on a road or elsewhere is guilty of an offence and liable to a penalty not exceeding 14 penalty units or to imprisonment for a term not exceeding 1 year.\n(sec.80-ssec.23) If under this section a police officer may in the performance, exercise or carrying out of the officer’s functions, powers or duties under this section take a person to a hospital or police station for the taking of a specimen and the police officer believes on reasonable grounds that a doctor is not available at the hospital or to go to the police station, or that, for the taking of a specimen of blood at the hospital, a nurse also is not available, the officer may, whether the person concerned is under arrest or not, take such person to a place where to the officer’s knowledge or in the officer’s reasonable belief a doctor is available for the taking of a specimen.\n(sec.80-ssec.24) Evidence of either or both of the following— the presence of the concentration of alcohol in the blood or breath of a person, or the concentration of a drug or metabolite of a drug (other than a relevant drug or a metabolite of a relevant drug) in the blood of a person; the presence of a relevant drug in the blood or saliva of a person; at a time material to the time of an offence as hereinafter mentioned obtained in accordance with any of the provisions of this section is admissible in the trial on indictment of that person of any offence in connection with or arising out of the driving, operation, or interference with the operation, of a motor vehicle or on any hearing of a charge summarily against the person of an offence against any provision of the Criminal Code , section&#160;328A , and must not be excluded only because the evidence was compulsorily obtained or otherwise obtained in accordance with this section.\n(sec.80-ssec.24A) Evidence admissible under subsection&#160;(24) — may be given in the same manner, whether by a witness or by a certificate, as it may be given under the provisions of this section, other than that subsection, in respect of an offence against this Act; and is admissible in the same circumstances and in all respects to the same extent as it would be admissible under the provisions of this section, other than subsection&#160;(24) , in respect of an offence against this Act and, subject to paragraph&#160;(c) , has the same evidentiary value in relation to the same matters and times as are provided for by the provisions of this section, other than that subsection, in respect of such evidence; and where such evidence indicates a person was over the high alcohol limit, is conclusive evidence that the person was adversely affected by alcohol at all times in relation to which such evidence has evidentiary value under this section.\n(sec.80-ssec.26) If a defendant proposes to lead evidence to prove in any proceeding— under subsection&#160;(15H) , that at the time of the operation of a breath analysing instrument it was defective or was not properly operated; or under subsection&#160;(16G) , that the result of a laboratory test of a specimen of blood or saliva referred to in subsection&#160;(16F) or (16FA) was not a correct result; or under subsection&#160;(18) or (18A) , that the signature referred to therein is not the signature of the health care professional, authorised police officer or analyst by whom the certificate referred to therein purports to be signed or that any matter contained in the said certificate is not correct; the defendant must give notice thereof to the complainant not less than 14 clear days before the return date of the summons or the appointed date for the hearing of the charge.\n(sec.80-ssec.27) The notice must— be written; and be signed by the defendant or the defendant’s solicitor; and for a notice under subsection&#160;(26) (a) —state the grounds on which the defendant intends to rely to prove that the breath analysing instrument was defective or was not properly operated; and a claim that the breath analysing instrument was defective because it mistook the presence of mouthwash in the defendant’s mouth for the presence of alcohol in the defendant’s blood for a notice under subsection&#160;(26) (b) —state the grounds on which the defendant intends to rely to prove that the result of the laboratory test was not a correct result.\n(sec.80-ssec.28) A defendant who gives a notice under subsection&#160;(26) (b) may, only with the court’s leave, require a person who was involved in the taking, receipt, storage or testing of the specimen of blood or saliva to attend the hearing to give evidence.\n(sec.80-ssec.29) The court may grant the leave only if satisfied— that the complainant has been given an opportunity to make a submission to the court about granting the leave; and that— there is a reasonable possibility that an irregularity or defect exists in relation to the taking, receipt, storage or testing of the specimen of blood or saliva about which the person required to attend the hearing is able to give evidence; or it is otherwise in the interests of justice that the person be required to attend the hearing to give evidence relevant to the proceeding.\n(sec.80-ssec.30) In a proceeding for an offence against section&#160;79 or 83 or the Criminal Code , section&#160;328A , unless the contrary is proved— a qualified assistant who takes a specimen of blood from a person for a laboratory test is to be taken to have been directed by a doctor or nurse to take the specimen; and any equipment used in a laboratory test of a specimen of blood or saliva is to be taken to have given accurate results.\n- (a) a breath analysing instrument;\n- (b) a saliva analysing instrument.\n- (a) for finding out the concentration of alcohol in— (i) a person’s blood by analysing a specimen of the person’s breath; or (ii) a person’s breath by analysing a specimen of the person’s breath; and\n- (i) a person’s blood by analysing a specimen of the person’s breath; or\n- (ii) a person’s breath by analysing a specimen of the person’s breath; and\n- (b) approved under a regulation.\n- (i) a person’s blood by analysing a specimen of the person’s breath; or\n- (ii) a person’s breath by analysing a specimen of the person’s breath; and\n- (a) a doctor; or\n- (b) a nurse; or\n- (c) a qualified assistant.\n- (a) to practise in the nursing profession, other than as a student; and\n- (b) in the registered nurses division of that profession.\n- (a) is sufficient to enable the test or the analysis to be carried out; and\n- (b) is provided in a way that enables the objective of the test or analysis to be satisfactorily achieved.\n- (a) driving a motor vehicle, tram or train on a road or elsewhere; or\n- (b) attempting to put in motion a motor vehicle, tram or train on a road or elsewhere; or\n- (c) in charge of a motor vehicle, tram or train on a road or elsewhere; or\n- (ca) otherwise operating, or interfering with the operation of, a motor vehicle dangerously on a road or elsewhere; or\n- (d) driving or in charge of or attempting to put in motion a vessel being used or apparently about to be used in navigation;\n- (a) was driving or attempting to drive the motor vehicle, tram or train on a road or elsewhere; or\n- (b) was in charge of the motor vehicle, tram or train on a road or elsewhere; or\n- (ba) for an incident involving a motor vehicle—was otherwise operating, or interfering with the operation of, the motor vehicle dangerously; or\n- (c) was driving or in charge of or attempting to drive the vessel;\n- (a) a police officer requires a person to provide a specimen of breath for a breath test by the person, a specimen of saliva for a saliva test by the person, or both, under subsection&#160;(2) or (2A) ; and\n- (b) the person— (i) is taken not to have provided the specimen of breath or saliva under subsection&#160;(1A) ; or (ii) provides the specimen of breath or saliva; but— (A) the device used for the test is or becomes defective precluding its satisfactory operation; or (B) for any reason it is not possible to use or continue using the device to conduct the breath test or saliva test; or (C) for any other reason it is not possible to complete the breath test or saliva test.\n- (i) is taken not to have provided the specimen of breath or saliva under subsection&#160;(1A) ; or\n- (ii) provides the specimen of breath or saliva; but— (A) the device used for the test is or becomes defective precluding its satisfactory operation; or (B) for any reason it is not possible to use or continue using the device to conduct the breath test or saliva test; or (C) for any other reason it is not possible to complete the breath test or saliva test.\n- (A) the device used for the test is or becomes defective precluding its satisfactory operation; or\n- (B) for any reason it is not possible to use or continue using the device to conduct the breath test or saliva test; or\n- (C) for any other reason it is not possible to complete the breath test or saliva test.\n- (i) is taken not to have provided the specimen of breath or saliva under subsection&#160;(1A) ; or\n- (ii) provides the specimen of breath or saliva; but— (A) the device used for the test is or becomes defective precluding its satisfactory operation; or (B) for any reason it is not possible to use or continue using the device to conduct the breath test or saliva test; or (C) for any other reason it is not possible to complete the breath test or saliva test.\n- (A) the device used for the test is or becomes defective precluding its satisfactory operation; or\n- (B) for any reason it is not possible to use or continue using the device to conduct the breath test or saliva test; or\n- (C) for any other reason it is not possible to complete the breath test or saliva test.\n- (A) the device used for the test is or becomes defective precluding its satisfactory operation; or\n- (B) for any reason it is not possible to use or continue using the device to conduct the breath test or saliva test; or\n- (C) for any other reason it is not possible to complete the breath test or saliva test.\n- (a) at the time when and the place where the police officer makes the requirement including at any police station where the person may then be; or\n- (b) at the police station nearest to that place or at some other police station conveniently located as soon as practicable after the police officer makes the requirement if the police officer believes on reasonable grounds that it is reasonable for such person to be taken to a police station for the purpose, having regard to the circumstances of the case; or\n- (c) without limiting paragraph&#160;(b) , as soon as practicable after the police officer makes the requirement, at a place at which the police officer believes on reasonable grounds there is located a device that the police officer may use for carrying out a breath test or saliva test if the police officer does not have a device for the relevant test with him or her.\n- (a) fails to provide the specimen; or\n- (b) fails to provide the specimen in the manner directed by the police officer who makes the requirement;\n- (a) immediately after the requirement is made, the person produces to the police officer a certificate in the approved form from a doctor stating that— (i) because of a stated illness or disability, the person is incapable of providing a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva; or (ii) the provision of a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva could adversely affect the person’s health; or\n- (i) because of a stated illness or disability, the person is incapable of providing a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva; or\n- (ii) the provision of a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva could adversely affect the person’s health; or\n- (b) the person satisfies the justices that the requisition to provide a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva was not lawfully made or that the person was, by reason of the events that occurred, incapable of providing the specimen as required or that there was some other reason of a substantial character for the person’s failure to provide the specimen as required other than a desire to avoid providing information that might be used in evidence.\n- (i) because of a stated illness or disability, the person is incapable of providing a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva; or\n- (ii) the provision of a specimen of breath, a specimen of saliva or both a specimen of breath and of saliva could adversely affect the person’s health; or\n- (a) it appears to a police officer in consequence of a breath test carried out by the officer on a specimen of breath of any person that the person is over the general alcohol limit; or\n- (aa) it appears to a police officer in consequence of a breath test carried out by the officer on a specimen of breath of any person that the person is over the no alcohol limit and the police officer reasonably suspects that the person is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers; or\n- (ab) it appears to a police officer in consequence of a saliva test carried out by the officer on a specimen of saliva of any person that a relevant drug is present in the person’s saliva; or\n- (b) a person required by a police officer under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test, or a specimen of saliva for a saliva test, by the person— (i) fails to provide the specimen; or (ii) fails to provide the specimen in the manner directed by the police officer who makes the requirement; or (iii) declines to wait for such time as is reasonable in the circumstances to enable the test to be carried out satisfactorily; or\n- (i) fails to provide the specimen; or\n- (ii) fails to provide the specimen in the manner directed by the police officer who makes the requirement; or\n- (iii) declines to wait for such time as is reasonable in the circumstances to enable the test to be carried out satisfactorily; or\n- (ba) a police officer reasonably suspects that a person who produces a certificate under subsection&#160;(5B) (a) is, because of the external signs exhibited by the person, affected by liquor or a drug;\n- (i) fails to provide the specimen; or\n- (ii) fails to provide the specimen in the manner directed by the police officer who makes the requirement; or\n- (iii) declines to wait for such time as is reasonable in the circumstances to enable the test to be carried out satisfactorily; or\n- (c) take the person to a police station, hospital or other place authorised under this section; or\n- (ca) take the person to a vehicle or vessel where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva; or\n- (d) if the person is already at a police station—detain the person there or take the person— (i) to such other police station as is convenient and reasonable in the circumstances; or (ii) to a vehicle or vessel, such as is convenient and reasonable in the circumstances, where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva; or\n- (i) to such other police station as is convenient and reasonable in the circumstances; or\n- (ii) to a vehicle or vessel, such as is convenient and reasonable in the circumstances, where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva; or\n- (e) if the person is already at a vehicle or vessel where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva—detain the person there or take the person— (i) to another such vehicle or vessel as is convenient and reasonable in the circumstances; or (ii) to a police station such as is convenient and reasonable in the circumstances;\n- (i) to another such vehicle or vessel as is convenient and reasonable in the circumstances; or\n- (ii) to a police station such as is convenient and reasonable in the circumstances;\n- (i) to such other police station as is convenient and reasonable in the circumstances; or\n- (ii) to a vehicle or vessel, such as is convenient and reasonable in the circumstances, where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva; or\n- (i) to another such vehicle or vessel as is convenient and reasonable in the circumstances; or\n- (ii) to a police station such as is convenient and reasonable in the circumstances;\n- (a) is arrested for an offence against section&#160;79 or 83 ; or\n- (b) is arrested for any indictable offence in connection with or arising out of the driving of a motor vehicle by the person (including any offence against any provision of the Criminal Code , section&#160;328A ); or\n- (ba) is arrested for an offence against the Criminal Code , section&#160;328A in connection with or arising out of the operation, or interference with the operation, of a motor vehicle, other than an offence mentioned in paragraph&#160;(b) ; or\n- (c) is, for the purposes of subsections&#160;(8) to (8L) , detained at or taken to a police station, or detained at or taken to a vehicle or vessel where facilities are available for the analysis by a breath analysing instrument of a specimen of breath or by a saliva analysing instrument of a specimen of saliva, or taken to a hospital or other place authorised under this section;\n- (d) a specimen of the person’s breath for analysis by a breath analysing instrument;\n- (e) a specimen of the person’s saliva for saliva analysis;\n- (f) a specimen of the person’s blood for a laboratory test.\n- (a) to a police station; or\n- (b) to a police station, vehicle or vessel where facilities are available for either or both of the following— (i) analysing a specimen of breath by a breath analysing instrument; (ii) analysing a specimen of saliva by a saliva analysing instrument; or\n- (i) analysing a specimen of breath by a breath analysing instrument;\n- (ii) analysing a specimen of saliva by a saliva analysing instrument; or\n- (c) to a hospital; or\n- (d) if there are reasonable grounds for believing that a doctor or nurse is available at any other place—to that place;\n- (i) analysing a specimen of breath by a breath analysing instrument;\n- (ii) analysing a specimen of saliva by a saliva analysing instrument; or\n- (a) if the specimen that may be required under the authorising requirement is a specimen of breath—a specimen of the person’s breath for analysis by a breath analysing instrument or a specimen of the person’s blood for a laboratory test; or\n- (b) if the specimen that may be required under the authorising requirement is a specimen of saliva—a specimen of the person’s saliva for saliva analysis or a specimen of the person’s blood for a laboratory test.\n- (a) a doctor who is familiar with the person’s injuries and apparent state of health at the time of the requirement approves of the person providing the specimen; and\n- (b) the requirement is made as soon as practicable and within 3 hours of the event that authorises the police officer to make the authorising requirement.\n- (a) placing a collection unit, that is prescribed under a regulation, into or adjacent to the person’s mouth when directed by the authorised police officer operating, or who is to operate, a saliva analysing instrument; and\n- (b) while providing the specimen, holding or otherwise dealing with the collection unit, in a way prescribed under a regulation, until told to stop by the authorised police officer.\n- (a) a breath analysing instrument;\n- (b) a saliva analysing instrument.\n- (a) the police officer continues to be an authorised police officer even though the instrument of authority has been lost, mislaid, or destroyed or otherwise can not be produced; and\n- (b) the commissioner may issue to the officer a replacement instrument of authority; and\n- (c) the replacement instrument of authority is taken to have effect from the date the original instrument of authority was issued.\n- (a) a person has been required to provide, under subsection&#160;(8) or (8C) , a specimen of the person’s breath for analysis by a breath analysing instrument, a specimen of the person’s saliva for saliva analysis or a specimen of the person’s blood for a laboratory test; and\n- (b) the person— (i) is taken under subsection&#160;(1A) not to have provided the specimen that was required; or (ii) provides a specimen of breath for analysis by a breath analysing instrument or a specimen of saliva for saliva analysis; but— (A) the relevant breath analysing instrument or saliva analysing instrument is or becomes defective precluding its satisfactory operation to analyse the breath specimen or saliva specimen; or (B) for any reason it is not possible to use or continue using the breath analysing instrument for analysing the breath specimen or the saliva analysing instrument for analysing the saliva specimen; or (C) for an analysis by a breath analysing instrument, the instrument indicates to the authorised police officer operating the instrument that alcohol or some other substance is present in the mouth of the person supplying the breath specimen; or (D) for any other reason it is not possible to complete the analysis.\n- (i) is taken under subsection&#160;(1A) not to have provided the specimen that was required; or\n- (ii) provides a specimen of breath for analysis by a breath analysing instrument or a specimen of saliva for saliva analysis; but— (A) the relevant breath analysing instrument or saliva analysing instrument is or becomes defective precluding its satisfactory operation to analyse the breath specimen or saliva specimen; or (B) for any reason it is not possible to use or continue using the breath analysing instrument for analysing the breath specimen or the saliva analysing instrument for analysing the saliva specimen; or (C) for an analysis by a breath analysing instrument, the instrument indicates to the authorised police officer operating the instrument that alcohol or some other substance is present in the mouth of the person supplying the breath specimen; or (D) for any other reason it is not possible to complete the analysis.\n- (A) the relevant breath analysing instrument or saliva analysing instrument is or becomes defective precluding its satisfactory operation to analyse the breath specimen or saliva specimen; or\n- (B) for any reason it is not possible to use or continue using the breath analysing instrument for analysing the breath specimen or the saliva analysing instrument for analysing the saliva specimen; or\n- (C) for an analysis by a breath analysing instrument, the instrument indicates to the authorised police officer operating the instrument that alcohol or some other substance is present in the mouth of the person supplying the breath specimen; or\n- (D) for any other reason it is not possible to complete the analysis.\n- (i) is taken under subsection&#160;(1A) not to have provided the specimen that was required; or\n- (ii) provides a specimen of breath for analysis by a breath analysing instrument or a specimen of saliva for saliva analysis; but— (A) the relevant breath analysing instrument or saliva analysing instrument is or becomes defective precluding its satisfactory operation to analyse the breath specimen or saliva specimen; or (B) for any reason it is not possible to use or continue using the breath analysing instrument for analysing the breath specimen or the saliva analysing instrument for analysing the saliva specimen; or (C) for an analysis by a breath analysing instrument, the instrument indicates to the authorised police officer operating the instrument that alcohol or some other substance is present in the mouth of the person supplying the breath specimen; or (D) for any other reason it is not possible to complete the analysis.\n- (A) the relevant breath analysing instrument or saliva analysing instrument is or becomes defective precluding its satisfactory operation to analyse the breath specimen or saliva specimen; or\n- (B) for any reason it is not possible to use or continue using the breath analysing instrument for analysing the breath specimen or the saliva analysing instrument for analysing the saliva specimen; or\n- (C) for an analysis by a breath analysing instrument, the instrument indicates to the authorised police officer operating the instrument that alcohol or some other substance is present in the mouth of the person supplying the breath specimen; or\n- (D) for any other reason it is not possible to complete the analysis.\n- (A) the relevant breath analysing instrument or saliva analysing instrument is or becomes defective precluding its satisfactory operation to analyse the breath specimen or saliva specimen; or\n- (B) for any reason it is not possible to use or continue using the breath analysing instrument for analysing the breath specimen or the saliva analysing instrument for analysing the saliva specimen; or\n- (C) for an analysis by a breath analysing instrument, the instrument indicates to the authorised police officer operating the instrument that alcohol or some other substance is present in the mouth of the person supplying the breath specimen; or\n- (D) for any other reason it is not possible to complete the analysis.\n- (a) is arrested for any offence referred to in subsection&#160;(8) ; or\n- (b) is, for the purposes of subsections&#160;(8) to (8L) , detained at or taken to a police station, vehicle or vessel, or taken to a hospital or other place authorised under this section;\n- (c) if the police officer who arrested, detained or took as aforesaid the person believes on reasonable grounds that at the time of the arrest, detaining or taking the person exhibited external signs indicating that the person was affected by liquor or a drug; and\n- (d) if— (i) the analysis by the breath analysing instrument of the specimen of breath provided under the requisition indicates either that there is no alcohol in the person’s blood or breath or that the concentration of alcohol in the person’s blood or breath does not reasonably explain the external signs exhibited and observed; or (ii) the analysis by the saliva analysing instrument of the specimen of saliva provided under the requisition indicates that there is no relevant drug in the person’s saliva;\n- (i) the analysis by the breath analysing instrument of the specimen of breath provided under the requisition indicates either that there is no alcohol in the person’s blood or breath or that the concentration of alcohol in the person’s blood or breath does not reasonably explain the external signs exhibited and observed; or\n- (ii) the analysis by the saliva analysing instrument of the specimen of saliva provided under the requisition indicates that there is no relevant drug in the person’s saliva;\n- (i) the analysis by the breath analysing instrument of the specimen of breath provided under the requisition indicates either that there is no alcohol in the person’s blood or breath or that the concentration of alcohol in the person’s blood or breath does not reasonably explain the external signs exhibited and observed; or\n- (ii) the analysis by the saliva analysing instrument of the specimen of saliva provided under the requisition indicates that there is no relevant drug in the person’s saliva;\n- (a) is a person whom a police officer may require under subsection&#160;(2) or (2A) to provide a specimen of breath for a breath test or a specimen of saliva for a saliva test; and\n- (b) is, or appears to be, unable to consent to the taking of the specimen of blood because the person is, or appears to be, unconscious or otherwise unable to communicate.\n- (a) take a specimen of the person’s blood that will enable the laboratory test to be carried out; or\n- (b) ensure that a qualified assistant takes a specimen of the person’s blood that will enable the laboratory test to be carried out.\n- (a) reasonably believes that taking the specimen would be prejudicial to the person’s treatment; or\n- (b) has another reasonable excuse. Example— A doctor or nurse would have a reasonable excuse if he or she was required to attend to a patient suffering a heart attack and was unable to take the specimen of blood when required.\n- (a) under this section, the person has provided a specimen of breath (the analysis specimen ) for analysis by a breath analysing instrument in relation to the occurrence or event in relation to which the police officer may require a specimen of breath for a breath test as mentioned in subsection&#160;(10) (a) ; and\n- (b) the analysis specimen has been analysed by a breath analysing instrument; and\n- (c) there is a certificate under subsection&#160;(15) for the analysis.\n- (a) under this section, the person has provided a specimen of saliva for saliva analysis in relation to the occurrence or event in relation to which the police officer may require a specimen of saliva for a saliva test as mentioned in subsection&#160;(10) (a) ; and\n- (b) the specimen for saliva analysis has been analysed by a saliva analysing instrument; and\n- (c) a notice about the analysis is retained by, or given to, the police officer as mentioned in subsection&#160;(15AB) (b) (i) and (ii) .\n- (a) a specimen of the person’s breath for analysis by a breath analysing instrument; or\n- (b) a specimen of the person’s saliva for saliva analysis; or\n- (c) a specimen of the person’s blood for a laboratory test;\n- (d) the person is guilty of an offence that is taken to be an offence against the appropriate provision of section&#160;79 (1) ;\n- (e) the person is liable to the same punishment in all respects, including disqualification from holding or obtaining a Queensland driver licence, as the person would be if the offence were actually an offence committed by the person against the appropriate provision of section&#160;79 (1) .\n- (a) a specimen of the person’s breath for analysis by a breath analysing instrument; or\n- (b) a specimen of the person’s saliva for saliva analysis; or\n- (c) a specimen of the person’s blood for a laboratory test;\n- (a) either— (i) if the specimen was analysed by the police officer who made the requisition—retain 1 copy of the certificate; or (ii) otherwise—deliver 1 copy of the certificate to the police officer who made the requisition; and\n- (i) if the specimen was analysed by the police officer who made the requisition—retain 1 copy of the certificate; or\n- (ii) otherwise—deliver 1 copy of the certificate to the police officer who made the requisition; and\n- (b) deliver the other copy to the person whose breath has been analysed (or to another person on behalf of that person on request by that other person).\n- (i) if the specimen was analysed by the police officer who made the requisition—retain 1 copy of the certificate; or\n- (ii) otherwise—deliver 1 copy of the certificate to the police officer who made the requisition; and\n- (a) is evidence that the instrument operated by the doctor or officer was a breath analysing instrument; and\n- (b) is evidence that the instrument was in proper working order and properly operated by the doctor or officer; and\n- (c) is evidence that all regulations relating to breath analysing instruments were complied with; and\n- (d) is presumed to have been given to the person whose breath was analysed, unless the contrary is proved.\n- (a) enter details in a notice, in the approved form, about the analysis; and\n- (b) either— (i) if the specimen was analysed by the police officer who made the requisition—retain 1 copy of the notice; or (ii) otherwise—give 1 copy of the notice to the police officer who made the requisition; and\n- (i) if the specimen was analysed by the police officer who made the requisition—retain 1 copy of the notice; or\n- (ii) otherwise—give 1 copy of the notice to the police officer who made the requisition; and\n- (c) give a copy of the notice to the person whose saliva has been analysed (or, at the person’s request, to another person on the person’s behalf).\n- (i) if the specimen was analysed by the police officer who made the requisition—retain 1 copy of the notice; or\n- (ii) otherwise—give 1 copy of the notice to the police officer who made the requisition; and\n- (a) the person may request a specimen of the person’s saliva be given to him or her as stated in subsection&#160;(20A) ;\n- (b) another part of the specimen that was analysed by the saliva analysing instrument will be delivered to a laboratory of an analyst to be tested for the presence of a relevant drug.\n- (a) the full name of the person concerned; and\n- (b) the name of the police officer who made the requisition; and\n- (ba) whether the requisition was for a specimen of the person’s breath for analysis or saliva for saliva analysis; and\n- (c) the name of the operator of the breath analysing instrument or saliva analysing instrument; and\n- (d) the name and patent number or name and model number appearing on the breath analysing instrument or saliva analysing instrument; and\n- (e) that the person concerned failed to provide as prescribed by that subsection a specimen of breath or saliva when required;\n- (g) either— (i) if the operator of the breath analysing instrument is the police officer who made the requisition—retain 1 copy of the certificate; or (ii) otherwise—deliver 1 copy of the certificate to the police officer who made the requisition; and\n- (i) if the operator of the breath analysing instrument is the police officer who made the requisition—retain 1 copy of the certificate; or\n- (ii) otherwise—deliver 1 copy of the certificate to the police officer who made the requisition; and\n- (h) deliver the other copy to the person who failed to provide as prescribed the specimen of breath or saliva when required (or to another person on behalf of that person on request by that other person).\n- (i) if the operator of the breath analysing instrument is the police officer who made the requisition—retain 1 copy of the certificate; or\n- (ii) otherwise—deliver 1 copy of the certificate to the police officer who made the requisition; and\n- (a) that a requisition to provide a specimen of the person’s breath for analysis or saliva for saliva analysis was made to the person concerned by the police officer named in the certificate as the police officer making the requisition; and\n- (b) that the person concerned failed to provide as prescribed by subsections&#160;(8) to (8L) a specimen of breath or saliva when required; and\n- (c) that an approved breath analysing instrument or saliva analysing instrument was available at the place where and at the time when the requisition was made for the purpose of analysing a specimen provided in accordance with the requisition;\n- (a) a specimen of blood or urine has been obtained under this section; or\n- (b) a specimen of saliva has been obtained under this section and a notice is retained by, or given to a police officer as mentioned in subsection&#160;(15AB) (b) (i) and (ii) stating that a relevant drug was present in the analysed specimen of saliva;\n- (a) that there was received at the laboratory of the analyst from the police officer named in the certificate a specimen of the blood, or a specimen of the saliva, as stated in the certificate (the delivered specimen ) of the person named in the certificate provided by that person on the date and at the place and time stated in the certificate; and\n- (b) that the analyst or another analyst made a laboratory test of the delivered specimen on the date and at the place stated in the certificate; and\n- (ba) if a laboratory test of the delivered specimen was done by another analyst—the analyst who signed the certificate— (i) examined the laboratory’s records about the receipt, storage and testing of the delivered specimen; and (ii) confirms the records show that all quality assurance procedures for the receipt, storage and testing of the delivered specimen that were in place in the laboratory at the time of the laboratory test were complied with; and\n- (i) examined the laboratory’s records about the receipt, storage and testing of the delivered specimen; and\n- (ii) confirms the records show that all quality assurance procedures for the receipt, storage and testing of the delivered specimen that were in place in the laboratory at the time of the laboratory test were complied with; and\n- (c) that— (i) if the delivered specimen was a specimen of blood— (A) the concentration of alcohol in the person’s blood indicated by the laboratory test was a stated number of milligrams of alcohol in the blood per 100mL of blood; or (B) a stated drug or metabolite of a stated drug was indicated by the laboratory test to be present in the person’s blood; or (ii) if the delivered specimen was a specimen of saliva—a stated relevant drug or metabolite of a stated relevant drug was indicated by the laboratory test to be present in the person’s saliva;\n- (i) if the delivered specimen was a specimen of blood— (A) the concentration of alcohol in the person’s blood indicated by the laboratory test was a stated number of milligrams of alcohol in the blood per 100mL of blood; or (B) a stated drug or metabolite of a stated drug was indicated by the laboratory test to be present in the person’s blood; or\n- (A) the concentration of alcohol in the person’s blood indicated by the laboratory test was a stated number of milligrams of alcohol in the blood per 100mL of blood; or\n- (B) a stated drug or metabolite of a stated drug was indicated by the laboratory test to be present in the person’s blood; or\n- (ii) if the delivered specimen was a specimen of saliva—a stated relevant drug or metabolite of a stated relevant drug was indicated by the laboratory test to be present in the person’s saliva;\n- (i) examined the laboratory’s records about the receipt, storage and testing of the delivered specimen; and\n- (ii) confirms the records show that all quality assurance procedures for the receipt, storage and testing of the delivered specimen that were in place in the laboratory at the time of the laboratory test were complied with; and\n- (i) if the delivered specimen was a specimen of blood— (A) the concentration of alcohol in the person’s blood indicated by the laboratory test was a stated number of milligrams of alcohol in the blood per 100mL of blood; or (B) a stated drug or metabolite of a stated drug was indicated by the laboratory test to be present in the person’s blood; or\n- (A) the concentration of alcohol in the person’s blood indicated by the laboratory test was a stated number of milligrams of alcohol in the blood per 100mL of blood; or\n- (B) a stated drug or metabolite of a stated drug was indicated by the laboratory test to be present in the person’s blood; or\n- (ii) if the delivered specimen was a specimen of saliva—a stated relevant drug or metabolite of a stated relevant drug was indicated by the laboratory test to be present in the person’s saliva;\n- (A) the concentration of alcohol in the person’s blood indicated by the laboratory test was a stated number of milligrams of alcohol in the blood per 100mL of blood; or\n- (B) a stated drug or metabolite of a stated drug was indicated by the laboratory test to be present in the person’s blood; or\n- (a) the full name of the person concerned; and\n- (b) the name of the police officer who made the requisition; and\n- (c) that the person concerned failed to provide a specimen of blood when required;\n- (e) 1 copy of such certificate to the police officer who made the requisition; and\n- (f) the other copy to the person who failed to provide the specimen of blood when required (or to another person on behalf of that person on request by that other person).\n- (a) that a requisition to provide a specimen of the person’s blood for a laboratory test was made to the person concerned by the police officer named in the certificate as the police officer making the requisition; and\n- (b) that the person concerned failed to provide as prescribed by the subsection under which the requisition was made a specimen of the person’s blood when required;\n- (a) at the time (being for a certificate the date and time stated in the certificate) when the person provided the specimen; and\n- (b) at a material time in any proceedings if the specimen was provided not more than 3 hours after the material time; and\n- (c) at all material times between those times.\n- (a) the defendant pleads guilty to the offence; and\n- (b) the court is satisfied that the facts available to be put forward by the prosecution, and unchallenged by the defendant, are sufficient to enable it to deal properly with the matter.\n- (a) that the signature on the certificate is that of the person by whom the certificate purports to be made; and\n- (b) of all matters contained therein including the status, authority or qualification of the person by whom the certificate purports to be made;\n- (a) evidence of that fact given by the officer and any person who delivered the specimen on the officer’s behalf; and\n- (b) a certificate, produced in evidence, purporting to be signed by the analyst certifying that the specimen was received at the analyst’s laboratory from the officer;\n- (a) the health care professional who took the specimen of blood to give the person a specimen of the person’s blood; or\n- (b) the police officer who took the specimen of saliva for saliva analysis to give to the person a specimen of the person’s saliva.\n- (a) subsection&#160;(8) to the extent it applies to a person mentioned in subsection&#160;(8) (a) , (b) or (c) ; or\n- (b) subsection&#160;(8C) to the extent it applies to a person who may be required to provide a specimen of breath for a breath test under subsection&#160;(2) (a) , (b) , (c) or (d) or (2A) (a) , (b) or (c) .\n- (a) the analysis by means of a breath analysing instrument of a specimen of breath of a person required by a police officer to be provided under a relevant provision indicates that the person is over the general alcohol limit or in the case of a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers, that the person is over the no alcohol limit; or\n- (ab) the analysis by means of a saliva analysing instrument of a specimen of saliva of a person required by a police officer to be provided under a relevant provision indicates that a relevant drug is present in the person’s saliva; or\n- (b) a person required to provide a specimen of breath, or a specimen of saliva for saliva analysis, as mentioned in paragraph&#160;(a) or (ab) fails to provide the specimen as prescribed under subsections&#160;(8) to (8L) ; or\n- (ba) a person has been arrested for an offence under section&#160;79 (1) but has not been required by a police officer to provide a specimen of breath for analysis or a specimen of blood for a laboratory test under subsection&#160;(8) or (8C) — (i) because the person is violent; or (ii) because of the external signs exhibited by the person, the police officer reasonably believes the person is so affected by alcohol or a drug as to be unable to provide the specimen; or (iii) because of the remoteness of the area— (A) a breath analysing instrument is not available to analyse a specimen of the person’s breath; or (B) a doctor or nurse is not available to take a specimen of blood from the person for a laboratory test or to direct a qualified assistant to take the specimen; or\n- (i) because the person is violent; or\n- (ii) because of the external signs exhibited by the person, the police officer reasonably believes the person is so affected by alcohol or a drug as to be unable to provide the specimen; or\n- (iii) because of the remoteness of the area— (A) a breath analysing instrument is not available to analyse a specimen of the person’s breath; or (B) a doctor or nurse is not available to take a specimen of blood from the person for a laboratory test or to direct a qualified assistant to take the specimen; or\n- (A) a breath analysing instrument is not available to analyse a specimen of the person’s breath; or\n- (B) a doctor or nurse is not available to take a specimen of blood from the person for a laboratory test or to direct a qualified assistant to take the specimen; or\n- (c) a person who is required by a police officer under a relevant provision to provide a specimen of the person’s blood for a laboratory test permits a specimen of the person’s blood to be taken for the purpose and thereupon such police officer requires that person to provide a specimen of breath for a breath test, or saliva for a saliva test, by the officer (the officer being hereby authorised to require such a specimen of breath for a breath test, or saliva for a saliva test, to be provided), and— (i) it appears to the police officer in consequence of the breath test carried out by the officer that the device by means of which the test is carried out indicates that the person is over the general alcohol limit or in the case of a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers, that the person is over the no alcohol limit; or (ia) it appears to the police officer in consequence of the saliva test carried out by the officer that the device by means of which the test is carried out indicates a relevant drug is present in the person’s saliva; or (ii) the person fails to provide such specimen of breath or saliva; or\n- (i) it appears to the police officer in consequence of the breath test carried out by the officer that the device by means of which the test is carried out indicates that the person is over the general alcohol limit or in the case of a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers, that the person is over the no alcohol limit; or\n- (ia) it appears to the police officer in consequence of the saliva test carried out by the officer that the device by means of which the test is carried out indicates a relevant drug is present in the person’s saliva; or\n- (ii) the person fails to provide such specimen of breath or saliva; or\n- (d) a person who is required by a police officer under a relevant provision, or under subsection&#160;(9) in relation to a relevant provision, to provide a specimen of the person’s blood for a laboratory test fails to provide such specimen; or\n- (e) a specimen of a person’s blood is taken under a relevant provision, or under another provision of this section in relation to a relevant provision, for a laboratory test and a doctor or nurse certifies in writing to the police officer who made the requisition for the provision or taking of the specimen of blood that, in respect of the person concerned, the case is a proper one for the suspension of that person’s driver licence for a period of 24 hours.\n- (i) because the person is violent; or\n- (ii) because of the external signs exhibited by the person, the police officer reasonably believes the person is so affected by alcohol or a drug as to be unable to provide the specimen; or\n- (iii) because of the remoteness of the area— (A) a breath analysing instrument is not available to analyse a specimen of the person’s breath; or (B) a doctor or nurse is not available to take a specimen of blood from the person for a laboratory test or to direct a qualified assistant to take the specimen; or\n- (A) a breath analysing instrument is not available to analyse a specimen of the person’s breath; or\n- (B) a doctor or nurse is not available to take a specimen of blood from the person for a laboratory test or to direct a qualified assistant to take the specimen; or\n- (A) a breath analysing instrument is not available to analyse a specimen of the person’s breath; or\n- (B) a doctor or nurse is not available to take a specimen of blood from the person for a laboratory test or to direct a qualified assistant to take the specimen; or\n- (i) it appears to the police officer in consequence of the breath test carried out by the officer that the device by means of which the test is carried out indicates that the person is over the general alcohol limit or in the case of a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) refers, that the person is over the no alcohol limit; or\n- (ia) it appears to the police officer in consequence of the saliva test carried out by the officer that the device by means of which the test is carried out indicates a relevant drug is present in the person’s saliva; or\n- (ii) the person fails to provide such specimen of breath or saliva; or\n- (a) the analysis mentioned in subsection&#160;(22) (a) or (ab) was made; or\n- (b) the requirement mentioned in subsection&#160;(22) (b) , (c) (ii) or (d) was made; or\n- (c) the arrest mentioned in subsection&#160;(22) (ba) was made; or\n- (d) the breath test of the specimen of the person’s breath mentioned in subsection&#160;(22) (c) (i) , or the saliva test of the specimen of the person’s saliva mentioned in subsection&#160;(22) (c) (ia) , was carried out; or\n- (e) the certificate in writing mentioned in subsection&#160;(22) (e) was given.\n- (a) the presence of the concentration of alcohol in the blood or breath of a person, or the concentration of a drug or metabolite of a drug (other than a relevant drug or a metabolite of a relevant drug) in the blood of a person;\n- (b) the presence of a relevant drug in the blood or saliva of a person;\n- (a) may be given in the same manner, whether by a witness or by a certificate, as it may be given under the provisions of this section, other than that subsection, in respect of an offence against this Act; and\n- (b) is admissible in the same circumstances and in all respects to the same extent as it would be admissible under the provisions of this section, other than subsection&#160;(24) , in respect of an offence against this Act and, subject to paragraph&#160;(c) , has the same evidentiary value in relation to the same matters and times as are provided for by the provisions of this section, other than that subsection, in respect of such evidence; and\n- (c) where such evidence indicates a person was over the high alcohol limit, is conclusive evidence that the person was adversely affected by alcohol at all times in relation to which such evidence has evidentiary value under this section.\n- (a) under subsection&#160;(15H) , that at the time of the operation of a breath analysing instrument it was defective or was not properly operated; or\n- (b) under subsection&#160;(16G) , that the result of a laboratory test of a specimen of blood or saliva referred to in subsection&#160;(16F) or (16FA) was not a correct result; or\n- (c) under subsection&#160;(18) or (18A) , that the signature referred to therein is not the signature of the health care professional, authorised police officer or analyst by whom the certificate referred to therein purports to be signed or that any matter contained in the said certificate is not correct;\n- (a) be written; and\n- (b) be signed by the defendant or the defendant’s solicitor; and\n- (c) for a notice under subsection&#160;(26) (a) —state the grounds on which the defendant intends to rely to prove that the breath analysing instrument was defective or was not properly operated; and Example of paragraph&#160;(c) — a claim that the breath analysing instrument was defective because it mistook the presence of mouthwash in the defendant’s mouth for the presence of alcohol in the defendant’s blood\n- (d) for a notice under subsection&#160;(26) (b) —state the grounds on which the defendant intends to rely to prove that the result of the laboratory test was not a correct result.\n- (a) that the complainant has been given an opportunity to make a submission to the court about granting the leave; and\n- (b) that— (i) there is a reasonable possibility that an irregularity or defect exists in relation to the taking, receipt, storage or testing of the specimen of blood or saliva about which the person required to attend the hearing is able to give evidence; or (ii) it is otherwise in the interests of justice that the person be required to attend the hearing to give evidence relevant to the proceeding.\n- (i) there is a reasonable possibility that an irregularity or defect exists in relation to the taking, receipt, storage or testing of the specimen of blood or saliva about which the person required to attend the hearing is able to give evidence; or\n- (ii) it is otherwise in the interests of justice that the person be required to attend the hearing to give evidence relevant to the proceeding.\n- (i) there is a reasonable possibility that an irregularity or defect exists in relation to the taking, receipt, storage or testing of the specimen of blood or saliva about which the person required to attend the hearing is able to give evidence; or\n- (ii) it is otherwise in the interests of justice that the person be required to attend the hearing to give evidence relevant to the proceeding.\n- (a) a qualified assistant who takes a specimen of blood from a person for a laboratory test is to be taken to have been directed by a doctor or nurse to take the specimen; and\n- (b) any equipment used in a laboratory test of a specimen of blood or saliva is to be taken to have given accurate results.","sortOrder":223},{"sectionNumber":"sec.80AA","sectionType":"section","heading":"Limitation on use of saliva for saliva test or saliva analysis and related matters","content":"### sec.80AA Limitation on use of saliva for saliva test or saliva analysis and related matters\n\nThis section applies to a specimen of saliva for a saliva test or for saliva analysis obtained under section&#160;80 from a person.\nThe specimen must not be used for—\nDNA analysis to help decide whether or not the person may be a suspect in relation to an offence; or\na purpose stated in the Police Powers and Responsibilities Act 2000 , section&#160;537 .\nMatters mentioned in subsection&#160;(2) are regulated under the Police Powers and Responsibilities Act 2000 , chapters 17 and 18 .\nIf the saliva test or saliva analysis does not indicate the presence of a relevant drug in the person’s saliva, the specimen must be destroyed as soon as possible after the result is known.\nIf a saliva test or saliva analysis indicates the presence of a relevant drug in the person’s saliva, the specimen must be destroyed as soon as possible after the results are no longer necessary for proceedings against the person, including an appeal about a conviction under this or another Act.\ns&#160;80AA ins 2007 No.&#160;6 s&#160;58\namd 2010 No.&#160;13 s&#160;3 sch pt&#160;1\n(sec.80AA-ssec.1) This section applies to a specimen of saliva for a saliva test or for saliva analysis obtained under section&#160;80 from a person.\n(sec.80AA-ssec.2) The specimen must not be used for— DNA analysis to help decide whether or not the person may be a suspect in relation to an offence; or a purpose stated in the Police Powers and Responsibilities Act 2000 , section&#160;537 . Matters mentioned in subsection&#160;(2) are regulated under the Police Powers and Responsibilities Act 2000 , chapters 17 and 18 .\n(sec.80AA-ssec.3) If the saliva test or saliva analysis does not indicate the presence of a relevant drug in the person’s saliva, the specimen must be destroyed as soon as possible after the result is known.\n(sec.80AA-ssec.4) If a saliva test or saliva analysis indicates the presence of a relevant drug in the person’s saliva, the specimen must be destroyed as soon as possible after the results are no longer necessary for proceedings against the person, including an appeal about a conviction under this or another Act.\n- (a) DNA analysis to help decide whether or not the person may be a suspect in relation to an offence; or\n- (b) a purpose stated in the Police Powers and Responsibilities Act 2000 , section&#160;537 .","sortOrder":224},{"sectionNumber":"sec.80A","sectionType":"section","heading":"Obstructing the taking of a blood specimen","content":"### sec.80A Obstructing the taking of a blood specimen\n\nA person must not obstruct a health care professional taking a specimen of blood from someone else under section&#160;80 , without a reasonable excuse.\nMaximum penalty—40 penalty units.\nIn this section—\nhealth care professional has the same meaning it has in section&#160;80 .\nobstruct includes hinder, resist and attempt to obstruct.\ns&#160;80A ins 2002 No.&#160;48 s&#160;4\n(sec.80A-ssec.1) A person must not obstruct a health care professional taking a specimen of blood from someone else under section&#160;80 , without a reasonable excuse. Maximum penalty—40 penalty units.\n(sec.80A-ssec.2) In this section— health care professional has the same meaning it has in section&#160;80 . obstruct includes hinder, resist and attempt to obstruct.","sortOrder":225},{"sectionNumber":"sec.80B","sectionType":"section","heading":"Interstate exchange of information","content":"### sec.80B Interstate exchange of information\n\nThe commissioner may enter into an arrangement with an interstate commissioner for the exchange, between Queensland and the other State, of information obtained under section&#160;80 or a corresponding law to section&#160;80 .\nIn this section—\ninterstate commissioner means the commissioner of the police service (however described) of another State.\ns&#160;80B ins 2002 No.&#160;48 s&#160;4\n(sec.80B-ssec.1) The commissioner may enter into an arrangement with an interstate commissioner for the exchange, between Queensland and the other State, of information obtained under section&#160;80 or a corresponding law to section&#160;80 .\n(sec.80B-ssec.2) In this section— interstate commissioner means the commissioner of the police service (however described) of another State.","sortOrder":226},{"sectionNumber":"sec.81","sectionType":"section","heading":"Notices to offenders for certain first offences","content":"### sec.81 Notices to offenders for certain first offences\n\nA police officer may serve a notice on a person if—\nthe police officer believes on reasonable grounds that the person has committed an offence against—\nsection&#160;79 (2) , (2A) , (2B) , (2D) , (2K) or (2L) ; or\nsection&#160;79 (2J) while the person is the holder of a restricted licence; and\nthe person has not, within the 5 years before the alleged offence, been convicted of an offence against section&#160;79 or 80 (11) .\nThe notice must—\nbe in a form approved by the commissioner; and\nbe identified by a serial number; and\nspecify the full name and address of the person; and\nspecify the time, date and place of the commission of the alleged offence; and\nclearly indicate the nature of the alleged offence; and\nstate the alleged concentration of alcohol in the person’s blood or breath; and\nspecify the day of its issue; and\nstate that, if the person does not wish the matter to be dealt with by a court, the person may pay to the department the amount of the prescribed penalty specified in the notice within 28 days after issue of the notice; and\nstate that if the person acts in accordance with paragraph&#160;(h) the person—\nwill be disqualified from holding or obtaining a Queensland driver licence for the prescribed period; and\nmust surrender to a superintendent every Queensland driver licence held by the person on the day after the day on which the disqualification takes effect.\nSubject to subsections&#160;(12) and (14) , if the notice under subsection&#160;(1) is served and, within 28 days after the issue of the notice, the amount of the prescribed penalty is paid in accordance with the notice and received by the department—\nany liability of the person to a penalty in relation to the alleged offence is discharged and no further proceedings may be taken in relation to the alleged offence; and\nif the alleged offence is in relation to a motor vehicle, the person is disqualified from holding or obtaining a Queensland driver licence for the prescribed period starting from—\nthe end of 28 days after the day of issue of the notice; or\nif the person makes an application under subsection&#160;(7) and the court refuses to direct the issue of a restricted licence to the person—the day of the refusal;\nwhichever is the later; and\nthe person is taken, for the purposes of another offence against section&#160;79 or 80 (11) , to have been convicted of the alleged offence on the day on which the amount is received by the department.\nA person who, under this section, is disqualified from holding or obtaining a Queensland driver licence must on the day after the day on which the disqualification takes effect, surrender every Queensland driver licence held by the person to a superintendent.\nSection&#160;130 , other than subsection&#160;(1) , applies, with all necessary modifications and any prescribed modifications, to a person who is disqualified from holding or obtaining a Queensland driver licence under this section and to any licence held by the person.\nIf, under this section, a person is disqualified from holding or obtaining a Queensland driver licence from a particular day, the person may, before that day, apply to a court in accordance with the regulations for an order directing that the person be issued with a restricted licence.\nA person who applies under subsection&#160;(7) must immediately give a copy of the application to the department.\nAn applicant—\nmust attend the court; and\nif required by the court—must give evidence in respect of matters relevant to the application; and\nis liable to cross-examination.\nWitnesses may also be called and cross-examined.\nSection&#160;87 , other than subsections&#160;(1) and (2) , applies, with all necessary modifications and any prescribed modifications, in relation to an application under subsection&#160;(7) as if it were an application under section&#160;87 (1) .\nIf the commissioner is of the opinion that—\nan offence in respect of which a notice under subsection&#160;(1) was issued to a person is not an offence in respect of which such a notice could be issued; or\nprescribed circumstances exist in relation to the alleged offence;\nthe commissioner may withdraw the notice by serving on the person a withdrawal notice in a form approved by the commissioner.\nThe commissioner must give written reasons in the notice for the decision to withdraw under subsection&#160;(12) .\nThe commissioner may withdraw a notice issued under subsection&#160;(1) for the purpose of—\nissuing a fresh notice; or\ntaking no further action;\nin respect of the offence alleged in the withdrawn notice.\nIf a notice is withdrawn—\nthe period (if any) of disqualification specified in the notice up to the withdrawal is valid; and\nunder subsection&#160;(12) —the person may, with the approval of the commissioner, be proceeded against in relation to the alleged offence; and\nany penalty paid by the person is to be refunded.\nA court that convicts a person of an offence alleged in a notice under subsection&#160;(1) after the notice has been withdrawn under subsection&#160;(12) or (14) must take into account any period of disqualification of the person that resulted from the operation of the notice that had passed before the withdrawal of the notice.\nIf more than 1 notice is served on a person under subsection&#160;(1) in relation to the same alleged offence, the total period of disqualification of the person is not to exceed the period prescribed in relation to the offence alleged in the last or latest notice.\nIf a notice under subsection&#160;(1) is served on a person and the prescribed penalty is not paid within 28 days after the day of issue of the notice, nothing in this section prejudices the institution or prosecution of a proceeding for the alleged offence to which the notice relates.\ns&#160;81 (prev 1949 13 Geo 6 No. 26 s&#160;16B) ins 1969 No.&#160;22 s&#160;6\namd 1974 No.&#160;18 s&#160;10 (amd 1977 No.&#160;26 s&#160;9 (1) (b) ; 1982 No.&#160;52 s&#160;9 (1) (b) ; 1984 No.&#160;102 s&#160;37 ); 1977 No.&#160;26 s&#160;7 ; 1982 No.&#160;52 s&#160;6\nom 1984 No.&#160;102 s&#160;10\nins 1991 No.&#160;80 s&#160;3\namd 1994 No.&#160;87 s&#160;3 sch&#160;1 ; 1999 No.&#160;42 s&#160;9 , s&#160;54 (1) sch amdts 51–57\nreloc 1999 No.&#160;42 s&#160;54 ( 1) sch amdt 89\namd 2003 No.&#160;69 s&#160;9 ; 2006 No.&#160;57 s&#160;56 ; 2007 No.&#160;36 s&#160;2 sch ; 2010 No.&#160;13 s&#160;7 ; 2011 No.&#160;12 s&#160;106\nom 2024 No.&#160;45 s&#160;97 (uncommenced amendment)\n(sec.81-ssec.1) A police officer may serve a notice on a person if— the police officer believes on reasonable grounds that the person has committed an offence against— section&#160;79 (2) , (2A) , (2B) , (2D) , (2K) or (2L) ; or section&#160;79 (2J) while the person is the holder of a restricted licence; and the person has not, within the 5 years before the alleged offence, been convicted of an offence against section&#160;79 or 80 (11) .\n(sec.81-ssec.3) The notice must— be in a form approved by the commissioner; and be identified by a serial number; and specify the full name and address of the person; and specify the time, date and place of the commission of the alleged offence; and clearly indicate the nature of the alleged offence; and state the alleged concentration of alcohol in the person’s blood or breath; and specify the day of its issue; and state that, if the person does not wish the matter to be dealt with by a court, the person may pay to the department the amount of the prescribed penalty specified in the notice within 28 days after issue of the notice; and state that if the person acts in accordance with paragraph&#160;(h) the person— will be disqualified from holding or obtaining a Queensland driver licence for the prescribed period; and must surrender to a superintendent every Queensland driver licence held by the person on the day after the day on which the disqualification takes effect.\n(sec.81-ssec.4) Subject to subsections&#160;(12) and (14) , if the notice under subsection&#160;(1) is served and, within 28 days after the issue of the notice, the amount of the prescribed penalty is paid in accordance with the notice and received by the department— any liability of the person to a penalty in relation to the alleged offence is discharged and no further proceedings may be taken in relation to the alleged offence; and if the alleged offence is in relation to a motor vehicle, the person is disqualified from holding or obtaining a Queensland driver licence for the prescribed period starting from— the end of 28 days after the day of issue of the notice; or if the person makes an application under subsection&#160;(7) and the court refuses to direct the issue of a restricted licence to the person—the day of the refusal; whichever is the later; and the person is taken, for the purposes of another offence against section&#160;79 or 80 (11) , to have been convicted of the alleged offence on the day on which the amount is received by the department.\n(sec.81-ssec.5) A person who, under this section, is disqualified from holding or obtaining a Queensland driver licence must on the day after the day on which the disqualification takes effect, surrender every Queensland driver licence held by the person to a superintendent.\n(sec.81-ssec.6) Section&#160;130 , other than subsection&#160;(1) , applies, with all necessary modifications and any prescribed modifications, to a person who is disqualified from holding or obtaining a Queensland driver licence under this section and to any licence held by the person.\n(sec.81-ssec.7) If, under this section, a person is disqualified from holding or obtaining a Queensland driver licence from a particular day, the person may, before that day, apply to a court in accordance with the regulations for an order directing that the person be issued with a restricted licence.\n(sec.81-ssec.8) A person who applies under subsection&#160;(7) must immediately give a copy of the application to the department.\n(sec.81-ssec.9) An applicant— must attend the court; and if required by the court—must give evidence in respect of matters relevant to the application; and is liable to cross-examination.\n(sec.81-ssec.10) Witnesses may also be called and cross-examined.\n(sec.81-ssec.11) Section&#160;87 , other than subsections&#160;(1) and (2) , applies, with all necessary modifications and any prescribed modifications, in relation to an application under subsection&#160;(7) as if it were an application under section&#160;87 (1) .\n(sec.81-ssec.12) If the commissioner is of the opinion that— an offence in respect of which a notice under subsection&#160;(1) was issued to a person is not an offence in respect of which such a notice could be issued; or prescribed circumstances exist in relation to the alleged offence; the commissioner may withdraw the notice by serving on the person a withdrawal notice in a form approved by the commissioner.\n(sec.81-ssec.13) The commissioner must give written reasons in the notice for the decision to withdraw under subsection&#160;(12) .\n(sec.81-ssec.14) The commissioner may withdraw a notice issued under subsection&#160;(1) for the purpose of— issuing a fresh notice; or taking no further action; in respect of the offence alleged in the withdrawn notice.\n(sec.81-ssec.15) If a notice is withdrawn— the period (if any) of disqualification specified in the notice up to the withdrawal is valid; and under subsection&#160;(12) —the person may, with the approval of the commissioner, be proceeded against in relation to the alleged offence; and any penalty paid by the person is to be refunded.\n(sec.81-ssec.16) A court that convicts a person of an offence alleged in a notice under subsection&#160;(1) after the notice has been withdrawn under subsection&#160;(12) or (14) must take into account any period of disqualification of the person that resulted from the operation of the notice that had passed before the withdrawal of the notice.\n(sec.81-ssec.17) If more than 1 notice is served on a person under subsection&#160;(1) in relation to the same alleged offence, the total period of disqualification of the person is not to exceed the period prescribed in relation to the offence alleged in the last or latest notice.\n(sec.81-ssec.18) If a notice under subsection&#160;(1) is served on a person and the prescribed penalty is not paid within 28 days after the day of issue of the notice, nothing in this section prejudices the institution or prosecution of a proceeding for the alleged offence to which the notice relates.\n- (a) the police officer believes on reasonable grounds that the person has committed an offence against— (i) section&#160;79 (2) , (2A) , (2B) , (2D) , (2K) or (2L) ; or (ii) section&#160;79 (2J) while the person is the holder of a restricted licence; and\n- (i) section&#160;79 (2) , (2A) , (2B) , (2D) , (2K) or (2L) ; or\n- (ii) section&#160;79 (2J) while the person is the holder of a restricted licence; and\n- (b) the person has not, within the 5 years before the alleged offence, been convicted of an offence against section&#160;79 or 80 (11) .\n- (i) section&#160;79 (2) , (2A) , (2B) , (2D) , (2K) or (2L) ; or\n- (ii) section&#160;79 (2J) while the person is the holder of a restricted licence; and\n- (a) be in a form approved by the commissioner; and\n- (b) be identified by a serial number; and\n- (c) specify the full name and address of the person; and\n- (d) specify the time, date and place of the commission of the alleged offence; and\n- (e) clearly indicate the nature of the alleged offence; and\n- (f) state the alleged concentration of alcohol in the person’s blood or breath; and\n- (g) specify the day of its issue; and\n- (h) state that, if the person does not wish the matter to be dealt with by a court, the person may pay to the department the amount of the prescribed penalty specified in the notice within 28 days after issue of the notice; and\n- (i) state that if the person acts in accordance with paragraph&#160;(h) the person— (i) will be disqualified from holding or obtaining a Queensland driver licence for the prescribed period; and (ii) must surrender to a superintendent every Queensland driver licence held by the person on the day after the day on which the disqualification takes effect.\n- (i) will be disqualified from holding or obtaining a Queensland driver licence for the prescribed period; and\n- (ii) must surrender to a superintendent every Queensland driver licence held by the person on the day after the day on which the disqualification takes effect.\n- (i) will be disqualified from holding or obtaining a Queensland driver licence for the prescribed period; and\n- (ii) must surrender to a superintendent every Queensland driver licence held by the person on the day after the day on which the disqualification takes effect.\n- (a) any liability of the person to a penalty in relation to the alleged offence is discharged and no further proceedings may be taken in relation to the alleged offence; and\n- (b) if the alleged offence is in relation to a motor vehicle, the person is disqualified from holding or obtaining a Queensland driver licence for the prescribed period starting from— (i) the end of 28 days after the day of issue of the notice; or (ii) if the person makes an application under subsection&#160;(7) and the court refuses to direct the issue of a restricted licence to the person—the day of the refusal; whichever is the later; and\n- (i) the end of 28 days after the day of issue of the notice; or\n- (ii) if the person makes an application under subsection&#160;(7) and the court refuses to direct the issue of a restricted licence to the person—the day of the refusal;\n- (c) the person is taken, for the purposes of another offence against section&#160;79 or 80 (11) , to have been convicted of the alleged offence on the day on which the amount is received by the department.\n- (i) the end of 28 days after the day of issue of the notice; or\n- (ii) if the person makes an application under subsection&#160;(7) and the court refuses to direct the issue of a restricted licence to the person—the day of the refusal;\n- (a) must attend the court; and\n- (b) if required by the court—must give evidence in respect of matters relevant to the application; and\n- (c) is liable to cross-examination.\n- (a) an offence in respect of which a notice under subsection&#160;(1) was issued to a person is not an offence in respect of which such a notice could be issued; or\n- (b) prescribed circumstances exist in relation to the alleged offence;\n- (a) issuing a fresh notice; or\n- (b) taking no further action;\n- (a) the period (if any) of disqualification specified in the notice up to the withdrawal is valid; and\n- (b) under subsection&#160;(12) —the person may, with the approval of the commissioner, be proceeded against in relation to the alleged offence; and\n- (c) any penalty paid by the person is to be refunded.","sortOrder":227},{"sectionNumber":"sec.82","sectionType":"section","heading":"Offenders may be ordered to attend training programs","content":"### sec.82 Offenders may be ordered to attend training programs\n\nThis section applies if a person (the offender ) is convicted before a court at a place prescribed under a regulation of an offence under section&#160;79 .\nWhether or not any other order is made against the offender, the court may order the offender to attend and complete a training program while the offender is disqualified from holding or obtaining a Queensland driver licence.\nThe training program is to be—\napproved by the chief executive; and\nconducted by a person prescribed under a regulation.\nA written notice of the day, time and place of the program that the offender is to attend, is to be given to the offender by a person prescribed under a regulation.\ns&#160;82 (prev 1949 13 Geo 6 No. 26 s&#160;16C) ins 1982 No.&#160;52 s&#160;7\namd 1990 No.&#160;73 s&#160;3 sch&#160;5 ; 1994 No.&#160;7 s&#160;3 sch ; 1994 No.&#160;87 s&#160;3 sch&#160;1\nsub 1997 No.&#160;66 s&#160;20\namd 1999 No.&#160;42 s&#160;54 (1) sch amdts 58–59\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\n(sec.82-ssec.1) This section applies if a person (the offender ) is convicted before a court at a place prescribed under a regulation of an offence under section&#160;79 .\n(sec.82-ssec.2) Whether or not any other order is made against the offender, the court may order the offender to attend and complete a training program while the offender is disqualified from holding or obtaining a Queensland driver licence.\n(sec.82-ssec.3) The training program is to be— approved by the chief executive; and conducted by a person prescribed under a regulation.\n(sec.82-ssec.4) A written notice of the day, time and place of the program that the offender is to attend, is to be given to the offender by a person prescribed under a regulation.\n- (a) approved by the chief executive; and\n- (b) conducted by a person prescribed under a regulation.","sortOrder":228},{"sectionNumber":"sec.83","sectionType":"section","heading":"Careless driving of motor vehicles","content":"### sec.83 Careless driving of motor vehicles\n\nAny person who drives a motor vehicle on a road or elsewhere without due care and attention or without reasonable consideration for other persons using the road or place is guilty of an offence.\nMaximum penalty—\nif the person causes the death of or grievous bodily harm to another person and was an unlicensed driver for the motor vehicle at the time of committing the offence—160 penalty units or 2 years imprisonment; or\nif the person causes the death of or grievous bodily harm to another person—80 penalty units or 1 year’s imprisonment; or\notherwise—40 penalty units or 6 months imprisonment.\nIf the court convicts a person of an offence against subsection&#160;(1) in the circumstances mentioned in paragraph&#160;(a) or (b) of the penalty, the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for a period of at least 6 months.\nIn this section—\nunlicensed driver , for the motor vehicle, means a person—\nwhose driver licence authorising the person to drive the motor vehicle is suspended, other than under—\nthe State Penalties Enforcement Act 1999 , section&#160;105 or a corresponding law to that section; or\nthe Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ (1) (a) or a corresponding law to that section; or\nwhose driver licence authorising the person to drive the motor vehicle expired more than 5 years before the offence was committed; or\nwhose driver licence authorising the person to drive the motor vehicle is cancelled; or\nwho—\nis disqualified from obtaining or holding a driver licence authorising the person to drive the motor vehicle; and\nis not the holder of a restricted licence authorising the person to drive the motor vehicle; or\nwhose authority under a non-Queensland driver licence to drive the motor vehicle is suspended under the driver licensing regulation; or\nwhose authority under a non-Queensland driver licence to drive the motor vehicle is withdrawn under the driver licensing regulation other than because the person was granted a Queensland driver licence; or\nwho has never held a driver licence authorising the person to drive the motor vehicle or any other motor vehicle.\ns&#160;83 (prev 1949 13 Geo 6 No. 26 s&#160;17) amd 1974 No.&#160;18 s&#160;11 ; 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2007 No.&#160;6 s&#160;66 (1) sch&#160;2 ; 2018 No.&#160;10 s&#160;49\n(sec.83-ssec.1) Any person who drives a motor vehicle on a road or elsewhere without due care and attention or without reasonable consideration for other persons using the road or place is guilty of an offence. Maximum penalty— if the person causes the death of or grievous bodily harm to another person and was an unlicensed driver for the motor vehicle at the time of committing the offence—160 penalty units or 2 years imprisonment; or if the person causes the death of or grievous bodily harm to another person—80 penalty units or 1 year’s imprisonment; or otherwise—40 penalty units or 6 months imprisonment.\n(sec.83-ssec.2) If the court convicts a person of an offence against subsection&#160;(1) in the circumstances mentioned in paragraph&#160;(a) or (b) of the penalty, the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for a period of at least 6 months.\n(sec.83-ssec.3) In this section— unlicensed driver , for the motor vehicle, means a person— whose driver licence authorising the person to drive the motor vehicle is suspended, other than under— the State Penalties Enforcement Act 1999 , section&#160;105 or a corresponding law to that section; or the Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ (1) (a) or a corresponding law to that section; or whose driver licence authorising the person to drive the motor vehicle expired more than 5 years before the offence was committed; or whose driver licence authorising the person to drive the motor vehicle is cancelled; or who— is disqualified from obtaining or holding a driver licence authorising the person to drive the motor vehicle; and is not the holder of a restricted licence authorising the person to drive the motor vehicle; or whose authority under a non-Queensland driver licence to drive the motor vehicle is suspended under the driver licensing regulation; or whose authority under a non-Queensland driver licence to drive the motor vehicle is withdrawn under the driver licensing regulation other than because the person was granted a Queensland driver licence; or who has never held a driver licence authorising the person to drive the motor vehicle or any other motor vehicle.\n- (a) if the person causes the death of or grievous bodily harm to another person and was an unlicensed driver for the motor vehicle at the time of committing the offence—160 penalty units or 2 years imprisonment; or\n- (b) if the person causes the death of or grievous bodily harm to another person—80 penalty units or 1 year’s imprisonment; or\n- (c) otherwise—40 penalty units or 6 months imprisonment.\n- (a) whose driver licence authorising the person to drive the motor vehicle is suspended, other than under— (i) the State Penalties Enforcement Act 1999 , section&#160;105 or a corresponding law to that section; or (ii) the Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ (1) (a) or a corresponding law to that section; or\n- (i) the State Penalties Enforcement Act 1999 , section&#160;105 or a corresponding law to that section; or\n- (ii) the Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ (1) (a) or a corresponding law to that section; or\n- (b) whose driver licence authorising the person to drive the motor vehicle expired more than 5 years before the offence was committed; or\n- (c) whose driver licence authorising the person to drive the motor vehicle is cancelled; or\n- (d) who— (i) is disqualified from obtaining or holding a driver licence authorising the person to drive the motor vehicle; and (ii) is not the holder of a restricted licence authorising the person to drive the motor vehicle; or\n- (i) is disqualified from obtaining or holding a driver licence authorising the person to drive the motor vehicle; and\n- (ii) is not the holder of a restricted licence authorising the person to drive the motor vehicle; or\n- (e) whose authority under a non-Queensland driver licence to drive the motor vehicle is suspended under the driver licensing regulation; or\n- (f) whose authority under a non-Queensland driver licence to drive the motor vehicle is withdrawn under the driver licensing regulation other than because the person was granted a Queensland driver licence; or\n- (g) who has never held a driver licence authorising the person to drive the motor vehicle or any other motor vehicle.\n- (i) the State Penalties Enforcement Act 1999 , section&#160;105 or a corresponding law to that section; or\n- (ii) the Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ (1) (a) or a corresponding law to that section; or\n- (i) is disqualified from obtaining or holding a driver licence authorising the person to drive the motor vehicle; and\n- (ii) is not the holder of a restricted licence authorising the person to drive the motor vehicle; or","sortOrder":229},{"sectionNumber":"sec.84","sectionType":"section","heading":"Dangerous driving of vehicles (other than motor vehicles), trams, trains or animals on roads","content":"### sec.84 Dangerous driving of vehicles (other than motor vehicles), trams, trains or animals on roads\n\nAny person who drives a vehicle (other than a motor vehicle), a tram, a train or an animal on a road dangerously is guilty of an offence and is liable to a penalty not exceeding 4 penalty units or to imprisonment for a term not exceeding 6 months.\nIf the offender has been previously convicted under subsection&#160;(1) the offender is liable to a penalty not exceeding 8 penalty units or to imprisonment for a term not exceeding 1 year.\nIf the offender has been twice previously convicted under subsection&#160;(1) , the court must, on conviction, impose imprisonment as the whole or part of the punishment.\nFor the purpose of deciding whether or not the provisions of subsections&#160;(1) to (1B) require imprisonment to be imposed as the whole or part of the punishment for an offence (the latest offence ) against subsection&#160;(1) , not more than 1 previous conviction for an offence against the subsection incurred by the offender earlier than the period of 10 years immediately preceding the date of the offender’s conviction for the latest offence is to be taken into account.\nIn this section—\ndrives a vehicle (other than a motor vehicle), a tram, a train or an animal on a road dangerously includes the driving of a vehicle (other than a motor vehicle), a tram, a train or an animal at a speed or in a manner dangerous to the public, having regard to all the circumstances of the case, including the nature, condition and use of the road and the amount of traffic which is on the road at the time or which might reasonably be expected to be on the road.\nAny person who drives a vehicle (other than a motor vehicle), a tram, a train, or an animal on a road without due care and attention or without reasonable consideration for other persons using the road is guilty of an offence.\nMaximum penalty for subsection&#160;(2) —40 penalty units or 6 months imprisonment.\ns&#160;84 (prev 1949 13 Geo 6 No. 26 s&#160;18) amd 1965 No.&#160;26 s&#160;16 ; 1990 No.&#160;103 s&#160;2 .26; 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2007 No.&#160;6 s&#160;66 (1) sch&#160;2 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1 ; 2024 No.&#160;2 s&#160;54\n(sec.84-ssec.1) Any person who drives a vehicle (other than a motor vehicle), a tram, a train or an animal on a road dangerously is guilty of an offence and is liable to a penalty not exceeding 4 penalty units or to imprisonment for a term not exceeding 6 months.\n(sec.84-ssec.1A) If the offender has been previously convicted under subsection&#160;(1) the offender is liable to a penalty not exceeding 8 penalty units or to imprisonment for a term not exceeding 1 year.\n(sec.84-ssec.1B) If the offender has been twice previously convicted under subsection&#160;(1) , the court must, on conviction, impose imprisonment as the whole or part of the punishment.\n(sec.84-ssec.1C) For the purpose of deciding whether or not the provisions of subsections&#160;(1) to (1B) require imprisonment to be imposed as the whole or part of the punishment for an offence (the latest offence ) against subsection&#160;(1) , not more than 1 previous conviction for an offence against the subsection incurred by the offender earlier than the period of 10 years immediately preceding the date of the offender’s conviction for the latest offence is to be taken into account.\n(sec.84-ssec.1D) In this section— drives a vehicle (other than a motor vehicle), a tram, a train or an animal on a road dangerously includes the driving of a vehicle (other than a motor vehicle), a tram, a train or an animal at a speed or in a manner dangerous to the public, having regard to all the circumstances of the case, including the nature, condition and use of the road and the amount of traffic which is on the road at the time or which might reasonably be expected to be on the road.\n(sec.84-ssec.2) Any person who drives a vehicle (other than a motor vehicle), a tram, a train, or an animal on a road without due care and attention or without reasonable consideration for other persons using the road is guilty of an offence. Maximum penalty for subsection&#160;(2) —40 penalty units or 6 months imprisonment.","sortOrder":230},{"sectionNumber":"sec.84AA","sectionType":"section","heading":"Driving particular vehicles without due care and attention on road-related areas","content":"### sec.84AA Driving particular vehicles without due care and attention on road-related areas\n\nA person who drives a bicycle or personal mobility device on a road-related area without due care and attention or without reasonable consideration for another person using the road-related area is guilty of an offence.\nMaximum penalty—40 penalty units.\ns&#160;84AA ins 2024 No.&#160;2 s&#160;55","sortOrder":231},{"sectionNumber":"sec.84A","sectionType":"section","heading":"Driving of motor vehicles carrying placard loads in tunnels","content":"### sec.84A Driving of motor vehicles carrying placard loads in tunnels\n\nA person must not drive a motor vehicle carrying a placard load in a tunnel that has a sign (a placard load prohibited sign ) complying with subsection&#160;(2) at or before the entrance to the tunnel.\nMaximum penalty—\nif the contravention results in harm to a person, property or the environment—200 penalty units or 1 year’s imprisonment; or\notherwise—100 penalty units.\nThe placard load prohibited sign must—\nindicate that transporting a placard load in the tunnel is prohibited; and\nbe clearly visible to a person entering the tunnel.\nIn the absence of proof to the contrary—\na motor vehicle is proved to be carrying a placard load if there is evidence of a placard, or a thing purporting to be a placard, placed on the vehicle or on a thing carried by the vehicle; and\na placard load prohibited sign at or before the entrance to a tunnel is taken to be clearly visible to a person entering the tunnel; and\na motor vehicle is proved to have been driven in a tunnel if there is evidence, in the form of an image or video made by a photographic detection device, of—\nthe motor vehicle facing the tunnel on the entry road for the tunnel; or\nthe motor vehicle facing away from the tunnel on the exit road from the tunnel.\nFor subsection&#160;(3) (a) , it is immaterial whether an image or video of a motor vehicle showing a placard or a thing purporting to be a placard—\nis in colour or black and white; or\nshows the dimensions of the placard or the thing purporting to be a placard.\nAlso, for a proceeding for an offence against subsection&#160;(1) , evidence, in the form of an image or video made by a photographic detection device, of a trailer at a place is taken to be evidence of a motor vehicle including the trailer at the place.\nIn this section—\nentry road , to a tunnel, means the part of a road leading into the tunnel after the last exit from the road before the tunnel.\nexit road , from a tunnel, means the part of a road leading out of the tunnel before the first exit from the road after the tunnel.\nexplosive see the Explosives Act 1999 , schedule&#160;2 .\nplacard means a placard required under this Act or another Act, or by a condition of a licence or other authority granted under an Act, to be used in transporting dangerous goods, explosives or radioactive substances.\nSee the dangerous goods regulation.\nSee the Explosives Act 1999 , section&#160;50 (2) (a) .\nSee the Radiation Safety Act 1999 , section&#160;75 (4) .\nplacard load means a load of dangerous goods, explosives or radioactive substances that may be transported by a motor vehicle only if a placard about the load is placed on the vehicle or on a thing carried by the vehicle.\nplace , on a motor vehicle or on a thing carried by a motor vehicle, includes attach to, or stencil or print on, the vehicle or the thing.\nradioactive substance see the Radiation Safety Act 1999 , schedule&#160;2 .\ns&#160;84A ins 2014 No.&#160;43 s&#160;84\namd 2019 No.&#160;25 s&#160;36 ; 2020 No.&#160;21 s&#160;53\n(sec.84A-ssec.1) A person must not drive a motor vehicle carrying a placard load in a tunnel that has a sign (a placard load prohibited sign ) complying with subsection&#160;(2) at or before the entrance to the tunnel. Maximum penalty— if the contravention results in harm to a person, property or the environment—200 penalty units or 1 year’s imprisonment; or otherwise—100 penalty units.\n(sec.84A-ssec.2) The placard load prohibited sign must— indicate that transporting a placard load in the tunnel is prohibited; and be clearly visible to a person entering the tunnel.\n(sec.84A-ssec.3) In the absence of proof to the contrary— a motor vehicle is proved to be carrying a placard load if there is evidence of a placard, or a thing purporting to be a placard, placed on the vehicle or on a thing carried by the vehicle; and a placard load prohibited sign at or before the entrance to a tunnel is taken to be clearly visible to a person entering the tunnel; and a motor vehicle is proved to have been driven in a tunnel if there is evidence, in the form of an image or video made by a photographic detection device, of— the motor vehicle facing the tunnel on the entry road for the tunnel; or the motor vehicle facing away from the tunnel on the exit road from the tunnel.\n(sec.84A-ssec.4) For subsection&#160;(3) (a) , it is immaterial whether an image or video of a motor vehicle showing a placard or a thing purporting to be a placard— is in colour or black and white; or shows the dimensions of the placard or the thing purporting to be a placard.\n(sec.84A-ssec.5) Also, for a proceeding for an offence against subsection&#160;(1) , evidence, in the form of an image or video made by a photographic detection device, of a trailer at a place is taken to be evidence of a motor vehicle including the trailer at the place.\n(sec.84A-ssec.6) In this section— entry road , to a tunnel, means the part of a road leading into the tunnel after the last exit from the road before the tunnel. exit road , from a tunnel, means the part of a road leading out of the tunnel before the first exit from the road after the tunnel. explosive see the Explosives Act 1999 , schedule&#160;2 . placard means a placard required under this Act or another Act, or by a condition of a licence or other authority granted under an Act, to be used in transporting dangerous goods, explosives or radioactive substances. See the dangerous goods regulation. See the Explosives Act 1999 , section&#160;50 (2) (a) . See the Radiation Safety Act 1999 , section&#160;75 (4) . placard load means a load of dangerous goods, explosives or radioactive substances that may be transported by a motor vehicle only if a placard about the load is placed on the vehicle or on a thing carried by the vehicle. place , on a motor vehicle or on a thing carried by a motor vehicle, includes attach to, or stencil or print on, the vehicle or the thing. radioactive substance see the Radiation Safety Act 1999 , schedule&#160;2 .\n- (a) if the contravention results in harm to a person, property or the environment—200 penalty units or 1 year’s imprisonment; or\n- (b) otherwise—100 penalty units.\n- (a) indicate that transporting a placard load in the tunnel is prohibited; and\n- (b) be clearly visible to a person entering the tunnel.\n- (a) a motor vehicle is proved to be carrying a placard load if there is evidence of a placard, or a thing purporting to be a placard, placed on the vehicle or on a thing carried by the vehicle; and\n- (b) a placard load prohibited sign at or before the entrance to a tunnel is taken to be clearly visible to a person entering the tunnel; and\n- (c) a motor vehicle is proved to have been driven in a tunnel if there is evidence, in the form of an image or video made by a photographic detection device, of— (i) the motor vehicle facing the tunnel on the entry road for the tunnel; or (ii) the motor vehicle facing away from the tunnel on the exit road from the tunnel.\n- (i) the motor vehicle facing the tunnel on the entry road for the tunnel; or\n- (ii) the motor vehicle facing away from the tunnel on the exit road from the tunnel.\n- (i) the motor vehicle facing the tunnel on the entry road for the tunnel; or\n- (ii) the motor vehicle facing away from the tunnel on the exit road from the tunnel.\n- (a) is in colour or black and white; or\n- (b) shows the dimensions of the placard or the thing purporting to be a placard.\n- 1 See the dangerous goods regulation.\n- 2 See the Explosives Act 1999 , section&#160;50 (2) (a) .\n- 3 See the Radiation Safety Act 1999 , section&#160;75 (4) .","sortOrder":232},{"sectionNumber":"sec.85","sectionType":"section","heading":"Racing and speed trials on roads","content":"### sec.85 Racing and speed trials on roads\n\nAny person who organises or promotes or takes part in—\nany race between vehicles or animals on a road; or\nany attempt to establish or break any vehicle or animal speed record on a road; or\nany trial of the speed of a vehicle or animal on a road; or\nany competitive trial designed to test the skill of any vehicle driver or the reliability or mechanical condition of any vehicle on any road where a prize or trophy or other benefit or advantage in excess of the value of $100 may be won by a competitor;\nis guilty of an offence, unless the prior permission in writing of the commissioner to the holding or making of the race, attempt, or trial has been obtained.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nThe commissioner has power to grant or refuse permits under this section.\nThe commissioner may in any such permit impose any conditions the commissioner deems necessary in the interests of public safety or convenience.\nAny such permit or conditions may be of general or limited application.\nIf any person organising, promoting, or taking part in any such race, attempt, or trial contravenes or fails to comply with any condition imposed as aforesaid, that person is guilty of an offence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nIf the court convicts a person of an offence against subsection&#160;(1) , the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for a period of at least 6 months.\ns&#160;85 (prev 1949 13 Geo 6 No. 26 s&#160;19) amd 1956 5 Eliz 2 No. 26 s&#160;6; 1961 10 Eliz 2 No. 27 s&#160;11; 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2005 No.&#160;49 s&#160;61 ; 2007 No.&#160;6 s&#160;66 (1) sch&#160;2 ; 2014 No.&#160;43 s&#160;85\n(sec.85-ssec.1) Any person who organises or promotes or takes part in— any race between vehicles or animals on a road; or any attempt to establish or break any vehicle or animal speed record on a road; or any trial of the speed of a vehicle or animal on a road; or any competitive trial designed to test the skill of any vehicle driver or the reliability or mechanical condition of any vehicle on any road where a prize or trophy or other benefit or advantage in excess of the value of $100 may be won by a competitor; is guilty of an offence, unless the prior permission in writing of the commissioner to the holding or making of the race, attempt, or trial has been obtained. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.85-ssec.2) The commissioner has power to grant or refuse permits under this section.\n(sec.85-ssec.3) The commissioner may in any such permit impose any conditions the commissioner deems necessary in the interests of public safety or convenience.\n(sec.85-ssec.4) Any such permit or conditions may be of general or limited application.\n(sec.85-ssec.5) If any person organising, promoting, or taking part in any such race, attempt, or trial contravenes or fails to comply with any condition imposed as aforesaid, that person is guilty of an offence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.85-ssec.6) If the court convicts a person of an offence against subsection&#160;(1) , the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for a period of at least 6 months.\n- (a) any race between vehicles or animals on a road; or\n- (b) any attempt to establish or break any vehicle or animal speed record on a road; or\n- (c) any trial of the speed of a vehicle or animal on a road; or\n- (d) any competitive trial designed to test the skill of any vehicle driver or the reliability or mechanical condition of any vehicle on any road where a prize or trophy or other benefit or advantage in excess of the value of $100 may be won by a competitor;","sortOrder":233},{"sectionNumber":"sec.85A","sectionType":"section","heading":"Wilfully causing motor vehicle to lose traction with road","content":"### sec.85A Wilfully causing motor vehicle to lose traction with road\n\nA person must not wilfully drive a motor vehicle on a road or in a public place in a way that causes a sustained loss of traction of 1 or more of the wheels of the motor vehicle and the road or other surface.\nMaximum penalty—20 penalty units.\ndriving a vehicle in a way that causes a sustained loss of traction of 1 or more of the wheels with a road surface so that the tyres or a substance poured onto the road surface smokes\ndriving a motor vehicle in a carpark in a way that causes a sustained loss of traction of 1 or more of the wheels with a wet or gravelled surface, regardless of whether the tyres smoke because of the loss of traction\nA person does not commit an offence against subsection&#160;(1) if—\na permit issued under a regulation authorises the person to drive a motor vehicle in a way that would otherwise contravene subsection&#160;(1) ; and\nthe person drives a motor vehicle in a way permitted or allowed under the permit, including under the conditions stated in the permit.\nAlso, an authorised officer does not commit an offence against subsection&#160;(1) if the authorised officer is driving the motor vehicle while exercising a power, or performing a function, under this Act or another Act.\nAn authorised officer is carrying out a friction supply test, otherwise known as a skid test, while driving a motor vehicle on a road or in a public place.\nSee also section&#160;144 in relation to a police officer exercising a power, or performing a function, under this Act or another Act.\ns&#160;85A ins 2023 No.&#160;10 s&#160;37\n(sec.85A-ssec.1) A person must not wilfully drive a motor vehicle on a road or in a public place in a way that causes a sustained loss of traction of 1 or more of the wheels of the motor vehicle and the road or other surface. Maximum penalty—20 penalty units. driving a vehicle in a way that causes a sustained loss of traction of 1 or more of the wheels with a road surface so that the tyres or a substance poured onto the road surface smokes driving a motor vehicle in a carpark in a way that causes a sustained loss of traction of 1 or more of the wheels with a wet or gravelled surface, regardless of whether the tyres smoke because of the loss of traction\n(sec.85A-ssec.2) A person does not commit an offence against subsection&#160;(1) if— a permit issued under a regulation authorises the person to drive a motor vehicle in a way that would otherwise contravene subsection&#160;(1) ; and the person drives a motor vehicle in a way permitted or allowed under the permit, including under the conditions stated in the permit.\n(sec.85A-ssec.3) Also, an authorised officer does not commit an offence against subsection&#160;(1) if the authorised officer is driving the motor vehicle while exercising a power, or performing a function, under this Act or another Act. An authorised officer is carrying out a friction supply test, otherwise known as a skid test, while driving a motor vehicle on a road or in a public place. See also section&#160;144 in relation to a police officer exercising a power, or performing a function, under this Act or another Act.\n- • driving a vehicle in a way that causes a sustained loss of traction of 1 or more of the wheels with a road surface so that the tyres or a substance poured onto the road surface smokes\n- • driving a motor vehicle in a carpark in a way that causes a sustained loss of traction of 1 or more of the wheels with a wet or gravelled surface, regardless of whether the tyres smoke because of the loss of traction\n- (a) a permit issued under a regulation authorises the person to drive a motor vehicle in a way that would otherwise contravene subsection&#160;(1) ; and\n- (b) the person drives a motor vehicle in a way permitted or allowed under the permit, including under the conditions stated in the permit.","sortOrder":234},{"sectionNumber":"sec.86","sectionType":"section","heading":"Disqualification of drivers of motor vehicles for certain offences","content":"### sec.86 Disqualification of drivers of motor vehicles for certain offences\n\nA person who is convicted of an offence in relation to a motor vehicle against section&#160;79 (1) is, if during the period of 5 years before conviction the person has not been previously convicted—\nunder section&#160;79 (1) ; or\nunder section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) ; or\non indictment, of any offence in connection with or arising out of the driving of a motor vehicle by the person; or\nsummarily of an offence against any provision of the Criminal Code , section&#160;328A ;\ndisqualified by such conviction and without any specific order for a period of 6 months from the date of such conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1) , the person is disqualified by such conviction and without any specific order for a period of 1 year from the date of such conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before such conviction the person has been previously convicted more than once of an offence under section&#160;79 (1) , the person is disqualified by such conviction and without any specific order for a period of 2 years from the date of such conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before such conviction the person has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or summarily of an offence against any provision of the Criminal Code , section&#160;328A , the person is disqualified by such conviction and without any specific order for a period of 1 year from the date of such conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before such conviction the person has been previously convicted more than once on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or more than once summarily of an offence against any provision of the Criminal Code , section&#160;328A or has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person and summarily of an offence against any provision of the Criminal Code , section&#160;328A , the person is disqualified by such conviction and without any specific order for a period of 2 years from the date of such conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1) and has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or summarily of an offence against any provision of the Criminal Code , section&#160;328A , the person is disqualified by such conviction and without any specific order for a period of 2 years from the date of such conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is disqualified by such conviction and without any specific order for a period of 9 months from the date of such conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before such conviction the person has been previously convicted more than once of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is disqualified by such conviction and without any specific order for a period of 1 year from the date of such conviction from holding or obtaining a Queensland driver licence.\nA person who is convicted of an offence in relation to a motor vehicle against section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) must, if during the period of 5 years before conviction the person has not been previously convicted—\nunder section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) ; or\nunder section&#160;79 (1) ; or\non indictment, of any offence in connection with or arising out of the driving of a motor vehicle by the person; or\nsummarily of an offence against any provision of the Criminal Code , section&#160;328A ;\nbe disqualified by such conviction—\nin a case where at the time of the commission of the offence the person convicted was, in respect of the motor vehicle, not the holder of a driver licence, was a section&#160;79E driver or was the holder of a learner, probationary, provisional or restricted licence, if paragraph&#160;(ea) does not apply—for a period of not less than 3 months and not more than 9 months from the date of such conviction from holding or obtaining a Queensland driver licence; or\nif the person is convicted of an offence in relation to a motor vehicle against section&#160;79 (1F) —for a period of not less than 3 months and not more than 12 months from the date of the conviction from holding or obtaining a Queensland driver licence; or\nin any other case—for a period of not less than 1 month and not more than 9 months from the date of such conviction from holding or obtaining a Queensland driver licence.\nThe period of disqualification must be decided by the court which, in making its decision, must have regard to the concentration of alcohol in the blood or breath of the defendant, or the presence of a relevant drug in the defendant’s blood or saliva, and the danger, real or potential, to the public in the circumstances of the case.\nIf within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person must be disqualified by such conviction for a period of not less than 3 months and not more than 18 months from the date of such conviction from holding or obtaining a Queensland driver licence.\nThe period of disqualification must be decided by the court which, in making its decision, must have regard to the concentration of alcohol in the blood or breath of the defendant, or the presence of a relevant drug in the defendant’s blood or saliva, and the danger, real or potential, to the public in the circumstances of the case.\nIf within the period of 5 years before such conviction the person has been previously convicted more than once of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is disqualified by such conviction and without any specific order for a period of 6 months from the date of such conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1) or on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or summarily of an offence against any provision of the Criminal Code , section&#160;328A , the person is disqualified by such conviction and without any specific order for a period of 9 months from the date of such conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) and—\nhas been previously convicted of an offence under section&#160;79 (1) ; or\nhas been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or summarily of an offence against any provision of the Criminal Code , section&#160;328A ;\nthe person is disqualified by such conviction and without any specific order for a period of 1 year from the date of such conviction from holding or obtaining a Queensland driver licence.\nSubsection&#160;(3AA) applies if a person is—\nconvicted on indictment of an offence in connection with or arising out of the driving of a motor vehicle by the person, other than an offence against the Criminal Code , section&#160;328A (4) ; or\nsummarily convicted of an offence against the Criminal Code , section&#160;328A (1) or (2) ; or\nconvicted on indictment of an offence against the Criminal Code , section&#160;328A (4) .\nSubject to subsections&#160;(3A) to (3F) , the person is disqualified by the conviction and without any specific order from the date of the conviction from holding or obtaining a Queensland driver licence for the following period—\nif subsection&#160;(3) (a) or (b) applies—6 months;\nif subsection&#160;(3) (c) applies—1 year.\nIf within the period of 5 years before a conviction mentioned in subsection&#160;(3) (a) or (b) the person has been previously convicted—\nof an offence (whether of the same or of a different kind) of either of the classes referred to in subsection&#160;(3) (a) or (b) ; or\nunder section&#160;79 (1) ;\nthe person is disqualified by the conviction and without any specific order for a period of 1 year from the date of the conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before a conviction mentioned in subsection&#160;(3) the person has been previously convicted more than once of an offence (whether of the same or of a different kind) of any of the classes referred to in subsection&#160;(3) or has been previously convicted of an offence (whether of the same or of a different kind) of each of the classes referred to in subsection&#160;(3) , the person is disqualified by the conviction and without any specific order for a period of 2 years from the date of the conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before a conviction mentioned in subsection&#160;(3) the person has been previously convicted more than once of an offence under section&#160;79 (1) , the person is disqualified by the conviction and without any specific order for a period of 2 years from the date of the conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before a conviction mentioned in subsection&#160;(3) the person has been previously convicted of an offence (whether of the same or of a different kind) of any of the classes referred to in subsection&#160;(3) and has been previously convicted of an offence under section&#160;79 (1) , the person is disqualified by the conviction and without any specific order for a period of 2 years from the date of the conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before a conviction mentioned in subsection&#160;(3) (a) or (b) the person has been previously convicted under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is disqualified by the conviction and without any specific order for a period of 9 months from the date of the conviction from holding or obtaining a Queensland driver licence.\nIf within the period of 5 years before a conviction mentioned in subsection&#160;(3) (a) or (b) the person has been previously convicted more than once of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is disqualified by the conviction and without any specific order for a period of 1 year from the date of the conviction from holding or obtaining a Queensland driver licence.\nA person who is convicted of an offence under section&#160;80 (22D) is disqualified by such conviction and without any specific order for a period of 6 months from the date of such conviction from holding or obtaining a Queensland driver licence.\nIn the case of any conviction referred to in this section in respect of which a person is disqualified by such conviction and without any specific order for a period of time specified from holding or obtaining a Queensland driver licence, the judge before whom such person is so convicted on indictment or the justices by whom such person is so convicted may order that from the date of conviction such person be disqualified absolutely or for a longer period than the period specified in the person’s case from holding or obtaining a Queensland driver licence, and the person, on the making of the order, is disqualified under and in accordance with that order.\nIf a person ordered to attend a training program or defensive driving course referred to in section&#160;82 fails to comply with the order, the chief executive may by notice given to the person call on the person to appear and show cause before a Magistrates Court constituted under the Justices Act 1886 at a time and place specified in the notice why the person should not be disqualified from holding or obtaining a Queensland driver licence for a period of 1 month in addition to the period for which the person is or was so disqualified by his or her conviction or the order of the judge or justices.\nIf a person called on to appear and show cause under subsection&#160;(5A) —\nfails to appear at the time and place specified or at any time or place to which the show cause proceeding may be adjourned; or\nhaving appeared, fails to show cause to the satisfaction of the court;\nthe person is, without any specific order being made, disqualified from holding or obtaining a Queensland driver licence for a period of 1 month in addition to the period for which the person is or was so disqualified by the person’s conviction or the order of the judge or justices.\nThe additional period of 1 month’s disqualification commences—\nif it is incurred during the period for which the person is disqualified from holding or obtaining a Queensland driver licence by the person’s conviction or the order of the judge or justices—on the expiration of that period; or\nif it is incurred after the expiration of the period for which the person is disqualified from holding or obtaining a Queensland driver licence by the person’s conviction or the order of the judge or justices—on the date of the person’s failure whereby the person has incurred the additional period of disqualification.\nA disqualification under this section applies whether or not any other sentence is imposed for the offence.\nIn deciding a period of disqualification for a person whose licence is suspended, or who is disqualified from obtaining or holding a licence, under section&#160;79B , the court may take into account the period of suspension or disqualification that has already been served under that section.\nThe provisions of this section apply notwithstanding anything contained in any other Act.\ns&#160;86 (prev 1949 13 Geo 6 No. 26 s&#160;20) amd 1959 8 Eliz 2 No. 55 s&#160;14; 1961 10 Eliz 2 No. 27 s&#160;12; 1965 No.&#160;26 s&#160;17 ; 1968 No.&#160;22 s&#160;8\nsub 1974 No.&#160;18 s&#160;12\namd 1982 No.&#160;15 s&#160;8 ; 1982 No.&#160;52 s&#160;8 ; 1984 No.&#160;102 s&#160;11 ; 1990 No.&#160;103 s&#160;2 .9; 1992 No.&#160;68 s&#160;3 sch&#160;1 ; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;10 , s&#160;54 (1) sch amdts 60–67\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2003 No.&#160;69 s&#160;10 ; 2006 No.&#160;21 s&#160;144 ; 2006 No.&#160;57 s&#160;57 ; 2007 No.&#160;6 ss&#160;59 , 66 (1) sch&#160;2 ; 2007 No.&#160;36 s&#160;2 sch ; 2010 No.&#160;13 ss&#160;8 , 3 sch pt&#160;1 ; 2011 No.&#160;12 s&#160;107 ; 2014 No.&#160;43 s&#160;86 ; 2018 No.&#160;10 s&#160;50\namd 2024 No.&#160;45 s&#160;98 (uncommenced amendment)\n(sec.86-ssec.1) A person who is convicted of an offence in relation to a motor vehicle against section&#160;79 (1) is, if during the period of 5 years before conviction the person has not been previously convicted— under section&#160;79 (1) ; or under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) ; or on indictment, of any offence in connection with or arising out of the driving of a motor vehicle by the person; or summarily of an offence against any provision of the Criminal Code , section&#160;328A ; disqualified by such conviction and without any specific order for a period of 6 months from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.1A) If within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1) , the person is disqualified by such conviction and without any specific order for a period of 1 year from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.1B) If within the period of 5 years before such conviction the person has been previously convicted more than once of an offence under section&#160;79 (1) , the person is disqualified by such conviction and without any specific order for a period of 2 years from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.1C) If within the period of 5 years before such conviction the person has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or summarily of an offence against any provision of the Criminal Code , section&#160;328A , the person is disqualified by such conviction and without any specific order for a period of 1 year from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.1D) If within the period of 5 years before such conviction the person has been previously convicted more than once on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or more than once summarily of an offence against any provision of the Criminal Code , section&#160;328A or has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person and summarily of an offence against any provision of the Criminal Code , section&#160;328A , the person is disqualified by such conviction and without any specific order for a period of 2 years from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.1E) If within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1) and has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or summarily of an offence against any provision of the Criminal Code , section&#160;328A , the person is disqualified by such conviction and without any specific order for a period of 2 years from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.1F) If within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is disqualified by such conviction and without any specific order for a period of 9 months from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.1G) If within the period of 5 years before such conviction the person has been previously convicted more than once of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is disqualified by such conviction and without any specific order for a period of 1 year from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.2) A person who is convicted of an offence in relation to a motor vehicle against section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) must, if during the period of 5 years before conviction the person has not been previously convicted— under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) ; or under section&#160;79 (1) ; or on indictment, of any offence in connection with or arising out of the driving of a motor vehicle by the person; or summarily of an offence against any provision of the Criminal Code , section&#160;328A ; be disqualified by such conviction— in a case where at the time of the commission of the offence the person convicted was, in respect of the motor vehicle, not the holder of a driver licence, was a section&#160;79E driver or was the holder of a learner, probationary, provisional or restricted licence, if paragraph&#160;(ea) does not apply—for a period of not less than 3 months and not more than 9 months from the date of such conviction from holding or obtaining a Queensland driver licence; or if the person is convicted of an offence in relation to a motor vehicle against section&#160;79 (1F) —for a period of not less than 3 months and not more than 12 months from the date of the conviction from holding or obtaining a Queensland driver licence; or in any other case—for a period of not less than 1 month and not more than 9 months from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.2A) The period of disqualification must be decided by the court which, in making its decision, must have regard to the concentration of alcohol in the blood or breath of the defendant, or the presence of a relevant drug in the defendant’s blood or saliva, and the danger, real or potential, to the public in the circumstances of the case.\n(sec.86-ssec.2B) If within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person must be disqualified by such conviction for a period of not less than 3 months and not more than 18 months from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.2C) The period of disqualification must be decided by the court which, in making its decision, must have regard to the concentration of alcohol in the blood or breath of the defendant, or the presence of a relevant drug in the defendant’s blood or saliva, and the danger, real or potential, to the public in the circumstances of the case.\n(sec.86-ssec.2D) If within the period of 5 years before such conviction the person has been previously convicted more than once of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is disqualified by such conviction and without any specific order for a period of 6 months from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.2E) If within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1) or on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or summarily of an offence against any provision of the Criminal Code , section&#160;328A , the person is disqualified by such conviction and without any specific order for a period of 9 months from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.2F) If within the period of 5 years before such conviction the person has been previously convicted of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) and— has been previously convicted of an offence under section&#160;79 (1) ; or has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or summarily of an offence against any provision of the Criminal Code , section&#160;328A ; the person is disqualified by such conviction and without any specific order for a period of 1 year from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.3) Subsection&#160;(3AA) applies if a person is— convicted on indictment of an offence in connection with or arising out of the driving of a motor vehicle by the person, other than an offence against the Criminal Code , section&#160;328A (4) ; or summarily convicted of an offence against the Criminal Code , section&#160;328A (1) or (2) ; or convicted on indictment of an offence against the Criminal Code , section&#160;328A (4) .\n(sec.86-ssec.3AA) Subject to subsections&#160;(3A) to (3F) , the person is disqualified by the conviction and without any specific order from the date of the conviction from holding or obtaining a Queensland driver licence for the following period— if subsection&#160;(3) (a) or (b) applies—6 months; if subsection&#160;(3) (c) applies—1 year.\n(sec.86-ssec.3A) If within the period of 5 years before a conviction mentioned in subsection&#160;(3) (a) or (b) the person has been previously convicted— of an offence (whether of the same or of a different kind) of either of the classes referred to in subsection&#160;(3) (a) or (b) ; or under section&#160;79 (1) ; the person is disqualified by the conviction and without any specific order for a period of 1 year from the date of the conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.3B) If within the period of 5 years before a conviction mentioned in subsection&#160;(3) the person has been previously convicted more than once of an offence (whether of the same or of a different kind) of any of the classes referred to in subsection&#160;(3) or has been previously convicted of an offence (whether of the same or of a different kind) of each of the classes referred to in subsection&#160;(3) , the person is disqualified by the conviction and without any specific order for a period of 2 years from the date of the conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.3C) If within the period of 5 years before a conviction mentioned in subsection&#160;(3) the person has been previously convicted more than once of an offence under section&#160;79 (1) , the person is disqualified by the conviction and without any specific order for a period of 2 years from the date of the conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.3D) If within the period of 5 years before a conviction mentioned in subsection&#160;(3) the person has been previously convicted of an offence (whether of the same or of a different kind) of any of the classes referred to in subsection&#160;(3) and has been previously convicted of an offence under section&#160;79 (1) , the person is disqualified by the conviction and without any specific order for a period of 2 years from the date of the conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.3E) If within the period of 5 years before a conviction mentioned in subsection&#160;(3) (a) or (b) the person has been previously convicted under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is disqualified by the conviction and without any specific order for a period of 9 months from the date of the conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.3F) If within the period of 5 years before a conviction mentioned in subsection&#160;(3) (a) or (b) the person has been previously convicted more than once of an offence under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) , the person is disqualified by the conviction and without any specific order for a period of 1 year from the date of the conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.4) A person who is convicted of an offence under section&#160;80 (22D) is disqualified by such conviction and without any specific order for a period of 6 months from the date of such conviction from holding or obtaining a Queensland driver licence.\n(sec.86-ssec.5) In the case of any conviction referred to in this section in respect of which a person is disqualified by such conviction and without any specific order for a period of time specified from holding or obtaining a Queensland driver licence, the judge before whom such person is so convicted on indictment or the justices by whom such person is so convicted may order that from the date of conviction such person be disqualified absolutely or for a longer period than the period specified in the person’s case from holding or obtaining a Queensland driver licence, and the person, on the making of the order, is disqualified under and in accordance with that order.\n(sec.86-ssec.5A) If a person ordered to attend a training program or defensive driving course referred to in section&#160;82 fails to comply with the order, the chief executive may by notice given to the person call on the person to appear and show cause before a Magistrates Court constituted under the Justices Act 1886 at a time and place specified in the notice why the person should not be disqualified from holding or obtaining a Queensland driver licence for a period of 1 month in addition to the period for which the person is or was so disqualified by his or her conviction or the order of the judge or justices.\n(sec.86-ssec.5B) If a person called on to appear and show cause under subsection&#160;(5A) — fails to appear at the time and place specified or at any time or place to which the show cause proceeding may be adjourned; or having appeared, fails to show cause to the satisfaction of the court; the person is, without any specific order being made, disqualified from holding or obtaining a Queensland driver licence for a period of 1 month in addition to the period for which the person is or was so disqualified by the person’s conviction or the order of the judge or justices.\n(sec.86-ssec.5C) The additional period of 1 month’s disqualification commences— if it is incurred during the period for which the person is disqualified from holding or obtaining a Queensland driver licence by the person’s conviction or the order of the judge or justices—on the expiration of that period; or if it is incurred after the expiration of the period for which the person is disqualified from holding or obtaining a Queensland driver licence by the person’s conviction or the order of the judge or justices—on the date of the person’s failure whereby the person has incurred the additional period of disqualification.\n(sec.86-ssec.6) A disqualification under this section applies whether or not any other sentence is imposed for the offence.\n(sec.86-ssec.7) In deciding a period of disqualification for a person whose licence is suspended, or who is disqualified from obtaining or holding a licence, under section&#160;79B , the court may take into account the period of suspension or disqualification that has already been served under that section.\n(sec.86-ssec.8) The provisions of this section apply notwithstanding anything contained in any other Act.\n- (a) under section&#160;79 (1) ; or\n- (b) under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) ; or\n- (c) on indictment, of any offence in connection with or arising out of the driving of a motor vehicle by the person; or\n- (d) summarily of an offence against any provision of the Criminal Code , section&#160;328A ;\n- (a) under section&#160;79 (1F) , (2) , (2AA) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) ; or\n- (b) under section&#160;79 (1) ; or\n- (c) on indictment, of any offence in connection with or arising out of the driving of a motor vehicle by the person; or\n- (d) summarily of an offence against any provision of the Criminal Code , section&#160;328A ;\n- (e) in a case where at the time of the commission of the offence the person convicted was, in respect of the motor vehicle, not the holder of a driver licence, was a section&#160;79E driver or was the holder of a learner, probationary, provisional or restricted licence, if paragraph&#160;(ea) does not apply—for a period of not less than 3 months and not more than 9 months from the date of such conviction from holding or obtaining a Queensland driver licence; or\n- (ea) if the person is convicted of an offence in relation to a motor vehicle against section&#160;79 (1F) —for a period of not less than 3 months and not more than 12 months from the date of the conviction from holding or obtaining a Queensland driver licence; or\n- (f) in any other case—for a period of not less than 1 month and not more than 9 months from the date of such conviction from holding or obtaining a Queensland driver licence.\n- (a) has been previously convicted of an offence under section&#160;79 (1) ; or\n- (b) has been previously convicted on indictment of any offence in connection with or arising out of the driving of a motor vehicle by the person or summarily of an offence against any provision of the Criminal Code , section&#160;328A ;\n- (a) convicted on indictment of an offence in connection with or arising out of the driving of a motor vehicle by the person, other than an offence against the Criminal Code , section&#160;328A (4) ; or\n- (b) summarily convicted of an offence against the Criminal Code , section&#160;328A (1) or (2) ; or\n- (c) convicted on indictment of an offence against the Criminal Code , section&#160;328A (4) .\n- (a) if subsection&#160;(3) (a) or (b) applies—6 months;\n- (b) if subsection&#160;(3) (c) applies—1 year.\n- (a) of an offence (whether of the same or of a different kind) of either of the classes referred to in subsection&#160;(3) (a) or (b) ; or\n- (b) under section&#160;79 (1) ;\n- (a) fails to appear at the time and place specified or at any time or place to which the show cause proceeding may be adjourned; or\n- (b) having appeared, fails to show cause to the satisfaction of the court;\n- (a) if it is incurred during the period for which the person is disqualified from holding or obtaining a Queensland driver licence by the person’s conviction or the order of the judge or justices—on the expiration of that period; or\n- (b) if it is incurred after the expiration of the period for which the person is disqualified from holding or obtaining a Queensland driver licence by the person’s conviction or the order of the judge or justices—on the date of the person’s failure whereby the person has incurred the additional period of disqualification.","sortOrder":235},{"sectionNumber":"sec.87","sectionType":"section","heading":"Issue of restricted licence to disqualified person","content":"### sec.87 Issue of restricted licence to disqualified person\n\nIf a person is convicted by a court of an offence under section&#160;79 or 80 (5A) and—\nby order of the court, is disqualified from holding or obtaining a Queensland driver licence; or\nby operation of law and without specific order, is disqualified from holding or obtaining a Queensland driver licence;\nthe court may, where it has received an application from the person, make an order directing that the person be issued with a restricted licence.\nAn application for an order under this section may be made—\nat the proceedings in which the conviction is recorded against the applicant by reason of which the applicant is disqualified from holding or obtaining a Queensland driver licence; and\nin a case where the court makes an order disqualifying the applicant from holding or obtaining a Queensland driver licence—before the court makes that order;\nand not otherwise.\nAn application must be made in the approved form and in respect of every application—\nthe applicant must, if required by the court so to do, submit himself or herself as a witness; and\nother persons may be called as witnesses;\nto give evidence in respect of all matters relevant to the application and may be cross-examined.\nAn order under this section may be made—\nat the proceedings in which the conviction is recorded against the applicant by reason of which the applicant is disqualified from holding or obtaining a Queensland driver licence; and\nin a case where the court makes an order disqualifying the applicant from holding or obtaining a Queensland driver licence—in conjunction with that order;\nand not otherwise.\nTo remove doubt, it is declared that if a court makes an order under subsection&#160;(1) directing that a person be issued with a restricted licence, the person—\nis disqualified from holding or obtaining a Queensland driver licence, other than the restricted licence; and\nmay not drive a motor vehicle during the period of the disqualification unless the person applies for and obtains the restricted licence the court ordered be issued.\nAlso, to remove any doubt, it is declared that, if the person is disqualified from holding or obtaining a Queensland driver licence as mentioned in section&#160;91D (1) (b) , part&#160;3A applies to the person in relation to the grant of the restricted licence.\nA court that grants an application must make an order directing that a restricted licence be issued to the applicant during the period of the applicant’s disqualification subject to restrictions specified in the order—\nwhich must restrict the use of the restricted licence by the applicant to specified circumstances directly connected with the applicant’s means of earning the applicant’s livelihood; and\nwhich may include, but are not limited to the following—\nthe class of vehicle which may be driven;\nthe purpose for which a vehicle may be driven;\nthe times at which or period of time during which a vehicle may be driven.\nA restricted licence issued to an applicant convicted of an offence against section&#160;79 (1F) involving a motor vehicle is subject to the interlock condition. See section&#160;91K .\nAn order under this section may relate only to a restricted licence that is of the same class as the probationary, provisional or open licence which is held by the applicant for the order immediately before the disqualification in respect of which his or her application is made.\nAn application for an order under this section must not be granted—\nunless the applicant satisfies the court that hears the application that—\nthe applicant is a fit and proper person to hold a restricted licence, having regard to the safety of other road users and the public generally; and\na refusal would cause extreme hardship to the applicant or the applicant’s family by depriving the applicant of the applicant’s means of earning the applicant’s livelihood;\nif the applicant’s provisional or open licence has been suspended or cancelled, or the applicant has been disqualified from holding or obtaining a Queensland driver licence, within 5 years before the application is made;\nin a case where the applicant has been previously convicted—\nunder section&#160;79 or 80 (5A) or the Criminal Code , section&#160;328A ; or\nelsewhere than in Queensland of any offence which if committed in Queensland would be an offence under section&#160;79 or 80 (5A) ;\nwithin a period of 5 years before the conviction that results in the disqualification in respect of which the application is made;\nin a case where the disqualification in respect of which the application is made resulted from a conviction of the applicant—\nfor an offence committed while the applicant was engaged in an activity directly connected with the applicant’s means of earning the applicant’s livelihood; or\nfor an offence committed when the applicant was driving a motor vehicle the applicant was not authorised, under a provisional or open licence, to drive; or\nfor an offence committed at a time when the applicant was the holder of a restricted licence issued under an order made under this section;\nif the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) ;\nif—\nthe disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) or (2) ; and\nthe applicant is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) would have applied apart from the fact that the person was over the general alcohol limit;\nif—\nthe disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (2AA) ; and\nthe applicant is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) would have applied if, at the time of the offence, the person were over the no alcohol limit but not over the general alcohol limit;\nunless the disqualification for which the application is made resulted from the applicant’s conviction for an offence committed when the applicant held a provisional or open licence (other than a corresponding document);\nunless the applicant is the holder of a provisional or open licence (other than a corresponding document) immediately before the disqualification in respect of which the application is made.\nFor subsection&#160;(5) (a) (ii) , 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 a living if the application is refused.\nIn subsection&#160;(5) (b) , the reference to a suspension, cancellation or disqualification does not include—\na suspension, cancellation or disqualification that was set aside on a review or appeal; or\na suspension, cancellation or disqualification because of the applicant’s mental or physical disability; or\na suspension under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 ; or\na suspension under section&#160;79 (9) ; or\nif the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) —a suspension under section&#160;79B resulting from the applicant being charged with the offence; or\na 24 hour suspension under section&#160;80 (22AA) ; or\na suspension, if a court has, on application made in relation to the suspension, made a special hardship order.\nFor subsection&#160;(5) (f) , if—\nthe disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) ; and\nimmediately before the disqualification, the applicant’s provisional or open licence was suspended under section&#160;79B (2) as a result of the applicant being charged with the offence;\ndespite section&#160;127 (4) , the applicant is the holder of a provisional or open licence immediately before the disqualification.\nIf—\nan order is made under this section by a court directing the issue of a restricted licence to an applicant in conjunction with an order disqualifying the applicant from holding or obtaining a Queensland driver licence; and\nthe provision of this Act that empowers a court to impose the disqualification specifies a maximum period of time for which a disqualification may be imposed;\nfor the purpose of making the order disqualifying the applicant, the maximum period for which the court may impose the disqualification is twice that specified in the provision.\nA court, in considering whether an order disqualifying the applicant from holding or obtaining a Queensland driver licence should be made under section&#160;86 (5) , and in considering the terms of any other disqualification order it proposes to make, must have regard to any order it proposes to make under this section as a circumstance indicating that the disqualification imposed should be for a longer period of time than if it made no order under this section.\nIf an order is made under this section and the person in respect of whom the order is made makes an application to a superintendent for a restricted licence under and in accordance with this Act, the superintendent must issue to the person a restricted licence subject to the restrictions imposed by the court by the order made under this section, and such other terms, provisions, conditions, limitations or restrictions, consistent with the order, as are specified on the licence in accordance with this Act.\nA restricted licence issued to a person convicted of an offence against section&#160;79 (1F) involving a motor vehicle is subject to the interlock condition. See section&#160;91K .\nA restricted licence issued pursuant to an order under this section—\nmust be issued in the first instance for such period as is prescribed by regulation and thereafter must be renewed from time to time for such period as is prescribed by regulation until the period of disqualification in respect of which the order under this section was made expires; and\nin a case where it is renewed during that period of disqualification—must, subject to section&#160;88 (7) , be renewed subject to the restrictions specified in the order last made whether under this section or section&#160;88 .\nA restricted licence issued or renewed under an order made under this section remains in force until it expires or is cancelled, surrendered or suspended in accordance with this Act.\nThe power of the Governor in Council to make regulations in respect of a restricted licence includes the power to make regulations in respect of the restricted licence provided for under this section including regulations in respect of its cancellation or suspension notwithstanding that it is issued or renewed under an order of the court.\nAny person who, being the holder of a restricted licence issued pursuant to an order made under this section, drives a motor vehicle otherwise than in accordance with the restrictions to which the licence is subject as a consequence of that order or an order under section&#160;88 commits an offence and is liable to a penalty not exceeding 20 penalty units.\nWhether or not any other sentence is imposed for an offence under subsection&#160;(10) —\nif the restricted licence issued to the person is still current at the time of the conviction—it is by virtue of the conviction thereby cancelled without specific order; and\nthe person is, because of the conviction, disqualified from holding or obtaining a Queensland driver licence for a period of 3 months from the expiration of the disqualification in respect of which the order was made under this section or, where the conviction is later than the expiration of that disqualification, for 3 months from the date of conviction.\nFor the purposes of this section, the proceedings in which a conviction is recorded are taken to continue until the court has completed the exercise of its jurisdiction to sentence the defendant in respect of the conviction, notwithstanding that the proceedings have been adjourned.\ns&#160;87 (prev 1949 13 Geo 6 No. 26 s&#160;20A) ins 1984 No.&#160;102 s&#160;12\namd 1990 No.&#160;19 s&#160;3 ; 1990 No.&#160;103 s&#160;2 .10; 1994 No.&#160;87 s&#160;3 sch&#160;1 ; 1997 No.&#160;66 s&#160;21 ; 1999 No.&#160;42 s&#160;11 , s&#160;54 (1) sch amdts 68–80\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2000 No.&#160;6 s&#160;78 sch amdts 7–9; 2001 No.&#160;79 s&#160;99 ; 2003 No.&#160;69 s&#160;11 ; 2007 No.&#160;36 s&#160;2 sch ; 2007 No.&#160;6 ss&#160;60 , 66 (1) sch&#160;2 ; 2009 No.&#160;24 s&#160;1785 ; 2010 No.&#160;13 ss&#160;9 , 3 sch pt&#160;1 ; 2011 No.&#160;12 s&#160;108 ; 2014 No.&#160;43 s&#160;87 ; 2017 No.&#160;18 s&#160;35 ; 2019 No.&#160;25 s&#160;88\n(sec.87-ssec.1) If a person is convicted by a court of an offence under section&#160;79 or 80 (5A) and— by order of the court, is disqualified from holding or obtaining a Queensland driver licence; or by operation of law and without specific order, is disqualified from holding or obtaining a Queensland driver licence; the court may, where it has received an application from the person, make an order directing that the person be issued with a restricted licence.\n(sec.87-ssec.2) An application for an order under this section may be made— at the proceedings in which the conviction is recorded against the applicant by reason of which the applicant is disqualified from holding or obtaining a Queensland driver licence; and in a case where the court makes an order disqualifying the applicant from holding or obtaining a Queensland driver licence—before the court makes that order; and not otherwise.\n(sec.87-ssec.2A) An application must be made in the approved form and in respect of every application— the applicant must, if required by the court so to do, submit himself or herself as a witness; and other persons may be called as witnesses; to give evidence in respect of all matters relevant to the application and may be cross-examined.\n(sec.87-ssec.3) An order under this section may be made— at the proceedings in which the conviction is recorded against the applicant by reason of which the applicant is disqualified from holding or obtaining a Queensland driver licence; and in a case where the court makes an order disqualifying the applicant from holding or obtaining a Queensland driver licence—in conjunction with that order; and not otherwise.\n(sec.87-ssec.3A) To remove doubt, it is declared that if a court makes an order under subsection&#160;(1) directing that a person be issued with a restricted licence, the person— is disqualified from holding or obtaining a Queensland driver licence, other than the restricted licence; and may not drive a motor vehicle during the period of the disqualification unless the person applies for and obtains the restricted licence the court ordered be issued.\n(sec.87-ssec.3B) Also, to remove any doubt, it is declared that, if the person is disqualified from holding or obtaining a Queensland driver licence as mentioned in section&#160;91D (1) (b) , part&#160;3A applies to the person in relation to the grant of the restricted licence.\n(sec.87-ssec.4) A court that grants an application must make an order directing that a restricted licence be issued to the applicant during the period of the applicant’s disqualification subject to restrictions specified in the order— which must restrict the use of the restricted licence by the applicant to specified circumstances directly connected with the applicant’s means of earning the applicant’s livelihood; and which may include, but are not limited to the following— the class of vehicle which may be driven; the purpose for which a vehicle may be driven; the times at which or period of time during which a vehicle may be driven. A restricted licence issued to an applicant convicted of an offence against section&#160;79 (1F) involving a motor vehicle is subject to the interlock condition. See section&#160;91K .\n(sec.87-ssec.4A) An order under this section may relate only to a restricted licence that is of the same class as the probationary, provisional or open licence which is held by the applicant for the order immediately before the disqualification in respect of which his or her application is made.\n(sec.87-ssec.5) An application for an order under this section must not be granted— unless the applicant satisfies the court that hears the application that— the applicant is a fit and proper person to hold a restricted licence, having regard to the safety of other road users and the public generally; and a refusal would cause extreme hardship to the applicant or the applicant’s family by depriving the applicant of the applicant’s means of earning the applicant’s livelihood; if the applicant’s provisional or open licence has been suspended or cancelled, or the applicant has been disqualified from holding or obtaining a Queensland driver licence, within 5 years before the application is made; in a case where the applicant has been previously convicted— under section&#160;79 or 80 (5A) or the Criminal Code , section&#160;328A ; or elsewhere than in Queensland of any offence which if committed in Queensland would be an offence under section&#160;79 or 80 (5A) ; within a period of 5 years before the conviction that results in the disqualification in respect of which the application is made; in a case where the disqualification in respect of which the application is made resulted from a conviction of the applicant— for an offence committed while the applicant was engaged in an activity directly connected with the applicant’s means of earning the applicant’s livelihood; or for an offence committed when the applicant was driving a motor vehicle the applicant was not authorised, under a provisional or open licence, to drive; or for an offence committed at a time when the applicant was the holder of a restricted licence issued under an order made under this section; if the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) ; if— the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) or (2) ; and the applicant is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) would have applied apart from the fact that the person was over the general alcohol limit; if— the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (2AA) ; and the applicant is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) would have applied if, at the time of the offence, the person were over the no alcohol limit but not over the general alcohol limit; unless the disqualification for which the application is made resulted from the applicant’s conviction for an offence committed when the applicant held a provisional or open licence (other than a corresponding document); unless the applicant is the holder of a provisional or open licence (other than a corresponding document) immediately before the disqualification in respect of which the application is made.\n(sec.87-ssec.5A) For subsection&#160;(5) (a) (ii) , 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 a living if the application is refused.\n(sec.87-ssec.5B) In subsection&#160;(5) (b) , the reference to a suspension, cancellation or disqualification does not include— a suspension, cancellation or disqualification that was set aside on a review or appeal; or a suspension, cancellation or disqualification because of the applicant’s mental or physical disability; or a suspension under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 ; or a suspension under section&#160;79 (9) ; or if the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) —a suspension under section&#160;79B resulting from the applicant being charged with the offence; or a 24 hour suspension under section&#160;80 (22AA) ; or a suspension, if a court has, on application made in relation to the suspension, made a special hardship order.\n(sec.87-ssec.5C) For subsection&#160;(5) (f) , if— the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) ; and immediately before the disqualification, the applicant’s provisional or open licence was suspended under section&#160;79B (2) as a result of the applicant being charged with the offence; despite section&#160;127 (4) , the applicant is the holder of a provisional or open licence immediately before the disqualification.\n(sec.87-ssec.6) If— an order is made under this section by a court directing the issue of a restricted licence to an applicant in conjunction with an order disqualifying the applicant from holding or obtaining a Queensland driver licence; and the provision of this Act that empowers a court to impose the disqualification specifies a maximum period of time for which a disqualification may be imposed; for the purpose of making the order disqualifying the applicant, the maximum period for which the court may impose the disqualification is twice that specified in the provision.\n(sec.87-ssec.6A) A court, in considering whether an order disqualifying the applicant from holding or obtaining a Queensland driver licence should be made under section&#160;86 (5) , and in considering the terms of any other disqualification order it proposes to make, must have regard to any order it proposes to make under this section as a circumstance indicating that the disqualification imposed should be for a longer period of time than if it made no order under this section.\n(sec.87-ssec.7) If an order is made under this section and the person in respect of whom the order is made makes an application to a superintendent for a restricted licence under and in accordance with this Act, the superintendent must issue to the person a restricted licence subject to the restrictions imposed by the court by the order made under this section, and such other terms, provisions, conditions, limitations or restrictions, consistent with the order, as are specified on the licence in accordance with this Act. A restricted licence issued to a person convicted of an offence against section&#160;79 (1F) involving a motor vehicle is subject to the interlock condition. See section&#160;91K .\n(sec.87-ssec.8) A restricted licence issued pursuant to an order under this section— must be issued in the first instance for such period as is prescribed by regulation and thereafter must be renewed from time to time for such period as is prescribed by regulation until the period of disqualification in respect of which the order under this section was made expires; and in a case where it is renewed during that period of disqualification—must, subject to section&#160;88 (7) , be renewed subject to the restrictions specified in the order last made whether under this section or section&#160;88 .\n(sec.87-ssec.8A) A restricted licence issued or renewed under an order made under this section remains in force until it expires or is cancelled, surrendered or suspended in accordance with this Act.\n(sec.87-ssec.9) The power of the Governor in Council to make regulations in respect of a restricted licence includes the power to make regulations in respect of the restricted licence provided for under this section including regulations in respect of its cancellation or suspension notwithstanding that it is issued or renewed under an order of the court.\n(sec.87-ssec.10) Any person who, being the holder of a restricted licence issued pursuant to an order made under this section, drives a motor vehicle otherwise than in accordance with the restrictions to which the licence is subject as a consequence of that order or an order under section&#160;88 commits an offence and is liable to a penalty not exceeding 20 penalty units.\n(sec.87-ssec.10A) Whether or not any other sentence is imposed for an offence under subsection&#160;(10) — if the restricted licence issued to the person is still current at the time of the conviction—it is by virtue of the conviction thereby cancelled without specific order; and the person is, because of the conviction, disqualified from holding or obtaining a Queensland driver licence for a period of 3 months from the expiration of the disqualification in respect of which the order was made under this section or, where the conviction is later than the expiration of that disqualification, for 3 months from the date of conviction.\n(sec.87-ssec.11) For the purposes of this section, the proceedings in which a conviction is recorded are taken to continue until the court has completed the exercise of its jurisdiction to sentence the defendant in respect of the conviction, notwithstanding that the proceedings have been adjourned.\n- (a) by order of the court, is disqualified from holding or obtaining a Queensland driver licence; or\n- (b) by operation of law and without specific order, is disqualified from holding or obtaining a Queensland driver licence;\n- (a) at the proceedings in which the conviction is recorded against the applicant by reason of which the applicant is disqualified from holding or obtaining a Queensland driver licence; and\n- (b) in a case where the court makes an order disqualifying the applicant from holding or obtaining a Queensland driver licence—before the court makes that order;\n- (a) the applicant must, if required by the court so to do, submit himself or herself as a witness; and\n- (b) other persons may be called as witnesses;\n- (a) at the proceedings in which the conviction is recorded against the applicant by reason of which the applicant is disqualified from holding or obtaining a Queensland driver licence; and\n- (b) in a case where the court makes an order disqualifying the applicant from holding or obtaining a Queensland driver licence—in conjunction with that order;\n- (a) is disqualified from holding or obtaining a Queensland driver licence, other than the restricted licence; and\n- (b) may not drive a motor vehicle during the period of the disqualification unless the person applies for and obtains the restricted licence the court ordered be issued.\n- (a) which must restrict the use of the restricted licence by the applicant to specified circumstances directly connected with the applicant’s means of earning the applicant’s livelihood; and\n- (b) which may include, but are not limited to the following— (i) the class of vehicle which may be driven; (ii) the purpose for which a vehicle may be driven; (iii) the times at which or period of time during which a vehicle may be driven.\n- (i) the class of vehicle which may be driven;\n- (ii) the purpose for which a vehicle may be driven;\n- (iii) the times at which or period of time during which a vehicle may be driven.\n- (i) the class of vehicle which may be driven;\n- (ii) the purpose for which a vehicle may be driven;\n- (iii) the times at which or period of time during which a vehicle may be driven.\n- (a) unless the applicant satisfies the court that hears the application that— (i) the applicant is a fit and proper person to hold a restricted licence, having regard to the safety of other road users and the public generally; and (ii) a refusal would cause extreme hardship to the applicant or the applicant’s family by depriving the applicant of the applicant’s means of earning the applicant’s livelihood;\n- (i) the applicant is a fit and proper person to hold a restricted licence, having regard to the safety of other road users and the public generally; and\n- (ii) a refusal would cause extreme hardship to the applicant or the applicant’s family by depriving the applicant of the applicant’s means of earning the applicant’s livelihood;\n- (b) if the applicant’s provisional or open licence has been suspended or cancelled, or the applicant has been disqualified from holding or obtaining a Queensland driver licence, within 5 years before the application is made;\n- (c) in a case where the applicant has been previously convicted— (i) under section&#160;79 or 80 (5A) or the Criminal Code , section&#160;328A ; or (ii) elsewhere than in Queensland of any offence which if committed in Queensland would be an offence under section&#160;79 or 80 (5A) ; within a period of 5 years before the conviction that results in the disqualification in respect of which the application is made;\n- (i) under section&#160;79 or 80 (5A) or the Criminal Code , section&#160;328A ; or\n- (ii) elsewhere than in Queensland of any offence which if committed in Queensland would be an offence under section&#160;79 or 80 (5A) ;\n- (d) in a case where the disqualification in respect of which the application is made resulted from a conviction of the applicant— (i) for an offence committed while the applicant was engaged in an activity directly connected with the applicant’s means of earning the applicant’s livelihood; or (ii) for an offence committed when the applicant was driving a motor vehicle the applicant was not authorised, under a provisional or open licence, to drive; or (iii) for an offence committed at a time when the applicant was the holder of a restricted licence issued under an order made under this section;\n- (i) for an offence committed while the applicant was engaged in an activity directly connected with the applicant’s means of earning the applicant’s livelihood; or\n- (ii) for an offence committed when the applicant was driving a motor vehicle the applicant was not authorised, under a provisional or open licence, to drive; or\n- (iii) for an offence committed at a time when the applicant was the holder of a restricted licence issued under an order made under this section;\n- (da) if the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1) , (2A) , (2B) , (2D) , (2J) , (2K) or (2L) ;\n- (db) if— (i) the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) or (2) ; and (ii) the applicant is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) would have applied apart from the fact that the person was over the general alcohol limit;\n- (i) the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) or (2) ; and\n- (ii) the applicant is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) would have applied apart from the fact that the person was over the general alcohol limit;\n- (dc) if— (i) the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (2AA) ; and (ii) the applicant is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) would have applied if, at the time of the offence, the person were over the no alcohol limit but not over the general alcohol limit;\n- (i) the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (2AA) ; and\n- (ii) the applicant is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) would have applied if, at the time of the offence, the person were over the no alcohol limit but not over the general alcohol limit;\n- (e) unless the disqualification for which the application is made resulted from the applicant’s conviction for an offence committed when the applicant held a provisional or open licence (other than a corresponding document);\n- (f) unless the applicant is the holder of a provisional or open licence (other than a corresponding document) immediately before the disqualification in respect of which the application is made.\n- (i) the applicant is a fit and proper person to hold a restricted licence, having regard to the safety of other road users and the public generally; and\n- (ii) a refusal would cause extreme hardship to the applicant or the applicant’s family by depriving the applicant of the applicant’s means of earning the applicant’s livelihood;\n- (i) under section&#160;79 or 80 (5A) or the Criminal Code , section&#160;328A ; or\n- (ii) elsewhere than in Queensland of any offence which if committed in Queensland would be an offence under section&#160;79 or 80 (5A) ;\n- (i) for an offence committed while the applicant was engaged in an activity directly connected with the applicant’s means of earning the applicant’s livelihood; or\n- (ii) for an offence committed when the applicant was driving a motor vehicle the applicant was not authorised, under a provisional or open licence, to drive; or\n- (iii) for an offence committed at a time when the applicant was the holder of a restricted licence issued under an order made under this section;\n- (i) the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) or (2) ; and\n- (ii) the applicant is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) would have applied apart from the fact that the person was over the general alcohol limit;\n- (i) the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (2AA) ; and\n- (ii) the applicant is a person to whom section&#160;79 (2A) , (2B) , (2D) , (2J) , (2K) or (2L) would have applied if, at the time of the offence, the person were over the no alcohol limit but not over the general alcohol limit;\n- (a) a suspension, cancellation or disqualification that was set aside on a review or appeal; or\n- (b) a suspension, cancellation or disqualification because of the applicant’s mental or physical disability; or\n- (c) a suspension under the State Penalties Enforcement Act 1999 or Transport Operations (Passenger Transport) Act 1994 ; or\n- (d) a suspension under section&#160;79 (9) ; or\n- (da) if the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) —a suspension under section&#160;79B resulting from the applicant being charged with the offence; or\n- (e) a 24 hour suspension under section&#160;80 (22AA) ; or\n- (f) a suspension, if a court has, on application made in relation to the suspension, made a special hardship order.\n- (a) the disqualification for which the application is made resulted from the applicant’s conviction for an offence against section&#160;79 (1F) ; and\n- (b) immediately before the disqualification, the applicant’s provisional or open licence was suspended under section&#160;79B (2) as a result of the applicant being charged with the offence;\n- (a) an order is made under this section by a court directing the issue of a restricted licence to an applicant in conjunction with an order disqualifying the applicant from holding or obtaining a Queensland driver licence; and\n- (b) the provision of this Act that empowers a court to impose the disqualification specifies a maximum period of time for which a disqualification may be imposed;\n- (a) must be issued in the first instance for such period as is prescribed by regulation and thereafter must be renewed from time to time for such period as is prescribed by regulation until the period of disqualification in respect of which the order under this section was made expires; and\n- (b) in a case where it is renewed during that period of disqualification—must, subject to section&#160;88 (7) , be renewed subject to the restrictions specified in the order last made whether under this section or section&#160;88 .\n- (a) if the restricted licence issued to the person is still current at the time of the conviction—it is by virtue of the conviction thereby cancelled without specific order; and\n- (b) the person is, because of the conviction, disqualified from holding or obtaining a Queensland driver licence for a period of 3 months from the expiration of the disqualification in respect of which the order was made under this section or, where the conviction is later than the expiration of that disqualification, for 3 months from the date of conviction.","sortOrder":236},{"sectionNumber":"sec.88","sectionType":"section","heading":"Variation of conditions","content":"### sec.88 Variation of conditions\n\nIf subsequent to a court making an order under section&#160;87 or this section in respect of a person and the issuing to the person of a restricted licence the circumstances connected with the person’s means of earning the person’s livelihood have altered, the person may apply to a Magistrates Court exercising jurisdiction at the place where the person resides for an order varying the restrictions to which the restricted licence is subject as a consequence of the order made under section&#160;87 or this section.\nAn application must be made in the approved form and in respect of every application—\nthe applicant must, if required by the court so to do, submit himself or herself as a witness; and\nother persons may be called as witnesses;\nto give evidence in respect to all matters relevant to the application and may be cross-examined.\nWritten notice of the application setting forth the time and place at which the application is to be heard must be given by the applicant, at least 14 days before the date of hearing, to the commissioner or to a police officer authorised by the commissioner to receive such notices.\nThe commissioner is entitled to be represented at the hearing of the application.\nA police officer may appear and act at the hearing of the application on behalf of the commissioner.\nA court to which an application is made under subsection&#160;(1) may, if it considers that the justice of the case requires that it do so and having regard to the restrictions referred to in section&#160;87 (4) , make an order varying the restrictions to which the restricted licence is subject as a consequence of an order made under section&#160;87 or this section.\nA superintendent to whom—\na copy of an order made under this section ( the order ) certified by the clerk of the court which made the order to be a true copy; and\nthe restricted licence to which the order relates;\nare produced must vary the restrictions to which the restricted licence is subject by reason of an order made under section&#160;87 or a prior order made under this section so that they accord with those imposed by the court by the order.\nUntil a superintendent, under subsection&#160;(6) , varies the restrictions to which the restricted licence is subject, those restrictions continue to apply to the holder of the licence notwithstanding the making of an order or, as the case may be, a further order under this section.\ns&#160;88 (prev 1949 13 Geo 6 No. 26 s&#160;20B) ins 1990 No.&#160;19 s&#160;4\namd 1997 No.&#160;66 s&#160;22 ; 1999 No.&#160;42 s&#160;54 (1) sch amdts 81–83\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2007 No.&#160;6 s&#160;66 (1) sch&#160;2\n(sec.88-ssec.1) If subsequent to a court making an order under section&#160;87 or this section in respect of a person and the issuing to the person of a restricted licence the circumstances connected with the person’s means of earning the person’s livelihood have altered, the person may apply to a Magistrates Court exercising jurisdiction at the place where the person resides for an order varying the restrictions to which the restricted licence is subject as a consequence of the order made under section&#160;87 or this section.\n(sec.88-ssec.2) An application must be made in the approved form and in respect of every application— the applicant must, if required by the court so to do, submit himself or herself as a witness; and other persons may be called as witnesses; to give evidence in respect to all matters relevant to the application and may be cross-examined.\n(sec.88-ssec.3) Written notice of the application setting forth the time and place at which the application is to be heard must be given by the applicant, at least 14 days before the date of hearing, to the commissioner or to a police officer authorised by the commissioner to receive such notices.\n(sec.88-ssec.4) The commissioner is entitled to be represented at the hearing of the application.\n(sec.88-ssec.4A) A police officer may appear and act at the hearing of the application on behalf of the commissioner.\n(sec.88-ssec.5) A court to which an application is made under subsection&#160;(1) may, if it considers that the justice of the case requires that it do so and having regard to the restrictions referred to in section&#160;87 (4) , make an order varying the restrictions to which the restricted licence is subject as a consequence of an order made under section&#160;87 or this section.\n(sec.88-ssec.6) A superintendent to whom— a copy of an order made under this section ( the order ) certified by the clerk of the court which made the order to be a true copy; and the restricted licence to which the order relates; are produced must vary the restrictions to which the restricted licence is subject by reason of an order made under section&#160;87 or a prior order made under this section so that they accord with those imposed by the court by the order.\n(sec.88-ssec.7) Until a superintendent, under subsection&#160;(6) , varies the restrictions to which the restricted licence is subject, those restrictions continue to apply to the holder of the licence notwithstanding the making of an order or, as the case may be, a further order under this section.\n- (a) the applicant must, if required by the court so to do, submit himself or herself as a witness; and\n- (b) other persons may be called as witnesses;\n- (a) a copy of an order made under this section ( the order ) certified by the clerk of the court which made the order to be a true copy; and\n- (b) the restricted licence to which the order relates;","sortOrder":237},{"sectionNumber":"sec.89","sectionType":"section","heading":"Power to disqualify person from holding or obtaining Queensland driver licence though acquitted of certain indictable offences","content":"### sec.89 Power to disqualify person from holding or obtaining Queensland driver licence though acquitted of certain indictable offences\n\nIf on the trial of any person charged on indictment with an offence in connection with or arising out of the driving of a motor vehicle by the person the judge presiding at the trial is satisfied that on the evidence such person should, in the interest of the public, be prohibited from driving a motor vehicle either absolutely or for a period, the judge may, notwithstanding that such person is found not guilty by the jury, order that the person is, from the date of the order, disqualified absolutely from holding or obtaining a Queensland driver licence, or is so disqualified for the period as the judge states in the order.\nAn order under this section may be made by the judge before the judge discharges the defendant on the conclusion of the trial, or the judge may discharge the defendant and adjourn the matter of whether or not the judge will make such order to a later date when the judge may receive such evidence in addition to the evidence given at the trial as the judge considers necessary under the circumstances.\ns&#160;89 (prev 1949 13 Geo 6 No. 26 s&#160;21) amd 1999 No.&#160;42 s&#160;54 (1) sch amdt 84\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2007 No.&#160;6 s&#160;66 (1) sch&#160;2\n(sec.89-ssec.1) If on the trial of any person charged on indictment with an offence in connection with or arising out of the driving of a motor vehicle by the person the judge presiding at the trial is satisfied that on the evidence such person should, in the interest of the public, be prohibited from driving a motor vehicle either absolutely or for a period, the judge may, notwithstanding that such person is found not guilty by the jury, order that the person is, from the date of the order, disqualified absolutely from holding or obtaining a Queensland driver licence, or is so disqualified for the period as the judge states in the order.\n(sec.89-ssec.2) An order under this section may be made by the judge before the judge discharges the defendant on the conclusion of the trial, or the judge may discharge the defendant and adjourn the matter of whether or not the judge will make such order to a later date when the judge may receive such evidence in addition to the evidence given at the trial as the judge considers necessary under the circumstances.","sortOrder":238},{"sectionNumber":"sec.90","sectionType":"section","heading":"Power to disqualify person from holding or obtaining Queensland driver licence though complaint dismissed","content":"### sec.90 Power to disqualify person from holding or obtaining Queensland driver licence though complaint dismissed\n\nIf upon the hearing of a complaint against any person of an offence against any provision of the Criminal Code , section&#160;328A , or of an offence in relation to a motor vehicle against section&#160;79 , 83 or 85 , the justices deciding the complaint are satisfied that upon the evidence such person should, in the interest of the public, be prohibited from driving a motor vehicle either absolutely or for a period, the justices may, notwithstanding that they dismiss the complaint, order that the person shall from the date of the order be disqualified absolutely from holding or obtaining a Queensland driver licence, or be so disqualified for such period as the justices shall specify in the order.\nAn order under this section may be made by the justices when they dismiss the complaint or the justices may dismiss the complaint and adjourn the matter of whether or not they will make such order to a later date when the justices may receive such evidence in addition to the evidence given upon the hearing of the complaint as they consider necessary under the circumstances.\ns&#160;90 (prev 1949 13 Geo 6 No. 26 s&#160;22) amd 1999 No.&#160;42 s&#160;54 (1) sch amdts 85–86\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2007 No.&#160;6 s&#160;66 (1) sch&#160;2\n(sec.90-ssec.1) If upon the hearing of a complaint against any person of an offence against any provision of the Criminal Code , section&#160;328A , or of an offence in relation to a motor vehicle against section&#160;79 , 83 or 85 , the justices deciding the complaint are satisfied that upon the evidence such person should, in the interest of the public, be prohibited from driving a motor vehicle either absolutely or for a period, the justices may, notwithstanding that they dismiss the complaint, order that the person shall from the date of the order be disqualified absolutely from holding or obtaining a Queensland driver licence, or be so disqualified for such period as the justices shall specify in the order.\n(sec.90-ssec.2) An order under this section may be made by the justices when they dismiss the complaint or the justices may dismiss the complaint and adjourn the matter of whether or not they will make such order to a later date when the justices may receive such evidence in addition to the evidence given upon the hearing of the complaint as they consider necessary under the circumstances.","sortOrder":239},{"sectionNumber":"sec.90A","sectionType":"section","heading":"Definitions for ss&#160;90B – 90D","content":"### sec.90A Definitions for ss&#160;90B – 90D\n\nIn sections&#160;90B to 90D —\ndangerous driving offence means an offence against the Criminal Code , section&#160;328A (1) or (4) if the offence is accompanied by a circumstance of aggravation that, at the time of committing the offence, the person charged with the offence was adversely affected by an intoxicating substance.\ns&#160;90A def dangerous driving offence amd 2007 No.&#160;43 s&#160;4 (1)\ndesignated offence means—\nan offence against—\nsection&#160;79 (1) , (1F) , (2) or (2AA) , to the extent it involves a motor vehicle; or\nsection&#160;79 (2A) , (2B) , (2J) , (2K) or (2L) ; or\nsection&#160;80 (11) ; or\nsection&#160;91W (1) for which paragraph&#160;(a) (i) or (ii) of the penalty for the offence applies; or\nsection&#160;91X (1) ; or\na dangerous driving offence.\ns&#160;90A def designated offence amd 2007 No.&#160;43 s&#160;4 (2) ; 2010 No.&#160;13 ss&#160;10 (1) , 16 (1) ; 2011 No.&#160;12 s&#160;109\ndisqualified means disqualified from holding or obtaining a Queensland driver licence.\nSee section&#160;127 (4) which provides for the effect of a suspension under this Act of any licence.\ndrink driving offence means—\nan offence against—\nsection&#160;78 (1) ; or\nsection&#160;79 (1) , (1F) , (2) or (2AA) , to the extent it involves a motor vehicle; or\nsection&#160;79 (2A) , (2B) , (2J) , (2K) or (2L) ; or\nsection&#160;80 (11) ; or\nsection&#160;87 (10) ; or\nsection&#160;91W (1) for which paragraph&#160;(a) (i) or (ii) of the penalty for the offence applies; or\nsection&#160;91X (1) ; or\na provision of a regulation under section&#160;79E (4) for failing to comply with an order under section&#160;79E (2) ; or\na dangerous driving offence.\ns&#160;90A def drink driving offence amd 2006 No.&#160;57 s&#160;48 (1) ; 2007 No.&#160;43 s&#160;4 (2) ; 2010 No.&#160;13 ss&#160;10 (2) , 16 (2) – (3) ; 2011 No.&#160;12 s&#160;109\nrelevant disqualifying provision means—\nsection&#160;78 (3) (i) ; or\nsection&#160;81 ; or\nsection&#160;86 ; or\nsection&#160;87 (10A) (b) ; or\nsection&#160;91W (2) ; or\nsection&#160;91X (2) ; or\na provision of a regulation under section&#160;79E (4) providing for the disqualification of a person for failing to comply with an order under section&#160;79E (2) ; or\nthe Penalties and Sentences Act 1992 , section&#160;187 .\ns&#160;90A def relevant disqualifying provision amd 2006 No.&#160;57 s&#160;48 (2) ; 2010 No.&#160;13 s&#160;16 (4) – (5)\namd 2024 No.&#160;45 s&#160;99 (uncommenced amendment)\nsection&#160;89 disqualification means a disqualification ordered by a court under section&#160;89 as a result of being charged with, but not convicted of, a dangerous driving offence.\nsection&#160;90 disqualification means a disqualification ordered by a court under section&#160;90 as a result of being charged with, but not convicted of, a dangerous driving offence or an offence against section&#160;79 .\ns&#160;90A ins 2006 No.&#160;21 s&#160;144A\n- (a) an offence against— (i) section&#160;79 (1) , (1F) , (2) or (2AA) , to the extent it involves a motor vehicle; or (ii) section&#160;79 (2A) , (2B) , (2J) , (2K) or (2L) ; or (iii) section&#160;80 (11) ; or (iv) section&#160;91W (1) for which paragraph&#160;(a) (i) or (ii) of the penalty for the offence applies; or (v) section&#160;91X (1) ; or\n- (i) section&#160;79 (1) , (1F) , (2) or (2AA) , to the extent it involves a motor vehicle; or\n- (ii) section&#160;79 (2A) , (2B) , (2J) , (2K) or (2L) ; or\n- (iii) section&#160;80 (11) ; or\n- (iv) section&#160;91W (1) for which paragraph&#160;(a) (i) or (ii) of the penalty for the offence applies; or\n- (v) section&#160;91X (1) ; or\n- (b) a dangerous driving offence.\n- (i) section&#160;79 (1) , (1F) , (2) or (2AA) , to the extent it involves a motor vehicle; or\n- (ii) section&#160;79 (2A) , (2B) , (2J) , (2K) or (2L) ; or\n- (iii) section&#160;80 (11) ; or\n- (iv) section&#160;91W (1) for which paragraph&#160;(a) (i) or (ii) of the penalty for the offence applies; or\n- (v) section&#160;91X (1) ; or\n- (a) an offence against— (i) section&#160;78 (1) ; or (ii) section&#160;79 (1) , (1F) , (2) or (2AA) , to the extent it involves a motor vehicle; or (iii) section&#160;79 (2A) , (2B) , (2J) , (2K) or (2L) ; or (iv) section&#160;80 (11) ; or (v) section&#160;87 (10) ; or (vi) section&#160;91W (1) for which paragraph&#160;(a) (i) or (ii) of the penalty for the offence applies; or (vii) section&#160;91X (1) ; or (viii) a provision of a regulation under section&#160;79E (4) for failing to comply with an order under section&#160;79E (2) ; or\n- (i) section&#160;78 (1) ; or\n- (ii) section&#160;79 (1) , (1F) , (2) or (2AA) , to the extent it involves a motor vehicle; or\n- (iii) section&#160;79 (2A) , (2B) , (2J) , (2K) or (2L) ; or\n- (iv) section&#160;80 (11) ; or\n- (v) section&#160;87 (10) ; or\n- (vi) section&#160;91W (1) for which paragraph&#160;(a) (i) or (ii) of the penalty for the offence applies; or\n- (vii) section&#160;91X (1) ; or\n- (viii) a provision of a regulation under section&#160;79E (4) for failing to comply with an order under section&#160;79E (2) ; or\n- (b) a dangerous driving offence.\n- (i) section&#160;78 (1) ; or\n- (ii) section&#160;79 (1) , (1F) , (2) or (2AA) , to the extent it involves a motor vehicle; or\n- (iii) section&#160;79 (2A) , (2B) , (2J) , (2K) or (2L) ; or\n- (iv) section&#160;80 (11) ; or\n- (v) section&#160;87 (10) ; or\n- (vi) section&#160;91W (1) for which paragraph&#160;(a) (i) or (ii) of the penalty for the offence applies; or\n- (vii) section&#160;91X (1) ; or\n- (viii) a provision of a regulation under section&#160;79E (4) for failing to comply with an order under section&#160;79E (2) ; or\n- (a) section&#160;78 (3) (i) ; or\n- (b) section&#160;81 ; or\n- (c) section&#160;86 ; or\n- (d) section&#160;87 (10A) (b) ; or\n- (e) section&#160;91W (2) ; or\n- (f) section&#160;91X (2) ; or\n- (g) a provision of a regulation under section&#160;79E (4) providing for the disqualification of a person for failing to comply with an order under section&#160;79E (2) ; or\n- (h) the Penalties and Sentences Act 1992 , section&#160;187 .","sortOrder":240},{"sectionNumber":"sec.90B","sectionType":"section","heading":"Cumulative periods of disqualification for offences committed at different times","content":"### sec.90B Cumulative periods of disqualification for offences committed at different times\n\nThis section applies if—\na person is disqualified (the initiating disqualification )—\nunder a relevant disqualifying provision for a drink driving offence; or\nunder a section&#160;89 disqualification; or\nunder a section&#160;90 disqualification; and\nbefore the period of disqualification for the initiating disqualification ends, the person is disqualified again on 1 or more occasions (a later disqualification ) as mentioned in paragraph&#160;(a) .\nHowever, this section does not apply if section&#160;90C applies.\nEach period of disqualification whether for an initiating disqualification or later disqualification takes effect cumulatively with each other period of disqualification.\nD is charged with a drink driving offence. Before the court hears that charge D is charged again with a drink driving offence. The court convicts D of both offences and disqualifies D for a period of 2 months for 1 offence and a period of 4 months for the other offence. The total period of disqualification is 6 months.\nD commits a drink driving offence on 25 December 2008 and commits another drink driving offence on 1 January 2009. A court convicts D of the 1 January offence on 2 January 2009 and disqualifies D for a period of 2 months. On 1 February, the court convicts D of the 25 December offence and disqualifies D for a period of 4 months. The total period of disqualification is 6 months.\ns&#160;90B ins 2006 No.&#160;21 s&#160;144A\n(sec.90B-ssec.1) This section applies if— a person is disqualified (the initiating disqualification )— under a relevant disqualifying provision for a drink driving offence; or under a section&#160;89 disqualification; or under a section&#160;90 disqualification; and before the period of disqualification for the initiating disqualification ends, the person is disqualified again on 1 or more occasions (a later disqualification ) as mentioned in paragraph&#160;(a) .\n(sec.90B-ssec.2) However, this section does not apply if section&#160;90C applies.\n(sec.90B-ssec.3) Each period of disqualification whether for an initiating disqualification or later disqualification takes effect cumulatively with each other period of disqualification. D is charged with a drink driving offence. Before the court hears that charge D is charged again with a drink driving offence. The court convicts D of both offences and disqualifies D for a period of 2 months for 1 offence and a period of 4 months for the other offence. The total period of disqualification is 6 months. D commits a drink driving offence on 25 December 2008 and commits another drink driving offence on 1 January 2009. A court convicts D of the 1 January offence on 2 January 2009 and disqualifies D for a period of 2 months. On 1 February, the court convicts D of the 25 December offence and disqualifies D for a period of 4 months. The total period of disqualification is 6 months.\n- (a) a person is disqualified (the initiating disqualification )— (i) under a relevant disqualifying provision for a drink driving offence; or (ii) under a section&#160;89 disqualification; or (iii) under a section&#160;90 disqualification; and\n- (i) under a relevant disqualifying provision for a drink driving offence; or\n- (ii) under a section&#160;89 disqualification; or\n- (iii) under a section&#160;90 disqualification; and\n- (b) before the period of disqualification for the initiating disqualification ends, the person is disqualified again on 1 or more occasions (a later disqualification ) as mentioned in paragraph&#160;(a) .\n- (i) under a relevant disqualifying provision for a drink driving offence; or\n- (ii) under a section&#160;89 disqualification; or\n- (iii) under a section&#160;90 disqualification; and\n- 1 D is charged with a drink driving offence. Before the court hears that charge D is charged again with a drink driving offence. The court convicts D of both offences and disqualifies D for a period of 2 months for 1 offence and a period of 4 months for the other offence. The total period of disqualification is 6 months.\n- 2 D commits a drink driving offence on 25 December 2008 and commits another drink driving offence on 1 January 2009. A court convicts D of the 1 January offence on 2 January 2009 and disqualifies D for a period of 2 months. On 1 February, the court convicts D of the 25 December offence and disqualifies D for a period of 4 months. The total period of disqualification is 6 months.","sortOrder":241},{"sectionNumber":"sec.90C","sectionType":"section","heading":"Cumulative periods of disqualification for acts done and offences committed at same time","content":"### sec.90C Cumulative periods of disqualification for acts done and offences committed at same time\n\nThis section applies if—\na person does an act that results in the person being charged with a designated offence and, when the person does the act, the person commits an offence against section&#160;78 (1) ; and\nas a result of being charged with the designated offence, the person is disqualified (the drink driving disqualification )—\nunder section&#160;81 or 86 or the Penalties and Sentences Act 1992 , section&#160;187 ; or\nunder a section&#160;89 disqualification; or\nunder a section&#160;90 disqualification; and\nas a result of committing the offence against section&#160;78 (1) , the person is disqualified (the unlicensed driving disqualification ) under section&#160;78 (3) (a) to (h) , (j) or (k) or the Penalties and Sentences Act 1992 , section&#160;187 .\nSubsection&#160;(3) applies if, when the person does the act that results in the person being charged with the designated offence, the person does not hold a driver licence authorising the person to drive the motor vehicle on the road but is not disqualified—\nunder a relevant disqualifying provision for a drink driving offence; or\nunder a section&#160;89 disqualification; or\nunder a section&#160;90 disqualification.\nThe periods of disqualification for the drink driving disqualification and the unlicensed driving disqualification take effect cumulatively with each other.\nSubsection&#160;(5) applies if, when the person does the act that results in the person being charged with the designated offence, the person does not hold a licence because the person is disqualified (the existing disqualification )—\nunder a relevant disqualifying provision for a drink driving offence; or\nunder a section&#160;89 disqualification; or\nunder a section&#160;90 disqualification.\nEach period of disqualification, whether for a drink driving disqualification, an unlicensed driving disqualification or an existing disqualification, takes effect cumulatively with each other period of disqualification.\ns&#160;90C ins 2006 No.&#160;21 s&#160;144A\namd 2014 No.&#160;43 s&#160;88\namd 2024 No.&#160;45 s&#160;100 (uncommenced amendment)\n(sec.90C-ssec.1) This section applies if— a person does an act that results in the person being charged with a designated offence and, when the person does the act, the person commits an offence against section&#160;78 (1) ; and as a result of being charged with the designated offence, the person is disqualified (the drink driving disqualification )— under section&#160;81 or 86 or the Penalties and Sentences Act 1992 , section&#160;187 ; or under a section&#160;89 disqualification; or under a section&#160;90 disqualification; and as a result of committing the offence against section&#160;78 (1) , the person is disqualified (the unlicensed driving disqualification ) under section&#160;78 (3) (a) to (h) , (j) or (k) or the Penalties and Sentences Act 1992 , section&#160;187 .\n(sec.90C-ssec.2) Subsection&#160;(3) applies if, when the person does the act that results in the person being charged with the designated offence, the person does not hold a driver licence authorising the person to drive the motor vehicle on the road but is not disqualified— under a relevant disqualifying provision for a drink driving offence; or under a section&#160;89 disqualification; or under a section&#160;90 disqualification.\n(sec.90C-ssec.3) The periods of disqualification for the drink driving disqualification and the unlicensed driving disqualification take effect cumulatively with each other.\n(sec.90C-ssec.4) Subsection&#160;(5) applies if, when the person does the act that results in the person being charged with the designated offence, the person does not hold a licence because the person is disqualified (the existing disqualification )— under a relevant disqualifying provision for a drink driving offence; or under a section&#160;89 disqualification; or under a section&#160;90 disqualification.\n(sec.90C-ssec.5) Each period of disqualification, whether for a drink driving disqualification, an unlicensed driving disqualification or an existing disqualification, takes effect cumulatively with each other period of disqualification.\n- (a) a person does an act that results in the person being charged with a designated offence and, when the person does the act, the person commits an offence against section&#160;78 (1) ; and\n- (b) as a result of being charged with the designated offence, the person is disqualified (the drink driving disqualification )— (i) under section&#160;81 or 86 or the Penalties and Sentences Act 1992 , section&#160;187 ; or (ii) under a section&#160;89 disqualification; or (iii) under a section&#160;90 disqualification; and\n- (i) under section&#160;81 or 86 or the Penalties and Sentences Act 1992 , section&#160;187 ; or\n- (ii) under a section&#160;89 disqualification; or\n- (iii) under a section&#160;90 disqualification; and\n- (c) as a result of committing the offence against section&#160;78 (1) , the person is disqualified (the unlicensed driving disqualification ) under section&#160;78 (3) (a) to (h) , (j) or (k) or the Penalties and Sentences Act 1992 , section&#160;187 .\n- (i) under section&#160;81 or 86 or the Penalties and Sentences Act 1992 , section&#160;187 ; or\n- (ii) under a section&#160;89 disqualification; or\n- (iii) under a section&#160;90 disqualification; and\n- (a) under a relevant disqualifying provision for a drink driving offence; or\n- (b) under a section&#160;89 disqualification; or\n- (c) under a section&#160;90 disqualification.\n- (a) under a relevant disqualifying provision for a drink driving offence; or\n- (b) under a section&#160;89 disqualification; or\n- (c) under a section&#160;90 disqualification.","sortOrder":242},{"sectionNumber":"sec.90D","sectionType":"section","heading":"Other matters about cumulative periods of disqualification","content":"### sec.90D Other matters about cumulative periods of disqualification\n\nFor sections&#160;90B and 90C , the following is immaterial to the cumulative effect of disqualifications—\nwhether the periods of disqualification are imposed or ordered at the same hearing;\nwhether an offence or charge that resulted in a period of disqualification (or the conviction or sentence for the offence or charge) happened before or after another offence or charge (or the conviction or sentence for the other offence or charge) that resulted in a period of disqualification;\nthe order in which the periods of disqualification are imposed or ordered.\nAlso, for sections&#160;90B and 90C , periods of disqualification mentioned in the sections take effect cumulatively with other periods of disqualification mentioned in the sections in the order in which they are imposed or ordered.\nFurther, sections&#160;90B and 90C apply for a period of disqualification despite any provision of this Act or another Act that states the period of disqualification takes effect from a particular time.\nA person is convicted of an offence under section&#160;79 (1) and under section&#160;86 (1) is disqualified from holding or obtaining a Queensland driver licence for a period of 6 months from the date of the conviction. Three months after the person’s conviction, the person is convicted of a subsequent offence under section&#160;79 (1) and under section&#160;86 (1A) is disqualified from holding or obtaining a Queensland driver licence for a period of 1 year from the date of the subsequent conviction.\nDespite the reference in section&#160;86 (1A) to the 1 year disqualification period applying from the date of the conviction, the 1 year disqualification period applies cumulatively after the end of the 6 month disqualification period for the earlier conviction.\ns&#160;90D ins 2006 No.&#160;21 s&#160;144A\namd 2019 No.&#160;25 s&#160;37\n(sec.90D-ssec.1) For sections&#160;90B and 90C , the following is immaterial to the cumulative effect of disqualifications— whether the periods of disqualification are imposed or ordered at the same hearing; whether an offence or charge that resulted in a period of disqualification (or the conviction or sentence for the offence or charge) happened before or after another offence or charge (or the conviction or sentence for the other offence or charge) that resulted in a period of disqualification; the order in which the periods of disqualification are imposed or ordered.\n(sec.90D-ssec.2) Also, for sections&#160;90B and 90C , periods of disqualification mentioned in the sections take effect cumulatively with other periods of disqualification mentioned in the sections in the order in which they are imposed or ordered.\n(sec.90D-ssec.3) Further, sections&#160;90B and 90C apply for a period of disqualification despite any provision of this Act or another Act that states the period of disqualification takes effect from a particular time. A person is convicted of an offence under section&#160;79 (1) and under section&#160;86 (1) is disqualified from holding or obtaining a Queensland driver licence for a period of 6 months from the date of the conviction. Three months after the person’s conviction, the person is convicted of a subsequent offence under section&#160;79 (1) and under section&#160;86 (1A) is disqualified from holding or obtaining a Queensland driver licence for a period of 1 year from the date of the subsequent conviction. Despite the reference in section&#160;86 (1A) to the 1 year disqualification period applying from the date of the conviction, the 1 year disqualification period applies cumulatively after the end of the 6 month disqualification period for the earlier conviction.\n- (a) whether the periods of disqualification are imposed or ordered at the same hearing;\n- (b) whether an offence or charge that resulted in a period of disqualification (or the conviction or sentence for the offence or charge) happened before or after another offence or charge (or the conviction or sentence for the other offence or charge) that resulted in a period of disqualification;\n- (c) the order in which the periods of disqualification are imposed or ordered.","sortOrder":243},{"sectionNumber":"sec.91","sectionType":"section","heading":"Chief executive to be advised of persons disqualified from holding Queensland driver licences etc.","content":"### sec.91 Chief executive to be advised of persons disqualified from holding Queensland driver licences etc.\n\nWhen, by or under this Act, a person is disqualified or has been ordered by a judge of the Supreme Court or District Court or justices to be disqualified from holding or obtaining a Queensland driver licence either absolutely or for a period, then—\nin the case where no order with respect to such disqualification was made by the judge of the Supreme Court or District Court before whom the person was convicted—particulars of the conviction; or\nin the case where an order with respect to such disqualification was made by a judge of the Supreme Court or District Court upon the trial or conviction of that person—a copy of such order; or\nin the case where no order with respect to such disqualification was made by the justices who convicted the person—a copy of the minute or memorandum of the conviction made and signed by such justices; or\nin the case where the order with respect to such disqualification has been made by justices—a copy of such order;\nmust be transmitted by the registrar of the Supreme or District Court or the clerk of the court concerned to the chief executive.\ns&#160;91 (prev 1949 13 Geo 6 No. 26 s&#160;23) amd 1961 10 Eliz 2 No. 27 s&#160;13; 1990 No.&#160;73 s&#160;3 sch&#160;5 ; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdt 87,88\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 89\namd 2007 No.&#160;6 s&#160;66 (1) sch&#160;2 ; 2011 No.&#160;45 s&#160;217 sch&#160;1A\n- (a) in the case where no order with respect to such disqualification was made by the judge of the Supreme Court or District Court before whom the person was convicted—particulars of the conviction; or\n- (b) in the case where an order with respect to such disqualification was made by a judge of the Supreme Court or District Court upon the trial or conviction of that person—a copy of such order; or\n- (c) in the case where no order with respect to such disqualification was made by the justices who convicted the person—a copy of the minute or memorandum of the conviction made and signed by such justices; or\n- (d) in the case where the order with respect to such disqualification has been made by justices—a copy of such order;","sortOrder":244},{"sectionNumber":"ch.5-pt.3A","sectionType":"part","heading":"Education programs for drink drivers","content":"# Education programs for drink drivers","sortOrder":245},{"sectionNumber":"ch.5-pt.3A-div.1","sectionType":"division","heading":"Preliminary","content":"## Preliminary","sortOrder":246},{"sectionNumber":"sec.91A","sectionType":"section","heading":"Definitions for part","content":"### sec.91A Definitions for part\n\nIn this part—\nalcohol-related driver offence means any of the following offences committed after the commencement—\nan offence against section&#160;79 (1) , involving a motor vehicle, while under the influence of liquor;\nan offence against section&#160;79 (1F) , (2) , (2A) , (2B) , (2J) , (2K) or (2L) involving a motor vehicle;\nan offence against section&#160;80 (11) , involving a motor vehicle, in relation to failing to provide—\na specimen of breath for analysis; or\na specimen of blood for a laboratory test if the requisition to which the failure relates was made for the purpose of determining the concentration of alcohol (if any) in the person’s blood;\nan offence against the Criminal Code , section&#160;328A (1) or (4) , involving the offender operating or interfering with the operation of a motor vehicle dangerously other than as a passenger, when accompanied by the circumstance of aggravation that at the time of committing the offence the offender was adversely affected by alcohol.\nbrief intervention education program see section&#160;91B (2) .\ndriver licence disqualification , for a person, means the person’s disqualification from holding or obtaining a Queensland driver licence as mentioned in section&#160;91D (1) (b) .\nexemption application see section&#160;91G (3) .\nrepeat offender education program see section&#160;91B (3) .\ns&#160;91A prev s&#160;91A ins 2008 No.&#160;71 s&#160;28 (amd 2010 No.&#160;13 s&#160;75 (1) )\nom 2015 No.&#160;14 s&#160;38\npres s&#160;91A ins 2019 No.&#160;25 s&#160;89\n- (a) an offence against section&#160;79 (1) , involving a motor vehicle, while under the influence of liquor;\n- (b) an offence against section&#160;79 (1F) , (2) , (2A) , (2B) , (2J) , (2K) or (2L) involving a motor vehicle;\n- (c) an offence against section&#160;80 (11) , involving a motor vehicle, in relation to failing to provide— (i) a specimen of breath for analysis; or (ii) a specimen of blood for a laboratory test if the requisition to which the failure relates was made for the purpose of determining the concentration of alcohol (if any) in the person’s blood;\n- (i) a specimen of breath for analysis; or\n- (ii) a specimen of blood for a laboratory test if the requisition to which the failure relates was made for the purpose of determining the concentration of alcohol (if any) in the person’s blood;\n- (d) an offence against the Criminal Code , section&#160;328A (1) or (4) , involving the offender operating or interfering with the operation of a motor vehicle dangerously other than as a passenger, when accompanied by the circumstance of aggravation that at the time of committing the offence the offender was adversely affected by alcohol.\n- (i) a specimen of breath for analysis; or\n- (ii) a specimen of blood for a laboratory test if the requisition to which the failure relates was made for the purpose of determining the concentration of alcohol (if any) in the person’s blood;","sortOrder":247},{"sectionNumber":"sec.91AA","sectionType":"section","heading":null,"content":"### Section sec.91AA\n\ns&#160;91AA ins 2008 No.&#160;71 s&#160;28 (amd 2010 No.&#160;13 s&#160;75 (1) )\nom 2015 No.&#160;14 s&#160;38","sortOrder":248},{"sectionNumber":"sec.91B","sectionType":"section","heading":"Approval of programs","content":"### sec.91B Approval of programs\n\nThe chief executive may approve the following programs—\na program designed to educate and support participants to separate the act of drinking alcohol from driving;\na program designed to educate participants about, and support participants to implement, strategies—\nto prevent them from driving while under the influence of alcohol; and\nfor changing behaviours relating to the misuse of alcohol.\nA program approved under subsection&#160;(1) (a) is a brief intervention education program .\nA program approved under subsection&#160;(1) (b) is a repeat offender education program .\nA regulation may prescribe fees payable for a program approved under this section that is provided by the department.\ns&#160;91B prev s&#160;91B ins 2008 No.&#160;71 s&#160;28 (amd 2010 No.&#160;13 s&#160;75 (1) )\nom 2015 No.&#160;14 s&#160;38\npres s&#160;91B ins 2019 No.&#160;25 s&#160;89\n(sec.91B-ssec.1) The chief executive may approve the following programs— a program designed to educate and support participants to separate the act of drinking alcohol from driving; a program designed to educate participants about, and support participants to implement, strategies— to prevent them from driving while under the influence of alcohol; and for changing behaviours relating to the misuse of alcohol.\n(sec.91B-ssec.2) A program approved under subsection&#160;(1) (a) is a brief intervention education program .\n(sec.91B-ssec.3) A program approved under subsection&#160;(1) (b) is a repeat offender education program .\n(sec.91B-ssec.4) A regulation may prescribe fees payable for a program approved under this section that is provided by the department.\n- (a) a program designed to educate and support participants to separate the act of drinking alcohol from driving;\n- (b) a program designed to educate participants about, and support participants to implement, strategies— (i) to prevent them from driving while under the influence of alcohol; and (ii) for changing behaviours relating to the misuse of alcohol.\n- (i) to prevent them from driving while under the influence of alcohol; and\n- (ii) for changing behaviours relating to the misuse of alcohol.\n- (i) to prevent them from driving while under the influence of alcohol; and\n- (ii) for changing behaviours relating to the misuse of alcohol.","sortOrder":249},{"sectionNumber":"sec.91C","sectionType":"section","heading":"Publication of details of program","content":"### sec.91C Publication of details of program\n\nThe chief executive must publish the following details of each program approved under section&#160;91B on the department’s website—\nhow the program may be completed, including, for example—\nby completing the program provided by the department or a service provider online; or\nby attending the program provided by the department or a service provider;\nfor a program provided by the department—the fee prescribed under section&#160;91B (4) for the program;\nfor a program provided by a service provider—the name and contact details for each service provider who provides the program.\nIn this section—\nservice provider means an entity engaged by the department to provide a program approved under this section.\ns&#160;91C prev s&#160;91C ins 2008 No.&#160;71 s&#160;28 (amd 2010 No.&#160;13 s&#160;75 (2) )\nom 2015 No.&#160;14 s&#160;38\npres s&#160;91C ins 2019 No.&#160;25 s&#160;89\n(sec.91C-ssec.1) The chief executive must publish the following details of each program approved under section&#160;91B on the department’s website— how the program may be completed, including, for example— by completing the program provided by the department or a service provider online; or by attending the program provided by the department or a service provider; for a program provided by the department—the fee prescribed under section&#160;91B (4) for the program; for a program provided by a service provider—the name and contact details for each service provider who provides the program.\n(sec.91C-ssec.2) In this section— service provider means an entity engaged by the department to provide a program approved under this section.\n- (a) how the program may be completed, including, for example— (i) by completing the program provided by the department or a service provider online; or (ii) by attending the program provided by the department or a service provider;\n- (i) by completing the program provided by the department or a service provider online; or\n- (ii) by attending the program provided by the department or a service provider;\n- (b) for a program provided by the department—the fee prescribed under section&#160;91B (4) for the program;\n- (c) for a program provided by a service provider—the name and contact details for each service provider who provides the program.\n- (i) by completing the program provided by the department or a service provider online; or\n- (ii) by attending the program provided by the department or a service provider;","sortOrder":250},{"sectionNumber":"ch.5-pt.3A-div.2","sectionType":"division","heading":"Requirements for drink drivers to complete programs","content":"## Requirements for drink drivers to complete programs","sortOrder":251},{"sectionNumber":"sec.91D","sectionType":"section","heading":"Application of division","content":"### sec.91D Application of division\n\nThis division applies to a person who—\nis convicted of an alcohol-related driver offence; and\nis disqualified, other than under a prescribed provision, from holding or obtaining a Queensland driver licence by or because of the conviction or offence or under a penalty imposed for the offence.\nHowever, this division stops applying to the person in relation to the person’s driver licence disqualification arising from the conviction if a period of 5 years lapses after the conviction.\nSubsection&#160;(2) does not prevent this division applying to the person in relation to the person’s driver licence disqualification arising from the person’s conviction of another alcohol-related driver offence committed within or after the 5-year period.\nIn this section—\nprescribed provision means section&#160;79B (4) , 81 (4) (b) , 89 (1) or 90 (1) .\ns&#160;91D prev s&#160;91D ins 2008 No.&#160;71 s&#160;28\nom 2015 No.&#160;14 s&#160;38\npres s&#160;91D ins 2019 No.&#160;25 s&#160;89\namd 2024 No.&#160;45 s&#160;101 (uncommenced amendment)\n(sec.91D-ssec.1) This division applies to a person who— is convicted of an alcohol-related driver offence; and is disqualified, other than under a prescribed provision, from holding or obtaining a Queensland driver licence by or because of the conviction or offence or under a penalty imposed for the offence.\n(sec.91D-ssec.2) However, this division stops applying to the person in relation to the person’s driver licence disqualification arising from the conviction if a period of 5 years lapses after the conviction.\n(sec.91D-ssec.3) Subsection&#160;(2) does not prevent this division applying to the person in relation to the person’s driver licence disqualification arising from the person’s conviction of another alcohol-related driver offence committed within or after the 5-year period.\n(sec.91D-ssec.4) In this section— prescribed provision means section&#160;79B (4) , 81 (4) (b) , 89 (1) or 90 (1) .\n- (a) is convicted of an alcohol-related driver offence; and\n- (b) is disqualified, other than under a prescribed provision, from holding or obtaining a Queensland driver licence by or because of the conviction or offence or under a penalty imposed for the offence.","sortOrder":252},{"sectionNumber":"sec.91E","sectionType":"section","heading":"Requirement to complete brief intervention education program","content":"### sec.91E Requirement to complete brief intervention education program\n\nThe person is not eligible for a Queensland driver licence unless the person has completed a brief intervention education program within the previous 5 years.\ns&#160;91E ins 2019 No.&#160;25 s&#160;89","sortOrder":253},{"sectionNumber":"sec.91F","sectionType":"section","heading":"Requirement to complete repeat offender education program","content":"### sec.91F Requirement to complete repeat offender education program\n\nThis section applies if the person’s driver licence disqualification arose from the person’s conviction of an alcohol-related driver offence committed within 5 years of the person’s previous conviction for an alcohol-related driver offence.\nThe person is not eligible for a Queensland driver licence unless the person—\nhas completed a repeat offender education program within the previous 5 years; or\nhas an exemption from completing a repeat offender education program under division&#160;3 .\nHowever, subsection&#160;(2) does not apply to a Queensland driver licence to which the interlock condition applies.\nSee section&#160;91M (4) and (5) in relation to holders of a Queensland driver licence subject to the interlock condition.\ns&#160;91F prev s&#160;91F ins 2008 No.&#160;71 s&#160;28 (amd 2010 No.&#160;13 s&#160;75 (3) ; 2010 No.&#160;19 s&#160;221 (2) – (3) )\namd 2010 No.&#160;19 s&#160;222 ; 2014 No.&#160;43 s&#160;89\nom 2015 No.&#160;14 s&#160;38\npres s&#160;91F ins 2019 No.&#160;25 s&#160;89\n(sec.91F-ssec.1) This section applies if the person’s driver licence disqualification arose from the person’s conviction of an alcohol-related driver offence committed within 5 years of the person’s previous conviction for an alcohol-related driver offence.\n(sec.91F-ssec.2) The person is not eligible for a Queensland driver licence unless the person— has completed a repeat offender education program within the previous 5 years; or has an exemption from completing a repeat offender education program under division&#160;3 .\n(sec.91F-ssec.3) However, subsection&#160;(2) does not apply to a Queensland driver licence to which the interlock condition applies. See section&#160;91M (4) and (5) in relation to holders of a Queensland driver licence subject to the interlock condition.\n- (a) has completed a repeat offender education program within the previous 5 years; or\n- (b) has an exemption from completing a repeat offender education program under division&#160;3 .","sortOrder":254},{"sectionNumber":"ch.5-pt.3A-div.3","sectionType":"division","heading":"Exemption from requirement to complete repeat offender education program","content":"## Exemption from requirement to complete repeat offender education program","sortOrder":255},{"sectionNumber":"sec.91G","sectionType":"section","heading":"Application for exemption","content":"### sec.91G Application for exemption\n\nA person to whom division&#160;2 applies may apply to the chief executive for an exemption from the requirement to complete a repeat offender education program.\nThe application may not be made before the end of the period for which the person is disqualified from holding or obtaining a Queensland driver licence.\nAn application under subsection&#160;(1) (an exemption application ) must be accompanied by the fee prescribed by regulation.\nSee chapter&#160;5B for requirements about the application.\ns&#160;91G prev s&#160;91G ins 2008 No.&#160;71 s&#160;28 (amd 2010 No.&#160;13 s&#160;75 (4) )\nom 2015 No.&#160;14 s&#160;38\npres s&#160;91G ins 2019 No.&#160;25 s&#160;89\n(sec.91G-ssec.1) A person to whom division&#160;2 applies may apply to the chief executive for an exemption from the requirement to complete a repeat offender education program.\n(sec.91G-ssec.2) The application may not be made before the end of the period for which the person is disqualified from holding or obtaining a Queensland driver licence.\n(sec.91G-ssec.3) An application under subsection&#160;(1) (an exemption application ) must be accompanied by the fee prescribed by regulation. See chapter&#160;5B for requirements about the application.","sortOrder":256},{"sectionNumber":"sec.91H","sectionType":"section","heading":"Grounds for granting exemption","content":"### sec.91H Grounds for granting exemption\n\nThe chief executive may grant an exemption the subject of an exemption application only if the chief executive is satisfied—\nit would be unreasonable to require the applicant to complete a repeat offender education program having regard to the way the program is provided and the applicant’s ability to access the program; or\na refusal to grant the exemption would cause the applicant severe hardship within the meaning prescribed by regulation.\nIf repeat offender education programs are provided at 1 or more places and are not provided online, the chief executive may be satisfied of the matter mentioned in subsection&#160;(1) (a) only if—\nthe shortest reasonable distance, or shortest reasonable travelling time, using a motor vehicle, between the applicant’s principal place of residence and the nearest place where a repeat offender education program is provided is greater than the distance or time prescribed by regulation; or\nthe applicant’s principal place of residence is at a location, prescribed by regulation, from which the nearest place where a repeat offender education program is provided is not reasonably accessible using a motor vehicle; or\nthe applicant’s principal place of residence is outside both of the following—\na radius prescribed by regulation from the nearest place where a repeat offender education program is provided;\nan area in which a service provider provides a repeat offender education program on a mobile basis.\nIf repeat offender education programs are provided only online, the chief executive may be satisfied of the matter mentioned in subsection&#160;(1) (a) only if the applicant does not have reasonable access to the internet.\nIf repeat offender education programs are provided at 1 or more places and online, the chief executive may be satisfied of the matter mentioned in subsection&#160;(1) (a) only if—\nsubsection&#160;(2) (a) , (b) or (c) is satisfied for the person in relation to the places at which the program is provided; and\nthe applicant does not have reasonable access to the internet.\ns&#160;91H prev s&#160;91H ins 2008 No.&#160;71 s&#160;28\nom 2015 No.&#160;14 s&#160;38\npres s&#160;91H ins 2019 No.&#160;25 s&#160;89\n(sec.91H-ssec.1) The chief executive may grant an exemption the subject of an exemption application only if the chief executive is satisfied— it would be unreasonable to require the applicant to complete a repeat offender education program having regard to the way the program is provided and the applicant’s ability to access the program; or a refusal to grant the exemption would cause the applicant severe hardship within the meaning prescribed by regulation.\n(sec.91H-ssec.2) If repeat offender education programs are provided at 1 or more places and are not provided online, the chief executive may be satisfied of the matter mentioned in subsection&#160;(1) (a) only if— the shortest reasonable distance, or shortest reasonable travelling time, using a motor vehicle, between the applicant’s principal place of residence and the nearest place where a repeat offender education program is provided is greater than the distance or time prescribed by regulation; or the applicant’s principal place of residence is at a location, prescribed by regulation, from which the nearest place where a repeat offender education program is provided is not reasonably accessible using a motor vehicle; or the applicant’s principal place of residence is outside both of the following— a radius prescribed by regulation from the nearest place where a repeat offender education program is provided; an area in which a service provider provides a repeat offender education program on a mobile basis.\n(sec.91H-ssec.3) If repeat offender education programs are provided only online, the chief executive may be satisfied of the matter mentioned in subsection&#160;(1) (a) only if the applicant does not have reasonable access to the internet.\n(sec.91H-ssec.4) If repeat offender education programs are provided at 1 or more places and online, the chief executive may be satisfied of the matter mentioned in subsection&#160;(1) (a) only if— subsection&#160;(2) (a) , (b) or (c) is satisfied for the person in relation to the places at which the program is provided; and the applicant does not have reasonable access to the internet.\n- (a) it would be unreasonable to require the applicant to complete a repeat offender education program having regard to the way the program is provided and the applicant’s ability to access the program; or\n- (b) a refusal to grant the exemption would cause the applicant severe hardship within the meaning prescribed by regulation.\n- (a) the shortest reasonable distance, or shortest reasonable travelling time, using a motor vehicle, between the applicant’s principal place of residence and the nearest place where a repeat offender education program is provided is greater than the distance or time prescribed by regulation; or\n- (b) the applicant’s principal place of residence is at a location, prescribed by regulation, from which the nearest place where a repeat offender education program is provided is not reasonably accessible using a motor vehicle; or\n- (c) the applicant’s principal place of residence is outside both of the following— (i) a radius prescribed by regulation from the nearest place where a repeat offender education program is provided; (ii) an area in which a service provider provides a repeat offender education program on a mobile basis.\n- (i) a radius prescribed by regulation from the nearest place where a repeat offender education program is provided;\n- (ii) an area in which a service provider provides a repeat offender education program on a mobile basis.\n- (i) a radius prescribed by regulation from the nearest place where a repeat offender education program is provided;\n- (ii) an area in which a service provider provides a repeat offender education program on a mobile basis.\n- (a) subsection&#160;(2) (a) , (b) or (c) is satisfied for the person in relation to the places at which the program is provided; and\n- (b) the applicant does not have reasonable access to the internet.","sortOrder":257},{"sectionNumber":"sec.91HA","sectionType":"section","heading":"Deciding application for exemption","content":"### sec.91HA Deciding application for exemption\n\nThe chief executive must decide an exemption application within 28 days after receiving it and either grant or refuse to grant the exemption.\nIf the chief executive does not decide an exemption application within the period required under subsection&#160;(1) or a longer period agreed with the applicant, the chief executive is taken to have made a decision (a deemed decision ) refusing the exemption on the last day of the period.\nDespite subsection&#160;(2) , the chief executive may continue to consider the application and make a considered decision in relation to it.\nIf a considered decision is made, the considered decision replaces any deemed decision for the purposes of this Act.\nIn this section—\nconsidered decision means a decision in accordance with section&#160;91H .\ns&#160;91HA ins 2019 No.&#160;25 s&#160;89\n(sec.91HA-ssec.1) The chief executive must decide an exemption application within 28 days after receiving it and either grant or refuse to grant the exemption.\n(sec.91HA-ssec.2) If the chief executive does not decide an exemption application within the period required under subsection&#160;(1) or a longer period agreed with the applicant, the chief executive is taken to have made a decision (a deemed decision ) refusing the exemption on the last day of the period.\n(sec.91HA-ssec.3) Despite subsection&#160;(2) , the chief executive may continue to consider the application and make a considered decision in relation to it.\n(sec.91HA-ssec.4) If a considered decision is made, the considered decision replaces any deemed decision for the purposes of this Act.\n(sec.91HA-ssec.5) In this section— considered decision means a decision in accordance with section&#160;91H .","sortOrder":258},{"sectionNumber":"sec.91HB","sectionType":"section","heading":"Notice of decision","content":"### sec.91HB Notice of decision\n\nAs soon as practicable after a deemed decision or considered decision is made under section&#160;91HA , the chief executive must give the applicant written notice of the decision.\nThe written notice must state—\nthe prescribed review information for the decision; and\nfor a considered decision, the reasons for the decision.\nAlso, if the chief executive decides to grant the exemption, the written notice must—\ncontain a brief statement of—\nthe matters of which the chief executive was satisfied under section&#160;91H ; and\nthe matters that may be the subject of a relevant change of circumstances for section&#160;91HD ; and\nwhen the exemption stops having effect under section&#160;91HC .\ns&#160;91HB ins 2019 No.&#160;25 s&#160;89\n(sec.91HB-ssec.1) As soon as practicable after a deemed decision or considered decision is made under section&#160;91HA , the chief executive must give the applicant written notice of the decision.\n(sec.91HB-ssec.2) The written notice must state— the prescribed review information for the decision; and for a considered decision, the reasons for the decision.\n(sec.91HB-ssec.3) Also, if the chief executive decides to grant the exemption, the written notice must— contain a brief statement of— the matters of which the chief executive was satisfied under section&#160;91H ; and the matters that may be the subject of a relevant change of circumstances for section&#160;91HD ; and when the exemption stops having effect under section&#160;91HC .\n- (a) the prescribed review information for the decision; and\n- (b) for a considered decision, the reasons for the decision.\n- (a) contain a brief statement of— (i) the matters of which the chief executive was satisfied under section&#160;91H ; and (ii) the matters that may be the subject of a relevant change of circumstances for section&#160;91HD ; and\n- (i) the matters of which the chief executive was satisfied under section&#160;91H ; and\n- (ii) the matters that may be the subject of a relevant change of circumstances for section&#160;91HD ; and\n- (b) when the exemption stops having effect under section&#160;91HC .\n- (i) the matters of which the chief executive was satisfied under section&#160;91H ; and\n- (ii) the matters that may be the subject of a relevant change of circumstances for section&#160;91HD ; and","sortOrder":259},{"sectionNumber":"sec.91HC","sectionType":"section","heading":"Exemption ceasing effect","content":"### sec.91HC Exemption ceasing effect\n\nAn exemption granted to a person under section&#160;91HA stops having effect when whichever of the following happens first—\n14 days elapse after the person gives the chief executive a notice under section&#160;91HD ;\nthe exemption is cancelled under section&#160;19 .\nWhen the exemption stops having effect, the requirement that the person complete a repeat offender education program under section&#160;91F applies to the person as provided in that section.\ns&#160;91HC ins 2019 No.&#160;25 s&#160;89\n(sec.91HC-ssec.1) An exemption granted to a person under section&#160;91HA stops having effect when whichever of the following happens first— 14 days elapse after the person gives the chief executive a notice under section&#160;91HD ; the exemption is cancelled under section&#160;19 .\n(sec.91HC-ssec.2) When the exemption stops having effect, the requirement that the person complete a repeat offender education program under section&#160;91F applies to the person as provided in that section.\n- (a) 14 days elapse after the person gives the chief executive a notice under section&#160;91HD ;\n- (b) the exemption is cancelled under section&#160;19 .","sortOrder":260},{"sectionNumber":"sec.91HD","sectionType":"section","heading":"Notice of change in circumstances","content":"### sec.91HD Notice of change in circumstances\n\nA person who has an exemption granted under section&#160;91H must, within 14 days after the happening of a relevant change of circumstances, give written notice of the change to the chief executive.\nIf the person fails to comply with subsection&#160;(1) , the chief executive may cancel the exemption under section&#160;19 —see section&#160;18 (1) (o) .\nIn this section—\nrelevant change of circumstances means a change in any of the matters stated, as required under section&#160;91HB (3) (a) (ii) , in a written notice given to the person.\ns&#160;91HD ins 2019 No.&#160;25 s&#160;89\n(sec.91HD-ssec.1) A person who has an exemption granted under section&#160;91H must, within 14 days after the happening of a relevant change of circumstances, give written notice of the change to the chief executive. If the person fails to comply with subsection&#160;(1) , the chief executive may cancel the exemption under section&#160;19 —see section&#160;18 (1) (o) .\n(sec.91HD-ssec.2) In this section— relevant change of circumstances means a change in any of the matters stated, as required under section&#160;91HB (3) (a) (ii) , in a written notice given to the person.","sortOrder":261},{"sectionNumber":"ch.5-pt.3B","sectionType":"part","heading":"Alcohol ignition interlocks","content":"# Alcohol ignition interlocks","sortOrder":262},{"sectionNumber":"ch.5-pt.3B-div.1","sectionType":"division","heading":"Preliminary","content":"## Preliminary","sortOrder":263},{"sectionNumber":"sec.91I","sectionType":"section","heading":"Definitions for pt&#160;3B","content":"### sec.91I Definitions for pt&#160;3B\n\nIn this part—\nalcohol ignition interlock means a device that, when fitted to a motor vehicle, prevents the vehicle from being started unless the device is provided with a specimen of a person’s breath containing either no alcohol or less than a particular concentration of alcohol.\napproved means approved under a regulation.\napproved servicing requirement means a servicing requirement approved and published by the chief executive under section&#160;91IA .\ns&#160;91I def approved servicing requirement ins 2019 No.&#160;25 s&#160;90 (1)\ndisqualification period see section&#160;91J (1) .\ndrink driving offence means any of the following—\nan offence against section&#160;78 (1) for which the offender was disqualified under section&#160;78 (3) (j) from holding or obtaining a Queensland driver licence for a particular period;\nan offence against section&#160;79 (1) , involving a motor vehicle, while under the influence of liquor;\nan offence against section&#160;79 (1F) involving a motor vehicle;\nan offence under section&#160;80 (11) , involving a motor vehicle, in relation to failing to provide—\na specimen of breath for analysis; or\na specimen of blood for a laboratory test if the requisition to which the failure relates was made for the purpose of determining the concentration of alcohol (if any) in the person’s blood;\nan offence against the Criminal Code , section&#160;328A (1) or (4) , involving a motor vehicle, when accompanied by the circumstance of aggravation that at the time of committing the offence the offender was adversely affected by alcohol;\nan offence against section&#160;91W (1) for which paragraph&#160;(a) (i) or (ii) of the penalty for the offence applies;\nan offence against section&#160;91X (1) ;\nan offence against section&#160;79 (2) , (2A) , (2B) , (2J) , (2K) or (2L) involving a motor vehicle and committed within 5 years after the offender was previously convicted of—\nan offence against any of those provisions; or\nan offence mentioned in any of paragraphs&#160;(a) to (g) .\ns&#160;91I def drink driving offence amd 2011 No.&#160;12 s&#160;110 ; 2019 No.&#160;25 s&#160;90 (2) – (5)\nexemption certificate see section&#160;91R (3) .\ninterlock means an alcohol ignition interlock.\ninterlock condition see section&#160;91K (1) .\ninterlock driver —\nmeans a person whose Queensland driver licence is subject to the interlock condition; and\nincludes a person who has an interlock exemption.\ninterlock exemption means an exemption, granted under section&#160;91Q , from the application of the interlock condition while the exemption has effect.\ninterlock period see section&#160;91M .\nnominated vehicle , for a person, means a motor vehicle nominated by the person under section&#160;91L .\nnominated vehicle fitted with a prescribed interlock , for a person, includes a vehicle fitted with an interlock in compliance by the person with a non-Queensland interlock requirement.\nnon-Queensland interlock period means the period during which a person, under a non-Queensland interlock requirement, may drive only a motor vehicle fitted with an alcohol ignition interlock.\nnon-Queensland interlock requirement means a requirement under, or imposed under, a law of another jurisdiction allowing a person to drive only a motor vehicle fitted with an alcohol ignition interlock during a particular period.\nprescribed interlock means an approved interlock provided by a person who is an approved interlock provider and installed and maintained by a prescribed interlock installer.\nprescribed interlock installer means a person with whom an approved interlock provider has an arrangement for the person to install or maintain approved interlocks provided by the provider.\nprescribed period see section&#160;91N (1) .\nservicing requirement means a condition in an interlock agreement requiring a person to present the person’s nominated vehicle fitted with a prescribed interlock for servicing at stated intervals during the term of the agreement.\ns&#160;91I def servicing requirement ins 2019 No.&#160;25 s&#160;90 (1)\ns&#160;91I ins 2010 No.&#160;13 s&#160;17\namd 2024 No.&#160;45 s&#160;102 (uncommenced amendment)\n- (a) an offence against section&#160;78 (1) for which the offender was disqualified under section&#160;78 (3) (j) from holding or obtaining a Queensland driver licence for a particular period;\n- (b) an offence against section&#160;79 (1) , involving a motor vehicle, while under the influence of liquor;\n- (c) an offence against section&#160;79 (1F) involving a motor vehicle;\n- (d) an offence under section&#160;80 (11) , involving a motor vehicle, in relation to failing to provide— (i) a specimen of breath for analysis; or (ii) a specimen of blood for a laboratory test if the requisition to which the failure relates was made for the purpose of determining the concentration of alcohol (if any) in the person’s blood;\n- (i) a specimen of breath for analysis; or\n- (ii) a specimen of blood for a laboratory test if the requisition to which the failure relates was made for the purpose of determining the concentration of alcohol (if any) in the person’s blood;\n- (e) an offence against the Criminal Code , section&#160;328A (1) or (4) , involving a motor vehicle, when accompanied by the circumstance of aggravation that at the time of committing the offence the offender was adversely affected by alcohol;\n- (f) an offence against section&#160;91W (1) for which paragraph&#160;(a) (i) or (ii) of the penalty for the offence applies;\n- (g) an offence against section&#160;91X (1) ;\n- (h) an offence against section&#160;79 (2) , (2A) , (2B) , (2J) , (2K) or (2L) involving a motor vehicle and committed within 5 years after the offender was previously convicted of— (i) an offence against any of those provisions; or (ii) an offence mentioned in any of paragraphs&#160;(a) to (g) .\n- (i) an offence against any of those provisions; or\n- (ii) an offence mentioned in any of paragraphs&#160;(a) to (g) .\n- (i) a specimen of breath for analysis; or\n- (ii) a specimen of blood for a laboratory test if the requisition to which the failure relates was made for the purpose of determining the concentration of alcohol (if any) in the person’s blood;\n- (i) an offence against any of those provisions; or\n- (ii) an offence mentioned in any of paragraphs&#160;(a) to (g) .\n- (a) means a person whose Queensland driver licence is subject to the interlock condition; and\n- (b) includes a person who has an interlock exemption.","sortOrder":264},{"sectionNumber":"sec.91IA","sectionType":"section","heading":"Approved servicing requirements for prescribed interlock","content":"### sec.91IA Approved servicing requirements for prescribed interlock\n\nThe chief executive must—\napprove servicing requirements for prescribed interlocks; and\napprove requirements only if satisfied that the requirements are reasonable; and\npublish the approved requirements on the department’s website.\ns&#160;91IA ins 2019 No.&#160;25 s&#160;91\n- (a) approve servicing requirements for prescribed interlocks; and\n- (b) approve requirements only if satisfied that the requirements are reasonable; and\n- (c) publish the approved requirements on the department’s website.","sortOrder":265},{"sectionNumber":"ch.5-pt.3B-div.2","sectionType":"division","heading":"Interlock condition","content":"## Interlock condition","sortOrder":266},{"sectionNumber":"sec.91J","sectionType":"section","heading":"Persons to whom div&#160;2 applies","content":"### sec.91J Persons to whom div&#160;2 applies\n\nThis division applies to a person who—\nis convicted of a drink driving offence; and\nis disqualified, other than under a prescribed provision, by or because of the conviction or offence, or under the penalty imposed for the offence, for a particular period (the disqualification period ) from holding or obtaining a Queensland driver licence.\nFor subsection&#160;(1) (b) , a reference to a person who is disqualified from holding or obtaining a Queensland driver licence includes a person who is—\ndisqualified as a result of a conviction for an offence against section&#160;79 (1F) involving a motor vehicle; and\nthe subject of an order made under section&#160;87 in relation to the disqualification.\nThis division also applies to a person who is subject to a non-Queensland interlock requirement.\nDespite subsection&#160;(3) , this division does not apply to a person mentioned in the subsection if, were this division to apply to the person, the person’s interlock period would have ended under section&#160;91M .\nIn this section—\nprescribed provision means section&#160;79B (4) , 81 (4) (b) , 89 (1) or 90 (1) .\ns&#160;91J ins 2010 No.&#160;13 s&#160;17\namd 2019 No.&#160;25 s&#160;92\namd 2024 No.&#160;45 s&#160;103 (uncommenced amendment)\n(sec.91J-ssec.1) This division applies to a person who— is convicted of a drink driving offence; and is disqualified, other than under a prescribed provision, by or because of the conviction or offence, or under the penalty imposed for the offence, for a particular period (the disqualification period ) from holding or obtaining a Queensland driver licence.\n(sec.91J-ssec.2) For subsection&#160;(1) (b) , a reference to a person who is disqualified from holding or obtaining a Queensland driver licence includes a person who is— disqualified as a result of a conviction for an offence against section&#160;79 (1F) involving a motor vehicle; and the subject of an order made under section&#160;87 in relation to the disqualification.\n(sec.91J-ssec.3) This division also applies to a person who is subject to a non-Queensland interlock requirement.\n(sec.91J-ssec.4) Despite subsection&#160;(3) , this division does not apply to a person mentioned in the subsection if, were this division to apply to the person, the person’s interlock period would have ended under section&#160;91M .\n(sec.91J-ssec.5) In this section— prescribed provision means section&#160;79B (4) , 81 (4) (b) , 89 (1) or 90 (1) .\n- (a) is convicted of a drink driving offence; and\n- (b) is disqualified, other than under a prescribed provision, by or because of the conviction or offence, or under the penalty imposed for the offence, for a particular period (the disqualification period ) from holding or obtaining a Queensland driver licence.\n- (a) disqualified as a result of a conviction for an offence against section&#160;79 (1F) involving a motor vehicle; and\n- (b) the subject of an order made under section&#160;87 in relation to the disqualification.","sortOrder":267},{"sectionNumber":"sec.91K","sectionType":"section","heading":"Interlock condition","content":"### sec.91K Interlock condition\n\nA Queensland driver licence granted to a person mentioned in section&#160;91J (1) after the person’s disqualification period ends is subject to the condition ( interlock condition ) that, during the person’s interlock period, the person may drive only—\nif paragraph&#160;(b) or (c) does not apply—a motor vehicle that is a nominated vehicle fitted with a prescribed interlock; or\nwhen the person is receiving driver training from a person accredited as a driver trainer under a regulation—\na motor vehicle mentioned in paragraph&#160;(a) ; or\na motor vehicle provided by the accredited driver trainer; or\nwhen the person is taking a practical driving test under the driver licensing regulation—any motor vehicle.\nA restricted licence granted under section&#160;87 to a person mentioned in section&#160;91J (1) during the person’s disqualification period is subject to the interlock condition.\nA Queensland driver licence granted to a person mentioned in section&#160;91J (3) during the person’s non-Queensland interlock period is subject to the interlock condition.\nSubsection&#160;(1) does not apply in relation to a person mentioned in section&#160;91J (1) if, during the person’s disqualification period—\nan order was made under section&#160;87 in relation to the disqualification; and\nthe person’s interlock period ended under section&#160;91M (1) (b) (ii) or (iii) .\ns&#160;91K ins 2010 No.&#160;13 s&#160;17\namd 2019 No.&#160;25 s&#160;93\n(sec.91K-ssec.1) A Queensland driver licence granted to a person mentioned in section&#160;91J (1) after the person’s disqualification period ends is subject to the condition ( interlock condition ) that, during the person’s interlock period, the person may drive only— if paragraph&#160;(b) or (c) does not apply—a motor vehicle that is a nominated vehicle fitted with a prescribed interlock; or when the person is receiving driver training from a person accredited as a driver trainer under a regulation— a motor vehicle mentioned in paragraph&#160;(a) ; or a motor vehicle provided by the accredited driver trainer; or when the person is taking a practical driving test under the driver licensing regulation—any motor vehicle.\n(sec.91K-ssec.2) A restricted licence granted under section&#160;87 to a person mentioned in section&#160;91J (1) during the person’s disqualification period is subject to the interlock condition.\n(sec.91K-ssec.3) A Queensland driver licence granted to a person mentioned in section&#160;91J (3) during the person’s non-Queensland interlock period is subject to the interlock condition.\n(sec.91K-ssec.4) Subsection&#160;(1) does not apply in relation to a person mentioned in section&#160;91J (1) if, during the person’s disqualification period— an order was made under section&#160;87 in relation to the disqualification; and the person’s interlock period ended under section&#160;91M (1) (b) (ii) or (iii) .\n- (a) if paragraph&#160;(b) or (c) does not apply—a motor vehicle that is a nominated vehicle fitted with a prescribed interlock; or\n- (b) when the person is receiving driver training from a person accredited as a driver trainer under a regulation— (i) a motor vehicle mentioned in paragraph&#160;(a) ; or (ii) a motor vehicle provided by the accredited driver trainer; or\n- (i) a motor vehicle mentioned in paragraph&#160;(a) ; or\n- (ii) a motor vehicle provided by the accredited driver trainer; or\n- (c) when the person is taking a practical driving test under the driver licensing regulation—any motor vehicle.\n- (i) a motor vehicle mentioned in paragraph&#160;(a) ; or\n- (ii) a motor vehicle provided by the accredited driver trainer; or\n- (a) an order was made under section&#160;87 in relation to the disqualification; and\n- (b) the person’s interlock period ended under section&#160;91M (1) (b) (ii) or (iii) .","sortOrder":268},{"sectionNumber":"sec.91L","sectionType":"section","heading":"Nomination of vehicle","content":"### sec.91L Nomination of vehicle\n\nFor section&#160;91K (1) (a) , a person—\nmay nominate only a motor vehicle of a class the person is authorised to drive under the person’s Queensland driver licence; and\nmay nominate more than 1 motor vehicle.\nthe person’s own motor vehicle\na motor vehicle owned by the person’s spouse, friend or employer\nA particular vehicle can not be the nominated vehicle for more than 1 person unless a regulation provides for identifying the driver of the vehicle at a particular time.\na scheme involving the driver using a PIN or swipe card or keeping a logbook\nThe nomination must be made to the chief executive.\nSee chapter&#160;5B for requirements about the nomination.\ns&#160;91L ins 2010 No.&#160;13 s&#160;17\namd 2017 No.&#160;25 s&#160;75\n(sec.91L-ssec.1) For section&#160;91K (1) (a) , a person— may nominate only a motor vehicle of a class the person is authorised to drive under the person’s Queensland driver licence; and may nominate more than 1 motor vehicle. the person’s own motor vehicle a motor vehicle owned by the person’s spouse, friend or employer\n(sec.91L-ssec.2) A particular vehicle can not be the nominated vehicle for more than 1 person unless a regulation provides for identifying the driver of the vehicle at a particular time. a scheme involving the driver using a PIN or swipe card or keeping a logbook\n(sec.91L-ssec.3) The nomination must be made to the chief executive. See chapter&#160;5B for requirements about the nomination.\n- (a) may nominate only a motor vehicle of a class the person is authorised to drive under the person’s Queensland driver licence; and\n- (b) may nominate more than 1 motor vehicle. Examples— • the person’s own motor vehicle • a motor vehicle owned by the person’s spouse, friend or employer\n- • the person’s own motor vehicle\n- • a motor vehicle owned by the person’s spouse, friend or employer\n- • the person’s own motor vehicle\n- • a motor vehicle owned by the person’s spouse, friend or employer","sortOrder":269},{"sectionNumber":"sec.91M","sectionType":"section","heading":"Interlock period","content":"### sec.91M Interlock period\n\nFor a person mentioned in section&#160;91J (1) who is the subject of an order under section&#160;87 in relation to the disqualification, the interlock period is the period—\nstarting when the order is made; and\nending when whichever of the following happens first—\na period of 5 years elapses after the order is made;\nthe person’s prescribed period ends;\nthe person’s restricted licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\nFor a person mentioned in section&#160;91J (1) whose disqualification period has ended (other than a person whose interlock period started under subsection&#160;(1) ), the interlock period is the period—\nstarting when the disqualification period ended; and\nending when whichever of the following happens first—\na period of 5 years elapses after the disqualification period ended;\nthe person’s prescribed period ends;\nthe person’s Queensland driver licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\nFor a person mentioned in section&#160;91J (3) , the interlock period is the period—\nstarting when the person’s non-Queensland interlock period starts; and\nending when whichever of the following happens first—\na period of 5 years elapses after the person’s non-Queensland interlock period starts;\nthe person’s prescribed period ends;\nthe person’s Queensland driver licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\nSubsection&#160;(5) applies if—\nsection&#160;91F applies to a person mentioned in section&#160;91J (1) or (3) ; and\nthe person’s interlock period would otherwise end under this section within 5 years after the interlock period started; and\nwhen the person’s interlock period would otherwise end, the person—\nhas not completed a repeat offender education program within the previous 5 years; and\ndoes not have an exemption from completing a repeat offender education program under part&#160;3A , division&#160;3 .\nThe person’s interlock period continues from when the interlock period would otherwise end under this section until whichever of the following happens first—\nthe person completes a repeat offender education program;\nthe person is granted an exemption from completing a repeat offender education program under part&#160;3A , division&#160;3 ;\na period of 5 years lapses after the interlock period started.\ns&#160;91M ins 2010 No.&#160;13 s&#160;17\nsub 2019 No.&#160;25 s&#160;94 (amd 2020 No.&#160;21 s&#160;41 )\n(sec.91M-ssec.1) For a person mentioned in section&#160;91J (1) who is the subject of an order under section&#160;87 in relation to the disqualification, the interlock period is the period— starting when the order is made; and ending when whichever of the following happens first— a period of 5 years elapses after the order is made; the person’s prescribed period ends; the person’s restricted licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n(sec.91M-ssec.2) For a person mentioned in section&#160;91J (1) whose disqualification period has ended (other than a person whose interlock period started under subsection&#160;(1) ), the interlock period is the period— starting when the disqualification period ended; and ending when whichever of the following happens first— a period of 5 years elapses after the disqualification period ended; the person’s prescribed period ends; the person’s Queensland driver licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n(sec.91M-ssec.3) For a person mentioned in section&#160;91J (3) , the interlock period is the period— starting when the person’s non-Queensland interlock period starts; and ending when whichever of the following happens first— a period of 5 years elapses after the person’s non-Queensland interlock period starts; the person’s prescribed period ends; the person’s Queensland driver licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n(sec.91M-ssec.4) Subsection&#160;(5) applies if— section&#160;91F applies to a person mentioned in section&#160;91J (1) or (3) ; and the person’s interlock period would otherwise end under this section within 5 years after the interlock period started; and when the person’s interlock period would otherwise end, the person— has not completed a repeat offender education program within the previous 5 years; and does not have an exemption from completing a repeat offender education program under part&#160;3A , division&#160;3 .\n(sec.91M-ssec.5) The person’s interlock period continues from when the interlock period would otherwise end under this section until whichever of the following happens first— the person completes a repeat offender education program; the person is granted an exemption from completing a repeat offender education program under part&#160;3A , division&#160;3 ; a period of 5 years lapses after the interlock period started.\n- (a) starting when the order is made; and\n- (b) ending when whichever of the following happens first— (i) a period of 5 years elapses after the order is made; (ii) the person’s prescribed period ends; (iii) the person’s restricted licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n- (i) a period of 5 years elapses after the order is made;\n- (ii) the person’s prescribed period ends;\n- (iii) the person’s restricted licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n- (i) a period of 5 years elapses after the order is made;\n- (ii) the person’s prescribed period ends;\n- (iii) the person’s restricted licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n- (a) starting when the disqualification period ended; and\n- (b) ending when whichever of the following happens first— (i) a period of 5 years elapses after the disqualification period ended; (ii) the person’s prescribed period ends; (iii) the person’s Queensland driver licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n- (i) a period of 5 years elapses after the disqualification period ended;\n- (ii) the person’s prescribed period ends;\n- (iii) the person’s Queensland driver licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n- (i) a period of 5 years elapses after the disqualification period ended;\n- (ii) the person’s prescribed period ends;\n- (iii) the person’s Queensland driver licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n- (a) starting when the person’s non-Queensland interlock period starts; and\n- (b) ending when whichever of the following happens first— (i) a period of 5 years elapses after the person’s non-Queensland interlock period starts; (ii) the person’s prescribed period ends; (iii) the person’s Queensland driver licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n- (i) a period of 5 years elapses after the person’s non-Queensland interlock period starts;\n- (ii) the person’s prescribed period ends;\n- (iii) the person’s Queensland driver licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n- (i) a period of 5 years elapses after the person’s non-Queensland interlock period starts;\n- (ii) the person’s prescribed period ends;\n- (iii) the person’s Queensland driver licence is cancelled under section&#160;127 because of a further disqualification for a drink driving offence.\n- (a) section&#160;91F applies to a person mentioned in section&#160;91J (1) or (3) ; and\n- (b) the person’s interlock period would otherwise end under this section within 5 years after the interlock period started; and\n- (c) when the person’s interlock period would otherwise end, the person— (i) has not completed a repeat offender education program within the previous 5 years; and (ii) does not have an exemption from completing a repeat offender education program under part&#160;3A , division&#160;3 .\n- (i) has not completed a repeat offender education program within the previous 5 years; and\n- (ii) does not have an exemption from completing a repeat offender education program under part&#160;3A , division&#160;3 .\n- (i) has not completed a repeat offender education program within the previous 5 years; and\n- (ii) does not have an exemption from completing a repeat offender education program under part&#160;3A , division&#160;3 .\n- (a) the person completes a repeat offender education program;\n- (b) the person is granted an exemption from completing a repeat offender education program under part&#160;3A , division&#160;3 ;\n- (c) a period of 5 years lapses after the interlock period started.","sortOrder":270},{"sectionNumber":"sec.91N","sectionType":"section","heading":"Prescribed period","content":"### sec.91N Prescribed period\n\nThe prescribed period for a person is the period of 12 months during which—\nthe person held a valid Queensland driver licence and had—\na nominated vehicle fitted with a prescribed interlock; or\nan interlock exemption that had effect; or\nthe person, while driving under the authority of a valid non-Queensland driver licence—\ncomplied with a non-Queensland interlock requirement; or\nhad an exemption from the non-Queensland interlock requirement that had effect; or\nthe person satisfied paragraph&#160;(a) for part of the period and satisfied paragraph&#160;(b) for the balance of the period.\nThe prescribed period may comprise 3 months during which the person satisfies paragraph&#160;(a) (i) , 3 months during which the person satisfies paragraph&#160;(a) (ii) , 3 months during which the person satisfies paragraph&#160;(b) (i) and 3 months during which the person satisfies paragraph&#160;(b) (ii) .\nHowever, if a person’s prescribed period is extended under division&#160;4 , the prescribed period for the person is the period comprising—\nthe period of 12 months mentioned in subsection&#160;(1) ; and\neach period—\nby which the period mentioned in subsection&#160;(1) is extended under division&#160;4 ; and\nduring which the person meets the requirements of subsection&#160;(1) (a) , (b) or (c) .\nIf a person’s prescribed period is extended under division&#160;4 for a period of 4 months, the person’s prescribed period is the period of 16 months during which the person meets the requirements of subsection&#160;(1) (a) , (b) or (c) .\nThe prescribed period need not be continuous.\nIn this section—\nvalid means—\nin relation to a Queensland driver licence other than a restricted licence—\nthe licence has not expired; or\nthe licence has not been cancelled, suspended or surrendered; or\nthe licensee is not disqualified from holding or obtaining a Queensland driver licence; or\nin relation to a restricted licence—\nthe licence has not expired; or\nthe licence has not been cancelled, suspended or surrendered; or\nthe licensee is not, after the restricted licence is granted, disqualified from holding or obtaining a Queensland driver licence because of a conviction for another offence; or\nin relation to a non-Queensland driver licence—\nthe licence has not expired; or\nthe licence has not been cancelled or suspended; or\nthe licensee is not disqualified from holding or obtaining the licence in the jurisdiction in which it may be issued.\ns&#160;91N ins 2010 No.&#160;13 s&#160;17\namd 2019 No.&#160;25 s&#160;95\n(sec.91N-ssec.1) The prescribed period for a person is the period of 12 months during which— the person held a valid Queensland driver licence and had— a nominated vehicle fitted with a prescribed interlock; or an interlock exemption that had effect; or the person, while driving under the authority of a valid non-Queensland driver licence— complied with a non-Queensland interlock requirement; or had an exemption from the non-Queensland interlock requirement that had effect; or the person satisfied paragraph&#160;(a) for part of the period and satisfied paragraph&#160;(b) for the balance of the period. The prescribed period may comprise 3 months during which the person satisfies paragraph&#160;(a) (i) , 3 months during which the person satisfies paragraph&#160;(a) (ii) , 3 months during which the person satisfies paragraph&#160;(b) (i) and 3 months during which the person satisfies paragraph&#160;(b) (ii) .\n(sec.91N-ssec.2) However, if a person’s prescribed period is extended under division&#160;4 , the prescribed period for the person is the period comprising— the period of 12 months mentioned in subsection&#160;(1) ; and each period— by which the period mentioned in subsection&#160;(1) is extended under division&#160;4 ; and during which the person meets the requirements of subsection&#160;(1) (a) , (b) or (c) . If a person’s prescribed period is extended under division&#160;4 for a period of 4 months, the person’s prescribed period is the period of 16 months during which the person meets the requirements of subsection&#160;(1) (a) , (b) or (c) .\n(sec.91N-ssec.3) The prescribed period need not be continuous.\n(sec.91N-ssec.4) In this section— valid means— in relation to a Queensland driver licence other than a restricted licence— the licence has not expired; or the licence has not been cancelled, suspended or surrendered; or the licensee is not disqualified from holding or obtaining a Queensland driver licence; or in relation to a restricted licence— the licence has not expired; or the licence has not been cancelled, suspended or surrendered; or the licensee is not, after the restricted licence is granted, disqualified from holding or obtaining a Queensland driver licence because of a conviction for another offence; or in relation to a non-Queensland driver licence— the licence has not expired; or the licence has not been cancelled or suspended; or the licensee is not disqualified from holding or obtaining the licence in the jurisdiction in which it may be issued.\n- (a) the person held a valid Queensland driver licence and had— (i) a nominated vehicle fitted with a prescribed interlock; or (ii) an interlock exemption that had effect; or\n- (i) a nominated vehicle fitted with a prescribed interlock; or\n- (ii) an interlock exemption that had effect; or\n- (b) the person, while driving under the authority of a valid non-Queensland driver licence— (i) complied with a non-Queensland interlock requirement; or (ii) had an exemption from the non-Queensland interlock requirement that had effect; or\n- (i) complied with a non-Queensland interlock requirement; or\n- (ii) had an exemption from the non-Queensland interlock requirement that had effect; or\n- (c) the person satisfied paragraph&#160;(a) for part of the period and satisfied paragraph&#160;(b) for the balance of the period. Example— The prescribed period may comprise 3 months during which the person satisfies paragraph&#160;(a) (i) , 3 months during which the person satisfies paragraph&#160;(a) (ii) , 3 months during which the person satisfies paragraph&#160;(b) (i) and 3 months during which the person satisfies paragraph&#160;(b) (ii) .\n- (i) a nominated vehicle fitted with a prescribed interlock; or\n- (ii) an interlock exemption that had effect; or\n- (i) complied with a non-Queensland interlock requirement; or\n- (ii) had an exemption from the non-Queensland interlock requirement that had effect; or\n- (a) the period of 12 months mentioned in subsection&#160;(1) ; and\n- (b) each period— (i) by which the period mentioned in subsection&#160;(1) is extended under division&#160;4 ; and (ii) during which the person meets the requirements of subsection&#160;(1) (a) , (b) or (c) .\n- (i) by which the period mentioned in subsection&#160;(1) is extended under division&#160;4 ; and\n- (ii) during which the person meets the requirements of subsection&#160;(1) (a) , (b) or (c) .\n- (i) by which the period mentioned in subsection&#160;(1) is extended under division&#160;4 ; and\n- (ii) during which the person meets the requirements of subsection&#160;(1) (a) , (b) or (c) .\n- (a) in relation to a Queensland driver licence other than a restricted licence— (i) the licence has not expired; or (ii) the licence has not been cancelled, suspended or surrendered; or (iii) the licensee is not disqualified from holding or obtaining a Queensland driver licence; or\n- (i) the licence has not expired; or\n- (ii) the licence has not been cancelled, suspended or surrendered; or\n- (iii) the licensee is not disqualified from holding or obtaining a Queensland driver licence; or\n- (ab) in relation to a restricted licence— (i) the licence has not expired; or (ii) the licence has not been cancelled, suspended or surrendered; or (iii) the licensee is not, after the restricted licence is granted, disqualified from holding or obtaining a Queensland driver licence because of a conviction for another offence; or\n- (i) the licence has not expired; or\n- (ii) the licence has not been cancelled, suspended or surrendered; or\n- (iii) the licensee is not, after the restricted licence is granted, disqualified from holding or obtaining a Queensland driver licence because of a conviction for another offence; or\n- (b) in relation to a non-Queensland driver licence— (i) the licence has not expired; or (ii) the licence has not been cancelled or suspended; or (iii) the licensee is not disqualified from holding or obtaining the licence in the jurisdiction in which it may be issued.\n- (i) the licence has not expired; or\n- (ii) the licence has not been cancelled or suspended; or\n- (iii) the licensee is not disqualified from holding or obtaining the licence in the jurisdiction in which it may be issued.\n- (i) the licence has not expired; or\n- (ii) the licence has not been cancelled, suspended or surrendered; or\n- (iii) the licensee is not disqualified from holding or obtaining a Queensland driver licence; or\n- (i) the licence has not expired; or\n- (ii) the licence has not been cancelled, suspended or surrendered; or\n- (iii) the licensee is not, after the restricted licence is granted, disqualified from holding or obtaining a Queensland driver licence because of a conviction for another offence; or\n- (i) the licence has not expired; or\n- (ii) the licence has not been cancelled or suspended; or\n- (iii) the licensee is not disqualified from holding or obtaining the licence in the jurisdiction in which it may be issued.","sortOrder":271},{"sectionNumber":"sec.91O","sectionType":"section","heading":"When interlock condition ends","content":"### sec.91O When interlock condition ends\n\nThe interlock condition ends when the interlock period ends.\ns&#160;91O ins 2010 No.&#160;13 s&#160;17","sortOrder":272},{"sectionNumber":"ch.5-pt.3B-div.3","sectionType":"division","heading":"Interlock exemption","content":"## Interlock exemption","sortOrder":273},{"sectionNumber":"sec.91P","sectionType":"section","heading":"Applying for interlock exemption","content":"### sec.91P Applying for interlock exemption\n\nA person mentioned in section&#160;91J (1) may apply to the chief executive for an interlock exemption.\nThe application can not be made sooner than—\n6 weeks before the end of the person’s disqualification period; or\nif the person is the subject of an order under section&#160;87 in relation to the disqualification—the day the order is made.\nA person mentioned in section&#160;91J (3) may, at any time, apply to the chief executive for an interlock exemption.\nAn application under subsection&#160;(1) or (3) must be accompanied by the fee prescribed under a regulation.\nSee chapter&#160;5B for requirements about the application.\ns&#160;91P ins 2010 No.&#160;13 s&#160;17\namd 2017 No.&#160;25 s&#160;76 ; 2019 No.&#160;25 s&#160;96 (amd 2020 No.&#160;21 s&#160;42 )\n(sec.91P-ssec.1) A person mentioned in section&#160;91J (1) may apply to the chief executive for an interlock exemption.\n(sec.91P-ssec.2) The application can not be made sooner than— 6 weeks before the end of the person’s disqualification period; or if the person is the subject of an order under section&#160;87 in relation to the disqualification—the day the order is made.\n(sec.91P-ssec.3) A person mentioned in section&#160;91J (3) may, at any time, apply to the chief executive for an interlock exemption.\n(sec.91P-ssec.4) An application under subsection&#160;(1) or (3) must be accompanied by the fee prescribed under a regulation. See chapter&#160;5B for requirements about the application.\n- (a) 6 weeks before the end of the person’s disqualification period; or\n- (b) if the person is the subject of an order under section&#160;87 in relation to the disqualification—the day the order is made.","sortOrder":274},{"sectionNumber":"sec.91Q","sectionType":"section","heading":"Deciding application for interlock exemption","content":"### sec.91Q Deciding application for interlock exemption\n\nThe chief executive must, subject to section&#160;163B (4) —\ndecide an application for an interlock exemption within the prescribed 28-day period; and\ngrant or refuse to grant the exemption.\nIf the chief executive grants the exemption, the chief executive may impose restrictions applying to the exemption.\nThe chief executive may only grant an interlock exemption if the chief executive is satisfied—\nthat one of the following applies in relation to the applicant’s principal place of residence (the applicant’s residence )—\nthe shortest reasonable distance, or shortest reasonable travelling time, using a motor vehicle, between the applicant’s residence and the nearest place of business of a prescribed interlock installer (the nearest place of business ) is greater than the distance or time prescribed under a regulation;\nthe applicant’s residence is at a location, prescribed under a regulation, from which the nearest place of business is not reasonably accessible using a motor vehicle; or\nthe applicant’s residence is outside both of the following—\na radius prescribed under a regulation from the nearest place of business;\nan area in which a prescribed interlock installer provides or operates a mobile service for the installation of interlocks; or\nthat, as evidenced by a doctor’s certificate provided to the chief executive, the applicant has a medical condition preventing the applicant from providing a sufficient breath sample to operate an approved interlock; or\nof another matter prescribed under a regulation for this subsection.\nIf the chief executive does not decide the application within the prescribed 28-day period, the chief executive is taken to have made a decision (a deemed decision ) refusing to grant the exemption on the last day of the period.\nDespite subsection&#160;(4) , the chief executive may continue to consider the application and make a considered decision in relation to it.\nIf a considered decision is made, the considered decision replaces any deemed decision for the purposes of this Act.\nAs soon as practicable after a deemed decision or considered decision is made, the chief executive must give the applicant a written notice stating—\nthe prescribed review information for the decision; and\nfor a considered decision, the reasons for the decision.\nSections&#160;65 and 65A provide for the review of the decision.\nIn this section—\nconsidered decision means a decision in accordance with subsection&#160;(3) .\nprescribed 28-day period means the later of the following periods—\n28 days after the chief executive receives the application;\n28 days after the chief executive receives further information or documents about the application requested under section&#160;163B (1) .\ns&#160;91Q ins 2010 No.&#160;13 s&#160;17\namd 2011 No.&#160;12 s&#160;111 ; 2017 No.&#160;25 s&#160;77\n(sec.91Q-ssec.1) The chief executive must, subject to section&#160;163B (4) — decide an application for an interlock exemption within the prescribed 28-day period; and grant or refuse to grant the exemption.\n(sec.91Q-ssec.2) If the chief executive grants the exemption, the chief executive may impose restrictions applying to the exemption.\n(sec.91Q-ssec.3) The chief executive may only grant an interlock exemption if the chief executive is satisfied— that one of the following applies in relation to the applicant’s principal place of residence (the applicant’s residence )— the shortest reasonable distance, or shortest reasonable travelling time, using a motor vehicle, between the applicant’s residence and the nearest place of business of a prescribed interlock installer (the nearest place of business ) is greater than the distance or time prescribed under a regulation; the applicant’s residence is at a location, prescribed under a regulation, from which the nearest place of business is not reasonably accessible using a motor vehicle; or the applicant’s residence is outside both of the following— a radius prescribed under a regulation from the nearest place of business; an area in which a prescribed interlock installer provides or operates a mobile service for the installation of interlocks; or that, as evidenced by a doctor’s certificate provided to the chief executive, the applicant has a medical condition preventing the applicant from providing a sufficient breath sample to operate an approved interlock; or of another matter prescribed under a regulation for this subsection.\n(sec.91Q-ssec.4) If the chief executive does not decide the application within the prescribed 28-day period, the chief executive is taken to have made a decision (a deemed decision ) refusing to grant the exemption on the last day of the period.\n(sec.91Q-ssec.5) Despite subsection&#160;(4) , the chief executive may continue to consider the application and make a considered decision in relation to it.\n(sec.91Q-ssec.6) If a considered decision is made, the considered decision replaces any deemed decision for the purposes of this Act.\n(sec.91Q-ssec.7) As soon as practicable after a deemed decision or considered decision is made, the chief executive must give the applicant a written notice stating— the prescribed review information for the decision; and for a considered decision, the reasons for the decision. Sections&#160;65 and 65A provide for the review of the decision.\n(sec.91Q-ssec.8) In this section— considered decision means a decision in accordance with subsection&#160;(3) . prescribed 28-day period means the later of the following periods— 28 days after the chief executive receives the application; 28 days after the chief executive receives further information or documents about the application requested under section&#160;163B (1) .\n- (a) decide an application for an interlock exemption within the prescribed 28-day period; and\n- (b) grant or refuse to grant the exemption.\n- (a) that one of the following applies in relation to the applicant’s principal place of residence (the applicant’s residence )— (i) the shortest reasonable distance, or shortest reasonable travelling time, using a motor vehicle, between the applicant’s residence and the nearest place of business of a prescribed interlock installer (the nearest place of business ) is greater than the distance or time prescribed under a regulation; (ii) the applicant’s residence is at a location, prescribed under a regulation, from which the nearest place of business is not reasonably accessible using a motor vehicle; or (iii) the applicant’s residence is outside both of the following— (A) a radius prescribed under a regulation from the nearest place of business; (B) an area in which a prescribed interlock installer provides or operates a mobile service for the installation of interlocks; or\n- (i) the shortest reasonable distance, or shortest reasonable travelling time, using a motor vehicle, between the applicant’s residence and the nearest place of business of a prescribed interlock installer (the nearest place of business ) is greater than the distance or time prescribed under a regulation;\n- (ii) the applicant’s residence is at a location, prescribed under a regulation, from which the nearest place of business is not reasonably accessible using a motor vehicle; or\n- (iii) the applicant’s residence is outside both of the following— (A) a radius prescribed under a regulation from the nearest place of business; (B) an area in which a prescribed interlock installer provides or operates a mobile service for the installation of interlocks; or\n- (A) a radius prescribed under a regulation from the nearest place of business;\n- (B) an area in which a prescribed interlock installer provides or operates a mobile service for the installation of interlocks; or\n- (b) that, as evidenced by a doctor’s certificate provided to the chief executive, the applicant has a medical condition preventing the applicant from providing a sufficient breath sample to operate an approved interlock; or\n- (c) of another matter prescribed under a regulation for this subsection.\n- (i) the shortest reasonable distance, or shortest reasonable travelling time, using a motor vehicle, between the applicant’s residence and the nearest place of business of a prescribed interlock installer (the nearest place of business ) is greater than the distance or time prescribed under a regulation;\n- (ii) the applicant’s residence is at a location, prescribed under a regulation, from which the nearest place of business is not reasonably accessible using a motor vehicle; or\n- (iii) the applicant’s residence is outside both of the following— (A) a radius prescribed under a regulation from the nearest place of business; (B) an area in which a prescribed interlock installer provides or operates a mobile service for the installation of interlocks; or\n- (A) a radius prescribed under a regulation from the nearest place of business;\n- (B) an area in which a prescribed interlock installer provides or operates a mobile service for the installation of interlocks; or\n- (A) a radius prescribed under a regulation from the nearest place of business;\n- (B) an area in which a prescribed interlock installer provides or operates a mobile service for the installation of interlocks; or\n- (a) the prescribed review information for the decision; and\n- (b) for a considered decision, the reasons for the decision.\n- (a) 28 days after the chief executive receives the application;\n- (b) 28 days after the chief executive receives further information or documents about the application requested under section&#160;163B (1) .","sortOrder":275},{"sectionNumber":"sec.91R","sectionType":"section","heading":"Decision on application and exemption certificate","content":"### sec.91R Decision on application and exemption certificate\n\nThe chief executive must inform an applicant for an interlock exemption of the chief executive’s decision on the application by written notice.\nIf the chief executive decides to grant the exemption, the written notice must contain a brief statement of—\nthe matters of which the chief executive was satisfied under section&#160;91Q (3) ; and\nthe matters in relation to which the person must notify the chief executive, under section&#160;91Y , of any change.\nAlso, if the chief executive decides to grant the exemption, the chief executive must give the applicant a certificate about the exemption (the exemption certificate ).\nThe exemption certificate must be in the approved form and must state—\nthe exemption’s expiry date; and\nany restrictions applying to the exemption; and\nto the extent it is relevant, the information mentioned in section&#160;91S .\nIf the chief executive decides to refuse to grant the exemption, the notice must state—\nthe reasons for the decision; and\nthe prescribed review information for the decision.\ns&#160;91R ins 2010 No.&#160;13 s&#160;17\n(sec.91R-ssec.1) The chief executive must inform an applicant for an interlock exemption of the chief executive’s decision on the application by written notice.\n(sec.91R-ssec.2) If the chief executive decides to grant the exemption, the written notice must contain a brief statement of— the matters of which the chief executive was satisfied under section&#160;91Q (3) ; and the matters in relation to which the person must notify the chief executive, under section&#160;91Y , of any change.\n(sec.91R-ssec.3) Also, if the chief executive decides to grant the exemption, the chief executive must give the applicant a certificate about the exemption (the exemption certificate ).\n(sec.91R-ssec.4) The exemption certificate must be in the approved form and must state— the exemption’s expiry date; and any restrictions applying to the exemption; and to the extent it is relevant, the information mentioned in section&#160;91S .\n(sec.91R-ssec.5) If the chief executive decides to refuse to grant the exemption, the notice must state— the reasons for the decision; and the prescribed review information for the decision.\n- (a) the matters of which the chief executive was satisfied under section&#160;91Q (3) ; and\n- (b) the matters in relation to which the person must notify the chief executive, under section&#160;91Y , of any change.\n- (a) the exemption’s expiry date; and\n- (b) any restrictions applying to the exemption; and\n- (c) to the extent it is relevant, the information mentioned in section&#160;91S .\n- (a) the reasons for the decision; and\n- (b) the prescribed review information for the decision.","sortOrder":276},{"sectionNumber":"sec.91S","sectionType":"section","heading":"When interlock exemption stops having effect","content":"### sec.91S When interlock exemption stops having effect\n\nA person’s interlock exemption stops having effect when whichever of the following happens first—\nthe exemption certificate expires;\n14 days elapse after the person gives the chief executive a notice under section&#160;91Y ;\nthe exemption is cancelled under section&#160;19 ;\nSection&#160;19 provides the procedure for cancelling an approval which, as defined in section&#160;17A , includes an interlock exemption.\nthe interlock period ends.\ns&#160;91S ins 2010 No.&#160;13 s&#160;17\namd 2019 No.&#160;25 s&#160;97\n- (a) the exemption certificate expires;\n- (b) 14 days elapse after the person gives the chief executive a notice under section&#160;91Y ;\n- (c) the exemption is cancelled under section&#160;19 ; Note— Section&#160;19 provides the procedure for cancelling an approval which, as defined in section&#160;17A , includes an interlock exemption.\n- (d) the interlock period ends.","sortOrder":277},{"sectionNumber":"sec.91T","sectionType":"section","heading":"What happens when interlock exemption stops having effect","content":"### sec.91T What happens when interlock exemption stops having effect\n\nWhen a person’s interlock exemption stops having effect, the interlock condition of the person’s Queensland driver licence applies to its full extent for the remainder of the person’s interlock period.\ns&#160;91T ins 2010 No.&#160;13 s&#160;17","sortOrder":278},{"sectionNumber":"ch.5-pt.3B-div.4","sectionType":"division","heading":"Extending interlock driver’s prescribed period","content":"## Extending interlock driver’s prescribed period","sortOrder":279},{"sectionNumber":"sec.91U","sectionType":"section","heading":"Grounds for discretionary extension of prescribed period","content":"### sec.91U Grounds for discretionary extension of prescribed period\n\nIt is a ground for extending an interlock driver’s prescribed period if—\nthe person drove a nominated vehicle for the person without first providing the vehicle’s prescribed interlock with a specimen of the person’s breath; or\nThe person drove a nominated vehicle for the person immediately after another person provided the vehicle’s prescribed interlock with the specimen of breath that enabled the vehicle to start.\nthe person drove a nominated vehicle for the person when the person knew, or ought reasonably to have known, the vehicle’s prescribed interlock was not operating properly; or\nthe person drove a nominated vehicle for the person when the person knew, or ought reasonably to have known that the vehicle’s prescribed interlock had been interfered with.\nIn this section—\ninterfered with includes tampered with, damaged, destroyed and removed.\ns&#160;91U ins 2010 No.&#160;13 s&#160;17\namd 2019 No.&#160;25 s&#160;98\n(sec.91U-ssec.1) It is a ground for extending an interlock driver’s prescribed period if— the person drove a nominated vehicle for the person without first providing the vehicle’s prescribed interlock with a specimen of the person’s breath; or The person drove a nominated vehicle for the person immediately after another person provided the vehicle’s prescribed interlock with the specimen of breath that enabled the vehicle to start. the person drove a nominated vehicle for the person when the person knew, or ought reasonably to have known, the vehicle’s prescribed interlock was not operating properly; or the person drove a nominated vehicle for the person when the person knew, or ought reasonably to have known that the vehicle’s prescribed interlock had been interfered with.\n(sec.91U-ssec.2) In this section— interfered with includes tampered with, damaged, destroyed and removed.\n- (a) the person drove a nominated vehicle for the person without first providing the vehicle’s prescribed interlock with a specimen of the person’s breath; or Example— The person drove a nominated vehicle for the person immediately after another person provided the vehicle’s prescribed interlock with the specimen of breath that enabled the vehicle to start.\n- (b) the person drove a nominated vehicle for the person when the person knew, or ought reasonably to have known, the vehicle’s prescribed interlock was not operating properly; or\n- (c) the person drove a nominated vehicle for the person when the person knew, or ought reasonably to have known that the vehicle’s prescribed interlock had been interfered with.","sortOrder":280},{"sectionNumber":"sec.91V","sectionType":"section","heading":"Procedure for discretionary extension of prescribed period","content":"### sec.91V Procedure for discretionary extension of prescribed period\n\nIf the chief executive considers a ground exists to extend an interlock driver’s prescribed period (the proposed action ), the chief executive may give the person a written notice (the show cause notice ).\nThe show cause notice must—\nstate the proposed action; and\nstate the ground for the proposed action; and\noutline the facts and circumstances forming the basis for the ground; and\nstate the period, of 4 months, by which the prescribed period is to be extended; and\ninvite the person to show cause, within a stated time of at least 28 days, why the proposed action should not be taken.\nThe chief executive may, before or after the end of the time stated in the show cause notice, extend the time within which the person may show cause.\nIf, after considering any personal or written representations made within the time stated or allowed, the chief executive still considers a ground exists to take the proposed action, the chief executive may extend the prescribed period for a period not longer than the period stated in the show cause notice.\nThe chief executive must give the person written notice of the decision stating the following—\nthe period for which the prescribed period is extended;\nthe reasons for the decision;\nthe prescribed review information for the decision.\ns&#160;91V ins 2010 No.&#160;13 s&#160;17\namd 2019 No.&#160;25 s&#160;99\n(sec.91V-ssec.1) If the chief executive considers a ground exists to extend an interlock driver’s prescribed period (the proposed action ), the chief executive may give the person a written notice (the show cause notice ).\n(sec.91V-ssec.2) The show cause notice must— state the proposed action; and state the ground for the proposed action; and outline the facts and circumstances forming the basis for the ground; and state the period, of 4 months, by which the prescribed period is to be extended; and invite the person to show cause, within a stated time of at least 28 days, why the proposed action should not be taken.\n(sec.91V-ssec.3) The chief executive may, before or after the end of the time stated in the show cause notice, extend the time within which the person may show cause.\n(sec.91V-ssec.4) If, after considering any personal or written representations made within the time stated or allowed, the chief executive still considers a ground exists to take the proposed action, the chief executive may extend the prescribed period for a period not longer than the period stated in the show cause notice.\n(sec.91V-ssec.5) The chief executive must give the person written notice of the decision stating the following— the period for which the prescribed period is extended; the reasons for the decision; the prescribed review information for the decision.\n- (a) state the proposed action; and\n- (b) state the ground for the proposed action; and\n- (c) outline the facts and circumstances forming the basis for the ground; and\n- (d) state the period, of 4 months, by which the prescribed period is to be extended; and\n- (e) invite the person to show cause, within a stated time of at least 28 days, why the proposed action should not be taken.\n- (a) the period for which the prescribed period is extended;\n- (b) the reasons for the decision;\n- (c) the prescribed review information for the decision.","sortOrder":281},{"sectionNumber":"sec.91VA","sectionType":"section","heading":"Automatic extension of prescribed period","content":"### sec.91VA Automatic extension of prescribed period\n\nA person’s prescribed period is extended by the automatic period of extension if any of the following events (each a relevant event ) happens during the last 4 months of the person’s prescribed period—\nthe person provides a prescribed interlock with a specimen of the person’s breath containing alcohol;\nthe person incurs a permanent lockout on a prescribed interlock for failure to meet an approved servicing requirement for the interlock.\nThe automatic period of extension is the number of days between and including the previous end date and the new end date.\nThe automatic extension of the person’s prescribed period—\nis imposed when the relevant interlock data is received by the chief executive, and is calculated from the date of the relevant event; and\nreplaces the previous end date with the new end date.\nThe automatic extension is taken for section&#160;65A to be a decision by the chief executive to extend the person’s prescribed period by the automatic period of extension because of a relevant event.\nThe person must be notified of the automatic extension in the way prescribed by regulation.\nIn this section a reference to a prescribed interlock, in relation to a person, is a reference to a prescribed interlock fitted to a nominated vehicle for the person.\nIn this section—\nnew end date , for a person, means the day that is 4 months after the date on which the relevant event happened.\nprevious end date , for a person, means the date on which the person’s prescribed period would have ended under section&#160;91N were it not for the automatic extension.\nrelevant interlock data , for a person, means the data from the person’s prescribed interlock that shows a relevant event happened.\ns&#160;91VA ins 2019 No.&#160;25 s&#160;100\n(sec.91VA-ssec.1) A person’s prescribed period is extended by the automatic period of extension if any of the following events (each a relevant event ) happens during the last 4 months of the person’s prescribed period— the person provides a prescribed interlock with a specimen of the person’s breath containing alcohol; the person incurs a permanent lockout on a prescribed interlock for failure to meet an approved servicing requirement for the interlock.\n(sec.91VA-ssec.2) The automatic period of extension is the number of days between and including the previous end date and the new end date.\n(sec.91VA-ssec.3) The automatic extension of the person’s prescribed period— is imposed when the relevant interlock data is received by the chief executive, and is calculated from the date of the relevant event; and replaces the previous end date with the new end date.\n(sec.91VA-ssec.4) The automatic extension is taken for section&#160;65A to be a decision by the chief executive to extend the person’s prescribed period by the automatic period of extension because of a relevant event.\n(sec.91VA-ssec.5) The person must be notified of the automatic extension in the way prescribed by regulation.\n(sec.91VA-ssec.6) In this section a reference to a prescribed interlock, in relation to a person, is a reference to a prescribed interlock fitted to a nominated vehicle for the person.\n(sec.91VA-ssec.7) In this section— new end date , for a person, means the day that is 4 months after the date on which the relevant event happened. previous end date , for a person, means the date on which the person’s prescribed period would have ended under section&#160;91N were it not for the automatic extension. relevant interlock data , for a person, means the data from the person’s prescribed interlock that shows a relevant event happened.\n- (a) the person provides a prescribed interlock with a specimen of the person’s breath containing alcohol;\n- (b) the person incurs a permanent lockout on a prescribed interlock for failure to meet an approved servicing requirement for the interlock.\n- (a) is imposed when the relevant interlock data is received by the chief executive, and is calculated from the date of the relevant event; and\n- (b) replaces the previous end date with the new end date.","sortOrder":282},{"sectionNumber":"ch.5-pt.3B-div.5","sectionType":"division","heading":"Offences","content":"## Offences","sortOrder":283},{"sectionNumber":"sec.91W","sectionType":"section","heading":"Driving a motor vehicle other than as allowed under an interlock condition","content":"### sec.91W Driving a motor vehicle other than as allowed under an interlock condition\n\nAn interlock driver must not drive a motor vehicle that is a prohibited vehicle for the person, unless the person has an interlock exemption that has effect.\nMaximum penalty—\nif the motor vehicle driven by the person was not fitted with a prescribed interlock, whether or not it was a nominated vehicle for the person—\nfor a first conviction—28 penalty units; or\nfor a conviction within 5 years after a previous conviction to which the circumstance mentioned in this paragraph applies—60 penalty units; or\nif the motor vehicle driven by the person was not a nominated vehicle for the person but was fitted with a prescribed interlock—28 penalty units.\nIf the court convicts a person of an offence against subsection&#160;(1) , the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for the following period—\nfor a conviction mentioned in paragraph&#160;(a) (i) of the penalty—3 months;\nfor a conviction mentioned in paragraph&#160;(a) (ii) of the penalty—6 months.\nSubsection&#160;(4) applies if a police officer reasonably suspects an interlock driver is, or has been, driving a prohibited vehicle for the person.\nIf asked by the police officer whether the person may drive the vehicle under the interlock condition of the person’s Queensland driver licence, the person must produce for inspection an exemption certificate given to the person under section&#160;91Q for an interlock exemption that has effect, unless the person has a reasonable excuse for not complying with the request.\nMaximum penalty—28 penalty units.\nWithout limiting the matters that may be a reasonable excuse for subsection&#160;(4) , it is a reasonable excuse if the person has not been given an exemption certificate under section&#160;91R .\nIn this section—\nconviction means a conviction for an offence against subsection&#160;(1) .\nprohibited vehicle , for a person, means a motor vehicle other than a motor vehicle the person may drive under the interlock condition of the person’s Queensland driver licence.\ns&#160;91W ins 2010 No.&#160;13 s&#160;17\namd 2014 No.&#160;43 s&#160;90\n(sec.91W-ssec.1) An interlock driver must not drive a motor vehicle that is a prohibited vehicle for the person, unless the person has an interlock exemption that has effect. Maximum penalty— if the motor vehicle driven by the person was not fitted with a prescribed interlock, whether or not it was a nominated vehicle for the person— for a first conviction—28 penalty units; or for a conviction within 5 years after a previous conviction to which the circumstance mentioned in this paragraph applies—60 penalty units; or if the motor vehicle driven by the person was not a nominated vehicle for the person but was fitted with a prescribed interlock—28 penalty units.\n(sec.91W-ssec.2) If the court convicts a person of an offence against subsection&#160;(1) , the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for the following period— for a conviction mentioned in paragraph&#160;(a) (i) of the penalty—3 months; for a conviction mentioned in paragraph&#160;(a) (ii) of the penalty—6 months.\n(sec.91W-ssec.3) Subsection&#160;(4) applies if a police officer reasonably suspects an interlock driver is, or has been, driving a prohibited vehicle for the person.\n(sec.91W-ssec.4) If asked by the police officer whether the person may drive the vehicle under the interlock condition of the person’s Queensland driver licence, the person must produce for inspection an exemption certificate given to the person under section&#160;91Q for an interlock exemption that has effect, unless the person has a reasonable excuse for not complying with the request. Maximum penalty—28 penalty units.\n(sec.91W-ssec.5) Without limiting the matters that may be a reasonable excuse for subsection&#160;(4) , it is a reasonable excuse if the person has not been given an exemption certificate under section&#160;91R .\n(sec.91W-ssec.6) In this section— conviction means a conviction for an offence against subsection&#160;(1) . prohibited vehicle , for a person, means a motor vehicle other than a motor vehicle the person may drive under the interlock condition of the person’s Queensland driver licence.\n- (a) if the motor vehicle driven by the person was not fitted with a prescribed interlock, whether or not it was a nominated vehicle for the person— (i) for a first conviction—28 penalty units; or (ii) for a conviction within 5 years after a previous conviction to which the circumstance mentioned in this paragraph applies—60 penalty units; or\n- (i) for a first conviction—28 penalty units; or\n- (ii) for a conviction within 5 years after a previous conviction to which the circumstance mentioned in this paragraph applies—60 penalty units; or\n- (b) if the motor vehicle driven by the person was not a nominated vehicle for the person but was fitted with a prescribed interlock—28 penalty units.\n- (i) for a first conviction—28 penalty units; or\n- (ii) for a conviction within 5 years after a previous conviction to which the circumstance mentioned in this paragraph applies—60 penalty units; or\n- (a) for a conviction mentioned in paragraph&#160;(a) (i) of the penalty—3 months;\n- (b) for a conviction mentioned in paragraph&#160;(a) (ii) of the penalty—6 months.","sortOrder":284},{"sectionNumber":"sec.91X","sectionType":"section","heading":"Noncompliance with restrictions applying to interlock exemption","content":"### sec.91X Noncompliance with restrictions applying to interlock exemption\n\nAn interlock driver who has an interlock exemption must comply with any restrictions applying to the exemption.\nMaximum penalty—\nfor a first conviction—28 penalty units; or\nfor a conviction within 5 years after a previous conviction—60 penalty units.\nIf the court convicts a person of an offence against subsection&#160;(1) , the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for the following period—\nfor a conviction mentioned in paragraph&#160;(a) of the penalty—3 months;\nfor a conviction mentioned in paragraph&#160;(b) of the penalty—6 months.\nIn this section—\nconviction means a conviction for an offence against subsection&#160;(1) .\ns&#160;91X ins 2010 No.&#160;13 s&#160;17\namd 2014 No.&#160;43 s&#160;91\n(sec.91X-ssec.1) An interlock driver who has an interlock exemption must comply with any restrictions applying to the exemption. Maximum penalty— for a first conviction—28 penalty units; or for a conviction within 5 years after a previous conviction—60 penalty units.\n(sec.91X-ssec.2) If the court convicts a person of an offence against subsection&#160;(1) , the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for the following period— for a conviction mentioned in paragraph&#160;(a) of the penalty—3 months; for a conviction mentioned in paragraph&#160;(b) of the penalty—6 months.\n(sec.91X-ssec.3) In this section— conviction means a conviction for an offence against subsection&#160;(1) .\n- (a) for a first conviction—28 penalty units; or\n- (b) for a conviction within 5 years after a previous conviction—60 penalty units.\n- (a) for a conviction mentioned in paragraph&#160;(a) of the penalty—3 months;\n- (b) for a conviction mentioned in paragraph&#160;(b) of the penalty—6 months.","sortOrder":285},{"sectionNumber":"sec.91Y","sectionType":"section","heading":"Person with interlock exemption must give notification of change in circumstances","content":"### sec.91Y Person with interlock exemption must give notification of change in circumstances\n\nA person who has an interlock exemption must, within 14 days after the happening of a relevant change of circumstances, give written notice of the change to the chief executive.\nMaximum penalty—28 penalty units.\nIn this section—\nrelevant change of circumstances means a change in any of the matters stated, as required under section&#160;91R (2) (b) , in a written notice given to the person.\ns&#160;91Y ins 2010 No.&#160;13 s&#160;17\n(sec.91Y-ssec.1) A person who has an interlock exemption must, within 14 days after the happening of a relevant change of circumstances, give written notice of the change to the chief executive. Maximum penalty—28 penalty units.\n(sec.91Y-ssec.2) In this section— relevant change of circumstances means a change in any of the matters stated, as required under section&#160;91R (2) (b) , in a written notice given to the person.","sortOrder":286},{"sectionNumber":"ch.5-pt.3B-div.6","sectionType":"division","heading":"Other provisions about interlocks","content":"## Other provisions about interlocks","sortOrder":287},{"sectionNumber":"sec.91Z","sectionType":"section","heading":"Regulations relating to interlocks","content":"### sec.91Z Regulations relating to interlocks\n\nA regulation may be made under this division, including, for example, for making provision about the following—\nthe approval of interlocks;\nthe approval by the chief executive of providers or installers of interlocks, including conditions relating to an approval and the audit of approvals and conditions relating to approvals;\nthe criteria necessary to be met by a provider or installer of interlocks for obtaining and continuing to hold an approval, including criteria relating to service standards and requirements;\nthe installation, maintenance and removal of interlocks, including arrangements to be entered into in relation to their installation, maintenance or removal;\nthe way notice is to be given to a person of an automatic extension of the person’s prescribed period;\nthe grounds for review of an automatic extension of a person’s prescribed period.\ns&#160;91Z ins 2010 No.&#160;13 s&#160;17\namd 2019 No.&#160;25 s&#160;101\n- (a) the approval of interlocks;\n- (b) the approval by the chief executive of providers or installers of interlocks, including conditions relating to an approval and the audit of approvals and conditions relating to approvals;\n- (c) the criteria necessary to be met by a provider or installer of interlocks for obtaining and continuing to hold an approval, including criteria relating to service standards and requirements;\n- (d) the installation, maintenance and removal of interlocks, including arrangements to be entered into in relation to their installation, maintenance or removal;\n- (e) the way notice is to be given to a person of an automatic extension of the person’s prescribed period;\n- (f) the grounds for review of an automatic extension of a person’s prescribed period.","sortOrder":288},{"sectionNumber":"ch.5-pt.4","sectionType":"part","heading":"Incidents on roads and other areas","content":"# Incidents on roads and other areas","sortOrder":289},{"sectionNumber":"sec.92","sectionType":"section","heading":"Duties and liabilities of drivers involved in incidents resulting in injury or death","content":"### sec.92 Duties and liabilities of drivers involved in incidents resulting in injury or death\n\nThe driver of a vehicle, tram or animal involved on a road or road-related area, or of a motor vehicle involved elsewhere than on a road or road-related area, in an incident resulting in injury to or death of a person must—\nimmediately stop the vehicle, tram or animal; and\nif a person is injured—\nremain at or near the scene of the incident and immediately render such assistance as the driver can to the injured person; and\nmake reasonable endeavours to obtain such medical and other aid as may reasonably be required for the injured person; and\nif a person is dead or apparently dead—\nremain at or near the scene of the incident; and\nexhibit proper respect for the person’s body and take whatever steps are reasonably practicable to have the body removed to an appropriate place.\nMaximum penalty—\nif the incident results in the death of or grievous bodily harm to a person—120 penalty units or 3 years imprisonment; or\notherwise—20 penalty units or 1 year’s imprisonment.\nIf the court convicts a person of an offence against subsection&#160;(1) in the circumstances mentioned in paragraph&#160;(a) of the penalty, the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for a period of at least 6 months.\nDespite subsection&#160;(1) (b) (i) and (c)(i), the driver may leave the scene of the incident solely for the purpose of—\nif a person is injured—obtaining medical or other aid for the person; or\nif a person is dead or apparently dead—arranging for the removal of the person’s body to an appropriate place.\nIf in determining a complaint for an offence against subsection&#160;(1) the court is satisfied that the defendant showed a callous disregard for the needs of a person injured in the incident, the court shall impose, as the whole or part of the sentence, a period of imprisonment.\nA person who reports the happening of an incident mentioned in subsection&#160;(1) to the Queensland Police Service knowing the report to be false commits an offence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nIn a proceeding for an offence against this section, the incident may be specified by reference to the approximate time and place of the incident or to the person or persons involved or otherwise so as to sufficiently identify it.\nNothing in this section shall prejudice or affect the provisions of the Criminal Code or any Act relating to traffic or transport and, notwithstanding an order of disqualification under subsection&#160;(2) or for any specified period made under the Penalties and Sentences Act 1992 , section&#160;187 , if a person is convicted of an offence against subsection&#160;(1) in relation to an incident and a court subsequently convicts the person on indictment for another offence relating to the incident, the court may, in addition to any sentence the court may impose for the subsequent conviction, order that, from the day of the subsequent conviction, the offender is disqualified absolutely from holding or obtaining a Queensland driver licence.\ns&#160;92 (prev 1949 13 Geo 6 No. 26 s&#160;31) amd 1957 6 Eliz 2 No. 13 s&#160;5(1)\nsub 1957 6 Eliz 2 No. 34 s&#160;6\namd 1960 9 Eliz 2 No. 44 s&#160;3; 1961 10 Eliz 2 No. 27 s&#160;14; 1984 No.&#160;102 s&#160;33 ; 1990 No.&#160;103 s&#160;2 .11; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;46 , s&#160;54 (1) sch amdts 90–91\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 92\namd 2007 No.&#160;36 s&#160;2 sch ; 2014 No.&#160;43 s&#160;92 ; 2018 No.&#160;10 s&#160;51 ; 2024 No.&#160;2 s&#160;57\n(sec.92-ssec.1) The driver of a vehicle, tram or animal involved on a road or road-related area, or of a motor vehicle involved elsewhere than on a road or road-related area, in an incident resulting in injury to or death of a person must— immediately stop the vehicle, tram or animal; and if a person is injured— remain at or near the scene of the incident and immediately render such assistance as the driver can to the injured person; and make reasonable endeavours to obtain such medical and other aid as may reasonably be required for the injured person; and if a person is dead or apparently dead— remain at or near the scene of the incident; and exhibit proper respect for the person’s body and take whatever steps are reasonably practicable to have the body removed to an appropriate place. Maximum penalty— if the incident results in the death of or grievous bodily harm to a person—120 penalty units or 3 years imprisonment; or otherwise—20 penalty units or 1 year’s imprisonment.\n(sec.92-ssec.2) If the court convicts a person of an offence against subsection&#160;(1) in the circumstances mentioned in paragraph&#160;(a) of the penalty, the court, whether or not any other sentence is imposed, must disqualify the person from holding or obtaining a Queensland driver licence for a period of at least 6 months.\n(sec.92-ssec.3) Despite subsection&#160;(1) (b) (i) and (c)(i), the driver may leave the scene of the incident solely for the purpose of— if a person is injured—obtaining medical or other aid for the person; or if a person is dead or apparently dead—arranging for the removal of the person’s body to an appropriate place.\n(sec.92-ssec.4) If in determining a complaint for an offence against subsection&#160;(1) the court is satisfied that the defendant showed a callous disregard for the needs of a person injured in the incident, the court shall impose, as the whole or part of the sentence, a period of imprisonment.\n(sec.92-ssec.5) A person who reports the happening of an incident mentioned in subsection&#160;(1) to the Queensland Police Service knowing the report to be false commits an offence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.92-ssec.6) In a proceeding for an offence against this section, the incident may be specified by reference to the approximate time and place of the incident or to the person or persons involved or otherwise so as to sufficiently identify it.\n(sec.92-ssec.7) Nothing in this section shall prejudice or affect the provisions of the Criminal Code or any Act relating to traffic or transport and, notwithstanding an order of disqualification under subsection&#160;(2) or for any specified period made under the Penalties and Sentences Act 1992 , section&#160;187 , if a person is convicted of an offence against subsection&#160;(1) in relation to an incident and a court subsequently convicts the person on indictment for another offence relating to the incident, the court may, in addition to any sentence the court may impose for the subsequent conviction, order that, from the day of the subsequent conviction, the offender is disqualified absolutely from holding or obtaining a Queensland driver licence.\n- (a) immediately stop the vehicle, tram or animal; and\n- (b) if a person is injured— (i) remain at or near the scene of the incident and immediately render such assistance as the driver can to the injured person; and (ii) make reasonable endeavours to obtain such medical and other aid as may reasonably be required for the injured person; and\n- (i) remain at or near the scene of the incident and immediately render such assistance as the driver can to the injured person; and\n- (ii) make reasonable endeavours to obtain such medical and other aid as may reasonably be required for the injured person; and\n- (c) if a person is dead or apparently dead— (i) remain at or near the scene of the incident; and (ii) exhibit proper respect for the person’s body and take whatever steps are reasonably practicable to have the body removed to an appropriate place.\n- (i) remain at or near the scene of the incident; and\n- (ii) exhibit proper respect for the person’s body and take whatever steps are reasonably practicable to have the body removed to an appropriate place.\n- (i) remain at or near the scene of the incident and immediately render such assistance as the driver can to the injured person; and\n- (ii) make reasonable endeavours to obtain such medical and other aid as may reasonably be required for the injured person; and\n- (i) remain at or near the scene of the incident; and\n- (ii) exhibit proper respect for the person’s body and take whatever steps are reasonably practicable to have the body removed to an appropriate place.\n- (a) if the incident results in the death of or grievous bodily harm to a person—120 penalty units or 3 years imprisonment; or\n- (b) otherwise—20 penalty units or 1 year’s imprisonment.\n- (a) if a person is injured—obtaining medical or other aid for the person; or\n- (b) if a person is dead or apparently dead—arranging for the removal of the person’s body to an appropriate place.","sortOrder":290},{"sectionNumber":"sec.93","sectionType":"section","heading":"Duties of drivers involved in crashes—stopping and providing information","content":"### sec.93 Duties of drivers involved in crashes—stopping and providing information\n\nThis section applies to a driver involved in a crash on a road or road-related area.\nThe driver must stop at the scene of the crash and give the driver’s required particulars, within the required time and, if practicable, at the scene of the crash, to—\nany other driver involved in the crash; and\nany other person involved in the crash who is injured; and\nthe owner of any property (including any vehicle or animal) damaged in the crash, unless, for damage to a vehicle or animal, the particulars are given to the driver of the vehicle or animal.\nMaximum penalty—20 penalty units.\nFor subsection&#160;(2) , the required particulars may be given to a person by giving the particulars to the person’s representative.\nAlso, the driver must, within the required time, give the driver’s required particulars to a police officer if—\na person is killed or injured in the crash; or\nthe driver does not, for any reason, give the driver’s required particulars to each person mentioned in subsection&#160;(2) ; or\nthe required particulars for any other driver involved in the crash are not given to the driver; or\na motor vehicle involved in the crash is towed or carried away by another vehicle.\nMaximum penalty—20 penalty units.\nSubsection&#160;(2) does not apply if the driver—\nreasonably believes stopping and giving the driver’s required particulars to a person under the subsection would be likely to expose the driver or someone else to harm; and\nthe driver, who has experienced domestic violence from a person, reasonably believes that stopping and giving the required particulars to the person would be likely to expose the driver to emotional, financial or physical harm from the person\nthe driver, who is a child, reasonably believes that stopping and giving the required particulars to an adult who is unknown to the child would be likely to expose the child to emotional or physical harm from the adult\ngives the driver’s required particulars to a police officer under subsection&#160;(4) .\nIn this section—\ncrash means—\na collision between 2 or more vehicles or animals; or\nanother accident or incident involving a vehicle in which a person is killed or injured, property is damaged or an animal in someone’s charge is killed or injured.\ndriver does not include—\na person mentioned in schedule&#160;4 , definition pedestrian , paragraph&#160;(a) , (b) or (c) ; or\na person walking beside and pushing a bicycle or personal mobility device.\nrequired particulars , for a driver involved in a crash, means—\nthe driver’s name and address; and\nthe name and address of the owner of the driver’s vehicle; and\nthe vehicle’s registration number, if any; and\nany other information necessary to identify the vehicle.\nrequired time , for a driver involved in a crash, means as soon as possible but, except in exceptional circumstances, within 24 hours after the crash.\nvehicle includes a tram and train, but does not include—\na motorised mobility device; or\na wheelchair; or\na wheeled recreational device; or\na wheeled toy.\ns&#160;93 orig s&#160;93 amd 1 July 1995 RA s&#160;40; 1997 No.&#160;9 s&#160;93 (2)\nexp 1 July 1999 (see s&#160;93(6)) ( 1999 No.&#160;42 s&#160;54 (2) sch amdt 191 (to the extent it renum s&#160;93 ) could not be given effect)\nprev s&#160;93 (prev 1949 13 Geo 6 No. 26 s&#160;33) amd 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 92\nom 2000 No.&#160;5 s&#160;461 sch&#160;3\npres s&#160;93 ins 2018 No.&#160;10 s&#160;52\namd 2022 No.&#160;19 s&#160;14 ; 2024 No.&#160;2 s&#160;58\n(sec.93-ssec.1) This section applies to a driver involved in a crash on a road or road-related area.\n(sec.93-ssec.2) The driver must stop at the scene of the crash and give the driver’s required particulars, within the required time and, if practicable, at the scene of the crash, to— any other driver involved in the crash; and any other person involved in the crash who is injured; and the owner of any property (including any vehicle or animal) damaged in the crash, unless, for damage to a vehicle or animal, the particulars are given to the driver of the vehicle or animal. Maximum penalty—20 penalty units.\n(sec.93-ssec.3) For subsection&#160;(2) , the required particulars may be given to a person by giving the particulars to the person’s representative.\n(sec.93-ssec.4) Also, the driver must, within the required time, give the driver’s required particulars to a police officer if— a person is killed or injured in the crash; or the driver does not, for any reason, give the driver’s required particulars to each person mentioned in subsection&#160;(2) ; or the required particulars for any other driver involved in the crash are not given to the driver; or a motor vehicle involved in the crash is towed or carried away by another vehicle. Maximum penalty—20 penalty units.\n(sec.93-ssec.5) Subsection&#160;(2) does not apply if the driver— reasonably believes stopping and giving the driver’s required particulars to a person under the subsection would be likely to expose the driver or someone else to harm; and the driver, who has experienced domestic violence from a person, reasonably believes that stopping and giving the required particulars to the person would be likely to expose the driver to emotional, financial or physical harm from the person the driver, who is a child, reasonably believes that stopping and giving the required particulars to an adult who is unknown to the child would be likely to expose the child to emotional or physical harm from the adult gives the driver’s required particulars to a police officer under subsection&#160;(4) .\n(sec.93-ssec.6) In this section— crash means— a collision between 2 or more vehicles or animals; or another accident or incident involving a vehicle in which a person is killed or injured, property is damaged or an animal in someone’s charge is killed or injured. driver does not include— a person mentioned in schedule&#160;4 , definition pedestrian , paragraph&#160;(a) , (b) or (c) ; or a person walking beside and pushing a bicycle or personal mobility device. required particulars , for a driver involved in a crash, means— the driver’s name and address; and the name and address of the owner of the driver’s vehicle; and the vehicle’s registration number, if any; and any other information necessary to identify the vehicle. required time , for a driver involved in a crash, means as soon as possible but, except in exceptional circumstances, within 24 hours after the crash. vehicle includes a tram and train, but does not include— a motorised mobility device; or a wheelchair; or a wheeled recreational device; or a wheeled toy.\n- (a) any other driver involved in the crash; and\n- (b) any other person involved in the crash who is injured; and\n- (c) the owner of any property (including any vehicle or animal) damaged in the crash, unless, for damage to a vehicle or animal, the particulars are given to the driver of the vehicle or animal.\n- (a) a person is killed or injured in the crash; or\n- (b) the driver does not, for any reason, give the driver’s required particulars to each person mentioned in subsection&#160;(2) ; or\n- (c) the required particulars for any other driver involved in the crash are not given to the driver; or\n- (d) a motor vehicle involved in the crash is towed or carried away by another vehicle.\n- (a) reasonably believes stopping and giving the driver’s required particulars to a person under the subsection would be likely to expose the driver or someone else to harm; and Examples for paragraph&#160;(a) — • the driver, who has experienced domestic violence from a person, reasonably believes that stopping and giving the required particulars to the person would be likely to expose the driver to emotional, financial or physical harm from the person • the driver, who is a child, reasonably believes that stopping and giving the required particulars to an adult who is unknown to the child would be likely to expose the child to emotional or physical harm from the adult\n- • the driver, who has experienced domestic violence from a person, reasonably believes that stopping and giving the required particulars to the person would be likely to expose the driver to emotional, financial or physical harm from the person\n- • the driver, who is a child, reasonably believes that stopping and giving the required particulars to an adult who is unknown to the child would be likely to expose the child to emotional or physical harm from the adult\n- (b) gives the driver’s required particulars to a police officer under subsection&#160;(4) .\n- • the driver, who has experienced domestic violence from a person, reasonably believes that stopping and giving the required particulars to the person would be likely to expose the driver to emotional, financial or physical harm from the person\n- • the driver, who is a child, reasonably believes that stopping and giving the required particulars to an adult who is unknown to the child would be likely to expose the child to emotional or physical harm from the adult\n- (a) a collision between 2 or more vehicles or animals; or\n- (b) another accident or incident involving a vehicle in which a person is killed or injured, property is damaged or an animal in someone’s charge is killed or injured.\n- (a) a person mentioned in schedule&#160;4 , definition pedestrian , paragraph&#160;(a) , (b) or (c) ; or\n- (b) a person walking beside and pushing a bicycle or personal mobility device.\n- (a) the driver’s name and address; and\n- (b) the name and address of the owner of the driver’s vehicle; and\n- (c) the vehicle’s registration number, if any; and\n- (d) any other information necessary to identify the vehicle.\n- (a) a motorised mobility device; or\n- (b) a wheelchair; or\n- (c) a wheeled recreational device; or\n- (d) a wheeled toy.","sortOrder":291},{"sectionNumber":"sec.93A","sectionType":"section","heading":null,"content":"### Section sec.93A\n\ns&#160;93A ins 1997 No.&#160;66 s&#160;133\nexp 1 January 1999 (see s&#160;93A(2))","sortOrder":292},{"sectionNumber":"sec.94","sectionType":"section","heading":"Scheme to facilitate supply of information relating to incidents","content":"### sec.94 Scheme to facilitate supply of information relating to incidents\n\nThe commissioner or the chief executive, may authorise a scheme to facilitate the supply of information in the possession of a police officer or contained in a writing prepared by a police officer, as to the facts relating to any incident whereby, owing to the presence on a road or road-related area of a vehicle, tram, train or animal, death or injury has been caused to any person, or damage has been caused to any property (including any animal in the charge of any person) to any person who or whose property has been involved in that incident, or to the agent, servant or other representative of that person, and to any insurer or other person having a bona fide interest in that incident.\nAny such scheme may provide for the payment of fees for the supply of that information on any basis or bases set out in the scheme.\nThe State, the Minister, the commissioner, a police officer, the chief executive or someone else authorised by the chief executive is not civilly or criminally liable for supplying information under a scheme.\ns&#160;94 prev s&#160;94 ins 1995 No.&#160;32 s&#160;23 sch\nexp 14 June 1994 (see prev s&#160;94(4))\nAIA s&#160;20A applies (see prev s&#160;94(3))\npres s&#160;94 (prev 1949 13 Geo 6 No. 26 s&#160;34) sub 1961 10 Eliz 2 No. 27 s&#160;16\namd 1965 No.&#160;26 s&#160;18 ; 1968 No.&#160;22 s&#160;9 ; 1977 No.&#160;26 s&#160;8 ; 1990 No.&#160;73 s&#160;3 sch&#160;5 ; 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 92\namd 2024 No.&#160;2 s&#160;59\n(sec.94-ssec.1) The commissioner or the chief executive, may authorise a scheme to facilitate the supply of information in the possession of a police officer or contained in a writing prepared by a police officer, as to the facts relating to any incident whereby, owing to the presence on a road or road-related area of a vehicle, tram, train or animal, death or injury has been caused to any person, or damage has been caused to any property (including any animal in the charge of any person) to any person who or whose property has been involved in that incident, or to the agent, servant or other representative of that person, and to any insurer or other person having a bona fide interest in that incident.\n(sec.94-ssec.2) Any such scheme may provide for the payment of fees for the supply of that information on any basis or bases set out in the scheme.\n(sec.94-ssec.3) The State, the Minister, the commissioner, a police officer, the chief executive or someone else authorised by the chief executive is not civilly or criminally liable for supplying information under a scheme.","sortOrder":293},{"sectionNumber":"sec.95","sectionType":"section","heading":null,"content":"### Section sec.95\n\ns&#160;95 (prev 1949 13 Geo 6 No. 26 s&#160;35) amd 1953 2 Eliz 2 No. 11 s&#160;4; 1971 No.&#160;33 s&#160;10 ; 1997 No.&#160;67 s&#160;139 sch&#160;2\nreloc 1999 No.&#160;42 s&#160;54 (2) sch amdt 101\nom 2000 No.&#160;5 s&#160;461 sch&#160;3","sortOrder":294},{"sectionNumber":"ch.5-pt.5","sectionType":"part","heading":"Traffic diversions and removal of things from roads","content":"# Traffic diversions and removal of things from roads","sortOrder":295},{"sectionNumber":"sec.96","sectionType":"section","heading":"Diversion of traffic","content":"### sec.96 Diversion of traffic\n\nThe commissioner or the chief executive may order the closure of any road, permanently or temporarily (notice whereof shall, if practicable, be given in some newspaper circulating in the locality concerned) against any class or description of traffic, provided that another road or route is available for that traffic.\nWhere the purpose of a closure is a private commercial purpose or other prescribed purpose, an order for the closure of a road under subsection&#160;(1) may be made upon application under that subsection to the commissioner or the chief executive and not otherwise.\nThe application must be in writing and accompanied by the fee prescribed under a regulation.\nUpon receiving an application the commissioner or the chief executive, as the case may be, shall refuse the application or grant it and make an order for the closure of a road subject to such conditions, as the commissioner or the chief executive thinks fit, which may include but are not necessarily limited to the payment of fees and expenses in connection with the closure.\nIf the chief executive is of opinion that it is expedient for the proper execution of this Act, or otherwise is in the public interest, the chief executive may temporarily prohibit, divert or direct all or any part of the traffic in or from any road, and may take any measure and give or cause to be given any direction, signal or order which the chief executive considers necessary or desirable for the safe and effective regulation of traffic in the locality where that road is situated.\nAny person who contravenes or fails to comply with any prohibition, direction, signal or order made or given under this section shall be guilty of an offence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nThe chief executive may carry out such construction works as are necessary to give effect to the closure of any road ordered under subsection&#160;(1) .\ns&#160;96 (prev 1949 13 Geo 6 No. 26 s&#160;37) sub 1961 10 Eliz 2 No. 27 s&#160;17\namd 1965 No.&#160;26 s&#160;19 ; 1984 No.&#160;102 s&#160;14 ; 1994 No.&#160;7 s&#160;3 sch ; 1997 No.&#160;66 s&#160;23 ; 1997 No.&#160;67 s&#160;139 sch&#160;2 ; 1999 No.&#160;42 s&#160;54 (1) sch amdts 93–94\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 101\n(sec.96-ssec.1) The commissioner or the chief executive may order the closure of any road, permanently or temporarily (notice whereof shall, if practicable, be given in some newspaper circulating in the locality concerned) against any class or description of traffic, provided that another road or route is available for that traffic.\n(sec.96-ssec.2) Where the purpose of a closure is a private commercial purpose or other prescribed purpose, an order for the closure of a road under subsection&#160;(1) may be made upon application under that subsection to the commissioner or the chief executive and not otherwise.\n(sec.96-ssec.3) The application must be in writing and accompanied by the fee prescribed under a regulation.\n(sec.96-ssec.4) Upon receiving an application the commissioner or the chief executive, as the case may be, shall refuse the application or grant it and make an order for the closure of a road subject to such conditions, as the commissioner or the chief executive thinks fit, which may include but are not necessarily limited to the payment of fees and expenses in connection with the closure.\n(sec.96-ssec.5) If the chief executive is of opinion that it is expedient for the proper execution of this Act, or otherwise is in the public interest, the chief executive may temporarily prohibit, divert or direct all or any part of the traffic in or from any road, and may take any measure and give or cause to be given any direction, signal or order which the chief executive considers necessary or desirable for the safe and effective regulation of traffic in the locality where that road is situated.\n(sec.96-ssec.6) Any person who contravenes or fails to comply with any prohibition, direction, signal or order made or given under this section shall be guilty of an offence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.96-ssec.7) The chief executive may carry out such construction works as are necessary to give effect to the closure of any road ordered under subsection&#160;(1) .","sortOrder":296},{"sectionNumber":"sec.97","sectionType":"section","heading":null,"content":"### Section sec.97\n\ns&#160;97 (prev 1949 13 Geo 6 No. 26 s&#160;39) sub 1961 10 Eliz 2 No. 27 s&#160;18\namd 1967 No.&#160;44 s&#160;2 ; 1969 No.&#160;22 s&#160;7 ; 1974 No.&#160;18 s&#160;14 ; 1988 No.&#160;94 s&#160;4 ; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdts 95–99\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 101\nom 2000 No.&#160;5 s&#160;461 sch&#160;3","sortOrder":297},{"sectionNumber":"sec.98","sectionType":"section","heading":null,"content":"### Section sec.98\n\ns&#160;98 (prev 1949 13 Geo 6 No. 26 s&#160;41) amd 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 101\nom 2000 No.&#160;5 s&#160;461 sch&#160;3","sortOrder":298},{"sectionNumber":"sec.99","sectionType":"section","heading":null,"content":"### Section sec.99\n\ns&#160;99 (prev 1949 13 Geo 6 No. 26 s&#160;43) amd 1990 No.&#160;103 s&#160;2 0.12\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 101\nom 2000 No.&#160;5 s&#160;461 sch&#160;3","sortOrder":299},{"sectionNumber":"sec.100","sectionType":"section","heading":"Removal of things from roads","content":"### sec.100 Removal of things from roads\n\nSubsections&#160;(3) to (11) apply if the chief executive officer of a local government considers on reasonable grounds that a vehicle, tram or animal in the local government’s area has been abandoned on a road, other than a busway, by the person who last drove or used it, or that—\na vehicle, tram or animal in the local government’s area has been—\nleft on a road unattended whether temporarily or otherwise for a time or in a place, condition, way or circumstances where its presence is hazardous; or\nfound on a road in a place, condition, way or circumstances where its presence is hazardous or in contravention of this Act; and\nthe driver of the vehicle, tram or animal—\ncan not readily be located; or\nhas failed to immediately remove the vehicle, tram or animal when required by the local government to do so.\nAlso see section&#160;51G , which deals with the chief executive’s power to move a vehicle, load or other thing on a road.\nFor subsection&#160;(1) , the presence of a vehicle, tram or animal on a road is hazardous if it is causing, or is likely to cause, danger, hindrance or obstruction to traffic or is preventing, hindering or obstructing, or is likely to prevent, hinder or obstruct, the use of the road or a part of the road for a lawful purpose.\nThe local government may remove the vehicle, tram or animal from the road and detain it at a place for safe keeping.\nAs soon as practicable after removal of the vehicle, tram or animal, the chief executive officer of the local government concerned shall cause notice in writing to be given to the owner thereof, if the owner can be ascertained, of such removal and of the place at which the vehicle, tram or animal is then detained.\nSuch notice shall, if practicable, be served upon the owner personally, but if it is not so served within 14 days from the date of such removal it may be given by public advertisement in a newspaper circulating in the locality in which the vehicle, tram or animal was found.\nIf within 1 month from the date of service or advertisement of such notice the owner of the vehicle, tram or animal or a person acting on the owner’s behalf or a person claiming a right to the possession of the vehicle, tram or animal, has not obtained possession of the vehicle, tram or animal in accordance with the provisions of subsection&#160;(10) , the chief executive officer of the local government may—\nby notice published in a newspaper circulating in the locality in which the vehicle, tram or animal was found, advertise that it will offer the vehicle, tram or animal for sale by public auction at the place and time stated in the advertisement; and\nat the time on the day stated in the advertisement (which day shall be not earlier than 14 days after the date when the advertisement was published) and at the place stated in the advertisement, offer the vehicle, tram or animal for sale by public auction unless the owner thereof or a person acting on the owner’s behalf or a person claiming a right to possession thereof has sooner obtained possession of the vehicle, tram or animal in accordance with the provisions of subsection&#160;(10) ; and\nif no offer for the vehicle, tram or animal is received at such auction—dispose of the same in such manner and on such terms as the chief executive officer of the local government may determine.\nThe proceeds of the sale or disposal of the vehicle, tram or animal shall be applied in the following order—\nin payment of the expenses of the sale or disposal;\nin payment of the cost of removal and detention of the vehicle, tram or animal and the service and advertisement of any notice served or advertised under subsection&#160;(5) ;\nif there is an amount owing to an entity under a security interest registered for the vehicle, tram or animal under the Personal Property Securities Act 2009 (Cwlth) —the amount owing under the security interest;\nin payment of the balance of such proceeds to the owner of the vehicle, tram or animal or, if after reasonable inquiry, the owner can not be ascertained, into the general fund of the local government.\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) .\nThe local government may deal with any goods, equipment or thing contained in, on or about the vehicle, tram or animal at the time of its removal in the same manner as it may deal with the vehicle, tram or animal pursuant to this section.\nHowever, any perishable goods in or on the vehicle, tram or animal at the time of its removal may be disposed of in the way the chief executive officer of the local government concerned shall direct and the proceeds (if any) of such disposal shall be applied in accordance with the provisions of subsection&#160;(7) .\nThe chief executive officer of the local government must not deliver possession of the vehicle, tram or animal to the owner thereof, or to another person acting on the owner’s behalf, or to any other person claiming a right to the possession thereof unless the following provisions have been complied with—\nthe owner, or person acting on the owner’s behalf, or other person claiming a right to possession of the vehicle, tram or animal shall have applied in writing signed by the applicant to the chief executive officer of the local government concerned for the release from such detention of the vehicle, tram or animal;\nthe applicant shall have furnished proof to the satisfaction of the chief executive officer of the applicant’s ownership or of the applicant’s right to possession of the vehicle, tram or animal and, in the case of the applicant’s being a person acting on behalf of the owner, shall have furnished proof to the satisfaction of the chief executive officer of the applicant’s authority to act on behalf of such owner;\nthe applicant shall have paid all expenses incurred by the local government concerned in connection with the removal and detention of the vehicle, tram or animal and the service, or advertisement, of any notice served or advertised in relation to such removal and detention or intended sale of the vehicle, tram or animal;\nthe applicant has signed a receipt for the delivery of the vehicle, tram or animal to the applicant.\nAny person who takes delivery, or obtains possession of or removes or attempts to remove from the detention of a local government a vehicle, tram or animal removed and detained pursuant to the provisions of subsection&#160;(3) except in accordance with the provisions of subsection&#160;(10) shall be guilty of an offence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nUnder a local law, a local government may provide for the removal, safe storage or disposal of a vehicle, tram or animal in the local government’s area that a person authorised under the local law considers on reasonable grounds—\nhas been abandoned on a road, other than a busway; or\nhas been left as described in subsection&#160;(1) (a) (i) ; or\nhas been found as described in subsection&#160;(1) (a) (ii) .\nIf a local law provides for a matter mentioned in subsection&#160;(12) , subsections&#160;(3) to (11) no longer apply in the local government’s area.\nSubsections&#160;(3) to (11) in their application in the local government’s area are not revived by the repeal of the local law.\nThis section, or a local law mentioned in subsection&#160;(12) , does not apply if an officer of a local government removes a vehicle, load or other thing from a road under chapter&#160;3 , part&#160;4C , under a delegation from the chief executive.\nIn this section—\nsecured party has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;10 .\nvehicle includes any part of a vehicle.\ns&#160;100 (prev 1949 13 Geo 6 No. 26 s&#160;44) amd 1961 10 Eliz 2 No. 27 s&#160;21; 1965 No.&#160;26 s&#160;21 ; 1994 No.&#160;7 s&#160;13 ; 1997 No.&#160;66 s&#160;24 ; 1998 No.&#160;43 s&#160;4 ; 1999 No.&#160;42 s&#160;54 (1) sch amdt 100\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 101\namd 2000 No.&#160;5 s&#160;461 sch&#160;3 ; 2001 No.&#160;79 s&#160;100 ; 2007 No.&#160;36 s&#160;2 sch ; 2007 No.&#160;43 s&#160;33 sch ; 2008 No.&#160;67 s&#160;198 ; 2010 No.&#160;44 s&#160;227 ; 2014 No.&#160;43 s&#160;117 sch&#160;1\n(sec.100-ssec.1) Subsections&#160;(3) to (11) apply if the chief executive officer of a local government considers on reasonable grounds that a vehicle, tram or animal in the local government’s area has been abandoned on a road, other than a busway, by the person who last drove or used it, or that— a vehicle, tram or animal in the local government’s area has been— left on a road unattended whether temporarily or otherwise for a time or in a place, condition, way or circumstances where its presence is hazardous; or found on a road in a place, condition, way or circumstances where its presence is hazardous or in contravention of this Act; and the driver of the vehicle, tram or animal— can not readily be located; or has failed to immediately remove the vehicle, tram or animal when required by the local government to do so. Also see section&#160;51G , which deals with the chief executive’s power to move a vehicle, load or other thing on a road.\n(sec.100-ssec.2) For subsection&#160;(1) , the presence of a vehicle, tram or animal on a road is hazardous if it is causing, or is likely to cause, danger, hindrance or obstruction to traffic or is preventing, hindering or obstructing, or is likely to prevent, hinder or obstruct, the use of the road or a part of the road for a lawful purpose.\n(sec.100-ssec.3) The local government may remove the vehicle, tram or animal from the road and detain it at a place for safe keeping.\n(sec.100-ssec.4) As soon as practicable after removal of the vehicle, tram or animal, the chief executive officer of the local government concerned shall cause notice in writing to be given to the owner thereof, if the owner can be ascertained, of such removal and of the place at which the vehicle, tram or animal is then detained.\n(sec.100-ssec.5) Such notice shall, if practicable, be served upon the owner personally, but if it is not so served within 14 days from the date of such removal it may be given by public advertisement in a newspaper circulating in the locality in which the vehicle, tram or animal was found.\n(sec.100-ssec.6) If within 1 month from the date of service or advertisement of such notice the owner of the vehicle, tram or animal or a person acting on the owner’s behalf or a person claiming a right to the possession of the vehicle, tram or animal, has not obtained possession of the vehicle, tram or animal in accordance with the provisions of subsection&#160;(10) , the chief executive officer of the local government may— by notice published in a newspaper circulating in the locality in which the vehicle, tram or animal was found, advertise that it will offer the vehicle, tram or animal for sale by public auction at the place and time stated in the advertisement; and at the time on the day stated in the advertisement (which day shall be not earlier than 14 days after the date when the advertisement was published) and at the place stated in the advertisement, offer the vehicle, tram or animal for sale by public auction unless the owner thereof or a person acting on the owner’s behalf or a person claiming a right to possession thereof has sooner obtained possession of the vehicle, tram or animal in accordance with the provisions of subsection&#160;(10) ; and if no offer for the vehicle, tram or animal is received at such auction—dispose of the same in such manner and on such terms as the chief executive officer of the local government may determine.\n(sec.100-ssec.7) The proceeds of the sale or disposal of the vehicle, tram or animal shall be applied in the following order— in payment of the expenses of the sale or disposal; in payment of the cost of removal and detention of the vehicle, tram or animal and the service and advertisement of any notice served or advertised under subsection&#160;(5) ; if there is an amount owing to an entity under a security interest registered for the vehicle, tram or animal under the Personal Property Securities Act 2009 (Cwlth) —the amount owing under the security interest; in payment of the balance of such proceeds to the owner of the vehicle, tram or animal or, if after reasonable inquiry, the owner can not be ascertained, into the general fund of the local government.\n(sec.100-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.100-ssec.8) The local government may deal with any goods, equipment or thing contained in, on or about the vehicle, tram or animal at the time of its removal in the same manner as it may deal with the vehicle, tram or animal pursuant to this section.\n(sec.100-ssec.9) However, any perishable goods in or on the vehicle, tram or animal at the time of its removal may be disposed of in the way the chief executive officer of the local government concerned shall direct and the proceeds (if any) of such disposal shall be applied in accordance with the provisions of subsection&#160;(7) .\n(sec.100-ssec.10) The chief executive officer of the local government must not deliver possession of the vehicle, tram or animal to the owner thereof, or to another person acting on the owner’s behalf, or to any other person claiming a right to the possession thereof unless the following provisions have been complied with— the owner, or person acting on the owner’s behalf, or other person claiming a right to possession of the vehicle, tram or animal shall have applied in writing signed by the applicant to the chief executive officer of the local government concerned for the release from such detention of the vehicle, tram or animal; the applicant shall have furnished proof to the satisfaction of the chief executive officer of the applicant’s ownership or of the applicant’s right to possession of the vehicle, tram or animal and, in the case of the applicant’s being a person acting on behalf of the owner, shall have furnished proof to the satisfaction of the chief executive officer of the applicant’s authority to act on behalf of such owner; the applicant shall have paid all expenses incurred by the local government concerned in connection with the removal and detention of the vehicle, tram or animal and the service, or advertisement, of any notice served or advertised in relation to such removal and detention or intended sale of the vehicle, tram or animal; the applicant has signed a receipt for the delivery of the vehicle, tram or animal to the applicant.\n(sec.100-ssec.11) Any person who takes delivery, or obtains possession of or removes or attempts to remove from the detention of a local government a vehicle, tram or animal removed and detained pursuant to the provisions of subsection&#160;(3) except in accordance with the provisions of subsection&#160;(10) shall be guilty of an offence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.100-ssec.12) Under a local law, a local government may provide for the removal, safe storage or disposal of a vehicle, tram or animal in the local government’s area that a person authorised under the local law considers on reasonable grounds— has been abandoned on a road, other than a busway; or has been left as described in subsection&#160;(1) (a) (i) ; or has been found as described in subsection&#160;(1) (a) (ii) .\n(sec.100-ssec.13) If a local law provides for a matter mentioned in subsection&#160;(12) , subsections&#160;(3) to (11) no longer apply in the local government’s area.\n(sec.100-ssec.14) Subsections&#160;(3) to (11) in their application in the local government’s area are not revived by the repeal of the local law.\n(sec.100-ssec.14A) This section, or a local law mentioned in subsection&#160;(12) , does not apply if an officer of a local government removes a vehicle, load or other thing from a road under chapter&#160;3 , part&#160;4C , under a delegation from the chief executive.\n(sec.100-ssec.15) In this section— secured party has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;10 . vehicle includes any part of a vehicle.\n- (a) a vehicle, tram or animal in the local government’s area has been— (i) left on a road unattended whether temporarily or otherwise for a time or in a place, condition, way or circumstances where its presence is hazardous; or (ii) found on a road in a place, condition, way or circumstances where its presence is hazardous or in contravention of this Act; and\n- (i) left on a road unattended whether temporarily or otherwise for a time or in a place, condition, way or circumstances where its presence is hazardous; or\n- (ii) found on a road in a place, condition, way or circumstances where its presence is hazardous or in contravention of this Act; and\n- (b) the driver of the vehicle, tram or animal— (i) can not readily be located; or (ii) has failed to immediately remove the vehicle, tram or animal when required by the local government to do so.\n- (i) can not readily be located; or\n- (ii) has failed to immediately remove the vehicle, tram or animal when required by the local government to do so.\n- (i) left on a road unattended whether temporarily or otherwise for a time or in a place, condition, way or circumstances where its presence is hazardous; or\n- (ii) found on a road in a place, condition, way or circumstances where its presence is hazardous or in contravention of this Act; and\n- (i) can not readily be located; or\n- (ii) has failed to immediately remove the vehicle, tram or animal when required by the local government to do so.\n- (a) by notice published in a newspaper circulating in the locality in which the vehicle, tram or animal was found, advertise that it will offer the vehicle, tram or animal for sale by public auction at the place and time stated in the advertisement; and\n- (b) at the time on the day stated in the advertisement (which day shall be not earlier than 14 days after the date when the advertisement was published) and at the place stated in the advertisement, offer the vehicle, tram or animal for sale by public auction unless the owner thereof or a person acting on the owner’s behalf or a person claiming a right to possession thereof has sooner obtained possession of the vehicle, tram or animal in accordance with the provisions of subsection&#160;(10) ; and\n- (c) if no offer for the vehicle, tram or animal is received at such auction—dispose of the same in such manner and on such terms as the chief executive officer of the local government may determine.\n- (a) in payment of the expenses of the sale or disposal;\n- (b) in payment of the cost of removal and detention of the vehicle, tram or animal and the service and advertisement of any notice served or advertised under subsection&#160;(5) ;\n- (c) if there is an amount owing to an entity under a security interest registered for the vehicle, tram or animal under the Personal Property Securities Act 2009 (Cwlth) —the amount owing under the security interest;\n- (d) in payment of the balance of such proceeds to the owner of the vehicle, tram or animal or, if after reasonable inquiry, the owner can not be ascertained, into the general fund of the local government.\n- (a) the owner, or person acting on the owner’s behalf, or other person claiming a right to possession of the vehicle, tram or animal shall have applied in writing signed by the applicant to the chief executive officer of the local government concerned for the release from such detention of the vehicle, tram or animal;\n- (b) the applicant shall have furnished proof to the satisfaction of the chief executive officer of the applicant’s ownership or of the applicant’s right to possession of the vehicle, tram or animal and, in the case of the applicant’s being a person acting on behalf of the owner, shall have furnished proof to the satisfaction of the chief executive officer of the applicant’s authority to act on behalf of such owner;\n- (c) the applicant shall have paid all expenses incurred by the local government concerned in connection with the removal and detention of the vehicle, tram or animal and the service, or advertisement, of any notice served or advertised in relation to such removal and detention or intended sale of the vehicle, tram or animal;\n- (d) the applicant has signed a receipt for the delivery of the vehicle, tram or animal to the applicant.\n- (a) has been abandoned on a road, other than a busway; or\n- (b) has been left as described in subsection&#160;(1) (a) (i) ; or\n- (c) has been found as described in subsection&#160;(1) (a) (ii) .","sortOrder":300},{"sectionNumber":"ch.5-pt.6","sectionType":"part","heading":"Regulated parking","content":"# Regulated parking","sortOrder":301},{"sectionNumber":"sec.101","sectionType":"section","heading":"Who may regulate parking","content":"### sec.101 Who may regulate parking\n\nA local government may regulate parking in its area—\non a road, other than a declared road; or\non a declared road, with the chief executive’s written agreement; or\non an off-street regulated parking area.\nThe chief executive may regulate parking on an off-street regulated parking area.\nThe regulation of parking may include—\nspecifying the times when a vehicle may or must not be parked; and\nrequiring the payment of a fee for a vehicle to be parked; and\nspecifying the types of vehicles that may or must not be parked; and\nspecifying the purposes for which a vehicle may or must not be parked; and\nspecifying where its regulation of parking applies.\ns&#160;101 (prev 1949 13 Geo 6 No. 26 s&#160;44A) ins 1956 5 Eliz 2 No. 26 s&#160;8\nsub 1960 9 Eliz 2 No. 44 s&#160;4\namd 1965 No.&#160;26 s&#160;23\nsub 1994 No.&#160;7 s&#160;14\namd 1999 No.&#160;42 s&#160;12\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111\namd 2004 No.&#160;9 s&#160;64\n(sec.101-ssec.1) A local government may regulate parking in its area— on a road, other than a declared road; or on a declared road, with the chief executive’s written agreement; or on an off-street regulated parking area.\n(sec.101-ssec.1A) The chief executive may regulate parking on an off-street regulated parking area.\n(sec.101-ssec.2) The regulation of parking may include— specifying the times when a vehicle may or must not be parked; and requiring the payment of a fee for a vehicle to be parked; and specifying the types of vehicles that may or must not be parked; and specifying the purposes for which a vehicle may or must not be parked; and specifying where its regulation of parking applies.\n- (a) on a road, other than a declared road; or\n- (b) on a declared road, with the chief executive’s written agreement; or\n- (c) on an off-street regulated parking area.\n- (a) specifying the times when a vehicle may or must not be parked; and\n- (b) requiring the payment of a fee for a vehicle to be parked; and\n- (c) specifying the types of vehicles that may or must not be parked; and\n- (d) specifying the purposes for which a vehicle may or must not be parked; and\n- (e) specifying where its regulation of parking applies.","sortOrder":302},{"sectionNumber":"sec.102","sectionType":"section","heading":"Parking regulation involves installing official traffic signs","content":"### sec.102 Parking regulation involves installing official traffic signs\n\nThe chief executive or a local government may regulate parking by installing official traffic signs indicating how parking is regulated.\nAn official traffic sign may apply to parking—\nat or near the place where the sign is installed, for example, a particular parking space, road or off-street regulated parking area; or\nfor a sign installed by a local government—throughout an area consisting of the whole or part of the local government’s area (a traffic area ).\nA local government may install an official traffic sign applying to parking throughout a traffic area only if—\nthe boundaries of the traffic area have been defined under a local law; and\nthe sign is installed on the road at every road entry to the traffic area.\nAn official traffic sign applying to parking throughout a traffic area—\nmay only indicate the following matters about how parking is regulated throughout the traffic area—\nthe times when a person may only park for a maximum specified time;\nthe times when a person may only park by paid parking at a place where the local government has provided for paid parking;\nthe types of vehicle a person may park; and\nfor parking for which another official traffic sign is installed within the traffic area—applies subject to the other official traffic sign.\nAn official traffic sign installed within a traffic area may allow a longer or shorter parking time than that allowed by the official traffic sign for the entire traffic area.\nSubsection&#160;(4) (a) does not limit the matters that may be indicated on an official traffic sign mentioned in subsection&#160;(4) (b) .\nA person parking anywhere within a traffic area is taken to have notice of the contents of the official traffic sign installed at the road entries to the traffic area.\nIf an official traffic sign is installed at or near a place so that a person parking at the place is likely to see the sign, the person is taken to have notice of the contents of the sign.\nThis section does not limit a local government’s power to install an official traffic sign under a provision other than this part or under another law.\ns&#160;102 (prev 1949 13 Geo 6 No. 26 s&#160;44B) ins 1956 5 Eliz 2 No. 26 s&#160;8\namd 1957 6 Eliz 2 No. 13 s&#160;6; 1957 6 Eliz 2 No. 34 s&#160;7; 1960 9 Eliz 2 No. 44 s&#160;5\nsub 1965 No.&#160;26 s&#160;24\namd 1968 No.&#160;36 s&#160;3 ; 1971 No.&#160;33 s&#160;11 ; 1982 No.&#160;15 s&#160;9 ; 1984 No.&#160;102 s&#160;16 ; 1989 No.&#160;76 s&#160;2 ; 1990 No.&#160;103 s&#160;2 .13; 1992 No.&#160;19 s&#160;3\nsub 1994 No.&#160;7 s&#160;14\namd 1997 No.&#160;66 s&#160;25 ; 1999 No.&#160;42 s&#160;13\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111\namd 2001 No.&#160;79 s&#160;101 ; 2004 No.&#160;9 s&#160;65 ; 2007 No.&#160;36 s&#160;2 sch\n(sec.102-ssec.1) The chief executive or a local government may regulate parking by installing official traffic signs indicating how parking is regulated.\n(sec.102-ssec.2) An official traffic sign may apply to parking— at or near the place where the sign is installed, for example, a particular parking space, road or off-street regulated parking area; or for a sign installed by a local government—throughout an area consisting of the whole or part of the local government’s area (a traffic area ).\n(sec.102-ssec.3) A local government may install an official traffic sign applying to parking throughout a traffic area only if— the boundaries of the traffic area have been defined under a local law; and the sign is installed on the road at every road entry to the traffic area.\n(sec.102-ssec.4) An official traffic sign applying to parking throughout a traffic area— may only indicate the following matters about how parking is regulated throughout the traffic area— the times when a person may only park for a maximum specified time; the times when a person may only park by paid parking at a place where the local government has provided for paid parking; the types of vehicle a person may park; and for parking for which another official traffic sign is installed within the traffic area—applies subject to the other official traffic sign. An official traffic sign installed within a traffic area may allow a longer or shorter parking time than that allowed by the official traffic sign for the entire traffic area.\n(sec.102-ssec.5) Subsection&#160;(4) (a) does not limit the matters that may be indicated on an official traffic sign mentioned in subsection&#160;(4) (b) .\n(sec.102-ssec.6) A person parking anywhere within a traffic area is taken to have notice of the contents of the official traffic sign installed at the road entries to the traffic area.\n(sec.102-ssec.7) If an official traffic sign is installed at or near a place so that a person parking at the place is likely to see the sign, the person is taken to have notice of the contents of the sign.\n(sec.102-ssec.9) This section does not limit a local government’s power to install an official traffic sign under a provision other than this part or under another law.\n- (a) at or near the place where the sign is installed, for example, a particular parking space, road or off-street regulated parking area; or\n- (b) for a sign installed by a local government—throughout an area consisting of the whole or part of the local government’s area (a traffic area ).\n- (a) the boundaries of the traffic area have been defined under a local law; and\n- (b) the sign is installed on the road at every road entry to the traffic area.\n- (a) may only indicate the following matters about how parking is regulated throughout the traffic area— (i) the times when a person may only park for a maximum specified time; (ii) the times when a person may only park by paid parking at a place where the local government has provided for paid parking; (iii) the types of vehicle a person may park; and\n- (i) the times when a person may only park for a maximum specified time;\n- (ii) the times when a person may only park by paid parking at a place where the local government has provided for paid parking;\n- (iii) the types of vehicle a person may park; and\n- (b) for parking for which another official traffic sign is installed within the traffic area—applies subject to the other official traffic sign.\n- (i) the times when a person may only park for a maximum specified time;\n- (ii) the times when a person may only park by paid parking at a place where the local government has provided for paid parking;\n- (iii) the types of vehicle a person may park; and","sortOrder":303},{"sectionNumber":"sec.103","sectionType":"section","heading":"Examples of how parking may be regulated","content":"### sec.103 Examples of how parking may be regulated\n\nThis section does not limit section&#160;101 or 102 and its object is to state common examples of how parking may be regulated.\nOfficial traffic signs may define or indicate—\nwhere paid parking is authorised; or\nspaces on roads or off-street parking areas that are designated parking spaces; or\nloading zones; or\nfor roads or off-street parking areas—where parking is only allowed for a specified maximum time.\nOfficial traffic signs installed by a local government may specify for a place or a traffic area—\nthe hours and days when parking is only allowed for a specified maximum time; and\nthe fixed hours for paid parking; and\nfor specified designated parking spaces—the maximum time for which a vehicle may be paid parked; and\na system (the authorised system ) for the payment of a parking fee for paid parking including, for example, by the use of a coin, token, card or credit card; and\nthe denomination or number of coins to be inserted in a parking meter or parkatarea in payment of a parking fee.\nUnder a local law, a local government may—\nallow a vehicle to park contrary to an indication on an official traffic sign regulating parking by time or payment of a fee, if the vehicle displays—\na parking permit for people with disabilities; or\na permit issued by the local government; and\ndefine the persons that may be issued with a permit.\nUnder a local law, a local government may—\nallow a vehicle to park in a loading zone if the vehicle displays a commercial vehicle identification label issued by the local government; and\ndefine the vehicles that may be issued with a commercial vehicle identification label of the type specified by the MUTCD.\nA local government may, by local law or resolution, specify the following—\nparking fees for a place or a traffic area;\nthe fee for—\na permit mentioned in subsection&#160;(4) (a) (i) or (ii) ; or\na commercial vehicle identification label mentioned in subsection&#160;(5) (a) .\ns&#160;103 (prev 1949 13 Geo 6 No. 26 s&#160;44BA) ins 1994 No.&#160;7 s&#160;14\namd 1995 No.&#160;9 s&#160;92 sch&#160;1 ; 1999 No.&#160;42 s&#160;14 , s&#160;54 (1) sch amdts 102–103\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111\namd 2004 No.&#160;9 s&#160;66\n(sec.103-ssec.1) This section does not limit section&#160;101 or 102 and its object is to state common examples of how parking may be regulated.\n(sec.103-ssec.2) Official traffic signs may define or indicate— where paid parking is authorised; or spaces on roads or off-street parking areas that are designated parking spaces; or loading zones; or for roads or off-street parking areas—where parking is only allowed for a specified maximum time.\n(sec.103-ssec.3) Official traffic signs installed by a local government may specify for a place or a traffic area— the hours and days when parking is only allowed for a specified maximum time; and the fixed hours for paid parking; and for specified designated parking spaces—the maximum time for which a vehicle may be paid parked; and a system (the authorised system ) for the payment of a parking fee for paid parking including, for example, by the use of a coin, token, card or credit card; and the denomination or number of coins to be inserted in a parking meter or parkatarea in payment of a parking fee.\n(sec.103-ssec.4) Under a local law, a local government may— allow a vehicle to park contrary to an indication on an official traffic sign regulating parking by time or payment of a fee, if the vehicle displays— a parking permit for people with disabilities; or a permit issued by the local government; and define the persons that may be issued with a permit.\n(sec.103-ssec.5) Under a local law, a local government may— allow a vehicle to park in a loading zone if the vehicle displays a commercial vehicle identification label issued by the local government; and define the vehicles that may be issued with a commercial vehicle identification label of the type specified by the MUTCD.\n(sec.103-ssec.6) A local government may, by local law or resolution, specify the following— parking fees for a place or a traffic area; the fee for— a permit mentioned in subsection&#160;(4) (a) (i) or (ii) ; or a commercial vehicle identification label mentioned in subsection&#160;(5) (a) .\n- (a) where paid parking is authorised; or\n- (b) spaces on roads or off-street parking areas that are designated parking spaces; or\n- (c) loading zones; or\n- (d) for roads or off-street parking areas—where parking is only allowed for a specified maximum time.\n- (a) the hours and days when parking is only allowed for a specified maximum time; and\n- (b) the fixed hours for paid parking; and\n- (c) for specified designated parking spaces—the maximum time for which a vehicle may be paid parked; and\n- (d) a system (the authorised system ) for the payment of a parking fee for paid parking including, for example, by the use of a coin, token, card or credit card; and\n- (e) the denomination or number of coins to be inserted in a parking meter or parkatarea in payment of a parking fee.\n- (a) allow a vehicle to park contrary to an indication on an official traffic sign regulating parking by time or payment of a fee, if the vehicle displays— (i) a parking permit for people with disabilities; or (ii) a permit issued by the local government; and\n- (i) a parking permit for people with disabilities; or\n- (ii) a permit issued by the local government; and\n- (b) define the persons that may be issued with a permit.\n- (i) a parking permit for people with disabilities; or\n- (ii) a permit issued by the local government; and\n- (a) allow a vehicle to park in a loading zone if the vehicle displays a commercial vehicle identification label issued by the local government; and\n- (b) define the vehicles that may be issued with a commercial vehicle identification label of the type specified by the MUTCD.\n- (a) parking fees for a place or a traffic area;\n- (b) the fee for— (i) a permit mentioned in subsection&#160;(4) (a) (i) or (ii) ; or (ii) a commercial vehicle identification label mentioned in subsection&#160;(5) (a) .\n- (i) a permit mentioned in subsection&#160;(4) (a) (i) or (ii) ; or\n- (ii) a commercial vehicle identification label mentioned in subsection&#160;(5) (a) .\n- (i) a permit mentioned in subsection&#160;(4) (a) (i) or (ii) ; or\n- (ii) a commercial vehicle identification label mentioned in subsection&#160;(5) (a) .","sortOrder":304},{"sectionNumber":"sec.104","sectionType":"section","heading":"Off-street regulated parking areas","content":"### sec.104 Off-street regulated parking areas\n\nAn off-street regulated parking area is an area of land, including any structure on the land, that—\nis controlled by the chief executive or a local government; and\nis specified as an off-street regulated parking area under—\na regulation; or\nfor a local government—a local law.\nLand controlled by the chief executive or a local government includes land over which the chief executive or local government may exercise control for the purposes of this part under an arrangement with a person who owns, or has an interest in, the land.\nThe chief executive may, under an arrangement with the owner of a shopping centre, regulate the use of the shopping centre’s public parking area that has been specified to be an off-street regulated parking area under a regulation.\nAn agreement to give effect to the arrangement for the area must provide for the matters prescribed under a regulation.\ns&#160;104 (prev 1949 13 Geo 6 No. 26 s&#160;44BB) ins 1997 No.&#160;66 s&#160;26\namd 1999 No.&#160;42 s&#160;15\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111\n(sec.104-ssec.1) An off-street regulated parking area is an area of land, including any structure on the land, that— is controlled by the chief executive or a local government; and is specified as an off-street regulated parking area under— a regulation; or for a local government—a local law.\n(sec.104-ssec.2) Land controlled by the chief executive or a local government includes land over which the chief executive or local government may exercise control for the purposes of this part under an arrangement with a person who owns, or has an interest in, the land. The chief executive may, under an arrangement with the owner of a shopping centre, regulate the use of the shopping centre’s public parking area that has been specified to be an off-street regulated parking area under a regulation.\n(sec.104-ssec.3) An agreement to give effect to the arrangement for the area must provide for the matters prescribed under a regulation.\n- (a) is controlled by the chief executive or a local government; and\n- (b) is specified as an off-street regulated parking area under— (i) a regulation; or (ii) for a local government—a local law.\n- (i) a regulation; or\n- (ii) for a local government—a local law.\n- (i) a regulation; or\n- (ii) for a local government—a local law.","sortOrder":305},{"sectionNumber":"sec.105","sectionType":"section","heading":"Paid parking","content":"### sec.105 Paid parking\n\nFixed hours start for a designated parking space after a local government has installed the appropriate official traffic signs for the space.\nA person may park a vehicle in a designated parking space during the fixed hours only if—\nthe person does not park the vehicle in the space for longer than the maximum time indicated on the official traffic sign installed in relation to the space; and\nthe person pays the parking fee for the space as prescribed immediately on parking the vehicle.\nThe person may pay the parking fee—\nif a parking meter or parkatarea is installed for the space—by inserting coins of the number and denomination appropriate to the parking fee in the parking meter or parkatarea; or\nif an authorised system applies in relation to the space—by doing what is required by the system.\nNothing in this section prevents a person from making more than 1 payment while a vehicle is parked in a designated parking space, if the total time of continuous paid parking does not exceed the maximum time indicated on the official traffic sign installed in relation to the space.\nA local government may install a parking meter or parkatarea for a designated parking space if it is installed in a way—\nspecified by the MUTCD; or\napproved by the chief executive.\ns&#160;105 (prev 1949 13 Geo 6 No. 26 s&#160;44C) ins 1956 5 Eliz 2 No. 26 s&#160;9\namd 1957 6 Eliz 2 No. 34 s&#160;8; 1959 8 Eliz 2 No. 55 s&#160;17; 1960 9 Eliz 2 No. 44 s&#160;6; 1965 No.&#160;26 s&#160;25 ; 1989 No.&#160;76 s&#160;3\nsub 1992 No.&#160;19 s&#160;4\namd 1994 No.&#160;7 s&#160;15\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111\namd 2004 No.&#160;9 s&#160;67\n(sec.105-ssec.1) Fixed hours start for a designated parking space after a local government has installed the appropriate official traffic signs for the space.\n(sec.105-ssec.2) A person may park a vehicle in a designated parking space during the fixed hours only if— the person does not park the vehicle in the space for longer than the maximum time indicated on the official traffic sign installed in relation to the space; and the person pays the parking fee for the space as prescribed immediately on parking the vehicle.\n(sec.105-ssec.3) The person may pay the parking fee— if a parking meter or parkatarea is installed for the space—by inserting coins of the number and denomination appropriate to the parking fee in the parking meter or parkatarea; or if an authorised system applies in relation to the space—by doing what is required by the system.\n(sec.105-ssec.4) Nothing in this section prevents a person from making more than 1 payment while a vehicle is parked in a designated parking space, if the total time of continuous paid parking does not exceed the maximum time indicated on the official traffic sign installed in relation to the space.\n(sec.105-ssec.5) A local government may install a parking meter or parkatarea for a designated parking space if it is installed in a way— specified by the MUTCD; or approved by the chief executive.\n- (a) the person does not park the vehicle in the space for longer than the maximum time indicated on the official traffic sign installed in relation to the space; and\n- (b) the person pays the parking fee for the space as prescribed immediately on parking the vehicle.\n- (a) if a parking meter or parkatarea is installed for the space—by inserting coins of the number and denomination appropriate to the parking fee in the parking meter or parkatarea; or\n- (b) if an authorised system applies in relation to the space—by doing what is required by the system.\n- (a) specified by the MUTCD; or\n- (b) approved by the chief executive.","sortOrder":306},{"sectionNumber":"sec.106","sectionType":"section","heading":"Paid parking offences","content":"### sec.106 Paid parking offences\n\nDuring the fixed hours, a person must not park a vehicle in a designated parking space—\nunless—\na parking meter or parkatarea installed for the space indicates that the parking fee has been paid; or\nthe person has done what is required by an authorised system that applies in relation to the space; or\nfor a time longer than the maximum time indicated on the official traffic sign installed for the space; or\nif another vehicle is parked in the space; or\nso that the vehicle is not wholly within the space, unless the vehicle—\nis longer than the length of the space; and\nis parked within a space in relation to which a parkatarea is installed; and\nis engaged in loading or unloading goods; and\nis as nearly as practicable wholly within the space.\nMaximum penalty—40 penalty units.\nA person who parks a vehicle in a designated parking space when a parking meter or parkatarea installed in relation to the space indicates that the parking fee has not been paid does not commit an offence against subsection&#160;(1) (a) if the person immediately pays the parking fee in accordance with section&#160;105 (3) .\nIf—\na person commits an offence against subsection&#160;(1) (b) in a designated parking space; and\nan infringement notice, under the State Penalties Enforcement Act 1999 , for the offence is placed on or attached to the vehicle; and\nthe vehicle in relation to which the offence is committed remains parked in the space after the notice is affixed;\nthe person commits a separate and further offence under subsection&#160;(1) (b) for each further time (equal to the maximum time indicated on the official traffic sign installed in relation to the space) that the vehicle remains parked in the space during the fixed hours.\ns&#160;106 (prev 1949 13 Geo 6 No. 26 s&#160;44D) ins 1956 5 Eliz 2 No. 26 s&#160;9\namd 1957 6 Eliz 2 No. 13 s&#160;7; 1957 No.&#160;34 s&#160;9 ; 1959 8 Eliz 2 No. 55 s&#160;18 ; 1965 No.&#160;26 s&#160;26 ; 1984 No.&#160;102 s&#160;17 ; 1989 No.&#160;76 s&#160;4\nsub 1992 No.&#160;19 s&#160;5\namd 1994 No.&#160;7 s&#160;16 ; 1997 No.&#160;66 s&#160;27 ; 1999 No.&#160;42 s&#160;54 (1) sch amdt 104\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111\namd 1999 No.&#160;70 s&#160;166 sch&#160;1\n(sec.106-ssec.1) During the fixed hours, a person must not park a vehicle in a designated parking space— unless— a parking meter or parkatarea installed for the space indicates that the parking fee has been paid; or the person has done what is required by an authorised system that applies in relation to the space; or for a time longer than the maximum time indicated on the official traffic sign installed for the space; or if another vehicle is parked in the space; or so that the vehicle is not wholly within the space, unless the vehicle— is longer than the length of the space; and is parked within a space in relation to which a parkatarea is installed; and is engaged in loading or unloading goods; and is as nearly as practicable wholly within the space. Maximum penalty—40 penalty units.\n(sec.106-ssec.2) A person who parks a vehicle in a designated parking space when a parking meter or parkatarea installed in relation to the space indicates that the parking fee has not been paid does not commit an offence against subsection&#160;(1) (a) if the person immediately pays the parking fee in accordance with section&#160;105 (3) .\n(sec.106-ssec.3) If— a person commits an offence against subsection&#160;(1) (b) in a designated parking space; and an infringement notice, under the State Penalties Enforcement Act 1999 , for the offence is placed on or attached to the vehicle; and the vehicle in relation to which the offence is committed remains parked in the space after the notice is affixed; the person commits a separate and further offence under subsection&#160;(1) (b) for each further time (equal to the maximum time indicated on the official traffic sign installed in relation to the space) that the vehicle remains parked in the space during the fixed hours.\n- (a) unless— (i) a parking meter or parkatarea installed for the space indicates that the parking fee has been paid; or (ii) the person has done what is required by an authorised system that applies in relation to the space; or\n- (i) a parking meter or parkatarea installed for the space indicates that the parking fee has been paid; or\n- (ii) the person has done what is required by an authorised system that applies in relation to the space; or\n- (b) for a time longer than the maximum time indicated on the official traffic sign installed for the space; or\n- (c) if another vehicle is parked in the space; or\n- (d) so that the vehicle is not wholly within the space, unless the vehicle— (i) is longer than the length of the space; and (ii) is parked within a space in relation to which a parkatarea is installed; and (iii) is engaged in loading or unloading goods; and (iv) is as nearly as practicable wholly within the space.\n- (i) is longer than the length of the space; and\n- (ii) is parked within a space in relation to which a parkatarea is installed; and\n- (iii) is engaged in loading or unloading goods; and\n- (iv) is as nearly as practicable wholly within the space.\n- (i) a parking meter or parkatarea installed for the space indicates that the parking fee has been paid; or\n- (ii) the person has done what is required by an authorised system that applies in relation to the space; or\n- (i) is longer than the length of the space; and\n- (ii) is parked within a space in relation to which a parkatarea is installed; and\n- (iii) is engaged in loading or unloading goods; and\n- (iv) is as nearly as practicable wholly within the space.\n- (a) a person commits an offence against subsection&#160;(1) (b) in a designated parking space; and\n- (b) an infringement notice, under the State Penalties Enforcement Act 1999 , for the offence is placed on or attached to the vehicle; and\n- (c) the vehicle in relation to which the offence is committed remains parked in the space after the notice is affixed;","sortOrder":307},{"sectionNumber":"sec.107","sectionType":"section","heading":"Owner responsible for offence","content":"### sec.107 Owner responsible for offence\n\nSubject as hereinafter provided, where any offence is committed in relation to the parking or stopping of any vehicle, the person who at the time of the commission of the breach was the owner of the vehicle shall be deemed to have committed that offence and may be proceeded against and shall be punishable accordingly.\ns&#160;107 (prev 1949 13 Geo 6 No. 26 s&#160;44E) ins 1956 5 Eliz 2 No. 26 s&#160;9\namd 1957 6 Eliz 2 No. 34 s&#160;10; 1965 No.&#160;26 s&#160;27 ; 1994 No.&#160;7 s&#160;17 ; 1999 No.&#160;42 ss&#160;16 , 54 (1) sch amdt 105\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111","sortOrder":308},{"sectionNumber":"sec.108","sectionType":"section","heading":"Local laws about minor traffic offences","content":"### sec.108 Local laws about minor traffic offences\n\nA local government may, under a local law, prescribe an amount as the infringement notice penalty for a minor traffic offence committed in the local government’s area.\nFor the State Penalties Enforcement Act 1999 —\nthe minor traffic offence is an infringement notice offence; and\nthe penalty is the infringement notice penalty for the offence; and\nthe chief executive officer of the local government is the administering authority for the infringement notice and the infringement notice offence.\nIf the local government prescribes a penalty for a minor traffic offence, the penalty applies to the exclusion of another infringement notice penalty under the State Penalties Enforcement Act 1999 for the minor traffic offence committed in its area.\nIn this section—\nminor traffic offence means—\nan offence against this part; or\nan offence, prescribed under a regulation, that relates to the parking or stopping of a vehicle; or\nan offence against section&#160;74 that is a contravention of an indication given by an official traffic sign installed by a local government under this part.\ns&#160;108 (prev 1949 13 Geo 6 No. 26 s&#160;44F) ins 1956 5 Eliz 2 No. 26 s&#160;10\namd 1957 6 Eliz 2 No. 34 s&#160;11; 1960 9 Eliz 2 No. 44 s&#160;7; 1962 No.&#160;23 s&#160;3 ; 1965 No.&#160;26 s&#160;28 ; 1982 No.&#160;15 s&#160;10 ; 1984 No.&#160;102 s&#160;18 ; 1989 No.&#160;76 s&#160;5 ; 1994 No.&#160;7 s&#160;18 (amd 1994 No.&#160;15 s&#160;3 sch&#160;1 )\nsub 1999 No.&#160;42 s&#160;17\namd 1999 No.&#160;42 s&#160;54 (1) sch amdt 106\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111\namd 1999 No.&#160;70 s&#160;166 sch&#160;1 ; 2004 No.&#160;9 s&#160;68\n(sec.108-ssec.1) A local government may, under a local law, prescribe an amount as the infringement notice penalty for a minor traffic offence committed in the local government’s area.\n(sec.108-ssec.2) For the State Penalties Enforcement Act 1999 — the minor traffic offence is an infringement notice offence; and the penalty is the infringement notice penalty for the offence; and the chief executive officer of the local government is the administering authority for the infringement notice and the infringement notice offence.\n(sec.108-ssec.3) If the local government prescribes a penalty for a minor traffic offence, the penalty applies to the exclusion of another infringement notice penalty under the State Penalties Enforcement Act 1999 for the minor traffic offence committed in its area.\n(sec.108-ssec.4) In this section— minor traffic offence means— an offence against this part; or an offence, prescribed under a regulation, that relates to the parking or stopping of a vehicle; or an offence against section&#160;74 that is a contravention of an indication given by an official traffic sign installed by a local government under this part.\n- (a) the minor traffic offence is an infringement notice offence; and\n- (b) the penalty is the infringement notice penalty for the offence; and\n- (c) the chief executive officer of the local government is the administering authority for the infringement notice and the infringement notice offence.\n- (a) an offence against this part; or\n- (b) an offence, prescribed under a regulation, that relates to the parking or stopping of a vehicle; or\n- (c) an offence against section&#160;74 that is a contravention of an indication given by an official traffic sign installed by a local government under this part.","sortOrder":309},{"sectionNumber":"sec.109","sectionType":"section","heading":"Agreement with local government on costs of administration","content":"### sec.109 Agreement with local government on costs of administration\n\nThe commissioner may, with the approval of the Minister, enter into an agreement with the local government whereby the local government shall pay to the commissioner an annual or other periodic sum in respect of the costs incurred in the carrying out of duties under this part by police officers.\nIf the commissioner and the local government can not agree upon such payment, the Governor in Council may, by regulation, determine that the local government shall pay to the commissioner, in respect of the costs incurred in the carrying out of duties under this part by police officers, such annual or other periodic sum as the auditor-general certifies to be fair and reasonable.\nThe Governor in Council may, by regulation, revoke or from time to time vary any such determination, but no such variation shall be made unless the auditor-general certifies that it is fair and reasonable.\nThe local government shall make to the commissioner payments in accordance with such determination (or, if such determination shall have been varied, such determination as varied for the time being).\ns&#160;109 (prev 1949 13 Geo 6 No. 26 s&#160;44J) ins 1956 5 Eliz 2 No. 26 s&#160;11\namd 1960 9 Eliz 2 No. 44 s&#160;8; 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111\n(sec.109-ssec.1) The commissioner may, with the approval of the Minister, enter into an agreement with the local government whereby the local government shall pay to the commissioner an annual or other periodic sum in respect of the costs incurred in the carrying out of duties under this part by police officers.\n(sec.109-ssec.2) If the commissioner and the local government can not agree upon such payment, the Governor in Council may, by regulation, determine that the local government shall pay to the commissioner, in respect of the costs incurred in the carrying out of duties under this part by police officers, such annual or other periodic sum as the auditor-general certifies to be fair and reasonable.\n(sec.109-ssec.3) The Governor in Council may, by regulation, revoke or from time to time vary any such determination, but no such variation shall be made unless the auditor-general certifies that it is fair and reasonable.\n(sec.109-ssec.4) The local government shall make to the commissioner payments in accordance with such determination (or, if such determination shall have been varied, such determination as varied for the time being).","sortOrder":310},{"sectionNumber":"sec.110","sectionType":"section","heading":"Notice restricting parking in special circumstances","content":"### sec.110 Notice restricting parking in special circumstances\n\nIf the chief executive is satisfied special circumstances exist justifying a restriction on parking in a traffic area or designated parking space, the chief executive may, by notice published in a newspaper circulating generally in the locality concerned—\nprohibit the parking of vehicles in the area or designated parking space for a stated time; and\ndirect the owner or driver of any vehicle parked in the area or designated parking space to remove the vehicle from the area.\nIf the owner or driver of a vehicle parked in a traffic area or designated parking space can not be readily located, or, if located, fails to remove the vehicle from the area or parking space when directed to do so, the chief executive may remove the vehicle from the area or parking space.\nSection&#160;100 applies to a vehicle mentioned in subsection&#160;(2) .\ns&#160;110 (prev 1949 13 Geo 6 No. 26 s&#160;44M) ins 1965 No.&#160;26 s&#160;33 (b)\nsub 1992 No.&#160;19 s&#160;8\namd 1994 No.&#160;87 s&#160;3 sch&#160;1 ; 1999 No.&#160;42 s&#160;54 (1) sch amdt 107\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111\nsub 2000 No.&#160;5 s&#160;461 sch&#160;3\n(sec.110-ssec.1) If the chief executive is satisfied special circumstances exist justifying a restriction on parking in a traffic area or designated parking space, the chief executive may, by notice published in a newspaper circulating generally in the locality concerned— prohibit the parking of vehicles in the area or designated parking space for a stated time; and direct the owner or driver of any vehicle parked in the area or designated parking space to remove the vehicle from the area.\n(sec.110-ssec.2) If the owner or driver of a vehicle parked in a traffic area or designated parking space can not be readily located, or, if located, fails to remove the vehicle from the area or parking space when directed to do so, the chief executive may remove the vehicle from the area or parking space.\n(sec.110-ssec.3) Section&#160;100 applies to a vehicle mentioned in subsection&#160;(2) .\n- (a) prohibit the parking of vehicles in the area or designated parking space for a stated time; and\n- (b) direct the owner or driver of any vehicle parked in the area or designated parking space to remove the vehicle from the area.","sortOrder":311},{"sectionNumber":"sec.111","sectionType":"section","heading":"Parking permits for people with disabilities","content":"### sec.111 Parking permits for people with disabilities\n\nThe chief executive may give a parking permit to—\na person with a disability; or\nan organisation for a specified vehicle if the chief executive is satisfied—\nthe organisation transports in the vehicle persons with a disability; and\nthe vehicle meets the criteria prescribed by regulation.\nThe chief executive may give the parking permit subject to conditions stated in the permit.\nA regulation may prescribe standard conditions for parking permits given under this section.\nIn this section—\nperson with a disability means a person who meets the eligibility criteria prescribed by regulation.\ns&#160;111 (prev 1949 13 Geo 6 No. 26 s&#160;44N) ins 1982 No.&#160;15 s&#160;11\namd 1984 No.&#160;102 s&#160;20\nsub 1990 No.&#160;103 s&#160;2 .15; 1994 No.&#160;7 s&#160;19\namd 1999 No.&#160;42 s&#160;54 (1) sch amdts 108–110\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 111\nsub 2020 No.&#160;22 s&#160;16\n(sec.111-ssec.1) The chief executive may give a parking permit to— a person with a disability; or an organisation for a specified vehicle if the chief executive is satisfied— the organisation transports in the vehicle persons with a disability; and the vehicle meets the criteria prescribed by regulation.\n(sec.111-ssec.2) The chief executive may give the parking permit subject to conditions stated in the permit.\n(sec.111-ssec.3) A regulation may prescribe standard conditions for parking permits given under this section.\n(sec.111-ssec.4) In this section— person with a disability means a person who meets the eligibility criteria prescribed by regulation.\n- (a) a person with a disability; or\n- (b) an organisation for a specified vehicle if the chief executive is satisfied— (i) the organisation transports in the vehicle persons with a disability; and (ii) the vehicle meets the criteria prescribed by regulation.\n- (i) the organisation transports in the vehicle persons with a disability; and\n- (ii) the vehicle meets the criteria prescribed by regulation.\n- (i) the organisation transports in the vehicle persons with a disability; and\n- (ii) the vehicle meets the criteria prescribed by regulation.","sortOrder":312},{"sectionNumber":"ch.5-pt.7","sectionType":"part","heading":"Detection devices","content":"# Detection devices","sortOrder":313},{"sectionNumber":"ch.5-pt.7-div.1","sectionType":"division","heading":"Speed detection devices","content":"## Speed detection devices","sortOrder":314},{"sectionNumber":"sec.112","sectionType":"section","heading":"Use of speed detection devices","content":"### sec.112 Use of speed detection devices\n\nWhen using a radar speed detection device or laser-based speed detection device, a police officer must comply with—\nthe appropriate Australian Standard for using the device, as in force from time to time; or\nif there is no appropriate Australian Standard for using the device in force at the time of the use—the manufacturer’s specifications for the device.\nThis section does not apply to a device that is a photographic detection device.\ns&#160;112 (prev 1949 13 Geo 6 No. 26 s&#160;44O) ins 1990 No.&#160;19 s&#160;5\nsub 1994 No.&#160;7 s&#160;21\namd 1994 No.&#160;87 s&#160;3 sch&#160;1 ; 1999 No.&#160;42 s&#160;19\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 112\nsub 2005 No.&#160;49 s&#160;62 ; 2007 No.&#160;6 s&#160;61\namd 2014 No.&#160;1 s&#160;47\n(sec.112-ssec.1) When using a radar speed detection device or laser-based speed detection device, a police officer must comply with— the appropriate Australian Standard for using the device, as in force from time to time; or if there is no appropriate Australian Standard for using the device in force at the time of the use—the manufacturer’s specifications for the device.\n(sec.112-ssec.2) This section does not apply to a device that is a photographic detection device.\n- (a) the appropriate Australian Standard for using the device, as in force from time to time; or\n- (b) if there is no appropriate Australian Standard for using the device in force at the time of the use—the manufacturer’s specifications for the device.","sortOrder":315},{"sectionNumber":"ch.5-pt.7-div.2","sectionType":"division","heading":"Photographic detection devices","content":"## Photographic detection devices","sortOrder":316},{"sectionNumber":"sec.113","sectionType":"section","heading":"Definitions for div&#160;2","content":"### sec.113 Definitions for div&#160;2\n\nIn this division—\naddress means—\nfor an individual—\nthe individual’s usual place of residence; or\na postal address for the individual; or\nif a matter relates to a business owned or controlled by the individual—the address of the business; or\nfor a corporation—\nthe head office, a registered office or a principal office of the corporation; or\na postal address for the corporation.\ns&#160;113 def address ins 2019 No.&#160;25 s&#160;102\ncamera-detected offence means a prescribed offence in respect of which—\nthe infringement notice under the State Penalties Enforcement Act 1999 ; or\nthe complaint or summons;\nindicates that the offence was detected by a photographic detection device, or a photographic detection device that is linked to an information technology system described in section&#160;113A (2) .\ns&#160;113 def camera-detected offence sub 1996 No.&#160;62 s&#160;4 (1)\namd 1999 No.&#160;70 s&#160;166 sch&#160;1 ; 2014 No.&#160;43 s&#160;93 (3)\ncorresponding transport law , to a transport Act or a provision of a transport Act, means a law of the Commonwealth or another State that provides for the same matter as—\nfor a transport Act—the Act or a provision of the Act ; or\nfor a provision of a transport Act—the provision.\ns&#160;113 def corresponding transport law ins 1996 No.&#160;62 s&#160;4 (2)\nowner ...\ns&#160;113 def owner ins 1996 No.&#160;62 s&#160;4 (2)\nom 2001 No.&#160;79 s&#160;102 (1)\nperson in charge of a vehicle, in relation to an alleged offence, means—\nif there was a responsible operator for the vehicle at the time the offence allegedly happened—\nthe responsible operator; or\nif the responsible operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\nif there was no responsible operator for the vehicle, and the vehicle was registered under a transport Act or a corresponding transport law, at the time the offence allegedly happened—\nthe registered operator of the vehicle at the time; or\nif the registered operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\nif there was no responsible operator for the vehicle, and the vehicle was not registered under a transport Act or a corresponding transport law, at the time the offence allegedly happened—\nthe person who, immediately before the registration expired, was the registered operator; or\nif the person who was the registered operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\nif the person who was the registered operator gives a notice under section&#160;114 (3A) (b) —the person named, in any notice under the section, as the person who stole or took the vehicle; or\nif the person who was the registered operator gives a notice under section&#160;114 (3A) (c) —the person named, in any notice under the section, as the person to whom the vehicle was sold or disposed of.\ns&#160;113 def person in charge ins 2001 No.&#160;79 s&#160;102 (2)\namd 2014 No.&#160;43 s&#160;93 (4)\nphotographic detection device see section&#160;113A (1) .\ns&#160;113 def photographic detection device amd 2001 No.&#160;79 s&#160;102 (3)\nsub 2010 No.&#160;13 s&#160;35\nsub 2014 No.&#160;43 s&#160;93 (1) – (2)\nprescribed offence means an offence prescribed by regulation for this part that is an offence against this Act or another transport Act.\ns&#160;113 def prescribed offence sub 1996 No.&#160;62 s&#160;4 (1)\nresponsible operator means a person nominated as responsible operator under section&#160;170 or a person corresponding to a responsible operator under a corresponding transport law.\ns&#160;113 def responsible operator ins 1996 No.&#160;62 s&#160;4 (2)\namd 2001 No.&#160;79 s&#160;102 (4)\ntransport Act means an Act administered by the Minister or the Motor Accident Insurance Act 1994 .\ns&#160;113 def transport Act ins 1996 No.&#160;62 s&#160;4 (2)\nsub 1997 No.&#160;9 s&#160;82\nunregistered or uninsured offence ...\ns&#160;113 def unregistered or uninsured offence ins 2014 No.&#160;43 s&#160;93 (2)\nom 2024 No.&#160;2 s&#160;60\ns&#160;113 (prev 1949 13 Geo 6 No. 26 s&#160;44P) ins 1990 No.&#160;19 s&#160;5\namd 1994 No.&#160;7 s&#160;23 ; 1999 No.&#160;42 s&#160;54 (1) sch amdt s&#160;113 , 114\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 120\n- (a) for an individual— (i) the individual’s usual place of residence; or (ii) a postal address for the individual; or (iii) if a matter relates to a business owned or controlled by the individual—the address of the business; or\n- (i) the individual’s usual place of residence; or\n- (ii) a postal address for the individual; or\n- (iii) if a matter relates to a business owned or controlled by the individual—the address of the business; or\n- (b) for a corporation— (i) the head office, a registered office or a principal office of the corporation; or (ii) a postal address for the corporation.\n- (i) the head office, a registered office or a principal office of the corporation; or\n- (ii) a postal address for the corporation.\n- (i) the individual’s usual place of residence; or\n- (ii) a postal address for the individual; or\n- (iii) if a matter relates to a business owned or controlled by the individual—the address of the business; or\n- (i) the head office, a registered office or a principal office of the corporation; or\n- (ii) a postal address for the corporation.\n- (a) the infringement notice under the State Penalties Enforcement Act 1999 ; or\n- (b) the complaint or summons;\n- (a) for a transport Act—the Act or a provision of the Act ; or\n- (b) for a provision of a transport Act—the provision.\n- (a) if there was a responsible operator for the vehicle at the time the offence allegedly happened— (i) the responsible operator; or (ii) if the responsible operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\n- (i) the responsible operator; or\n- (ii) if the responsible operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\n- (b) if there was no responsible operator for the vehicle, and the vehicle was registered under a transport Act or a corresponding transport law, at the time the offence allegedly happened— (i) the registered operator of the vehicle at the time; or (ii) if the registered operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\n- (i) the registered operator of the vehicle at the time; or\n- (ii) if the registered operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\n- (c) if there was no responsible operator for the vehicle, and the vehicle was not registered under a transport Act or a corresponding transport law, at the time the offence allegedly happened— (i) the person who, immediately before the registration expired, was the registered operator; or (ii) if the person who was the registered operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or (iii) if the person who was the registered operator gives a notice under section&#160;114 (3A) (b) —the person named, in any notice under the section, as the person who stole or took the vehicle; or (iv) if the person who was the registered operator gives a notice under section&#160;114 (3A) (c) —the person named, in any notice under the section, as the person to whom the vehicle was sold or disposed of.\n- (i) the person who, immediately before the registration expired, was the registered operator; or\n- (ii) if the person who was the registered operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\n- (iii) if the person who was the registered operator gives a notice under section&#160;114 (3A) (b) —the person named, in any notice under the section, as the person who stole or took the vehicle; or\n- (iv) if the person who was the registered operator gives a notice under section&#160;114 (3A) (c) —the person named, in any notice under the section, as the person to whom the vehicle was sold or disposed of.\n- (i) the responsible operator; or\n- (ii) if the responsible operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\n- (i) the registered operator of the vehicle at the time; or\n- (ii) if the registered operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\n- (i) the person who, immediately before the registration expired, was the registered operator; or\n- (ii) if the person who was the registered operator gives a notice under section&#160;114 (3) (b) —the person named, in any notice under the section, as the person in charge of the vehicle at the time; or\n- (iii) if the person who was the registered operator gives a notice under section&#160;114 (3A) (b) —the person named, in any notice under the section, as the person who stole or took the vehicle; or\n- (iv) if the person who was the registered operator gives a notice under section&#160;114 (3A) (c) —the person named, in any notice under the section, as the person to whom the vehicle was sold or disposed of.","sortOrder":317},{"sectionNumber":"sec.113A","sectionType":"section","heading":"Photographic detection device defined","content":"### sec.113A Photographic detection device defined\n\nA photographic detection device is a device or system, that makes an image or video, of a type approved under a regulation as a photographic detection device.\na digital device\na camera system the components of which may include multiple cameras, trigger mechanisms, data transfer capability and image processing\nWithout limiting subsection&#160;(1) , the device or system may be linked to an information technology system that—\naccesses information held by the department, in order to detect an offence prescribed by regulation; and\nif an offence prescribed by regulation is detected—issues an infringement notice for the offence.\nAn infringement notice issued under subsection&#160;(2) (b) is taken, for the State Penalties Enforcement Act 1999 , and section&#160;13 (1) of that Act in particular, to be an infringement notice served by an authorised person under that Act.\nA regulation approving a type of device or system for subsection&#160;(1) may provide information about—\nhow an image or video made by the device or system is accepted as having detected a prescribed offence; or\nhow the device or system provides for the deletion of—\nan image or video that does not detect a prescribed offence; and\nany data or information related to that image or video or to the making of that image or video.\ns&#160;113A ins 2014 No.&#160;43 s&#160;94\namd 2020 No.&#160;21 s&#160;54\n(sec.113A-ssec.1) A photographic detection device is a device or system, that makes an image or video, of a type approved under a regulation as a photographic detection device. a digital device a camera system the components of which may include multiple cameras, trigger mechanisms, data transfer capability and image processing\n(sec.113A-ssec.2) Without limiting subsection&#160;(1) , the device or system may be linked to an information technology system that— accesses information held by the department, in order to detect an offence prescribed by regulation; and if an offence prescribed by regulation is detected—issues an infringement notice for the offence.\n(sec.113A-ssec.3) An infringement notice issued under subsection&#160;(2) (b) is taken, for the State Penalties Enforcement Act 1999 , and section&#160;13 (1) of that Act in particular, to be an infringement notice served by an authorised person under that Act.\n(sec.113A-ssec.4) A regulation approving a type of device or system for subsection&#160;(1) may provide information about— how an image or video made by the device or system is accepted as having detected a prescribed offence; or how the device or system provides for the deletion of— an image or video that does not detect a prescribed offence; and any data or information related to that image or video or to the making of that image or video.\n- • a digital device\n- • a camera system the components of which may include multiple cameras, trigger mechanisms, data transfer capability and image processing\n- (a) accesses information held by the department, in order to detect an offence prescribed by regulation; and\n- (b) if an offence prescribed by regulation is detected—issues an infringement notice for the offence.\n- (a) how an image or video made by the device or system is accepted as having detected a prescribed offence; or\n- (b) how the device or system provides for the deletion of— (i) an image or video that does not detect a prescribed offence; and (ii) any data or information related to that image or video or to the making of that image or video.\n- (i) an image or video that does not detect a prescribed offence; and\n- (ii) any data or information related to that image or video or to the making of that image or video.\n- (i) an image or video that does not detect a prescribed offence; and\n- (ii) any data or information related to that image or video or to the making of that image or video.","sortOrder":318},{"sectionNumber":"sec.114","sectionType":"section","heading":"Offences detected by photographic detection device","content":"### sec.114 Offences detected by photographic detection device\n\nIf a prescribed offence happens and the offence is detected by a photographic detection device, a person is taken to have committed the offence if the person was the person in charge of the vehicle that was involved in the offence at the time the offence happened even though the actual offender may have been someone else.\nIf the actual offender is someone else, subsection&#160;(1) does not affect the liability of the actual offender but the person in charge and the actual offender can not both be punished for the offence.\nIt is a defence to a camera-detected offence, other than an unregistered or uninsured offence, for a person to prove that—\nthe person was not the driver of the vehicle at the time the offence happened; and\nthe person—\nhas notified the commissioner, the chief executive or the SPEA administering authority of the name and address of the person in charge of the vehicle at the time the offence happened; or\nhas notified the commissioner, the chief executive or the SPEA administering authority that the person did not know and could not, with reasonable diligence, have ascertained the name and address of the person in charge of the vehicle at the time the offence happened.\nIt is a defence to an unregistered or uninsured offence for a person to prove that—\nwhen the offence happened, the vehicle—\nwas stolen or illegally taken; or\nhad been sold or otherwise disposed of; and\nif the vehicle was stolen or illegally taken—the person has notified the chief executive or the SPEA administering authority of that fact and either—\nthe name and address of the person who stole or took the vehicle; or\nthat the person did not know and could not, with reasonable diligence, have ascertained the name and address of the person who stole or took the vehicle; and\nif the vehicle had been sold or otherwise disposed of—the person has notified the chief executive or the SPEA administering authority of that fact and of the following information—\nthe name and address of the person to whom the vehicle was sold or disposed of;\nthe date and, if relevant, time of the sale or disposal.\nA defence under subsection&#160;(3) or (3A) is available only if the person notifies the commissioner, the chief executive or the SPEA administering authority about the matters in subsections&#160;(3) and (6) , or subsection&#160;(3A) , within the required time—\nin a statutory declaration; or\nin an online declaration.\nThe required time is 28 days after whichever of the following is first given to the person—\na written notice from the commissioner or chief executive alleging a camera-detected offence;\nan infringement notice under the State Penalties Enforcement Act 1999 .\nFor subsection&#160;(3) (b) (ii) a person must prove that—\nat the time the offence happened, the person—\nexercised reasonable control over the vehicle’s use; and\nhad in place a reasonable way of finding out the name and address of the person in charge of the vehicle at any given time having regard to—\nthe number of drivers; and\nthe amount and frequency of use; and\nwhether the vehicle was driven for business or private use; and\nafter the offence happened, the person made proper search and enquiry to ascertain the name and address of the person in charge of the vehicle at the time the offence happened.\nSubsection&#160;(6) does not apply if the person is able to prove that at the time the offence happened the vehicle—\nwas stolen or illegally taken; or\nhad already been sold or otherwise disposed of.\nNothing in this section stops a person notifying the commissioner, the chief executive or the SPEA administering authority that the person was the driver of the vehicle involved in a camera-detected offence—\nin a statutory declaration; or\nin an online declaration.\nA notification purporting to have been given for a body corporate by a director, manager or secretary of the body corporate is to be taken to have been given by the body corporate.\nIn this section—\nonline declaration means a declaration made using the online declaration system.\nonline declaration system means an electronic system established by the chief executive for giving notifications under this section that is designed to—\nbe accessed by an individual through the individual’s customer account on the department’s website; and\nsend a notification of matters entered into the system by the individual to the commissioner, the chief executive or the SPEA administering authority; and\nallow a record of the sent notification to be downloaded or printed by the individual.\nphotographic detection device includes a photographic detection device that is linked to an information technology system described in section&#160;113A (2) .\nunregistered or uninsured offence means a camera-detected offence that involves a person driving or otherwise using, or permitting someone else to drive or otherwise use, a vehicle that—\nis not registered as required by a regulation under this Act; or\nis not insured as required by the Motor Accident Insurance Act 1994 .\ns&#160;114 (prev 1949 13 Geo 6 No. 26 s&#160;44Q) ins 1990 No.&#160;19 s&#160;5\namd 1990 No.&#160;73 s&#160;3 sch&#160;5 ; 1994 No.&#160;7 s&#160;25\nsub 1996 No.&#160;62 s&#160;5\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 120\namd 1999 No.&#160;70 s&#160;166 sch&#160;1 ; 2001 No.&#160;79 s&#160;103 ; 2002 No.&#160;71 s&#160;23 ; 2014 No.&#160;43 s&#160;95 ; 2019 No.&#160;25 s&#160;103 ; 2022 No.&#160;10 s&#160;60 ; 2024 No.&#160;2 s&#160;61\n(sec.114-ssec.1) If a prescribed offence happens and the offence is detected by a photographic detection device, a person is taken to have committed the offence if the person was the person in charge of the vehicle that was involved in the offence at the time the offence happened even though the actual offender may have been someone else.\n(sec.114-ssec.2) If the actual offender is someone else, subsection&#160;(1) does not affect the liability of the actual offender but the person in charge and the actual offender can not both be punished for the offence.\n(sec.114-ssec.3) It is a defence to a camera-detected offence, other than an unregistered or uninsured offence, for a person to prove that— the person was not the driver of the vehicle at the time the offence happened; and the person— has notified the commissioner, the chief executive or the SPEA administering authority of the name and address of the person in charge of the vehicle at the time the offence happened; or has notified the commissioner, the chief executive or the SPEA administering authority that the person did not know and could not, with reasonable diligence, have ascertained the name and address of the person in charge of the vehicle at the time the offence happened.\n(sec.114-ssec.3A) It is a defence to an unregistered or uninsured offence for a person to prove that— when the offence happened, the vehicle— was stolen or illegally taken; or had been sold or otherwise disposed of; and if the vehicle was stolen or illegally taken—the person has notified the chief executive or the SPEA administering authority of that fact and either— the name and address of the person who stole or took the vehicle; or that the person did not know and could not, with reasonable diligence, have ascertained the name and address of the person who stole or took the vehicle; and if the vehicle had been sold or otherwise disposed of—the person has notified the chief executive or the SPEA administering authority of that fact and of the following information— the name and address of the person to whom the vehicle was sold or disposed of; the date and, if relevant, time of the sale or disposal.\n(sec.114-ssec.4) A defence under subsection&#160;(3) or (3A) is available only if the person notifies the commissioner, the chief executive or the SPEA administering authority about the matters in subsections&#160;(3) and (6) , or subsection&#160;(3A) , within the required time— in a statutory declaration; or in an online declaration.\n(sec.114-ssec.5) The required time is 28 days after whichever of the following is first given to the person— a written notice from the commissioner or chief executive alleging a camera-detected offence; an infringement notice under the State Penalties Enforcement Act 1999 .\n(sec.114-ssec.6) For subsection&#160;(3) (b) (ii) a person must prove that— at the time the offence happened, the person— exercised reasonable control over the vehicle’s use; and had in place a reasonable way of finding out the name and address of the person in charge of the vehicle at any given time having regard to— the number of drivers; and the amount and frequency of use; and whether the vehicle was driven for business or private use; and after the offence happened, the person made proper search and enquiry to ascertain the name and address of the person in charge of the vehicle at the time the offence happened.\n(sec.114-ssec.7) Subsection&#160;(6) does not apply if the person is able to prove that at the time the offence happened the vehicle— was stolen or illegally taken; or had already been sold or otherwise disposed of.\n(sec.114-ssec.8) Nothing in this section stops a person notifying the commissioner, the chief executive or the SPEA administering authority that the person was the driver of the vehicle involved in a camera-detected offence— in a statutory declaration; or in an online declaration.\n(sec.114-ssec.9) A notification purporting to have been given for a body corporate by a director, manager or secretary of the body corporate is to be taken to have been given by the body corporate.\n(sec.114-ssec.10) In this section— online declaration means a declaration made using the online declaration system. online declaration system means an electronic system established by the chief executive for giving notifications under this section that is designed to— be accessed by an individual through the individual’s customer account on the department’s website; and send a notification of matters entered into the system by the individual to the commissioner, the chief executive or the SPEA administering authority; and allow a record of the sent notification to be downloaded or printed by the individual. photographic detection device includes a photographic detection device that is linked to an information technology system described in section&#160;113A (2) . unregistered or uninsured offence means a camera-detected offence that involves a person driving or otherwise using, or permitting someone else to drive or otherwise use, a vehicle that— is not registered as required by a regulation under this Act; or is not insured as required by the Motor Accident Insurance Act 1994 .\n- (a) the person was not the driver of the vehicle at the time the offence happened; and\n- (b) the person— (i) has notified the commissioner, the chief executive or the SPEA administering authority of the name and address of the person in charge of the vehicle at the time the offence happened; or (ii) has notified the commissioner, the chief executive or the SPEA administering authority that the person did not know and could not, with reasonable diligence, have ascertained the name and address of the person in charge of the vehicle at the time the offence happened.\n- (i) has notified the commissioner, the chief executive or the SPEA administering authority of the name and address of the person in charge of the vehicle at the time the offence happened; or\n- (ii) has notified the commissioner, the chief executive or the SPEA administering authority that the person did not know and could not, with reasonable diligence, have ascertained the name and address of the person in charge of the vehicle at the time the offence happened.\n- (i) has notified the commissioner, the chief executive or the SPEA administering authority of the name and address of the person in charge of the vehicle at the time the offence happened; or\n- (ii) has notified the commissioner, the chief executive or the SPEA administering authority that the person did not know and could not, with reasonable diligence, have ascertained the name and address of the person in charge of the vehicle at the time the offence happened.\n- (a) when the offence happened, the vehicle— (i) was stolen or illegally taken; or (ii) had been sold or otherwise disposed of; and\n- (i) was stolen or illegally taken; or\n- (ii) had been sold or otherwise disposed of; and\n- (b) if the vehicle was stolen or illegally taken—the person has notified the chief executive or the SPEA administering authority of that fact and either— (i) the name and address of the person who stole or took the vehicle; or (ii) that the person did not know and could not, with reasonable diligence, have ascertained the name and address of the person who stole or took the vehicle; and\n- (i) the name and address of the person who stole or took the vehicle; or\n- (ii) that the person did not know and could not, with reasonable diligence, have ascertained the name and address of the person who stole or took the vehicle; and\n- (c) if the vehicle had been sold or otherwise disposed of—the person has notified the chief executive or the SPEA administering authority of that fact and of the following information— (i) the name and address of the person to whom the vehicle was sold or disposed of; (ii) the date and, if relevant, time of the sale or disposal.\n- (i) the name and address of the person to whom the vehicle was sold or disposed of;\n- (ii) the date and, if relevant, time of the sale or disposal.\n- (i) was stolen or illegally taken; or\n- (ii) had been sold or otherwise disposed of; and\n- (i) the name and address of the person who stole or took the vehicle; or\n- (ii) that the person did not know and could not, with reasonable diligence, have ascertained the name and address of the person who stole or took the vehicle; and\n- (i) the name and address of the person to whom the vehicle was sold or disposed of;\n- (ii) the date and, if relevant, time of the sale or disposal.\n- (a) in a statutory declaration; or\n- (b) in an online declaration.\n- (a) a written notice from the commissioner or chief executive alleging a camera-detected offence;\n- (b) an infringement notice under the State Penalties Enforcement Act 1999 .\n- (a) at the time the offence happened, the person— (i) exercised reasonable control over the vehicle’s use; and (ii) had in place a reasonable way of finding out the name and address of the person in charge of the vehicle at any given time having regard to— (A) the number of drivers; and (B) the amount and frequency of use; and (C) whether the vehicle was driven for business or private use; and\n- (i) exercised reasonable control over the vehicle’s use; and\n- (ii) had in place a reasonable way of finding out the name and address of the person in charge of the vehicle at any given time having regard to— (A) the number of drivers; and (B) the amount and frequency of use; and (C) whether the vehicle was driven for business or private use; and\n- (A) the number of drivers; and\n- (B) the amount and frequency of use; and\n- (C) whether the vehicle was driven for business or private use; and\n- (b) after the offence happened, the person made proper search and enquiry to ascertain the name and address of the person in charge of the vehicle at the time the offence happened.\n- (i) exercised reasonable control over the vehicle’s use; and\n- (ii) had in place a reasonable way of finding out the name and address of the person in charge of the vehicle at any given time having regard to— (A) the number of drivers; and (B) the amount and frequency of use; and (C) whether the vehicle was driven for business or private use; and\n- (A) the number of drivers; and\n- (B) the amount and frequency of use; and\n- (C) whether the vehicle was driven for business or private use; and\n- (A) the number of drivers; and\n- (B) the amount and frequency of use; and\n- (C) whether the vehicle was driven for business or private use; and\n- (a) was stolen or illegally taken; or\n- (b) had already been sold or otherwise disposed of.\n- (a) in a statutory declaration; or\n- (b) in an online declaration.\n- (a) be accessed by an individual through the individual’s customer account on the department’s website; and\n- (b) send a notification of matters entered into the system by the individual to the commissioner, the chief executive or the SPEA administering authority; and\n- (c) allow a record of the sent notification to be downloaded or printed by the individual.\n- (a) is not registered as required by a regulation under this Act; or\n- (b) is not insured as required by the Motor Accident Insurance Act 1994 .","sortOrder":319},{"sectionNumber":"sec.115","sectionType":"section","heading":"Limitation of prosecution period extended in particular circumstances","content":"### sec.115 Limitation of prosecution period extended in particular circumstances\n\nThis section applies if a conviction or enforcement order against a person for a camera-detected offence is set aside because the person can not be proved to have committed the offence.\nIf a conviction or an enforcement order is set aside, despite any other Act, proceedings for a camera-detected offence may be started against another person within 3 months of the setting aside of the conviction or enforcement order.\nFor this section, a conviction without recording the conviction, is taken to be a conviction.\ns&#160;115 (prev 1949 13 Geo 6 No. 26 s&#160;44R) ins 1990 No.&#160;19 s&#160;6\namd 1990 No.&#160;73 s&#160;3 sch&#160;5 ; 1994 No.&#160;7 s&#160;26\nsub 1996 No.&#160;62 s&#160;6\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 120\namd 2014 No.&#160;43 s&#160;96\n(sec.115-ssec.1) This section applies if a conviction or enforcement order against a person for a camera-detected offence is set aside because the person can not be proved to have committed the offence.\n(sec.115-ssec.2) If a conviction or an enforcement order is set aside, despite any other Act, proceedings for a camera-detected offence may be started against another person within 3 months of the setting aside of the conviction or enforcement order.\n(sec.115-ssec.3) For this section, a conviction without recording the conviction, is taken to be a conviction.","sortOrder":320},{"sectionNumber":"sec.116","sectionType":"section","heading":"Notice accompanying summons","content":"### sec.116 Notice accompanying summons\n\nA notice, complaint or summons served on a person for a camera-detected offence must be accompanied by written information about—\nif someone has notified the commissioner, the chief executive or the SPEA administering authority of the name and address of a person under section&#160;114 (3) (b) (i) or (3A) (b) (i) or (c)(i)—the particulars of the notification; and\nthe provisions of section&#160;114 ; and\nthe right to examine an image or video related to the offence under section&#160;118 , and the right to challenge or raise particular matters about the offence as mentioned in section&#160;120 (7) or (7A) .\nA statement in a deposition made for the Justices Act 1886 , section&#160;56 (3) (b) that the notice was served as required by subsection&#160;(1) is evidence of that fact.\nThe Justices Act 1886 , section&#160;56 (5) applies to the deposition.\ns&#160;116 (prev 1949 13 Geo 6 No. 26 s&#160;44S) ins 1990 No.&#160;19 s&#160;6\namd 1990 No.&#160;73 s&#160;3 sch&#160;5\nsub 1994 No.&#160;7 s&#160;27\namd 1996 No.&#160;62 s&#160;7 ; 1999 No.&#160;42 s&#160;54 (1) sch amdts 115–117\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 120\namd 2001 No.&#160;79 s&#160;104 ; 2010 No.&#160;13 s&#160;36 ; 2014 No.&#160;43 s&#160;97 ; 2020 No.&#160;21 s&#160;55 ; 2022 No.&#160;10 s&#160;61\n(sec.116-ssec.1) A notice, complaint or summons served on a person for a camera-detected offence must be accompanied by written information about— if someone has notified the commissioner, the chief executive or the SPEA administering authority of the name and address of a person under section&#160;114 (3) (b) (i) or (3A) (b) (i) or (c)(i)—the particulars of the notification; and the provisions of section&#160;114 ; and the right to examine an image or video related to the offence under section&#160;118 , and the right to challenge or raise particular matters about the offence as mentioned in section&#160;120 (7) or (7A) .\n(sec.116-ssec.2) A statement in a deposition made for the Justices Act 1886 , section&#160;56 (3) (b) that the notice was served as required by subsection&#160;(1) is evidence of that fact.\n(sec.116-ssec.3) The Justices Act 1886 , section&#160;56 (5) applies to the deposition.\n- (a) if someone has notified the commissioner, the chief executive or the SPEA administering authority of the name and address of a person under section&#160;114 (3) (b) (i) or (3A) (b) (i) or (c)(i)—the particulars of the notification; and\n- (b) the provisions of section&#160;114 ; and\n- (c) the right to examine an image or video related to the offence under section&#160;118 , and the right to challenge or raise particular matters about the offence as mentioned in section&#160;120 (7) or (7A) .","sortOrder":321},{"sectionNumber":"sec.117","sectionType":"section","heading":"Use of penalties collected for camera-detected offences","content":"### sec.117 Use of penalties collected for camera-detected offences\n\nAll money collected for penalties imposed for camera-detected offences in excess of the administrative costs of collection must be used for the following purposes—\nto fund the development or delivery of programs or initiatives for any of the following—\nroad safety education and awareness;\nenabling practices and behaviours that improve road safety;\nrehabilitation of persons who have been injured in a road crash;\nto fund infrastructure and related technologies to improve the safety of State-controlled roads, with funding to be prioritised using a risk assessment methodology to maximise the reduction in the frequency and severity of road crashes.\nIn this section—\nroad crash means a collision or incident—\non or adjacent to a road; and\ninvolving a moving vehicle; and\nin which a person is killed or injured or property is damaged.\nState-controlled road means a road or route or part of a road or route declared to be a State-controlled road under the Transport Infrastructure Act 1994 .\ns&#160;117 (prev 1949 13 Geo 6 No. 26 s&#160;44T) ins 1990 No.&#160;19 s&#160;6\namd 1990 No.&#160;73 s&#160;3 sch&#160;5 ; 1994 No.&#160;7 s&#160;28\nsub 1996 No.&#160;62 s&#160;8\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 120\namd 2022 No.&#160;19 s&#160;15\n(sec.117-ssec.1) All money collected for penalties imposed for camera-detected offences in excess of the administrative costs of collection must be used for the following purposes— to fund the development or delivery of programs or initiatives for any of the following— road safety education and awareness; enabling practices and behaviours that improve road safety; rehabilitation of persons who have been injured in a road crash; to fund infrastructure and related technologies to improve the safety of State-controlled roads, with funding to be prioritised using a risk assessment methodology to maximise the reduction in the frequency and severity of road crashes.\n(sec.117-ssec.2) In this section— road crash means a collision or incident— on or adjacent to a road; and involving a moving vehicle; and in which a person is killed or injured or property is damaged. State-controlled road means a road or route or part of a road or route declared to be a State-controlled road under the Transport Infrastructure Act 1994 .\n- (a) to fund the development or delivery of programs or initiatives for any of the following— (i) road safety education and awareness; (ii) enabling practices and behaviours that improve road safety; (iii) rehabilitation of persons who have been injured in a road crash;\n- (i) road safety education and awareness;\n- (ii) enabling practices and behaviours that improve road safety;\n- (iii) rehabilitation of persons who have been injured in a road crash;\n- (b) to fund infrastructure and related technologies to improve the safety of State-controlled roads, with funding to be prioritised using a risk assessment methodology to maximise the reduction in the frequency and severity of road crashes.\n- (i) road safety education and awareness;\n- (ii) enabling practices and behaviours that improve road safety;\n- (iii) rehabilitation of persons who have been injured in a road crash;\n- (a) on or adjacent to a road; and\n- (b) involving a moving vehicle; and\n- (c) in which a person is killed or injured or property is damaged.","sortOrder":322},{"sectionNumber":"sec.118","sectionType":"section","heading":"Photographic or video evidence—inspection","content":"### sec.118 Photographic or video evidence—inspection\n\nThis section applies to a person who has been charged with a camera-detected offence and wants to examine a copy of the image or video made by a photographic detection device on which the offence is based.\nThe person must ask the prosecution, at least 28 days before the charge is heard, to make a copy of the image or video made by a photographic detection device available for examination.\nThe prosecution must make reasonable arrangements to allow the examination at least 21 days before the charge is heard.\ns&#160;118 (prev 1949 13 Geo 6 No. 26 s&#160;44U) ins 1990 No.&#160;19 s&#160;7\namd 1990 No.&#160;73 s&#160;3 sch&#160;5\nsub 1994 No.&#160;7 s&#160;29\namd 1996 No.&#160;62 s&#160;9\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 120\namd 2007 No.&#160;43 s&#160;80 ; 2010 No.&#160;13 s&#160;37 ; 2010 No.&#160;13 s&#160;37 (1) ; 2014 No.&#160;43 s&#160;98 ; 2020 No.&#160;21 s&#160;56\n(sec.118-ssec.1) This section applies to a person who has been charged with a camera-detected offence and wants to examine a copy of the image or video made by a photographic detection device on which the offence is based.\n(sec.118-ssec.2) The person must ask the prosecution, at least 28 days before the charge is heard, to make a copy of the image or video made by a photographic detection device available for examination.\n(sec.118-ssec.3) The prosecution must make reasonable arrangements to allow the examination at least 21 days before the charge is heard.","sortOrder":323},{"sectionNumber":"sec.119","sectionType":"section","heading":"Notice of dispute about traffic control device or sign","content":"### sec.119 Notice of dispute about traffic control device or sign\n\nIf a person intends to dispute that a traffic control device or sign was functioning without defect or was visible, the person must give the prosecution written notice of the intention, specifying the device or sign, at least 7 days before the day fixed for the hearing.\nA notice under subsection&#160;(1) must be in the approved form and must also state the grounds on which the person intends to rely to dispute that a traffic control device or sign was functioning without defect or was visible.\ns&#160;119 (prev 1949 13 Geo 6 No. 26 s&#160;44V) ins 1992 No.&#160;23 s&#160;6\namd 1994 No.&#160;10 s&#160;10\nsub 1996 No.&#160;62 s&#160;10\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 120\namd 2007 No.&#160;43 s&#160;81 ; 2014 No.&#160;43 s&#160;99\n(sec.119-ssec.1) If a person intends to dispute that a traffic control device or sign was functioning without defect or was visible, the person must give the prosecution written notice of the intention, specifying the device or sign, at least 7 days before the day fixed for the hearing.\n(sec.119-ssec.2) A notice under subsection&#160;(1) must be in the approved form and must also state the grounds on which the person intends to rely to dispute that a traffic control device or sign was functioning without defect or was visible.","sortOrder":324},{"sectionNumber":"sec.120","sectionType":"section","heading":"Evidentiary provisions","content":"### sec.120 Evidentiary provisions\n\nThis section applies to a proceeding for an offence involving a motor vehicle under this or another Act.\nAn image or video produced by the prosecution, complying with subsection&#160;(2AA) , purporting to be an image or video that was properly made by a photographic detection device of a matter happening at a specified location and time is evidence of the following matters—\nthe image or video was made of a matter happening at the specified location and time;\nthe accuracy of the image or video;\nthe things depicted in the image or video;\nany requirements prescribed by regulation about the operation and testing of a photographic detection device were complied with for the specified device at all material times.\nAn image or video mentioned in subsection&#160;(2) must include a certification, or be accompanied by a certificate, signed by an official stating that the image or video was properly made by a photographic detection device of a matter happening at a specified location and time.\nA certificate purporting to be signed by an official stating that a stated photographic detection device—\nwas tested at a stated time and in accordance with—\nthe specifications of the device’s manufacturer; and\nany further requirements about calibration testing prescribed under a regulation; and\nwas found to produce accurate results at the time of testing;\nis evidence of the matters stated and evidence the device was producing accurate results when so tested and for 1 year after the day of testing.\nIf an image or video produced under subsection&#160;(2) is one in a series of images or videos also produced under subsection&#160;(2) —\nthe image or video may be numbered; and\nthe time it was made may be identified by reference to another image or video in the series.\nIf an image or video produced under subsection&#160;(2) has a marking or writing associated with the image or video—\nthe marking or writing is taken to have been properly made by the photographic detection device; and\nthe image or video is also evidence of each thing in relation to the image or video that the marking or writing is prescribed to mean under a regulation.\nEvidence of the condition of the photographic detection device is not required unless evidence that the device was not in proper condition has been given.\nA defendant who intends, at the hearing of a charge against the defendant under this Act, to challenge—\nthe accuracy of a photographic detection device; or\nthe image or video made by a photographic detection device; or\na marking or writing made by a photographic detection device associated with an image or video; or\neither of the following matters—\nwhether a motor vehicle was carrying a placard load (within the meaning under section&#160;84A ) in a tunnel;\nwhether a placard load prohibited sign (within the meaning under section&#160;84A ) at or before the entrance to a tunnel was clearly visible to a person entering the tunnel; or\na matter mentioned in section&#160;120A (4) (a) ,(b) or (c) or 120B(5)(a), (b), (c), (d) or (e); or\na matter mentioned in section&#160;120D (2) (a) , (b) or (c) ; or\na matter mentioned in section&#160;120E (2) ; or\nthe accuracy of a matter stated in a report produced by the prosecution under section&#160;120F ;\nmust give written notice of the challenge to the prosecution.\nAlso, a defendant who intends, at the hearing of a charge against the defendant under this Act, to raise a matter, prescribed by regulation, relating to an exception, exemption or defence under this Act for a camera-detected offence must give written notice of the matter to the prosecution.\nA notice under subsection&#160;(7) or (7A) must be in the approved form and must—\nbe signed by the defendant; and\nstate the grounds on which the defendant intends to rely to challenge a matter mentioned in subsection&#160;(7) or raise a matter mentioned in subsection&#160;(7A) ; and\nbe given at least 14 days before the day fixed for the hearing.\nIn this section—\nassociated with , in relation to a marking or writing, means—\nfor an image—on, adjacent to, or otherwise associated with the image; or\nfor a video—in or otherwise associated with the video.\nofficial —\ngenerally—means the commissioner or the chief executive; and\nin a proceeding for an offence against section&#160;84A (1) —includes a person having responsibility for testing or checking the operation of a photographic detection device used in the detection of offences against section&#160;84A (1) .\ns&#160;120 (prev 1949 13 Geo 6 No. 26 s&#160;44W) ins 1994 No.&#160;7 s&#160;30\namd 1996 No.&#160;62 s&#160;11\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 120\namd 2001 No.&#160;79 s&#160;105 ; 2002 No.&#160;71 s&#160;24 ; 2010 No.&#160;13 s&#160;38 ; 2014 No.&#160;1 s&#160;48 ; 2014 No.&#160;43 s&#160;100 ; 2019 No.&#160;25 s&#160;38 ; 2020 No.&#160;21 s&#160;57\n(sec.120-ssec.1) This section applies to a proceeding for an offence involving a motor vehicle under this or another Act.\n(sec.120-ssec.2) An image or video produced by the prosecution, complying with subsection&#160;(2AA) , purporting to be an image or video that was properly made by a photographic detection device of a matter happening at a specified location and time is evidence of the following matters— the image or video was made of a matter happening at the specified location and time; the accuracy of the image or video; the things depicted in the image or video; any requirements prescribed by regulation about the operation and testing of a photographic detection device were complied with for the specified device at all material times.\n(sec.120-ssec.2AA) An image or video mentioned in subsection&#160;(2) must include a certification, or be accompanied by a certificate, signed by an official stating that the image or video was properly made by a photographic detection device of a matter happening at a specified location and time.\n(sec.120-ssec.2A) A certificate purporting to be signed by an official stating that a stated photographic detection device— was tested at a stated time and in accordance with— the specifications of the device’s manufacturer; and any further requirements about calibration testing prescribed under a regulation; and was found to produce accurate results at the time of testing; is evidence of the matters stated and evidence the device was producing accurate results when so tested and for 1 year after the day of testing.\n(sec.120-ssec.3) If an image or video produced under subsection&#160;(2) is one in a series of images or videos also produced under subsection&#160;(2) — the image or video may be numbered; and the time it was made may be identified by reference to another image or video in the series.\n(sec.120-ssec.4) If an image or video produced under subsection&#160;(2) has a marking or writing associated with the image or video— the marking or writing is taken to have been properly made by the photographic detection device; and the image or video is also evidence of each thing in relation to the image or video that the marking or writing is prescribed to mean under a regulation.\n(sec.120-ssec.6) Evidence of the condition of the photographic detection device is not required unless evidence that the device was not in proper condition has been given.\n(sec.120-ssec.7) A defendant who intends, at the hearing of a charge against the defendant under this Act, to challenge— the accuracy of a photographic detection device; or the image or video made by a photographic detection device; or a marking or writing made by a photographic detection device associated with an image or video; or either of the following matters— whether a motor vehicle was carrying a placard load (within the meaning under section&#160;84A ) in a tunnel; whether a placard load prohibited sign (within the meaning under section&#160;84A ) at or before the entrance to a tunnel was clearly visible to a person entering the tunnel; or a matter mentioned in section&#160;120A (4) (a) ,(b) or (c) or 120B(5)(a), (b), (c), (d) or (e); or a matter mentioned in section&#160;120D (2) (a) , (b) or (c) ; or a matter mentioned in section&#160;120E (2) ; or the accuracy of a matter stated in a report produced by the prosecution under section&#160;120F ; must give written notice of the challenge to the prosecution.\n(sec.120-ssec.7A) Also, a defendant who intends, at the hearing of a charge against the defendant under this Act, to raise a matter, prescribed by regulation, relating to an exception, exemption or defence under this Act for a camera-detected offence must give written notice of the matter to the prosecution.\n(sec.120-ssec.8) A notice under subsection&#160;(7) or (7A) must be in the approved form and must— be signed by the defendant; and state the grounds on which the defendant intends to rely to challenge a matter mentioned in subsection&#160;(7) or raise a matter mentioned in subsection&#160;(7A) ; and be given at least 14 days before the day fixed for the hearing.\n(sec.120-ssec.9) In this section— associated with , in relation to a marking or writing, means— for an image—on, adjacent to, or otherwise associated with the image; or for a video—in or otherwise associated with the video. official — generally—means the commissioner or the chief executive; and in a proceeding for an offence against section&#160;84A (1) —includes a person having responsibility for testing or checking the operation of a photographic detection device used in the detection of offences against section&#160;84A (1) .\n- (a) the image or video was made of a matter happening at the specified location and time;\n- (b) the accuracy of the image or video;\n- (c) the things depicted in the image or video;\n- (d) any requirements prescribed by regulation about the operation and testing of a photographic detection device were complied with for the specified device at all material times.\n- (a) was tested at a stated time and in accordance with— (i) the specifications of the device’s manufacturer; and (ii) any further requirements about calibration testing prescribed under a regulation; and\n- (i) the specifications of the device’s manufacturer; and\n- (ii) any further requirements about calibration testing prescribed under a regulation; and\n- (b) was found to produce accurate results at the time of testing;\n- (i) the specifications of the device’s manufacturer; and\n- (ii) any further requirements about calibration testing prescribed under a regulation; and\n- (a) the image or video may be numbered; and\n- (b) the time it was made may be identified by reference to another image or video in the series.\n- (a) the marking or writing is taken to have been properly made by the photographic detection device; and\n- (b) the image or video is also evidence of each thing in relation to the image or video that the marking or writing is prescribed to mean under a regulation.\n- (a) the accuracy of a photographic detection device; or\n- (b) the image or video made by a photographic detection device; or\n- (c) a marking or writing made by a photographic detection device associated with an image or video; or\n- (ca) either of the following matters— (i) whether a motor vehicle was carrying a placard load (within the meaning under section&#160;84A ) in a tunnel; (ii) whether a placard load prohibited sign (within the meaning under section&#160;84A ) at or before the entrance to a tunnel was clearly visible to a person entering the tunnel; or\n- (i) whether a motor vehicle was carrying a placard load (within the meaning under section&#160;84A ) in a tunnel;\n- (ii) whether a placard load prohibited sign (within the meaning under section&#160;84A ) at or before the entrance to a tunnel was clearly visible to a person entering the tunnel; or\n- (d) a matter mentioned in section&#160;120A (4) (a) ,(b) or (c) or 120B(5)(a), (b), (c), (d) or (e); or\n- (e) a matter mentioned in section&#160;120D (2) (a) , (b) or (c) ; or\n- (f) a matter mentioned in section&#160;120E (2) ; or\n- (g) the accuracy of a matter stated in a report produced by the prosecution under section&#160;120F ;\n- (i) whether a motor vehicle was carrying a placard load (within the meaning under section&#160;84A ) in a tunnel;\n- (ii) whether a placard load prohibited sign (within the meaning under section&#160;84A ) at or before the entrance to a tunnel was clearly visible to a person entering the tunnel; or\n- (a) be signed by the defendant; and\n- (b) state the grounds on which the defendant intends to rely to challenge a matter mentioned in subsection&#160;(7) or raise a matter mentioned in subsection&#160;(7A) ; and\n- (c) be given at least 14 days before the day fixed for the hearing.\n- (a) for an image—on, adjacent to, or otherwise associated with the image; or\n- (b) for a video—in or otherwise associated with the video.\n- (a) generally—means the commissioner or the chief executive; and\n- (b) in a proceeding for an offence against section&#160;84A (1) —includes a person having responsibility for testing or checking the operation of a photographic detection device used in the detection of offences against section&#160;84A (1) .","sortOrder":325},{"sectionNumber":"sec.120A","sectionType":"section","heading":"Average speed of motor vehicle is evidence of actual speed in certain circumstances","content":"### sec.120A Average speed of motor vehicle is evidence of actual speed in certain circumstances\n\nIn a proceeding for a prescribed offence in which the speed at which a motor vehicle travelled is relevant, the prosecution may, under this section, rely on the average speed of the vehicle between 2 points on a road as evidence of the actual speed of the vehicle for the purpose of proving the offence.\nQueensland Road Rules , section&#160;20 (Obeying the speed limit)\nThe following provisions apply in relation to the proceeding—\nthe average speed of the vehicle calculated under this section is admissible and is evidence of the actual speed at which the vehicle travelled between the 2 points on the road;\nthe vehicle is, for the purpose of calculating the vehicle’s average speed, taken to have travelled between the 2 points on the road by means of the shortest practicable distance between the points regardless of the actual route taken between the points.\nThe average speed of a motor vehicle between 2 points on a road is to be calculated using the following formula (and expressed in kilometres per hour rounded down to the next whole number)—\nwhere—\nD is the shortest practicable distance, expressed in metres and rounded down to the next whole number, between the 2 points.\nT is the time, expressed in seconds, that elapsed between the vehicle passing the 2 points.\nA certificate purporting to be signed by the commissioner that certifies any 1 or more of the following matters is admissible in a proceeding mentioned in subsection&#160;(1) and is evidence of any of the matters certified—\nthe shortest practicable distance, expressed in metres and rounded down to the next whole number, between 2 points on a road;\nthe time (expressed in seconds) that elapsed between a motor vehicle passing 2 points on a road;\nthe average speed, calculated under this section, at which a motor vehicle travelled between 2 points on a road (including an average speed calculated under this section by a photographic detection device).\nIn this section—\nedge line has the same meaning it has in the Queensland Road Rules .\nshortest practicable distance , between 2 points on a road, means—\nif the road has edge lines, the shortest distance that a motor vehicle could have travelled between the 2 points without crossing an edge line of the road; or\nif the road does not have edge lines, the shortest distance that a motor vehicle could have travelled between the 2 points while remaining on the road and without travelling on a road-related area.\ns&#160;120A ins 2010 No.&#160;13 s&#160;39\n(sec.120A-ssec.1) In a proceeding for a prescribed offence in which the speed at which a motor vehicle travelled is relevant, the prosecution may, under this section, rely on the average speed of the vehicle between 2 points on a road as evidence of the actual speed of the vehicle for the purpose of proving the offence. Queensland Road Rules , section&#160;20 (Obeying the speed limit)\n(sec.120A-ssec.2) The following provisions apply in relation to the proceeding— the average speed of the vehicle calculated under this section is admissible and is evidence of the actual speed at which the vehicle travelled between the 2 points on the road; the vehicle is, for the purpose of calculating the vehicle’s average speed, taken to have travelled between the 2 points on the road by means of the shortest practicable distance between the points regardless of the actual route taken between the points.\n(sec.120A-ssec.3) The average speed of a motor vehicle between 2 points on a road is to be calculated using the following formula (and expressed in kilometres per hour rounded down to the next whole number)— where— D is the shortest practicable distance, expressed in metres and rounded down to the next whole number, between the 2 points. T is the time, expressed in seconds, that elapsed between the vehicle passing the 2 points.\n(sec.120A-ssec.4) A certificate purporting to be signed by the commissioner that certifies any 1 or more of the following matters is admissible in a proceeding mentioned in subsection&#160;(1) and is evidence of any of the matters certified— the shortest practicable distance, expressed in metres and rounded down to the next whole number, between 2 points on a road; the time (expressed in seconds) that elapsed between a motor vehicle passing 2 points on a road; the average speed, calculated under this section, at which a motor vehicle travelled between 2 points on a road (including an average speed calculated under this section by a photographic detection device).\n(sec.120A-ssec.5) In this section— edge line has the same meaning it has in the Queensland Road Rules . shortest practicable distance , between 2 points on a road, means— if the road has edge lines, the shortest distance that a motor vehicle could have travelled between the 2 points without crossing an edge line of the road; or if the road does not have edge lines, the shortest distance that a motor vehicle could have travelled between the 2 points while remaining on the road and without travelling on a road-related area.\n- (a) the average speed of the vehicle calculated under this section is admissible and is evidence of the actual speed at which the vehicle travelled between the 2 points on the road;\n- (b) the vehicle is, for the purpose of calculating the vehicle’s average speed, taken to have travelled between the 2 points on the road by means of the shortest practicable distance between the points regardless of the actual route taken between the points.\n- (a) the shortest practicable distance, expressed in metres and rounded down to the next whole number, between 2 points on a road;\n- (b) the time (expressed in seconds) that elapsed between a motor vehicle passing 2 points on a road;\n- (c) the average speed, calculated under this section, at which a motor vehicle travelled between 2 points on a road (including an average speed calculated under this section by a photographic detection device).\n- (a) if the road has edge lines, the shortest distance that a motor vehicle could have travelled between the 2 points without crossing an edge line of the road; or\n- (b) if the road does not have edge lines, the shortest distance that a motor vehicle could have travelled between the 2 points while remaining on the road and without travelling on a road-related area.","sortOrder":326},{"sectionNumber":"sec.120B","sectionType":"section","heading":"Application of highest or average speed limit if multiple speed limits","content":"### sec.120B Application of highest or average speed limit if multiple speed limits\n\nThis section applies to a proceeding for a prescribed offence in which the speed at which a motor vehicle travelled is relevant if—\nunder section&#160;120A , the prosecution intends to rely on the average speed of a vehicle between 2 points on a road; and\nmore than 1 speed limit applies to the length of road between the 2 points.\nSubject to subsection&#160;(3) , for the proceeding, the speed limit for the length of road between the 2 points is taken to be the highest of the speed limits applying to the length of road.\nIf it is reasonably practicable to work out the average speed limit for the length of road under subsection&#160;(4) , for the proceeding, the speed limit for the length of road between the 2 points is taken to be the average speed limit worked out under subsection&#160;(4) .\nThe distance between the start and end of a length of road to which a particular speed limit applies can not be worked out because it depends on the placement of a temporary sign that is moved repeatedly (for example, for road works).\nThe average speed limit for a length of road between 2 points is worked out using the following formula, and expressed in kilometres per hour rounded up to the next whole number—\nwhere—\nD , for a speed limited part of the length of road, is the shortest practicable distance, expressed in metres and rounded down to the next whole number, between the start and end of the part of the length of road.\nS , for a speed limited part of the length of road, is the speed limit, expressed in kilometres per hour, applying to the part of the length of road.\nspeed limited part , of the length of road, is a part of the length of road to which a particular speed limit applies.\nTD is the total shortest practicable distance, expressed in metres and rounded down to the next whole number, between the 2 points.\nA certificate purporting to be signed by the commissioner that certifies any 1 or more of the following matters is admissible in the proceeding and is evidence of the matters certified—\nthe highest of the speed limits, expressed in kilometres per hour, applying to a length of road between 2 points;\nthe shortest practicable distance, expressed in metres and rounded down to the next whole number, between 2 points on a road;\nthe shortest practicable distance, expressed in metres and rounded down to the next whole number, between the start and end of a length of road to which a particular speed limit applies;\nthe speed limit, expressed in kilometres per hour, applying to a particular part of a length of road between 2 points;\nthe average speed limit, expressed in kilometres per hour, worked out under subsection&#160;(4) , for a length of road between 2 points.\nIn this section—\nshortest practicable distance , between 2 points on a road, has the meaning it has in section&#160;120A .\ns&#160;120B ins 2019 No.&#160;25 s&#160;39\n(sec.120B-ssec.1) This section applies to a proceeding for a prescribed offence in which the speed at which a motor vehicle travelled is relevant if— under section&#160;120A , the prosecution intends to rely on the average speed of a vehicle between 2 points on a road; and more than 1 speed limit applies to the length of road between the 2 points.\n(sec.120B-ssec.2) Subject to subsection&#160;(3) , for the proceeding, the speed limit for the length of road between the 2 points is taken to be the highest of the speed limits applying to the length of road.\n(sec.120B-ssec.3) If it is reasonably practicable to work out the average speed limit for the length of road under subsection&#160;(4) , for the proceeding, the speed limit for the length of road between the 2 points is taken to be the average speed limit worked out under subsection&#160;(4) . The distance between the start and end of a length of road to which a particular speed limit applies can not be worked out because it depends on the placement of a temporary sign that is moved repeatedly (for example, for road works).\n(sec.120B-ssec.4) The average speed limit for a length of road between 2 points is worked out using the following formula, and expressed in kilometres per hour rounded up to the next whole number— where— D , for a speed limited part of the length of road, is the shortest practicable distance, expressed in metres and rounded down to the next whole number, between the start and end of the part of the length of road. S , for a speed limited part of the length of road, is the speed limit, expressed in kilometres per hour, applying to the part of the length of road. speed limited part , of the length of road, is a part of the length of road to which a particular speed limit applies. TD is the total shortest practicable distance, expressed in metres and rounded down to the next whole number, between the 2 points.\n(sec.120B-ssec.5) A certificate purporting to be signed by the commissioner that certifies any 1 or more of the following matters is admissible in the proceeding and is evidence of the matters certified— the highest of the speed limits, expressed in kilometres per hour, applying to a length of road between 2 points; the shortest practicable distance, expressed in metres and rounded down to the next whole number, between 2 points on a road; the shortest practicable distance, expressed in metres and rounded down to the next whole number, between the start and end of a length of road to which a particular speed limit applies; the speed limit, expressed in kilometres per hour, applying to a particular part of a length of road between 2 points; the average speed limit, expressed in kilometres per hour, worked out under subsection&#160;(4) , for a length of road between 2 points.\n(sec.120B-ssec.6) In this section— shortest practicable distance , between 2 points on a road, has the meaning it has in section&#160;120A .\n- (a) under section&#160;120A , the prosecution intends to rely on the average speed of a vehicle between 2 points on a road; and\n- (b) more than 1 speed limit applies to the length of road between the 2 points.\n- (a) the highest of the speed limits, expressed in kilometres per hour, applying to a length of road between 2 points;\n- (b) the shortest practicable distance, expressed in metres and rounded down to the next whole number, between 2 points on a road;\n- (c) the shortest practicable distance, expressed in metres and rounded down to the next whole number, between the start and end of a length of road to which a particular speed limit applies;\n- (d) the speed limit, expressed in kilometres per hour, applying to a particular part of a length of road between 2 points;\n- (e) the average speed limit, expressed in kilometres per hour, worked out under subsection&#160;(4) , for a length of road between 2 points.","sortOrder":327},{"sectionNumber":"sec.120C","sectionType":"section","heading":"Application of maximum speed limit if variable speed limit","content":"### sec.120C Application of maximum speed limit if variable speed limit\n\nThis section applies to a proceeding for a prescribed offence in which the speed at which a motor vehicle travelled is relevant if—\nunder section&#160;120 , the prosecution intends to rely on an image or video made by a photographic detection device as evidence of the speed of a vehicle on a length of road; and\nthe speed limit applying to the length of road is indicated by a variable speed limit sign.\nThis section also applies to a proceeding for a prescribed offence in which the speed at which a motor vehicle travelled is relevant if—\nthe prosecution intends to rely on section&#160;120B for deciding the speed limit applying to a length of road; and\nthe speed limit applying to 1 or more parts of the length of road is indicated by a variable speed limit sign.\nFor the proceeding and for applying section&#160;120B , the speed limit for the length of road, or the part of the length of road, is taken to be—\nthe speed limit indicated by the variable speed limit sign; or\nif it is not reasonably practicable to verify the speed limit indicated by the variable speed limit sign—the speed limit that would apply to the length of road, or the part of the length of road, if the speed limit were not indicated by the variable speed limit sign.\nA variable speed limit sign changes during the course of a day and it is not possible to verify what speed limit was indicated by the sign at the particular time of that day depicted in the image or video made by the photographic detection device.\nIn this section—\nvariable speed limit sign means a speed limit sign or area speed limit sign that is a variable illuminated message sign within the meaning given by the Queensland Road Rules.\ns&#160;120C ins 2019 No.&#160;25 s&#160;39\namd 2020 No.&#160;21 s&#160;58\n(sec.120C-ssec.1) This section applies to a proceeding for a prescribed offence in which the speed at which a motor vehicle travelled is relevant if— under section&#160;120 , the prosecution intends to rely on an image or video made by a photographic detection device as evidence of the speed of a vehicle on a length of road; and the speed limit applying to the length of road is indicated by a variable speed limit sign.\n(sec.120C-ssec.2) This section also applies to a proceeding for a prescribed offence in which the speed at which a motor vehicle travelled is relevant if— the prosecution intends to rely on section&#160;120B for deciding the speed limit applying to a length of road; and the speed limit applying to 1 or more parts of the length of road is indicated by a variable speed limit sign.\n(sec.120C-ssec.3) For the proceeding and for applying section&#160;120B , the speed limit for the length of road, or the part of the length of road, is taken to be— the speed limit indicated by the variable speed limit sign; or if it is not reasonably practicable to verify the speed limit indicated by the variable speed limit sign—the speed limit that would apply to the length of road, or the part of the length of road, if the speed limit were not indicated by the variable speed limit sign. A variable speed limit sign changes during the course of a day and it is not possible to verify what speed limit was indicated by the sign at the particular time of that day depicted in the image or video made by the photographic detection device.\n(sec.120C-ssec.4) In this section— variable speed limit sign means a speed limit sign or area speed limit sign that is a variable illuminated message sign within the meaning given by the Queensland Road Rules.\n- (a) under section&#160;120 , the prosecution intends to rely on an image or video made by a photographic detection device as evidence of the speed of a vehicle on a length of road; and\n- (b) the speed limit applying to the length of road is indicated by a variable speed limit sign.\n- (a) the prosecution intends to rely on section&#160;120B for deciding the speed limit applying to a length of road; and\n- (b) the speed limit applying to 1 or more parts of the length of road is indicated by a variable speed limit sign.\n- (a) the speed limit indicated by the variable speed limit sign; or\n- (b) if it is not reasonably practicable to verify the speed limit indicated by the variable speed limit sign—the speed limit that would apply to the length of road, or the part of the length of road, if the speed limit were not indicated by the variable speed limit sign. Example of circumstances in which paragraph&#160;(b) may apply— A variable speed limit sign changes during the course of a day and it is not possible to verify what speed limit was indicated by the sign at the particular time of that day depicted in the image or video made by the photographic detection device.","sortOrder":328},{"sectionNumber":"sec.120D","sectionType":"section","heading":"Photographic or video evidence about use of approved seatbelt","content":"### sec.120D Photographic or video evidence about use of approved seatbelt\n\nThis section applies to a proceeding for a prescribed offence in which the driver of, or passenger in, a vehicle not wearing an approved seatbelt is relevant if, under section&#160;120 , the prosecution intends to rely on an image or video made by a photographic detection device as evidence of the driver or passenger not wearing an approved seatbelt.\nIn the absence of proof to the contrary—\nthe vehicle depicted in the image or video is taken to be moving but not reversing, or stationary but not parked; and\nthe vehicle depicted in the image or video is taken to be fitted with an approved seatbelt in the seating position occupied by the driver or passenger; and\nif the image or video depicts the driver or passenger not wearing a seatbelt, the driver or passenger is taken not to be wearing an approved seatbelt.\nIn this section—\napproved seatbelt , in relation to a prescribed offence, has the meaning it has for the prescribed offence.\ns&#160;120D ins 2020 No.&#160;21 s&#160;59\n(sec.120D-ssec.1) This section applies to a proceeding for a prescribed offence in which the driver of, or passenger in, a vehicle not wearing an approved seatbelt is relevant if, under section&#160;120 , the prosecution intends to rely on an image or video made by a photographic detection device as evidence of the driver or passenger not wearing an approved seatbelt.\n(sec.120D-ssec.2) In the absence of proof to the contrary— the vehicle depicted in the image or video is taken to be moving but not reversing, or stationary but not parked; and the vehicle depicted in the image or video is taken to be fitted with an approved seatbelt in the seating position occupied by the driver or passenger; and if the image or video depicts the driver or passenger not wearing a seatbelt, the driver or passenger is taken not to be wearing an approved seatbelt.\n(sec.120D-ssec.3) In this section— approved seatbelt , in relation to a prescribed offence, has the meaning it has for the prescribed offence.\n- (a) the vehicle depicted in the image or video is taken to be moving but not reversing, or stationary but not parked; and\n- (b) the vehicle depicted in the image or video is taken to be fitted with an approved seatbelt in the seating position occupied by the driver or passenger; and\n- (c) if the image or video depicts the driver or passenger not wearing a seatbelt, the driver or passenger is taken not to be wearing an approved seatbelt.","sortOrder":329},{"sectionNumber":"sec.120E","sectionType":"section","heading":"Photographic or video evidence of matter relating to driver distraction offence","content":"### sec.120E Photographic or video evidence of matter relating to driver distraction offence\n\nThis section applies to a proceeding for a prescribed offence that is a driver distraction offence if, under section&#160;120 , the prosecution intends to rely on an image or video made by a photographic detection device as evidence of a matter in relation to the offence.\nIn the absence of proof to the contrary, the vehicle depicted in the image or video is taken to be moving, or stationary but not parked.\nIn this section—\ndriver distraction offence means an offence that—\nis prescribed by regulation to be a driver distraction offence; and\ninvolves—\nthe use of a mobile phone by a person in a vehicle; or\nthe use, operation or holding of an electronic device by, or the resting of an electronic device on, a person in a vehicle.\nelectronic device , in relation to a driver distraction offence, has the meaning it has for the offence.\nmobile phone , in relation to a driver distraction offence, has the meaning it has for the offence.\noperation , in relation to an electronic device, in relation to a driver distraction offence, has the meaning it has for the offence.\nuse , in relation to an electronic device or mobile phone, in relation to a driver distraction offence, has the meaning it has for the offence.\ns&#160;120E ins 2020 No.&#160;21 s&#160;59\namd 2024 No.&#160;2 s&#160;62\n(sec.120E-ssec.1) This section applies to a proceeding for a prescribed offence that is a driver distraction offence if, under section&#160;120 , the prosecution intends to rely on an image or video made by a photographic detection device as evidence of a matter in relation to the offence.\n(sec.120E-ssec.2) In the absence of proof to the contrary, the vehicle depicted in the image or video is taken to be moving, or stationary but not parked.\n(sec.120E-ssec.3) In this section— driver distraction offence means an offence that— is prescribed by regulation to be a driver distraction offence; and involves— the use of a mobile phone by a person in a vehicle; or the use, operation or holding of an electronic device by, or the resting of an electronic device on, a person in a vehicle. electronic device , in relation to a driver distraction offence, has the meaning it has for the offence. mobile phone , in relation to a driver distraction offence, has the meaning it has for the offence. operation , in relation to an electronic device, in relation to a driver distraction offence, has the meaning it has for the offence. use , in relation to an electronic device or mobile phone, in relation to a driver distraction offence, has the meaning it has for the offence.\n- (a) is prescribed by regulation to be a driver distraction offence; and\n- (b) involves— (i) the use of a mobile phone by a person in a vehicle; or (ii) the use, operation or holding of an electronic device by, or the resting of an electronic device on, a person in a vehicle.\n- (i) the use of a mobile phone by a person in a vehicle; or\n- (ii) the use, operation or holding of an electronic device by, or the resting of an electronic device on, a person in a vehicle.\n- (i) the use of a mobile phone by a person in a vehicle; or\n- (ii) the use, operation or holding of an electronic device by, or the resting of an electronic device on, a person in a vehicle.","sortOrder":330},{"sectionNumber":"sec.120F","sectionType":"section","heading":"Report about offence detected by photographic detection device","content":"### sec.120F Report about offence detected by photographic detection device\n\nThis section applies to a proceeding for a prescribed offence if, under section&#160;120 , the prosecution intends to rely on an image or a series of images, or a video or a series of videos, made by a photographic detection device as evidence of particular elements of the offence.\nThe prosecution may produce a report complying with this section in the proceeding.\nThe report must—\nbe made in the way prescribed by regulation for the photographic detection device; and\ncontain only 1 or more of the following—\na copy of the image or some or all of the images in the series, or a still image or images taken from the video or some or all of the videos in the series;\na summary of the things depicted in the image or images, or the still image or images from the video or videos;\nfor a copy of images in a series or still images of videos in a series—the numbers of the images or videos and the times they were taken, as identified under section&#160;120 (3) ;\na matter mentioned in section&#160;120A (4) (a) , (b) or (c) or 120B (5) (a) , (b) , (c) , (d) or (e) ;\na matter prescribed under subsection&#160;(4) (b) ; and\ninclude a certification, or be accompanied by a certificate, signed by the commissioner stating that the report—\nwas properly made in the way prescribed under paragraph&#160;(a) for the photographic detection device; and\ncontains only matters mentioned in paragraph&#160;(b) .\nIf the way prescribed under subsection&#160;(3) (a) for a photographic detection device requires or otherwise involves analysis or a determination being made by a person, the regulation must state—\nthe class of appropriately qualified persons who may conduct the analysis or make the determination; and\nthe matters about the proper conduct of the analysis or making of the determination that must be stated in a report under this section.\nA report produced under this section is evidence of the following—\nthe things depicted in a copy of an image, or a still image from a video, contained in the report;\nif a copy of an image or still image from a video contained in the report has a marking or writing associated with the image or video—each thing in relation to the image or video that the marking or writing is prescribed to mean under a regulation;\na matter stated in a summary mentioned in subsection&#160;(3) (b) (ii) contained in the report;\na matter mentioned in subsection&#160;(3) (b) (iii) , (iv) or (v) contained in the report.\ns&#160;120F ins 2020 No.&#160;21 s&#160;59\n(sec.120F-ssec.1) This section applies to a proceeding for a prescribed offence if, under section&#160;120 , the prosecution intends to rely on an image or a series of images, or a video or a series of videos, made by a photographic detection device as evidence of particular elements of the offence.\n(sec.120F-ssec.2) The prosecution may produce a report complying with this section in the proceeding.\n(sec.120F-ssec.3) The report must— be made in the way prescribed by regulation for the photographic detection device; and contain only 1 or more of the following— a copy of the image or some or all of the images in the series, or a still image or images taken from the video or some or all of the videos in the series; a summary of the things depicted in the image or images, or the still image or images from the video or videos; for a copy of images in a series or still images of videos in a series—the numbers of the images or videos and the times they were taken, as identified under section&#160;120 (3) ; a matter mentioned in section&#160;120A (4) (a) , (b) or (c) or 120B (5) (a) , (b) , (c) , (d) or (e) ; a matter prescribed under subsection&#160;(4) (b) ; and include a certification, or be accompanied by a certificate, signed by the commissioner stating that the report— was properly made in the way prescribed under paragraph&#160;(a) for the photographic detection device; and contains only matters mentioned in paragraph&#160;(b) .\n(sec.120F-ssec.4) If the way prescribed under subsection&#160;(3) (a) for a photographic detection device requires or otherwise involves analysis or a determination being made by a person, the regulation must state— the class of appropriately qualified persons who may conduct the analysis or make the determination; and the matters about the proper conduct of the analysis or making of the determination that must be stated in a report under this section.\n(sec.120F-ssec.5) A report produced under this section is evidence of the following— the things depicted in a copy of an image, or a still image from a video, contained in the report; if a copy of an image or still image from a video contained in the report has a marking or writing associated with the image or video—each thing in relation to the image or video that the marking or writing is prescribed to mean under a regulation; a matter stated in a summary mentioned in subsection&#160;(3) (b) (ii) contained in the report; a matter mentioned in subsection&#160;(3) (b) (iii) , (iv) or (v) contained in the report.\n- (a) be made in the way prescribed by regulation for the photographic detection device; and\n- (b) contain only 1 or more of the following— (i) a copy of the image or some or all of the images in the series, or a still image or images taken from the video or some or all of the videos in the series; (ii) a summary of the things depicted in the image or images, or the still image or images from the video or videos; (iii) for a copy of images in a series or still images of videos in a series—the numbers of the images or videos and the times they were taken, as identified under section&#160;120 (3) ; (iv) a matter mentioned in section&#160;120A (4) (a) , (b) or (c) or 120B (5) (a) , (b) , (c) , (d) or (e) ; (v) a matter prescribed under subsection&#160;(4) (b) ; and\n- (i) a copy of the image or some or all of the images in the series, or a still image or images taken from the video or some or all of the videos in the series;\n- (ii) a summary of the things depicted in the image or images, or the still image or images from the video or videos;\n- (iii) for a copy of images in a series or still images of videos in a series—the numbers of the images or videos and the times they were taken, as identified under section&#160;120 (3) ;\n- (iv) a matter mentioned in section&#160;120A (4) (a) , (b) or (c) or 120B (5) (a) , (b) , (c) , (d) or (e) ;\n- (v) a matter prescribed under subsection&#160;(4) (b) ; and\n- (c) include a certification, or be accompanied by a certificate, signed by the commissioner stating that the report— (i) was properly made in the way prescribed under paragraph&#160;(a) for the photographic detection device; and (ii) contains only matters mentioned in paragraph&#160;(b) .\n- (i) was properly made in the way prescribed under paragraph&#160;(a) for the photographic detection device; and\n- (ii) contains only matters mentioned in paragraph&#160;(b) .\n- (i) a copy of the image or some or all of the images in the series, or a still image or images taken from the video or some or all of the videos in the series;\n- (ii) a summary of the things depicted in the image or images, or the still image or images from the video or videos;\n- (iii) for a copy of images in a series or still images of videos in a series—the numbers of the images or videos and the times they were taken, as identified under section&#160;120 (3) ;\n- (iv) a matter mentioned in section&#160;120A (4) (a) , (b) or (c) or 120B (5) (a) , (b) , (c) , (d) or (e) ;\n- (v) a matter prescribed under subsection&#160;(4) (b) ; and\n- (i) was properly made in the way prescribed under paragraph&#160;(a) for the photographic detection device; and\n- (ii) contains only matters mentioned in paragraph&#160;(b) .\n- (a) the class of appropriately qualified persons who may conduct the analysis or make the determination; and\n- (b) the matters about the proper conduct of the analysis or making of the determination that must be stated in a report under this section.\n- (a) the things depicted in a copy of an image, or a still image from a video, contained in the report;\n- (b) if a copy of an image or still image from a video contained in the report has a marking or writing associated with the image or video—each thing in relation to the image or video that the marking or writing is prescribed to mean under a regulation;\n- (c) a matter stated in a summary mentioned in subsection&#160;(3) (b) (ii) contained in the report;\n- (d) a matter mentioned in subsection&#160;(3) (b) (iii) , (iv) or (v) contained in the report.","sortOrder":331},{"sectionNumber":"sec.121","sectionType":"section","heading":"Application of the State Penalties Enforcement Act 1999","content":"### sec.121 Application of the State Penalties Enforcement Act 1999\n\nThe State Penalties Enforcement Act 1999 , part&#160;3 applies to camera-detected offences subject to this division.\nIf there is any inconsistency between the State Penalties Enforcement Act 1999 and this division, the provisions of this division prevail.\nWithout limiting subsection&#160;(1) or (2) , for the State Penalties Enforcement Act 1999 —\na reference to person in charge or user is, if the context permits, taken to be a reference to the person in charge of the vehicle; and\na reference to illegal user declaration , known user declaration , sold vehicle declaration or unknown user declaration or ‘declaration’ generally is taken to be a reference to the appropriate approved form for section&#160;114 ; and\nthe State Penalties Enforcement Act 1999 , sections&#160;18 (2) , 19 (5) , 20 (5) and 21 (2) are subject to section&#160;114 and in particular section&#160;114 (6) applies instead of the State Penalties Enforcement Act 1999 , section&#160;21 (2) (b) .\ns&#160;121 (prev 1949 13 Geo 6 No. 26 s&#160;44X) ins 1996 No.&#160;62 s&#160;12\namd 1999 No.&#160;42 s&#160;54 (1) sch amdts 118–119\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 120\nsub 1999 No.&#160;70 s&#160;166 sch&#160;1\namd 2001 No.&#160;79 s&#160;106 ; 2007 No.&#160;36 s&#160;2 sch\n(sec.121-ssec.1) The State Penalties Enforcement Act 1999 , part&#160;3 applies to camera-detected offences subject to this division.\n(sec.121-ssec.2) If there is any inconsistency between the State Penalties Enforcement Act 1999 and this division, the provisions of this division prevail.\n(sec.121-ssec.3) Without limiting subsection&#160;(1) or (2) , for the State Penalties Enforcement Act 1999 — a reference to person in charge or user is, if the context permits, taken to be a reference to the person in charge of the vehicle; and a reference to illegal user declaration , known user declaration , sold vehicle declaration or unknown user declaration or ‘declaration’ generally is taken to be a reference to the appropriate approved form for section&#160;114 ; and the State Penalties Enforcement Act 1999 , sections&#160;18 (2) , 19 (5) , 20 (5) and 21 (2) are subject to section&#160;114 and in particular section&#160;114 (6) applies instead of the State Penalties Enforcement Act 1999 , section&#160;21 (2) (b) .\n- (a) a reference to person in charge or user is, if the context permits, taken to be a reference to the person in charge of the vehicle; and\n- (b) a reference to illegal user declaration , known user declaration , sold vehicle declaration or unknown user declaration or ‘declaration’ generally is taken to be a reference to the appropriate approved form for section&#160;114 ; and\n- (c) the State Penalties Enforcement Act 1999 , sections&#160;18 (2) , 19 (5) , 20 (5) and 21 (2) are subject to section&#160;114 and in particular section&#160;114 (6) applies instead of the State Penalties Enforcement Act 1999 , section&#160;21 (2) (b) .","sortOrder":332},{"sectionNumber":"ch.5-pt.7A","sectionType":"part","heading":"Crossing supervisor scheme","content":"# Crossing supervisor scheme","sortOrder":333},{"sectionNumber":"ch.5-pt.7A-div.1","sectionType":"division","heading":"Definitions","content":"## Definitions","sortOrder":334},{"sectionNumber":"sec.122","sectionType":"section","heading":"Definitions for pt&#160;7A","content":"### sec.122 Definitions for pt&#160;7A\n\nIn this part—\napplicant means a person applying for authority to act as a crossing supervisor.\nauthorised scheme see section&#160;122A (1) (a) .\nauthority means authority to perform a role under an authorised scheme.\ncriminal history , of a person who is an applicant or crossing supervisor—\nmeans the following—\nthe date of conviction for a disqualifying offence or the date a charge of a disqualifying offence was laid, whether before or after the commencement of this section;\nthe name of the Act , and the provision, under which the disqualifying offence is created;\nfor a conviction for a disqualifying offence—the penalty or other order made in relation to the conviction; and\ndespite section&#160;6 of the Criminal Law (Rehabilitation of Offenders) Act 1986 , includes a conviction of the person to which that section applies; and\ndespite section&#160;5 of the Criminal Law (Rehabilitation of Offenders) Act 1986 , includes a charge made against the person for a disqualifying offence.\ncrossing supervisor see section&#160;122A (1) (b) .\ndisqualifying offence means—\na disqualifying offence, or serious offence, under the Working with Children Check Act 2000 ; or\nan offence against a provision of the Criminal Code mentioned in schedule&#160;2 ; or\nan offence against the Drugs Misuse Act 1986 , part&#160;2 ; or\nan offence similar to an offence mentioned in paragraph&#160;(a) , (b) or (c) committed outside Queensland.\ns&#160;122 def disqualifying offence amd 2008 No.&#160;18 s&#160;51 sch ; 2014 No.&#160;28 s&#160;105 sch&#160;1 ; 2024 No.&#160;49 s&#160;130 s ch&#160;4 pt&#160;1\ns&#160;122 prev s&#160;122 (prev 1949 13 Geo 6 No. 26 s&#160;47) reloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 131\nom 2000 No.&#160;5 s&#160;461 sch&#160;3\npres s&#160;122 ins 2005 No.&#160;49 s&#160;63\n- (a) means the following— (i) the date of conviction for a disqualifying offence or the date a charge of a disqualifying offence was laid, whether before or after the commencement of this section; (ii) the name of the Act , and the provision, under which the disqualifying offence is created; (iii) for a conviction for a disqualifying offence—the penalty or other order made in relation to the conviction; and\n- (i) the date of conviction for a disqualifying offence or the date a charge of a disqualifying offence was laid, whether before or after the commencement of this section;\n- (ii) the name of the Act , and the provision, under which the disqualifying offence is created;\n- (iii) for a conviction for a disqualifying offence—the penalty or other order made in relation to the conviction; and\n- (b) despite section&#160;6 of the Criminal Law (Rehabilitation of Offenders) Act 1986 , includes a conviction of the person to which that section applies; and\n- (c) despite section&#160;5 of the Criminal Law (Rehabilitation of Offenders) Act 1986 , includes a charge made against the person for a disqualifying offence.\n- (i) the date of conviction for a disqualifying offence or the date a charge of a disqualifying offence was laid, whether before or after the commencement of this section;\n- (ii) the name of the Act , and the provision, under which the disqualifying offence is created;\n- (iii) for a conviction for a disqualifying offence—the penalty or other order made in relation to the conviction; and\n- (a) a disqualifying offence, or serious offence, under the Working with Children Check Act 2000 ; or\n- (b) an offence against a provision of the Criminal Code mentioned in schedule&#160;2 ; or\n- (c) an offence against the Drugs Misuse Act 1986 , part&#160;2 ; or\n- (d) an offence similar to an offence mentioned in paragraph&#160;(a) , (b) or (c) committed outside Queensland.","sortOrder":335},{"sectionNumber":"ch.5-pt.7A-div.2","sectionType":"division","heading":"Scheme and authorisation of persons under scheme","content":"## Scheme and authorisation of persons under scheme","sortOrder":336},{"sectionNumber":"sec.122A","sectionType":"section","heading":"Chief executive may authorise scheme","content":"### sec.122A Chief executive may authorise scheme\n\nThe chief executive may—\nauthorise a scheme to help children to safely cross roads (an authorised scheme ); and\nauthorise a person to perform a role under the scheme (a crossing supervisor ).\nAn authorised scheme comes into force on the day stated in the scheme.\ns&#160;122A ins 2005 No.&#160;49 s&#160;63\n(sec.122A-ssec.1) The chief executive may— authorise a scheme to help children to safely cross roads (an authorised scheme ); and authorise a person to perform a role under the scheme (a crossing supervisor ).\n(sec.122A-ssec.2) An authorised scheme comes into force on the day stated in the scheme.\n- (a) authorise a scheme to help children to safely cross roads (an authorised scheme ); and\n- (b) authorise a person to perform a role under the scheme (a crossing supervisor ).","sortOrder":337},{"sectionNumber":"sec.122B","sectionType":"section","heading":"Unauthorised person must not act as crossing supervisor","content":"### sec.122B Unauthorised person must not act as crossing supervisor\n\nA person must not perform a role under an authorised scheme as a crossing supervisor unless the person is a crossing supervisor.\nMaximum penalty—20 penalty units.\nA person must not hold himself or herself out as being a crossing supervisor if the person is not authorised as a crossing supervisor under an authorised scheme.\nMaximum penalty—20 penalty units.\ns&#160;122B ins 2005 No.&#160;49 s&#160;63\n(sec.122B-ssec.1) A person must not perform a role under an authorised scheme as a crossing supervisor unless the person is a crossing supervisor. Maximum penalty—20 penalty units.\n(sec.122B-ssec.2) A person must not hold himself or herself out as being a crossing supervisor if the person is not authorised as a crossing supervisor under an authorised scheme. Maximum penalty—20 penalty units.","sortOrder":338},{"sectionNumber":"sec.122C","sectionType":"section","heading":"Chief executive may refuse to authorise person under scheme","content":"### sec.122C Chief executive may refuse to authorise person under scheme\n\nThe chief executive may refuse to authorise a person to perform a role under an authorised scheme if the person—\nhas been convicted of a disqualifying offence; or\nhas been charged with a disqualifying offence and the charge has not been finally dealt with; or\nhas previously had the person’s authority to act as a crossing supervisor cancelled under this part.\ns&#160;122C ins 2005 No.&#160;49 s&#160;63\n- (a) has been convicted of a disqualifying offence; or\n- (b) has been charged with a disqualifying offence and the charge has not been finally dealt with; or\n- (c) has previously had the person’s authority to act as a crossing supervisor cancelled under this part.","sortOrder":339},{"sectionNumber":"sec.122D","sectionType":"section","heading":"Chief executive may impose conditions on authority","content":"### sec.122D Chief executive may impose conditions on authority\n\nThe chief executive may authorise a person to perform a role under an authorised scheme subject to conditions.\ns&#160;122D ins 2005 No.&#160;49 s&#160;63","sortOrder":340},{"sectionNumber":"sec.122E","sectionType":"section","heading":"Notice to be given about refusal or imposition of condition","content":"### sec.122E Notice to be given about refusal or imposition of condition\n\nThis section applies if the chief executive—\nrefuses to authorise a person to perform a role under an authorised scheme; or\nauthorises a person to perform a role under an authorised scheme subject to conditions.\nThe chief executive must inform the person of the decision by written notice.\nThe notice must state—\nthe reasons for the decision; and\nthe prescribed review information for the decision.\nThe decision takes effect on the day the notice is given to the person.\ns&#160;122E ins 2005 No.&#160;49 s&#160;63\namd 2009 No.&#160;24 s&#160;1786\n(sec.122E-ssec.1) This section applies if the chief executive— refuses to authorise a person to perform a role under an authorised scheme; or authorises a person to perform a role under an authorised scheme subject to conditions.\n(sec.122E-ssec.2) The chief executive must inform the person of the decision by written notice.\n(sec.122E-ssec.3) The notice must state— the reasons for the decision; and the prescribed review information for the decision.\n(sec.122E-ssec.4) The decision takes effect on the day the notice is given to the person.\n- (a) refuses to authorise a person to perform a role under an authorised scheme; or\n- (b) authorises a person to perform a role under an authorised scheme subject to conditions.\n- (a) the reasons for the decision; and\n- (b) the prescribed review information for the decision.","sortOrder":341},{"sectionNumber":"ch.5-pt.7A-div.3","sectionType":"division","heading":"Criminal history","content":"## Criminal history","sortOrder":342},{"sectionNumber":"sec.122F","sectionType":"section","heading":"Criminal history to be disclosed by applicants and crossing supervisors","content":"### sec.122F Criminal history to be disclosed by applicants and crossing supervisors\n\nA person who is an applicant or a crossing supervisor must, by written notice as required by subsection&#160;(2) , give the chief executive details of the person’s criminal history.\nMaximum penalty—40 penalty units.\nThe applicant or crossing supervisor must give the written notice—\nfor a charge laid or an offence of which the applicant is convicted before the application is made—with the application; or\nfor a charge laid or an offence of which the applicant is convicted after the application is made but before the application is decided—as soon as practicable after the charge is laid or the applicant is convicted; or\nfor a charge laid or an offence of which the crossing supervisor is convicted after becoming a crossing supervisor—as soon as practicable after the charge is laid or the crossing supervisor is convicted.\ns&#160;122F ins 2005 No.&#160;49 s&#160;63\n(sec.122F-ssec.1) A person who is an applicant or a crossing supervisor must, by written notice as required by subsection&#160;(2) , give the chief executive details of the person’s criminal history. Maximum penalty—40 penalty units.\n(sec.122F-ssec.2) The applicant or crossing supervisor must give the written notice— for a charge laid or an offence of which the applicant is convicted before the application is made—with the application; or for a charge laid or an offence of which the applicant is convicted after the application is made but before the application is decided—as soon as practicable after the charge is laid or the applicant is convicted; or for a charge laid or an offence of which the crossing supervisor is convicted after becoming a crossing supervisor—as soon as practicable after the charge is laid or the crossing supervisor is convicted.\n- (a) for a charge laid or an offence of which the applicant is convicted before the application is made—with the application; or\n- (b) for a charge laid or an offence of which the applicant is convicted after the application is made but before the application is decided—as soon as practicable after the charge is laid or the applicant is convicted; or\n- (c) for a charge laid or an offence of which the crossing supervisor is convicted after becoming a crossing supervisor—as soon as practicable after the charge is laid or the crossing supervisor is convicted.","sortOrder":343},{"sectionNumber":"sec.122G","sectionType":"section","heading":"Crossing supervisor may surrender authority","content":"### sec.122G Crossing supervisor may surrender authority\n\nA crossing supervisor who fails to give a notice required by section&#160;122F (2) (c) does not commit an offence if, as soon as practicable after the requirement arises, the crossing supervisor gives the chief executive written notice that the crossing supervisor will immediately stop acting as a crossing supervisor.\nIf a crossing supervisor gives the chief executive a notice under subsection&#160;(1) , the crossing supervisor’s authority to perform a role under an authorised scheme is taken to be cancelled on the day the notice is given to the chief executive.\ns&#160;122G ins 2005 No.&#160;49 s&#160;63\n(sec.122G-ssec.1) A crossing supervisor who fails to give a notice required by section&#160;122F (2) (c) does not commit an offence if, as soon as practicable after the requirement arises, the crossing supervisor gives the chief executive written notice that the crossing supervisor will immediately stop acting as a crossing supervisor.\n(sec.122G-ssec.2) If a crossing supervisor gives the chief executive a notice under subsection&#160;(1) , the crossing supervisor’s authority to perform a role under an authorised scheme is taken to be cancelled on the day the notice is given to the chief executive.","sortOrder":344},{"sectionNumber":"sec.122H","sectionType":"section","heading":null,"content":"### Section sec.122H\n\ns&#160;122H ins 2005 No.&#160;49 s&#160;63\nexp 7 July 2007 (see s&#160;122H(4))","sortOrder":345},{"sectionNumber":"ch.5-pt.7A-div.4","sectionType":"division","heading":"Amendment, suspension and cancellation of authorities","content":"## Amendment, suspension and cancellation of authorities","sortOrder":346},{"sectionNumber":"sec.122I","sectionType":"section","heading":"Grounds for amending, suspending or cancelling authority","content":"### sec.122I Grounds for amending, suspending or cancelling authority\n\nEach of the following is a ground for amending, suspending or cancelling a person’s authority as a crossing supervisor—\nthe person has, since becoming a crossing supervisor, been charged with, or convicted of, a disqualifying offence;\nthe chief executive considers—\npublic safety, particularly the safety of children, has been endangered, or is likely to be endangered, because of the authority; or\nit is otherwise necessary in the public interest;\nthe authority was issued by error or was granted because of a false or fraudulent document, statement or representation;\nthe person has contravened a condition of the authority;\nthe person can no longer perform the role of a crossing supervisor satisfactorily, including because of any known medical condition or physical or mental incapacity.\ns&#160;122I ins 2005 No.&#160;49 s&#160;63\n- (a) the person has, since becoming a crossing supervisor, been charged with, or convicted of, a disqualifying offence;\n- (b) the chief executive considers— (i) public safety, particularly the safety of children, has been endangered, or is likely to be endangered, because of the authority; or (ii) it is otherwise necessary in the public interest;\n- (i) public safety, particularly the safety of children, has been endangered, or is likely to be endangered, because of the authority; or\n- (ii) it is otherwise necessary in the public interest;\n- (c) the authority was issued by error or was granted because of a false or fraudulent document, statement or representation;\n- (d) the person has contravened a condition of the authority;\n- (e) the person can no longer perform the role of a crossing supervisor satisfactorily, including because of any known medical condition or physical or mental incapacity.\n- (i) public safety, particularly the safety of children, has been endangered, or is likely to be endangered, because of the authority; or\n- (ii) it is otherwise necessary in the public interest;","sortOrder":347},{"sectionNumber":"sec.122J","sectionType":"section","heading":"Show cause procedure for amending, suspending or cancelling authority","content":"### sec.122J Show cause procedure for amending, suspending or cancelling authority\n\nIf the chief executive considers a ground exists to amend, suspend or cancel a crossing supervisor’s authority (the proposed action ), the chief executive must give the crossing supervisor written notice stating—\nthe proposed action; and\nthe ground for the proposed action; and\nan outline of the facts and circumstances forming the basis for the ground; and\nif the proposed action is to amend the authority, including a condition of the authority—the proposed amendment; and\nif the proposed action is to suspend the authority—the proposed suspension period; and\nan invitation to the crossing supervisor to show in writing, within a stated time of at least 28 days, why the proposed action should not be taken.\ns&#160;122J ins 2005 No.&#160;49 s&#160;63\n- (a) the proposed action; and\n- (b) the ground for the proposed action; and\n- (c) an outline of the facts and circumstances forming the basis for the ground; and\n- (d) if the proposed action is to amend the authority, including a condition of the authority—the proposed amendment; and\n- (e) if the proposed action is to suspend the authority—the proposed suspension period; and\n- (f) an invitation to the crossing supervisor to show in writing, within a stated time of at least 28 days, why the proposed action should not be taken.","sortOrder":348},{"sectionNumber":"sec.122K","sectionType":"section","heading":"Amending, suspending or cancelling authority","content":"### sec.122K Amending, suspending or cancelling authority\n\nIf, after considering all the written representations made within the stated time under section&#160;122J (f) , the chief executive still considers a ground exists to take proposed action, the chief executive may—\nif the proposed action was to amend the authority—amend the authority in the way stated in the notice; or\nif the proposed action was to suspend the authority—\namend the authority in the way the chief executive considers appropriate; or\nsuspend the authority for no longer than the period stated in the notice; or\nif the proposed action was to cancel the authority—\namend the authority in a way the chief executive considers appropriate; or\nsuspend the authority for a period; or\ncancel the authority.\nHowever, if the proposed action relates to a matter that is the subject of a proceeding before a court that has not been finally decided, the chief executive—\nneed not make a final decision under subsection&#160;(1) until the proceeding is finally decided; but\nmust make the decision as soon as reasonably practicable after the proceeding is decided.\nThis section does not apply if section&#160;122P applies.\ns&#160;122K ins 2005 No.&#160;49 s&#160;63\n(sec.122K-ssec.1) If, after considering all the written representations made within the stated time under section&#160;122J (f) , the chief executive still considers a ground exists to take proposed action, the chief executive may— if the proposed action was to amend the authority—amend the authority in the way stated in the notice; or if the proposed action was to suspend the authority— amend the authority in the way the chief executive considers appropriate; or suspend the authority for no longer than the period stated in the notice; or if the proposed action was to cancel the authority— amend the authority in a way the chief executive considers appropriate; or suspend the authority for a period; or cancel the authority.\n(sec.122K-ssec.2) However, if the proposed action relates to a matter that is the subject of a proceeding before a court that has not been finally decided, the chief executive— need not make a final decision under subsection&#160;(1) until the proceeding is finally decided; but must make the decision as soon as reasonably practicable after the proceeding is decided.\n(sec.122K-ssec.3) This section does not apply if section&#160;122P applies.\n- (a) if the proposed action was to amend the authority—amend the authority in the way stated in the notice; or\n- (b) if the proposed action was to suspend the authority— (i) amend the authority in the way the chief executive considers appropriate; or (ii) suspend the authority for no longer than the period stated in the notice; or\n- (i) amend the authority in the way the chief executive considers appropriate; or\n- (ii) suspend the authority for no longer than the period stated in the notice; or\n- (c) if the proposed action was to cancel the authority— (i) amend the authority in a way the chief executive considers appropriate; or (ii) suspend the authority for a period; or (iii) cancel the authority.\n- (i) amend the authority in a way the chief executive considers appropriate; or\n- (ii) suspend the authority for a period; or\n- (iii) cancel the authority.\n- (i) amend the authority in the way the chief executive considers appropriate; or\n- (ii) suspend the authority for no longer than the period stated in the notice; or\n- (i) amend the authority in a way the chief executive considers appropriate; or\n- (ii) suspend the authority for a period; or\n- (iii) cancel the authority.\n- (a) need not make a final decision under subsection&#160;(1) until the proceeding is finally decided; but\n- (b) must make the decision as soon as reasonably practicable after the proceeding is decided.","sortOrder":349},{"sectionNumber":"sec.122L","sectionType":"section","heading":"Notice to be given to crossing supervisor","content":"### sec.122L Notice to be given to crossing supervisor\n\nThe chief executive must inform the crossing supervisor by written notice about the chief executive’s decision under section&#160;122K (1) .\nIf the chief executive decides to amend, suspend or cancel the authority, the notice must state—\nthe reasons for the decision; and\nthe prescribed review information for the decision.\nThe decision takes effect on the later of the following—\nthe day the notice is given to the crossing supervisor;\nthe day stated in the notice.\ns&#160;122L ins 2005 No.&#160;49 s&#160;63\namd 2009 No.&#160;24 s&#160;1787\n(sec.122L-ssec.1) The chief executive must inform the crossing supervisor by written notice about the chief executive’s decision under section&#160;122K (1) .\n(sec.122L-ssec.2) If the chief executive decides to amend, suspend or cancel the authority, the notice must state— the reasons for the decision; and the prescribed review information for the decision.\n(sec.122L-ssec.3) The decision takes effect on the later of the following— the day the notice is given to the crossing supervisor; the day stated in the notice.\n- (a) the reasons for the decision; and\n- (b) the prescribed review information for the decision.\n- (a) the day the notice is given to the crossing supervisor;\n- (b) the day stated in the notice.","sortOrder":350},{"sectionNumber":"sec.122M","sectionType":"section","heading":"Grounds for immediate suspension of authority","content":"### sec.122M Grounds for immediate suspension of authority\n\nDespite section&#160;122J , the chief executive may immediately suspend a crossing supervisor’s authority, by written notice given to the crossing supervisor, if the chief executive reasonably believes it is necessary because—\npublic safety, particularly the safety of children, has been endangered, or is likely to be endangered, because of the authority; or\nit is otherwise necessary in the public interest.\nWithout limiting the chief executive’s powers under subsection&#160;(1) , it is enough to immediately suspend a crossing supervisor’s authority if—\na person complains to a police officer about the crossing supervisor’s conduct and the chief executive reasonably believes—\nthe complaint is not trivial, vexatious or otherwise lacking in substance; and\nthe alleged conduct complained of justifies taking action under subsection&#160;(1) ; or\nhaving regard to statements or other information about the crossing supervisor’s conduct given to the chief executive, the chief executive reasonably believes the statements or other information justifies taking action under subsection&#160;(1) .\ns&#160;122M ins 2005 No.&#160;49 s&#160;63\n(sec.122M-ssec.1) Despite section&#160;122J , the chief executive may immediately suspend a crossing supervisor’s authority, by written notice given to the crossing supervisor, if the chief executive reasonably believes it is necessary because— public safety, particularly the safety of children, has been endangered, or is likely to be endangered, because of the authority; or it is otherwise necessary in the public interest.\n(sec.122M-ssec.2) Without limiting the chief executive’s powers under subsection&#160;(1) , it is enough to immediately suspend a crossing supervisor’s authority if— a person complains to a police officer about the crossing supervisor’s conduct and the chief executive reasonably believes— the complaint is not trivial, vexatious or otherwise lacking in substance; and the alleged conduct complained of justifies taking action under subsection&#160;(1) ; or having regard to statements or other information about the crossing supervisor’s conduct given to the chief executive, the chief executive reasonably believes the statements or other information justifies taking action under subsection&#160;(1) .\n- (a) public safety, particularly the safety of children, has been endangered, or is likely to be endangered, because of the authority; or\n- (b) it is otherwise necessary in the public interest.\n- (a) a person complains to a police officer about the crossing supervisor’s conduct and the chief executive reasonably believes— (i) the complaint is not trivial, vexatious or otherwise lacking in substance; and (ii) the alleged conduct complained of justifies taking action under subsection&#160;(1) ; or\n- (i) the complaint is not trivial, vexatious or otherwise lacking in substance; and\n- (ii) the alleged conduct complained of justifies taking action under subsection&#160;(1) ; or\n- (b) having regard to statements or other information about the crossing supervisor’s conduct given to the chief executive, the chief executive reasonably believes the statements or other information justifies taking action under subsection&#160;(1) .\n- (i) the complaint is not trivial, vexatious or otherwise lacking in substance; and\n- (ii) the alleged conduct complained of justifies taking action under subsection&#160;(1) ; or","sortOrder":351},{"sectionNumber":"sec.122N","sectionType":"section","heading":"Procedure for immediate suspension of authority","content":"### sec.122N Procedure for immediate suspension of authority\n\nIf the chief executive immediately suspends an authority, the suspension—\ntakes effect on the day the notice is given to the crossing supervisor; and\nhas effect until—\nif the chief executive informs the crossing supervisor of the chief executive’s decision by notice under section&#160;122L —the day the decision takes effect under section&#160;122L (3) ; or\nif the decision is set aside on review or appeal—the day the decision is set aside; or\notherwise—the end of 56 days after the notice is given to the crossing supervisor or the end of any further period or periods by which the suspension is extended under subsection&#160;(3) .\nIf the chief executive immediately suspends an authority, the notice under section&#160;122M (1) must state—\nthe reasons for the decision; and\nthe general effect of subsection&#160;(1) (b) ; and\nthe prescribed review information for the decision.\nIf the immediate suspension of an authority relates to a matter that is the subject of a proceeding before a court that has not been finally decided, the chief executive—\nmay extend the suspension for a further period or periods until the proceeding is finally decided; but\nmust make a decision about whether to take proposed action under section&#160;122K as soon as practicable after the proceeding is decided.\ns&#160;122N ins 2005 No.&#160;49 s&#160;63\namd 2009 No.&#160;24 s&#160;1788\n(sec.122N-ssec.1) If the chief executive immediately suspends an authority, the suspension— takes effect on the day the notice is given to the crossing supervisor; and has effect until— if the chief executive informs the crossing supervisor of the chief executive’s decision by notice under section&#160;122L —the day the decision takes effect under section&#160;122L (3) ; or if the decision is set aside on review or appeal—the day the decision is set aside; or otherwise—the end of 56 days after the notice is given to the crossing supervisor or the end of any further period or periods by which the suspension is extended under subsection&#160;(3) .\n(sec.122N-ssec.2) If the chief executive immediately suspends an authority, the notice under section&#160;122M (1) must state— the reasons for the decision; and the general effect of subsection&#160;(1) (b) ; and the prescribed review information for the decision.\n(sec.122N-ssec.3) If the immediate suspension of an authority relates to a matter that is the subject of a proceeding before a court that has not been finally decided, the chief executive— may extend the suspension for a further period or periods until the proceeding is finally decided; but must make a decision about whether to take proposed action under section&#160;122K as soon as practicable after the proceeding is decided.\n- (a) takes effect on the day the notice is given to the crossing supervisor; and\n- (b) has effect until— (i) if the chief executive informs the crossing supervisor of the chief executive’s decision by notice under section&#160;122L —the day the decision takes effect under section&#160;122L (3) ; or (ii) if the decision is set aside on review or appeal—the day the decision is set aside; or (iii) otherwise—the end of 56 days after the notice is given to the crossing supervisor or the end of any further period or periods by which the suspension is extended under subsection&#160;(3) .\n- (i) if the chief executive informs the crossing supervisor of the chief executive’s decision by notice under section&#160;122L —the day the decision takes effect under section&#160;122L (3) ; or\n- (ii) if the decision is set aside on review or appeal—the day the decision is set aside; or\n- (iii) otherwise—the end of 56 days after the notice is given to the crossing supervisor or the end of any further period or periods by which the suspension is extended under subsection&#160;(3) .\n- (i) if the chief executive informs the crossing supervisor of the chief executive’s decision by notice under section&#160;122L —the day the decision takes effect under section&#160;122L (3) ; or\n- (ii) if the decision is set aside on review or appeal—the day the decision is set aside; or\n- (iii) otherwise—the end of 56 days after the notice is given to the crossing supervisor or the end of any further period or periods by which the suspension is extended under subsection&#160;(3) .\n- (a) the reasons for the decision; and\n- (b) the general effect of subsection&#160;(1) (b) ; and\n- (c) the prescribed review information for the decision.\n- (a) may extend the suspension for a further period or periods until the proceeding is finally decided; but\n- (b) must make a decision about whether to take proposed action under section&#160;122K as soon as practicable after the proceeding is decided.","sortOrder":352},{"sectionNumber":"sec.122O","sectionType":"section","heading":"Further action after immediate suspension","content":"### sec.122O Further action after immediate suspension\n\nThis section applies if—\nunder section&#160;122M , the chief executive immediately suspends a crossing supervisor’s authority; and\nthe chief executive proposes, under section&#160;122J , to amend, further suspend or cancel the crossing supervisor’s authority (also the proposed action ).\nThe chief executive must, within 14 days after immediately suspending the crossing supervisor’s authority, give the crossing supervisor a notice that states—\nthe information mentioned in section&#160;122J (a) , (b) and (c) in relation to the proposed action; and\nif the proposed action is to amend the authority, including a condition of the authority—the proposed amendment; and\nif the proposed action is further suspension of the authority—the proposed suspension period; and\nan invitation to the crossing supervisor to show cause in writing, within a stated time of at least 28 days, why the proposed action should not be taken.\nThe notice under subsection&#160;(2) may be combined with the notice given to the crossing supervisor under section&#160;122M .\nSections&#160;122K and 122L apply to the proposed action as if the notice had been given under section&#160;122J .\nDespite subsection&#160;(4) , section&#160;122K (1) (b) (ii) or (c)(ii) does not limit the chief executive’s powers to extend the period of suspension under section&#160;122N (3) .\ns&#160;122O ins 2005 No.&#160;49 s&#160;63\n(sec.122O-ssec.1) This section applies if— under section&#160;122M , the chief executive immediately suspends a crossing supervisor’s authority; and the chief executive proposes, under section&#160;122J , to amend, further suspend or cancel the crossing supervisor’s authority (also the proposed action ).\n(sec.122O-ssec.2) The chief executive must, within 14 days after immediately suspending the crossing supervisor’s authority, give the crossing supervisor a notice that states— the information mentioned in section&#160;122J (a) , (b) and (c) in relation to the proposed action; and if the proposed action is to amend the authority, including a condition of the authority—the proposed amendment; and if the proposed action is further suspension of the authority—the proposed suspension period; and an invitation to the crossing supervisor to show cause in writing, within a stated time of at least 28 days, why the proposed action should not be taken.\n(sec.122O-ssec.3) The notice under subsection&#160;(2) may be combined with the notice given to the crossing supervisor under section&#160;122M .\n(sec.122O-ssec.4) Sections&#160;122K and 122L apply to the proposed action as if the notice had been given under section&#160;122J .\n(sec.122O-ssec.5) Despite subsection&#160;(4) , section&#160;122K (1) (b) (ii) or (c)(ii) does not limit the chief executive’s powers to extend the period of suspension under section&#160;122N (3) .\n- (a) under section&#160;122M , the chief executive immediately suspends a crossing supervisor’s authority; and\n- (b) the chief executive proposes, under section&#160;122J , to amend, further suspend or cancel the crossing supervisor’s authority (also the proposed action ).\n- (a) the information mentioned in section&#160;122J (a) , (b) and (c) in relation to the proposed action; and\n- (b) if the proposed action is to amend the authority, including a condition of the authority—the proposed amendment; and\n- (c) if the proposed action is further suspension of the authority—the proposed suspension period; and\n- (d) an invitation to the crossing supervisor to show cause in writing, within a stated time of at least 28 days, why the proposed action should not be taken.","sortOrder":353},{"sectionNumber":"sec.122P","sectionType":"section","heading":"Other amendments of authorities","content":"### sec.122P Other amendments of authorities\n\nThis section applies only if the chief executive proposes to amend a crossing supervisor’s authority—\nfor a formal or clerical reason; or\nin another way that does not adversely affect the crossing supervisor’s interests; or\nbecause the crossing supervisor asks.\nThe chief executive may make amendments of a type mentioned in subsection&#160;(1) by written notice given to the crossing supervisor.\ns&#160;122P ins 2005 No.&#160;49 s&#160;63\n(sec.122P-ssec.1) This section applies only if the chief executive proposes to amend a crossing supervisor’s authority— for a formal or clerical reason; or in another way that does not adversely affect the crossing supervisor’s interests; or because the crossing supervisor asks.\n(sec.122P-ssec.2) The chief executive may make amendments of a type mentioned in subsection&#160;(1) by written notice given to the crossing supervisor.\n- (a) for a formal or clerical reason; or\n- (b) in another way that does not adversely affect the crossing supervisor’s interests; or\n- (c) because the crossing supervisor asks.","sortOrder":354},{"sectionNumber":"ch.5-pt.8","sectionType":"part","heading":"Proceedings and evidence","content":"# Proceedings and evidence","sortOrder":355},{"sectionNumber":"sec.123","sectionType":"section","heading":"Records","content":"### sec.123 Records\n\nA responsible person who issues an instrument under this Act must keep a record of the particulars of the instrument at—\nif the instrument is issued by the chief executive—an office of the department decided by the chief executive; or\notherwise—an office of the Queensland Police Service decided by the commissioner.\nHowever, a record of particulars of a person’s Queensland driver licence must—\nbe kept at an office of the department decided by the chief executive; and\ninclude the person’s traffic history.\nThe person who has custody of the record is—\nfor a record mentioned in subsection&#160;(1) —the person in charge of the office where the record is kept; or\nfor a record mentioned in subsection&#160;(2) —the chief executive.\nAn extract from or copy of any entry of any particulars of the record that is, or purports to be, certified by the person who has custody of the record as being an extract from or copy of the record, is for a court and all other purposes, evidence of the particulars contained in the record, without requiring the production of the record.\nIn this section—\ninstrument means an appointment, approval, authorisation, cancellation, demand, determination, direction, licence, notification, order, suspension or surrender.\nissues includes gives or makes.\nresponsible person means—\nthe chief executive; or\nthe commissioner; or\na superintendent.\ns&#160;123 (prev 1949 13 Geo 6 No. 26 s&#160;48) amd 1952 1 Eliz 2 No. 14 s&#160;16; 1953 2 Eliz 2 No. 11 s&#160;7; 1961 10 Eliz 2 No. 27 s&#160;26; 1971 No.&#160;33 s&#160;12 ; 1994 No.&#160;7 s&#160;3 sch\nsub 1997 No.&#160;66 s&#160;30\namd 1999 No.&#160;42 s&#160;54 (1) sch amdt 121\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 131\n(sec.123-ssec.1) A responsible person who issues an instrument under this Act must keep a record of the particulars of the instrument at— if the instrument is issued by the chief executive—an office of the department decided by the chief executive; or otherwise—an office of the Queensland Police Service decided by the commissioner.\n(sec.123-ssec.2) However, a record of particulars of a person’s Queensland driver licence must— be kept at an office of the department decided by the chief executive; and include the person’s traffic history.\n(sec.123-ssec.3) The person who has custody of the record is— for a record mentioned in subsection&#160;(1) —the person in charge of the office where the record is kept; or for a record mentioned in subsection&#160;(2) —the chief executive.\n(sec.123-ssec.4) An extract from or copy of any entry of any particulars of the record that is, or purports to be, certified by the person who has custody of the record as being an extract from or copy of the record, is for a court and all other purposes, evidence of the particulars contained in the record, without requiring the production of the record.\n(sec.123-ssec.5) In this section— instrument means an appointment, approval, authorisation, cancellation, demand, determination, direction, licence, notification, order, suspension or surrender. issues includes gives or makes. responsible person means— the chief executive; or the commissioner; or a superintendent.\n- (a) if the instrument is issued by the chief executive—an office of the department decided by the chief executive; or\n- (b) otherwise—an office of the Queensland Police Service decided by the commissioner.\n- (a) be kept at an office of the department decided by the chief executive; and\n- (b) include the person’s traffic history.\n- (a) for a record mentioned in subsection&#160;(1) —the person in charge of the office where the record is kept; or\n- (b) for a record mentioned in subsection&#160;(2) —the chief executive.\n- (a) the chief executive; or\n- (b) the commissioner; or\n- (c) a superintendent.","sortOrder":356},{"sectionNumber":"sec.123A","sectionType":"section","heading":"Proof of appointments unnecessary","content":"### sec.123A Proof of appointments unnecessary\n\nFor a proceeding for an offence against a transport Act, it is not necessary to prove the appointment of the following persons—\nthe chief executive;\nthe chief executive officer of a corresponding authority administering a corresponding law to a transport Act;\nthe commissioner;\nthe head of the police force or police service of the Commonwealth or another State;\nan authorised officer;\na person appointed as an authorised officer, or holding an equivalent office, under a corresponding law to a transport Act;\nan accredited person;\na police officer;\na member of the police force or police service of the Commonwealth or another State;\na person who has custody of the particulars of, or records relating to, Queensland driver licences;\nthe chief executive officer of a local government;\nthe clerk of a court;\na person having responsibility for custody of records relating to payments under this Act;\na person who is a delegate of the chief executive to sign a certificate or document;\nthe Minister responsible for administering, or the Secretary under, the Road Vehicle Standards Act 2018 (Cwlth) , or a delegate of the Minister or Secretary under that Act;\nthe Minister responsible for administering the repealed Motor Vehicle Standards Act 1989 (Cwlth) or the Road Vehicle Standards (Consequential and Transitional Provisions) Act 2018 (Cwlth) , or a delegate of the Minister under those Acts.\ns&#160;123A (prev s&#160;58) amd 2007 No.&#160;43 s&#160;64 ; 2019 No.&#160;25 s&#160;80 (1) – (2)\nreloc and renum 2019 No.&#160;25 s&#160;80 (3)\namd 2022 No.&#160;19 s&#160;16\n- (a) the chief executive;\n- (b) the chief executive officer of a corresponding authority administering a corresponding law to a transport Act;\n- (c) the commissioner;\n- (d) the head of the police force or police service of the Commonwealth or another State;\n- (e) an authorised officer;\n- (f) a person appointed as an authorised officer, or holding an equivalent office, under a corresponding law to a transport Act;\n- (g) an accredited person;\n- (h) a police officer;\n- (i) a member of the police force or police service of the Commonwealth or another State;\n- (j) a person who has custody of the particulars of, or records relating to, Queensland driver licences;\n- (k) the chief executive officer of a local government;\n- (l) the clerk of a court;\n- (m) a person having responsibility for custody of records relating to payments under this Act;\n- (n) a person who is a delegate of the chief executive to sign a certificate or document;\n- (o) the Minister responsible for administering, or the Secretary under, the Road Vehicle Standards Act 2018 (Cwlth) , or a delegate of the Minister or Secretary under that Act;\n- (p) the Minister responsible for administering the repealed Motor Vehicle Standards Act 1989 (Cwlth) or the Road Vehicle Standards (Consequential and Transitional Provisions) Act 2018 (Cwlth) , or a delegate of the Minister under those Acts.","sortOrder":357},{"sectionNumber":"sec.123B","sectionType":"section","heading":"Proof of signatures unnecessary","content":"### sec.123B Proof of signatures unnecessary\n\nFor a proceeding for an offence against a transport Act, a signature purporting to be the signature of 1 of the following persons is evidence of the signature it purports to be—\nthe chief executive;\nthe chief executive officer of a corresponding authority administering a corresponding law to a transport Act;\nthe commissioner;\nthe head of the police force or police service of the Commonwealth or another State;\nan authorised officer;\na person appointed as an authorised officer, or holding an equivalent office, under a corresponding law to a transport Act;\nan accredited person;\na police officer;\na member of the police force or police service of the Commonwealth or another State;\na person who has custody of the particulars of, or records relating to, Queensland driver licences;\nthe chief executive officer of a local government;\nthe clerk of a court;\na person having responsibility for custody of records relating to payments under this Act;\na person who is a delegate of the chief executive to sign a certificate or document;\nthe Minister responsible for administering, or the Secretary under, the Road Vehicle Standards Act 2018 (Cwlth) , or a delegate of the Minister or Secretary under that Act;\nthe Minister responsible for administering the repealed Motor Vehicle Standards Act 1989 (Cwlth) or the Road Vehicle Standards (Consequential and Transitional Provisions) Act 2018 (Cwlth) , or a delegate of the Minister under those Acts.\ns&#160;123B (prev s&#160;59) amd 2007 No.&#160;43 s&#160;65 ; 2019 No.&#160;25 s&#160;81 (1) – (2)\nreloc and renum 2019 No.&#160;25 s&#160;81 (3)\namd 2022 No.&#160;19 s&#160;17\n- (a) the chief executive;\n- (b) the chief executive officer of a corresponding authority administering a corresponding law to a transport Act;\n- (c) the commissioner;\n- (d) the head of the police force or police service of the Commonwealth or another State;\n- (e) an authorised officer;\n- (f) a person appointed as an authorised officer, or holding an equivalent office, under a corresponding law to a transport Act;\n- (g) an accredited person;\n- (h) a police officer;\n- (i) a member of the police force or police service of the Commonwealth or another State;\n- (j) a person who has custody of the particulars of, or records relating to, Queensland driver licences;\n- (k) the chief executive officer of a local government;\n- (l) the clerk of a court;\n- (m) a person having responsibility for custody of records relating to payments under this Act;\n- (n) a person who is a delegate of the chief executive to sign a certificate or document;\n- (o) the Minister responsible for administering, or the Secretary under, the Road Vehicle Standards Act 2018 (Cwlth) , or a delegate of the Minister or Secretary under that Act;\n- (p) the Minister responsible for administering the repealed Motor Vehicle Standards Act 1989 (Cwlth) or the Road Vehicle Standards (Consequential and Transitional Provisions) Act 2018 (Cwlth) , or a delegate of the Minister under those Acts.","sortOrder":358},{"sectionNumber":"sec.123C","sectionType":"section","heading":"Certificate is evidence of matter in certificate","content":"### sec.123C Certificate is evidence of matter in certificate\n\nA certificate stating a matter mentioned in schedule&#160;1 , column 1, purporting to be signed by a person mentioned in column 2 of that schedule opposite the matter, is evidence of the matter stated in the certificate.\nA certificate mentioned in subsection&#160;(1) —\nmay relate to a specified time or period; and\nif it is issued for a particular period—has the effect mentioned in subsection&#160;(1) for the entire period.\nA regulation may provide for evidence of other matters to be provided by a certificate purporting to be signed by the chief executive, the commissioner or the chief executive administering a corresponding law to a transport Act.\nA document, or a copy of a document, purporting to be made or given by a person under a transport Act containing personal particulars given by the person is evidence of the particulars.\nAnything recorded by a photographic, mechanical, electronic or other device under a transport Act is evidence—\nthat the recording was made; and\nof the accuracy of the recording; and\nof the matters stated in the recording; and\nof matters prescribed under a regulation.\nWithout limiting subsection&#160;(5) , a record of the mass of a heavy vehicle, or of any component of the vehicle, made by the operator of a weighbridge at which the vehicle or component was weighed, or by an employee of the operator of the weighbridge, is evidence of the mass at the time the vehicle or component was weighed.\nEvidence by an authorised officer of the contents of a document issued, required to be kept, under a transport Act or a corresponding law, that was examined by the officer while in someone else’s possession, may be given by the officer without the document being produced.\nAn authorised officer who examines a driver’s Australian driver licence or logbook may return the licence or logbook to the driver to enable the driver to continue driving. The officer may give evidence of the contents of the licence or logbook without producing it.\ns&#160;123C (prev s&#160;60) amd 2000 No.&#160;6 s&#160;78 sch amdt 5; 2001 No.&#160;79 s&#160;94 ; 2007 No.&#160;43 s&#160;66 ; 2008 No.&#160;31 s&#160;58 ; 2008 No.&#160;67 s&#160;79 ; 2010 No.&#160;13 s&#160;13 ; 2013 No.&#160;26 s&#160;76 ; 2014 No.&#160;43 s&#160;78 ; 2019 No.&#160;25 s&#160;82 (1) – (5)\nreloc and renum 2019 No.&#160;25 s&#160;82 (6)\n(sec.123C-ssec.1) A certificate stating a matter mentioned in schedule&#160;1 , column 1, purporting to be signed by a person mentioned in column 2 of that schedule opposite the matter, is evidence of the matter stated in the certificate.\n(sec.123C-ssec.2) A certificate mentioned in subsection&#160;(1) — may relate to a specified time or period; and if it is issued for a particular period—has the effect mentioned in subsection&#160;(1) for the entire period.\n(sec.123C-ssec.3) A regulation may provide for evidence of other matters to be provided by a certificate purporting to be signed by the chief executive, the commissioner or the chief executive administering a corresponding law to a transport Act.\n(sec.123C-ssec.4) A document, or a copy of a document, purporting to be made or given by a person under a transport Act containing personal particulars given by the person is evidence of the particulars.\n(sec.123C-ssec.5) Anything recorded by a photographic, mechanical, electronic or other device under a transport Act is evidence— that the recording was made; and of the accuracy of the recording; and of the matters stated in the recording; and of matters prescribed under a regulation.\n(sec.123C-ssec.6) Without limiting subsection&#160;(5) , a record of the mass of a heavy vehicle, or of any component of the vehicle, made by the operator of a weighbridge at which the vehicle or component was weighed, or by an employee of the operator of the weighbridge, is evidence of the mass at the time the vehicle or component was weighed.\n(sec.123C-ssec.7) Evidence by an authorised officer of the contents of a document issued, required to be kept, under a transport Act or a corresponding law, that was examined by the officer while in someone else’s possession, may be given by the officer without the document being produced. An authorised officer who examines a driver’s Australian driver licence or logbook may return the licence or logbook to the driver to enable the driver to continue driving. The officer may give evidence of the contents of the licence or logbook without producing it.\n- (a) may relate to a specified time or period; and\n- (b) if it is issued for a particular period—has the effect mentioned in subsection&#160;(1) for the entire period.\n- (a) that the recording was made; and\n- (b) of the accuracy of the recording; and\n- (c) of the matters stated in the recording; and\n- (d) of matters prescribed under a regulation.","sortOrder":359},{"sectionNumber":"sec.123D","sectionType":"section","heading":"Delegation","content":"### sec.123D Delegation\n\nTo remove any doubt, it is declared that—\nthe Transport Planning and Coordination Act 1994 , section&#160;37 applies to a function or power of the chief executive under this part; and\nthe Police Service Administration Act 1990 , section&#160;4.10 applies to a power of the commissioner under this part.\ns&#160;123D ins 2019 No.&#160;25 s&#160;104\n- (a) the Transport Planning and Coordination Act 1994 , section&#160;37 applies to a function or power of the chief executive under this part; and\n- (b) the Police Service Administration Act 1990 , section&#160;4.10 applies to a power of the commissioner under this part.","sortOrder":360},{"sectionNumber":"sec.123E","sectionType":"section","heading":"Certified copies of documents","content":"### sec.123E Certified copies of documents\n\nThis section applies to a document—\npurporting to be a copy of—\na nomination of a motor vehicle for section&#160;91K (1) (a) , made in accordance with section&#160;163A , and received by the chief executive; or\nan application made under this Act; or\na written notice given to a person under this Act; or\na certificate of exemption given under this Act; or\na certificate in the approved form signed by a health professional stating that a person does or does not have a mental or physical incapacity likely to affect their ability to drive safely; or\na certificate issued to a person under the driver licensing regulation because—\nthe person held a valid provisional, probationary or open licence to drive a class of vehicle; and\nthat licence stopped being valid more than 5 years before the person applied for a licence of the same class as that licence; and\ncertified by the chief executive as a true copy of a document mentioned in subsection&#160;(1) (a) .\nFor a proceeding for an offence against a transport Act, the document is evidence of the matters stated in it.\ns&#160;123E ins 2019 No.&#160;25 s&#160;104\n(sec.123E-ssec.1) This section applies to a document— purporting to be a copy of— a nomination of a motor vehicle for section&#160;91K (1) (a) , made in accordance with section&#160;163A , and received by the chief executive; or an application made under this Act; or a written notice given to a person under this Act; or a certificate of exemption given under this Act; or a certificate in the approved form signed by a health professional stating that a person does or does not have a mental or physical incapacity likely to affect their ability to drive safely; or a certificate issued to a person under the driver licensing regulation because— the person held a valid provisional, probationary or open licence to drive a class of vehicle; and that licence stopped being valid more than 5 years before the person applied for a licence of the same class as that licence; and certified by the chief executive as a true copy of a document mentioned in subsection&#160;(1) (a) .\n(sec.123E-ssec.2) For a proceeding for an offence against a transport Act, the document is evidence of the matters stated in it.\n- (a) purporting to be a copy of— (i) a nomination of a motor vehicle for section&#160;91K (1) (a) , made in accordance with section&#160;163A , and received by the chief executive; or (ii) an application made under this Act; or (iii) a written notice given to a person under this Act; or (iv) a certificate of exemption given under this Act; or (v) a certificate in the approved form signed by a health professional stating that a person does or does not have a mental or physical incapacity likely to affect their ability to drive safely; or (vi) a certificate issued to a person under the driver licensing regulation because— (A) the person held a valid provisional, probationary or open licence to drive a class of vehicle; and (B) that licence stopped being valid more than 5 years before the person applied for a licence of the same class as that licence; and\n- (i) a nomination of a motor vehicle for section&#160;91K (1) (a) , made in accordance with section&#160;163A , and received by the chief executive; or\n- (ii) an application made under this Act; or\n- (iii) a written notice given to a person under this Act; or\n- (iv) a certificate of exemption given under this Act; or\n- (v) a certificate in the approved form signed by a health professional stating that a person does or does not have a mental or physical incapacity likely to affect their ability to drive safely; or\n- (vi) a certificate issued to a person under the driver licensing regulation because— (A) the person held a valid provisional, probationary or open licence to drive a class of vehicle; and (B) that licence stopped being valid more than 5 years before the person applied for a licence of the same class as that licence; and\n- (A) the person held a valid provisional, probationary or open licence to drive a class of vehicle; and\n- (B) that licence stopped being valid more than 5 years before the person applied for a licence of the same class as that licence; and\n- (b) certified by the chief executive as a true copy of a document mentioned in subsection&#160;(1) (a) .\n- (i) a nomination of a motor vehicle for section&#160;91K (1) (a) , made in accordance with section&#160;163A , and received by the chief executive; or\n- (ii) an application made under this Act; or\n- (iii) a written notice given to a person under this Act; or\n- (iv) a certificate of exemption given under this Act; or\n- (v) a certificate in the approved form signed by a health professional stating that a person does or does not have a mental or physical incapacity likely to affect their ability to drive safely; or\n- (vi) a certificate issued to a person under the driver licensing regulation because— (A) the person held a valid provisional, probationary or open licence to drive a class of vehicle; and (B) that licence stopped being valid more than 5 years before the person applied for a licence of the same class as that licence; and\n- (A) the person held a valid provisional, probationary or open licence to drive a class of vehicle; and\n- (B) that licence stopped being valid more than 5 years before the person applied for a licence of the same class as that licence; and\n- (A) the person held a valid provisional, probationary or open licence to drive a class of vehicle; and\n- (B) that licence stopped being valid more than 5 years before the person applied for a licence of the same class as that licence; and","sortOrder":361},{"sectionNumber":"sec.123F","sectionType":"section","heading":"Certified copy of licence or other document","content":"### sec.123F Certified copy of licence or other document\n\nThis section applies to a document—\npurporting to be a copy of—\na licence; or\nanother document issued, or required to be kept, under a transport Act; and\ncertified as a true copy of the licence or other document by—\nthe chief executive; or\nthe commissioner; or\na person who has custody of the particulars of, or records relating to, Queensland driver licences.\nFor a proceeding for an offence against a transport Act the document—\nis evidence of the licence or other document; and\nis evidence of the matters stated in it.\ns&#160;123F ins 2019 No.&#160;25 s&#160;104\n(sec.123F-ssec.1) This section applies to a document— purporting to be a copy of— a licence; or another document issued, or required to be kept, under a transport Act; and certified as a true copy of the licence or other document by— the chief executive; or the commissioner; or a person who has custody of the particulars of, or records relating to, Queensland driver licences.\n(sec.123F-ssec.2) For a proceeding for an offence against a transport Act the document— is evidence of the licence or other document; and is evidence of the matters stated in it.\n- (a) purporting to be a copy of— (i) a licence; or (ii) another document issued, or required to be kept, under a transport Act; and\n- (i) a licence; or\n- (ii) another document issued, or required to be kept, under a transport Act; and\n- (b) certified as a true copy of the licence or other document by— (i) the chief executive; or (ii) the commissioner; or (iii) a person who has custody of the particulars of, or records relating to, Queensland driver licences.\n- (i) the chief executive; or\n- (ii) the commissioner; or\n- (iii) a person who has custody of the particulars of, or records relating to, Queensland driver licences.\n- (i) a licence; or\n- (ii) another document issued, or required to be kept, under a transport Act; and\n- (i) the chief executive; or\n- (ii) the commissioner; or\n- (iii) a person who has custody of the particulars of, or records relating to, Queensland driver licences.\n- (a) is evidence of the licence or other document; and\n- (b) is evidence of the matters stated in it.","sortOrder":362},{"sectionNumber":"sec.123G","sectionType":"section","heading":"Certified copy of licence or other document under corresponding law","content":"### sec.123G Certified copy of licence or other document under corresponding law\n\nThis section applies to a document—\npurporting to be a copy of—\na driver licence under a corresponding law to a transport Act; or\nanother document issued, or required to be kept, under a corresponding law to a transport Act; and\ncertified as a true copy of the driver licence or other document by—\nthe chief executive administering the corresponding law; or\na person authorised by that chief executive.\nFor a proceeding for an offence against a transport Act the document is evidence of the driver licence or other document.\ns&#160;123G ins 2019 No.&#160;25 s&#160;104\n(sec.123G-ssec.1) This section applies to a document— purporting to be a copy of— a driver licence under a corresponding law to a transport Act; or another document issued, or required to be kept, under a corresponding law to a transport Act; and certified as a true copy of the driver licence or other document by— the chief executive administering the corresponding law; or a person authorised by that chief executive.\n(sec.123G-ssec.2) For a proceeding for an offence against a transport Act the document is evidence of the driver licence or other document.\n- (a) purporting to be a copy of— (i) a driver licence under a corresponding law to a transport Act; or (ii) another document issued, or required to be kept, under a corresponding law to a transport Act; and\n- (i) a driver licence under a corresponding law to a transport Act; or\n- (ii) another document issued, or required to be kept, under a corresponding law to a transport Act; and\n- (b) certified as a true copy of the driver licence or other document by— (i) the chief executive administering the corresponding law; or (ii) a person authorised by that chief executive.\n- (i) the chief executive administering the corresponding law; or\n- (ii) a person authorised by that chief executive.\n- (i) a driver licence under a corresponding law to a transport Act; or\n- (ii) another document issued, or required to be kept, under a corresponding law to a transport Act; and\n- (i) the chief executive administering the corresponding law; or\n- (ii) a person authorised by that chief executive.","sortOrder":363},{"sectionNumber":"sec.123H","sectionType":"section","heading":"Certified copy of plan of installation of photographic detection device","content":"### sec.123H Certified copy of plan of installation of photographic detection device\n\nThis section applies to a plan of installation of a photographic detection device at a place—\nshowing any features of—\nthe installation; or\nroad infrastructure; or\nroad boundaries; or\nroad markings; and\ncertified by the chief executive or the commissioner as a true copy of the plan.\nFor a proceeding for an offence against a transport Act, the plan is evidence of the matters shown in it.\ns&#160;123H ins 2019 No.&#160;25 s&#160;104\n(sec.123H-ssec.1) This section applies to a plan of installation of a photographic detection device at a place— showing any features of— the installation; or road infrastructure; or road boundaries; or road markings; and certified by the chief executive or the commissioner as a true copy of the plan.\n(sec.123H-ssec.2) For a proceeding for an offence against a transport Act, the plan is evidence of the matters shown in it.\n- (a) showing any features of— (i) the installation; or (ii) road infrastructure; or (iii) road boundaries; or (iv) road markings; and\n- (i) the installation; or\n- (ii) road infrastructure; or\n- (iii) road boundaries; or\n- (iv) road markings; and\n- (b) certified by the chief executive or the commissioner as a true copy of the plan.\n- (i) the installation; or\n- (ii) road infrastructure; or\n- (iii) road boundaries; or\n- (iv) road markings; and","sortOrder":364},{"sectionNumber":"sec.123I","sectionType":"section","heading":"Certificate is evidence of another matter—stop watches, other watches and speedometers","content":"### sec.123I Certificate is evidence of another matter—stop watches, other watches and speedometers\n\nThis section applies to a certificate—\npurporting to be signed by the chief executive or the commissioner; and\nstating that a specified stop watch, other watch or speedometer has been tested and found to produce accurate results at the time of testing.\nFor a proceeding for an offence against a transport Act, the certificate is evidence the stop watch, other watch or speedometer was producing accurate results when tested and for 6 months after the day of testing.\ns&#160;123I ins 2019 No.&#160;25 s&#160;104\n(sec.123I-ssec.1) This section applies to a certificate— purporting to be signed by the chief executive or the commissioner; and stating that a specified stop watch, other watch or speedometer has been tested and found to produce accurate results at the time of testing.\n(sec.123I-ssec.2) For a proceeding for an offence against a transport Act, the certificate is evidence the stop watch, other watch or speedometer was producing accurate results when tested and for 6 months after the day of testing.\n- (a) purporting to be signed by the chief executive or the commissioner; and\n- (b) stating that a specified stop watch, other watch or speedometer has been tested and found to produce accurate results at the time of testing.","sortOrder":365},{"sectionNumber":"sec.123J","sectionType":"section","heading":"Certificate is evidence of another matter—speed detection","content":"### sec.123J Certificate is evidence of another matter—speed detection\n\nThis section applies to a certificate purporting to be signed by the commissioner and stating a specified induction loop speed detection device, laser-based speed detection device, piezo strip speed detection device or radar speed detection device—\nwas tested at a specified time in accordance with—\nthe appropriate Australian Standard for testing the device, as in force on the day of testing; or\nif there is no appropriate Australian Standard for testing the device in force on the day of testing—the manufacturer’s specifications; and\nwas found to produce accurate results at the time of testing.\nFor a proceeding for an offence against a transport Act, the certificate is evidence the device was producing accurate results when tested and for 1 year after the day of testing.\ns&#160;123J ins 2019 No.&#160;25 s&#160;104\n(sec.123J-ssec.1) This section applies to a certificate purporting to be signed by the commissioner and stating a specified induction loop speed detection device, laser-based speed detection device, piezo strip speed detection device or radar speed detection device— was tested at a specified time in accordance with— the appropriate Australian Standard for testing the device, as in force on the day of testing; or if there is no appropriate Australian Standard for testing the device in force on the day of testing—the manufacturer’s specifications; and was found to produce accurate results at the time of testing.\n(sec.123J-ssec.2) For a proceeding for an offence against a transport Act, the certificate is evidence the device was producing accurate results when tested and for 1 year after the day of testing.\n- (a) was tested at a specified time in accordance with— (i) the appropriate Australian Standard for testing the device, as in force on the day of testing; or (ii) if there is no appropriate Australian Standard for testing the device in force on the day of testing—the manufacturer’s specifications; and\n- (i) the appropriate Australian Standard for testing the device, as in force on the day of testing; or\n- (ii) if there is no appropriate Australian Standard for testing the device in force on the day of testing—the manufacturer’s specifications; and\n- (b) was found to produce accurate results at the time of testing.\n- (i) the appropriate Australian Standard for testing the device, as in force on the day of testing; or\n- (ii) if there is no appropriate Australian Standard for testing the device in force on the day of testing—the manufacturer’s specifications; and","sortOrder":366},{"sectionNumber":"sec.123K","sectionType":"section","heading":"Certificate is evidence of another matter—speedometer accuracy indicator","content":"### sec.123K Certificate is evidence of another matter—speedometer accuracy indicator\n\nThis section applies to a certificate purporting to be signed by the commissioner stating a specified vehicle speedometer accuracy indicator (commonly known as a chassis dynamometer) has been—\ntested at a specified time; and\nfound to produce accurate results at the time of testing.\nFor a proceeding for an offence against a transport Act, the certificate is evidence the indicator was producing accurate results when tested and for 6 months after the day of testing.\ns&#160;123K ins 2019 No.&#160;25 s&#160;104\n(sec.123K-ssec.1) This section applies to a certificate purporting to be signed by the commissioner stating a specified vehicle speedometer accuracy indicator (commonly known as a chassis dynamometer) has been— tested at a specified time; and found to produce accurate results at the time of testing.\n(sec.123K-ssec.2) For a proceeding for an offence against a transport Act, the certificate is evidence the indicator was producing accurate results when tested and for 6 months after the day of testing.\n- (a) tested at a specified time; and\n- (b) found to produce accurate results at the time of testing.","sortOrder":367},{"sectionNumber":"sec.123L","sectionType":"section","heading":"Certificate is evidence of another matter—analysing instrument","content":"### sec.123L Certificate is evidence of another matter—analysing instrument\n\nThis section applies to a certificate purporting to be signed by the commissioner or the chief executive stating that a breath analysing instrument or saliva analysing instrument has been—\ntested at a specified time—\nin accordance with the appropriate Australian Standard that is in force at the time or, if there is no appropriate standard, in accordance with the manufacturer’s specifications; and\nusing devices or substances certified or otherwise authenticated under the National Measurement Act 1960 (Cwlth) ; and\nfound to produce accurate results at the time of testing.\nFor a proceeding for an offence against a transport Act, the certificate is evidence—\nof the matters stated in it; and\nthat the breath analysing instrument or saliva analysing instrument was producing accurate results when tested and for 1 year after the day of testing.\ns&#160;123L ins 2019 No.&#160;25 s&#160;104\n(sec.123L-ssec.1) This section applies to a certificate purporting to be signed by the commissioner or the chief executive stating that a breath analysing instrument or saliva analysing instrument has been— tested at a specified time— in accordance with the appropriate Australian Standard that is in force at the time or, if there is no appropriate standard, in accordance with the manufacturer’s specifications; and using devices or substances certified or otherwise authenticated under the National Measurement Act 1960 (Cwlth) ; and found to produce accurate results at the time of testing.\n(sec.123L-ssec.2) For a proceeding for an offence against a transport Act, the certificate is evidence— of the matters stated in it; and that the breath analysing instrument or saliva analysing instrument was producing accurate results when tested and for 1 year after the day of testing.\n- (a) tested at a specified time— (i) in accordance with the appropriate Australian Standard that is in force at the time or, if there is no appropriate standard, in accordance with the manufacturer’s specifications; and (ii) using devices or substances certified or otherwise authenticated under the National Measurement Act 1960 (Cwlth) ; and\n- (i) in accordance with the appropriate Australian Standard that is in force at the time or, if there is no appropriate standard, in accordance with the manufacturer’s specifications; and\n- (ii) using devices or substances certified or otherwise authenticated under the National Measurement Act 1960 (Cwlth) ; and\n- (b) found to produce accurate results at the time of testing.\n- (i) in accordance with the appropriate Australian Standard that is in force at the time or, if there is no appropriate standard, in accordance with the manufacturer’s specifications; and\n- (ii) using devices or substances certified or otherwise authenticated under the National Measurement Act 1960 (Cwlth) ; and\n- (a) of the matters stated in it; and\n- (b) that the breath analysing instrument or saliva analysing instrument was producing accurate results when tested and for 1 year after the day of testing.","sortOrder":368},{"sectionNumber":"sec.123M","sectionType":"section","heading":"Exemption or non-application of provision—onus of proof","content":"### sec.123M Exemption or non-application of provision—onus of proof\n\nIn a proceeding for an offence under this Act, the defendant bears the onus of proving—\nthat a person, vehicle, tram, train, vessel or animal was at any time exempt from a provision of this Act; or\nthat a provision of this Act was not applicable to a person, vehicle, tram, train, vessel or animal.\ns&#160;123M ins 2019 No.&#160;25 s&#160;104\n- (a) that a person, vehicle, tram, train, vessel or animal was at any time exempt from a provision of this Act; or\n- (b) that a provision of this Act was not applicable to a person, vehicle, tram, train, vessel or animal.","sortOrder":369},{"sectionNumber":"sec.123N","sectionType":"section","heading":"Evidence of registration number","content":"### sec.123N Evidence of registration number\n\nThis section applies to evidence that a number plate showing a particular registration number was attached to a motor vehicle at a particular time.\nFor a proceeding for an offence against a transport Act, the evidence is evidence that the motor vehicle is the motor vehicle noted in the register of vehicles as having that registration number at that time.\nIn this section—\nmotor vehicle includes a motorised mobility device.\ns&#160;123N ins 2019 No.&#160;25 s&#160;104\namd 2022 No.&#160;19 s&#160;18\n(sec.123N-ssec.1) This section applies to evidence that a number plate showing a particular registration number was attached to a motor vehicle at a particular time.\n(sec.123N-ssec.2) For a proceeding for an offence against a transport Act, the evidence is evidence that the motor vehicle is the motor vehicle noted in the register of vehicles as having that registration number at that time.\n(sec.123N-ssec.3) In this section— motor vehicle includes a motorised mobility device.","sortOrder":370},{"sectionNumber":"sec.123O","sectionType":"section","heading":"Matters not necessary to prove","content":"### sec.123O Matters not necessary to prove\n\nFor a proceeding for an offence against a transport Act, it is not necessary to prove the following—\nthe limits of a district or part of a district;\nthat a road or place is within a district or part of a district;\nthe authority of the chief executive, the commissioner or a police officer to do any act or take any proceedings.\ns&#160;123O ins 2019 No.&#160;25 s&#160;104\n- (a) the limits of a district or part of a district;\n- (b) that a road or place is within a district or part of a district;\n- (c) the authority of the chief executive, the commissioner or a police officer to do any act or take any proceedings.","sortOrder":371},{"sectionNumber":"sec.123P","sectionType":"section","heading":"Evidence about analysing instruments","content":"### sec.123P Evidence about analysing instruments\n\nFor a proceeding for an offence against a transport Act, evidence of the condition of a breath analysing instrument or saliva analysing instrument, or the manner in which it was operated, is not required unless evidence is given that the instrument—\nwas not in proper condition; or\nwas not properly operated.\nIn this section—\nbreath analysing instrument see section&#160;80 (1) .\nsaliva analysing instrument see section&#160;80 (1) .\ns&#160;123P ins 2019 No.&#160;25 s&#160;104\n(sec.123P-ssec.1) For a proceeding for an offence against a transport Act, evidence of the condition of a breath analysing instrument or saliva analysing instrument, or the manner in which it was operated, is not required unless evidence is given that the instrument— was not in proper condition; or was not properly operated.\n(sec.123P-ssec.2) In this section— breath analysing instrument see section&#160;80 (1) . saliva analysing instrument see section&#160;80 (1) .\n- (a) was not in proper condition; or\n- (b) was not properly operated.","sortOrder":372},{"sectionNumber":"sec.123Q","sectionType":"section","heading":"Evidence about parking meters and parkatareas","content":"### sec.123Q Evidence about parking meters and parkatareas\n\nFor a proceeding for an offence against a transport Act, evidence of the condition of a parking meter or parkatarea is not required unless evidence is given that the parking meter or parkatarea was not in proper condition.\ns&#160;123Q ins 2019 No.&#160;25 s&#160;104","sortOrder":373},{"sectionNumber":"sec.123R","sectionType":"section","heading":"Challenges to devices","content":"### sec.123R Challenges to devices\n\nThis section applies to a defendant who intends, at the hearing of a charge against the defendant under this Act, to challenge—\nthe accuracy of a speed detection device or vehicle speedometer accuracy indicator for which a certificate is given under section&#160;123J or 123K ; or\nthe time at which, or way in which, the device was used.\nThe defendant must give written notice of the challenge to the prosecution.\nThe notice must—\nbe in the approved form; and\nbe signed by the defendant; and\nstate the grounds on which the defendant intends to rely to challenge a matter mentioned in subsection&#160;(1) (a) or (b) ; and\nbe given at least 14 days before the day fixed for the hearing.\ns&#160;123R ins 2019 No.&#160;25 s&#160;104\n(sec.123R-ssec.1) This section applies to a defendant who intends, at the hearing of a charge against the defendant under this Act, to challenge— the accuracy of a speed detection device or vehicle speedometer accuracy indicator for which a certificate is given under section&#160;123J or 123K ; or the time at which, or way in which, the device was used.\n(sec.123R-ssec.2) The defendant must give written notice of the challenge to the prosecution.\n(sec.123R-ssec.3) The notice must— be in the approved form; and be signed by the defendant; and state the grounds on which the defendant intends to rely to challenge a matter mentioned in subsection&#160;(1) (a) or (b) ; and be given at least 14 days before the day fixed for the hearing.\n- (a) the accuracy of a speed detection device or vehicle speedometer accuracy indicator for which a certificate is given under section&#160;123J or 123K ; or\n- (b) the time at which, or way in which, the device was used.\n- (a) be in the approved form; and\n- (b) be signed by the defendant; and\n- (c) state the grounds on which the defendant intends to rely to challenge a matter mentioned in subsection&#160;(1) (a) or (b) ; and\n- (d) be given at least 14 days before the day fixed for the hearing.","sortOrder":374},{"sectionNumber":"sec.123S","sectionType":"section","heading":"Instruments","content":"### sec.123S Instruments\n\nIn this section—\ninstrument means an instrument declared under a regulation to be an instrument for this section, and includes—\na speedometer; and\na weighing device.\nA certificate stating that, on a specified day or at a specified time on a specified day, a specified instrument—\nwas in a proper condition; or\nhad a specified level of accuracy;\nis evidence of those matters on the specified day or at the specified time, and for any period, prescribed under a regulation, after that day.\nEvidence of the condition of the instrument, or the way in which it was operated, is not required unless evidence that the instrument was not in proper condition or was not properly operated has been given.\nA defendant who intends to challenge the condition of an instrument, or the way in which it was operated, must give the complainant or arresting police officer (if any) written notice of the intention to challenge.\nThe notice must be given at least 14 working days before the return date of the summons or the appointed date for the hearing of the charge.\ns&#160;123S (prev s&#160;61) amd 1999 No.&#160;42 s&#160;49 ; 2002 No.&#160;71 s&#160;20\nreloc and renum 2019 No.&#160;25 s&#160;83\n(sec.123S-ssec.1) In this section— instrument means an instrument declared under a regulation to be an instrument for this section, and includes— a speedometer; and a weighing device.\n(sec.123S-ssec.2) A certificate stating that, on a specified day or at a specified time on a specified day, a specified instrument— was in a proper condition; or had a specified level of accuracy; is evidence of those matters on the specified day or at the specified time, and for any period, prescribed under a regulation, after that day.\n(sec.123S-ssec.3) Evidence of the condition of the instrument, or the way in which it was operated, is not required unless evidence that the instrument was not in proper condition or was not properly operated has been given.\n(sec.123S-ssec.4) A defendant who intends to challenge the condition of an instrument, or the way in which it was operated, must give the complainant or arresting police officer (if any) written notice of the intention to challenge.\n(sec.123S-ssec.5) The notice must be given at least 14 working days before the return date of the summons or the appointed date for the hearing of the charge.\n- (a) a speedometer; and\n- (b) a weighing device.\n- (a) was in a proper condition; or\n- (b) had a specified level of accuracy;","sortOrder":375},{"sectionNumber":"sec.123SA","sectionType":"section","heading":"Evidence of particular matters relating to vehicles","content":"### sec.123SA Evidence of particular matters relating to vehicles\n\nIn a proceeding for an offence against a transport Act—\nevidence that a sticker, label, plate or marking was on or attached to a vehicle, or a component of a vehicle, purportedly in relation to an approval under a vehicle standards Act, is evidence of the matters stated on the sticker, label, plate or marking; and\na certificate purporting to be signed by the chief executive stating that a document attached to the certificate is an extract from a register, database or administration system kept by the Commonwealth under, or for the administration of, a vehicle standards Act is evidence of the matters stated in the document; and\nthe Register of Approved Vehicles under the Road Vehicle Standards Act 2018 (Cwlth) (also known as the RAV)\nthe online administration system known as the ‘Road Vehicle Regulator’ or ROVER\nthe online administration system known as the ‘Road Vehicle Certification System’ or RVCS\na document purporting to have been published or produced by a manufacturer in relation to the manufacturer’s specifications for a specified type of vehicle, or a component of a specified type of vehicle, is evidence of the specifications stated in the document for the type of vehicle or the component; and\na document purporting to have been prepared by a manufacturer or importer of vehicles or components of vehicles, or a person acting on behalf of the manufacturer or importer, that purports to contain the results of testing of vehicles or components done for the purposes of an approval under a vehicle standards Act is evidence of the matters stated in the document; and\nevidence that a VIN or chassis number was on or attached to a vehicle is evidence that the vehicle had the VIN or chassis number; and\nevidence that a modification plate under a vehicle standards and safety regulation, or an equivalent plate under a corresponding law to a vehicle standards and safety regulation, was on or attached to a specified vehicle is evidence of the matters stated on the plate.\nIf a defendant intends, at the hearing of a charge against the defendant under a transport Act, to challenge a matter mentioned in subsection&#160;(1) , the defendant must give written notice of the challenge to the prosecution at least 14 days before the day fixed for the hearing.\nThe notice must—\nbe in the approved form; and\nbe signed by the defendant; and\nstate the grounds on which the defendant intends to rely to challenge the matter.\nIn this section—\nvehicle standards Act means any of the following Acts—\nthe Road Vehicle Standards Act 2018 (Cwlth) ;\nthe repealed Motor Vehicle Standards Act 1989 (Cwlth) ;\nthe Road Vehicle Standards (Consequential and Transitional Provisions) Act 2018 (Cwlth) .\ns&#160;123SA ins 2022 No.&#160;19 s&#160;19\n(sec.123SA-ssec.1) In a proceeding for an offence against a transport Act— evidence that a sticker, label, plate or marking was on or attached to a vehicle, or a component of a vehicle, purportedly in relation to an approval under a vehicle standards Act, is evidence of the matters stated on the sticker, label, plate or marking; and a certificate purporting to be signed by the chief executive stating that a document attached to the certificate is an extract from a register, database or administration system kept by the Commonwealth under, or for the administration of, a vehicle standards Act is evidence of the matters stated in the document; and the Register of Approved Vehicles under the Road Vehicle Standards Act 2018 (Cwlth) (also known as the RAV) the online administration system known as the ‘Road Vehicle Regulator’ or ROVER the online administration system known as the ‘Road Vehicle Certification System’ or RVCS a document purporting to have been published or produced by a manufacturer in relation to the manufacturer’s specifications for a specified type of vehicle, or a component of a specified type of vehicle, is evidence of the specifications stated in the document for the type of vehicle or the component; and a document purporting to have been prepared by a manufacturer or importer of vehicles or components of vehicles, or a person acting on behalf of the manufacturer or importer, that purports to contain the results of testing of vehicles or components done for the purposes of an approval under a vehicle standards Act is evidence of the matters stated in the document; and evidence that a VIN or chassis number was on or attached to a vehicle is evidence that the vehicle had the VIN or chassis number; and evidence that a modification plate under a vehicle standards and safety regulation, or an equivalent plate under a corresponding law to a vehicle standards and safety regulation, was on or attached to a specified vehicle is evidence of the matters stated on the plate.\n(sec.123SA-ssec.2) If a defendant intends, at the hearing of a charge against the defendant under a transport Act, to challenge a matter mentioned in subsection&#160;(1) , the defendant must give written notice of the challenge to the prosecution at least 14 days before the day fixed for the hearing.\n(sec.123SA-ssec.3) The notice must— be in the approved form; and be signed by the defendant; and state the grounds on which the defendant intends to rely to challenge the matter.\n(sec.123SA-ssec.4) In this section— vehicle standards Act means any of the following Acts— the Road Vehicle Standards Act 2018 (Cwlth) ; the repealed Motor Vehicle Standards Act 1989 (Cwlth) ; the Road Vehicle Standards (Consequential and Transitional Provisions) Act 2018 (Cwlth) .\n- (a) evidence that a sticker, label, plate or marking was on or attached to a vehicle, or a component of a vehicle, purportedly in relation to an approval under a vehicle standards Act, is evidence of the matters stated on the sticker, label, plate or marking; and\n- (b) a certificate purporting to be signed by the chief executive stating that a document attached to the certificate is an extract from a register, database or administration system kept by the Commonwealth under, or for the administration of, a vehicle standards Act is evidence of the matters stated in the document; and Examples of registers, databases and administration systems for paragraph&#160;(b) — • the Register of Approved Vehicles under the Road Vehicle Standards Act 2018 (Cwlth) (also known as the RAV) • the online administration system known as the ‘Road Vehicle Regulator’ or ROVER • the online administration system known as the ‘Road Vehicle Certification System’ or RVCS\n- • the Register of Approved Vehicles under the Road Vehicle Standards Act 2018 (Cwlth) (also known as the RAV)\n- • the online administration system known as the ‘Road Vehicle Regulator’ or ROVER\n- • the online administration system known as the ‘Road Vehicle Certification System’ or RVCS\n- (c) a document purporting to have been published or produced by a manufacturer in relation to the manufacturer’s specifications for a specified type of vehicle, or a component of a specified type of vehicle, is evidence of the specifications stated in the document for the type of vehicle or the component; and\n- (d) a document purporting to have been prepared by a manufacturer or importer of vehicles or components of vehicles, or a person acting on behalf of the manufacturer or importer, that purports to contain the results of testing of vehicles or components done for the purposes of an approval under a vehicle standards Act is evidence of the matters stated in the document; and\n- (e) evidence that a VIN or chassis number was on or attached to a vehicle is evidence that the vehicle had the VIN or chassis number; and\n- (f) evidence that a modification plate under a vehicle standards and safety regulation, or an equivalent plate under a corresponding law to a vehicle standards and safety regulation, was on or attached to a specified vehicle is evidence of the matters stated on the plate.\n- • the Register of Approved Vehicles under the Road Vehicle Standards Act 2018 (Cwlth) (also known as the RAV)\n- • the online administration system known as the ‘Road Vehicle Regulator’ or ROVER\n- • the online administration system known as the ‘Road Vehicle Certification System’ or RVCS\n- (a) be in the approved form; and\n- (b) be signed by the defendant; and\n- (c) state the grounds on which the defendant intends to rely to challenge the matter.\n- (a) the Road Vehicle Standards Act 2018 (Cwlth) ;\n- (b) the repealed Motor Vehicle Standards Act 1989 (Cwlth) ;\n- (c) the Road Vehicle Standards (Consequential and Transitional Provisions) Act 2018 (Cwlth) .","sortOrder":376},{"sectionNumber":"sec.123T","sectionType":"section","heading":"Transport documentation","content":"### sec.123T Transport documentation\n\nWithout limiting section&#160;123C , 123F or 123G , transport documentation is admissible in a proceeding under a transport Act relating to a prescribed dangerous goods vehicle or the transport of dangerous goods and is evidence of—\nthe identity and status of the parties to any transaction to which the documentation relates; and\nthe destination or intended destination of any load to which the documentation relates.\nIn this section—\nstatus , of the parties to a transaction, includes the status of each of the parties as a person involved in the transport of dangerous goods.\ns&#160;123T (prev s&#160;61B) ins 2007 No.&#160;43 s&#160;67\namd 2008 No.&#160;67 s&#160;80\nsub 2013 No.&#160;26 s&#160;78\namd 2019 No.&#160;25 s&#160;84 (1)\nreloc and renum 2019 No.&#160;25 s&#160;84 (2)\n(sec.123T-ssec.1) Without limiting section&#160;123C , 123F or 123G , transport documentation is admissible in a proceeding under a transport Act relating to a prescribed dangerous goods vehicle or the transport of dangerous goods and is evidence of— the identity and status of the parties to any transaction to which the documentation relates; and the destination or intended destination of any load to which the documentation relates.\n(sec.123T-ssec.2) In this section— status , of the parties to a transaction, includes the status of each of the parties as a person involved in the transport of dangerous goods.\n- (a) the identity and status of the parties to any transaction to which the documentation relates; and\n- (b) the destination or intended destination of any load to which the documentation relates.","sortOrder":377},{"sectionNumber":"sec.123U","sectionType":"section","heading":"Evidence not affected by nature of vehicle","content":"### sec.123U Evidence not affected by nature of vehicle\n\nEvidence obtained in relation to a vehicle because of the exercise of a power under this Act in the belief or suspicion that the vehicle is a heavy vehicle or prescribed vehicle is not affected merely because the vehicle is not a heavy vehicle or prescribed vehicle.\ns&#160;123U (prev s&#160;61C) ins 2007 No.&#160;43 s&#160;67\namd 2013 No.&#160;26 s&#160;79\nreloc and renum 2019 No.&#160;25 s&#160;85","sortOrder":378},{"sectionNumber":"sec.123V","sectionType":"section","heading":"Proceedings for offences","content":"### sec.123V Proceedings for offences\n\nA proceeding for an offence against a transport Act is a summary proceeding under the Justices Act 1886 .\nIf the proceeding is for an offence against section&#160;92 (1) in relation to an incident that happened after the commencement of this subsection, the proceeding must start within 5 years after the offence was committed.\nIf the proceeding is for an offence involving a heavy vehicle, a dangerous goods vehicle or the transport of dangerous goods, other than an offence that may be started as mentioned in subsection&#160;(2) , the proceeding must start—\nwithin 2 years after the offence was committed; or\nwithin 1 year after the offence comes to the complainant’s knowledge, but within 3 years after the offence was committed.\nIf the proceeding is for an offence other than an offence that may be started as mentioned in subsection&#160;(2) or (3) , the proceeding must start—\nwithin 1 year after the offence was committed; or\nwithin 6 months after the offence comes to the complainant’s knowledge, but within 2 years after the offence was committed.\nA statement in a complaint for an offence against a transport 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.\nIn this section—\ntransport Act does not include the Tow Truck Act 2023 .\ns&#160;123V (prev s&#160;62) amd 2007 No.&#160;6 s&#160;50 ; 2007 No.&#160;43 ss&#160;68 , 78 ; 2008 No.&#160;67 s&#160;81 ; 2014 No.&#160;43 s&#160;79\nreloc and renum 2019 No.&#160;25 s&#160;85\namd 2023 No.&#160;28 s&#160;208\n(sec.123V-ssec.1) A proceeding for an offence against a transport Act is a summary proceeding under the Justices Act 1886 .\n(sec.123V-ssec.2) If the proceeding is for an offence against section&#160;92 (1) in relation to an incident that happened after the commencement of this subsection, the proceeding must start within 5 years after the offence was committed.\n(sec.123V-ssec.3) If the proceeding is for an offence involving a heavy vehicle, a dangerous goods vehicle or the transport of dangerous goods, other than an offence that may be started as mentioned in subsection&#160;(2) , the proceeding must start— within 2 years after the offence was committed; or within 1 year after the offence comes to the complainant’s knowledge, but within 3 years after the offence was committed.\n(sec.123V-ssec.4) If the proceeding is for an offence other than an offence that may be started as mentioned in subsection&#160;(2) or (3) , the proceeding must start— within 1 year after the offence was committed; or within 6 months after the offence comes to the complainant’s knowledge, but within 2 years after the offence was committed.\n(sec.123V-ssec.5) A statement in a complaint for an offence against a transport 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(sec.123V-ssec.6) In this section— transport Act does not include the Tow Truck Act 2023 .\n- (a) within 2 years after the offence was committed; or\n- (b) within 1 year after the offence comes to the complainant’s knowledge, but within 3 years after the offence was committed.\n- (a) within 1 year after the offence was committed; or\n- (b) within 6 months after the offence comes to the complainant’s knowledge, but within 2 years after the offence was committed.","sortOrder":379},{"sectionNumber":"sec.123W","sectionType":"section","heading":"Black and white reproductions of words in colour","content":"### sec.123W Black and white reproductions of words in colour\n\nIf a word appears in colour (other than black and white) in a statutory instrument under this Act, a copy of the instrument may for all purposes be printed showing the same word in black and white.\nA statutory instrument may show a colour drawing of an official traffic sign. An official publication or reprint of the statutory instrument may show the same drawing in black and white.\ns&#160;123W (prev s&#160;62A) ins 1999 No.&#160;42 s&#160;50\nreloc and renum 2019 No.&#160;25 s&#160;85","sortOrder":380},{"sectionNumber":"sec.124","sectionType":"section","heading":"Facilitation of proof","content":"### sec.124 Facilitation of proof\n\nIn any proceeding under or for the purpose of this Act, the following apply—\nproof that a person applied for or obtained a licence for a vehicle shall be evidence that such person was the owner of such vehicle and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such ownership;\na document purporting to be signed by the chief executive, the commissioner or a superintendent and stating that at any stated time there was or was not in force a licence under this Act as described therein issued to a stated person, or in respect of a stated vehicle, or for a stated purpose (or a document purporting to be signed by the officer ordinarily having the custody of the particulars of Queensland driver licences and stating that at any stated time there was or was not in force a Queensland driver licence under this Act issued to a stated person), or, in the case of either document as aforesaid, stating that any such licence was or was not issued subject to terms, conditions, or restrictions, or was or was not issued subject to the terms, conditions, and restrictions set out in that document shall, upon its production in evidence, be evidence of the matter or matters in that document, and in the absence of evidence in rebuttal thereof shall be conclusive evidence of such matter or matters;\nagainst the owner of a vehicle, tram, or animal for permitting or allowing such vehicle, tram, or animal to be used or driven by a person not authorised under this Act by an appropriate driver licence or otherwise to use or drive that vehicle, tram, or animal, proof that such person used or drove that vehicle, tram, or animal shall be evidence that the owner of such vehicle, tram, or animal permitted or allowed such use or driving, and in the absence of evidence in rebuttal thereof shall be conclusive evidence that the owner of such vehicle, tram, or animal permitted or allowed such use or driving;\nany certificate purporting to be signed by the chief executive, the commissioner, a superintendent, chief executive officer of a local government or a clerk of the court or other person having custody of records relating to payments of moneys payable under this Act of the receipt or non-receipt of any notice, application, or payment or of any other thing required by this Act to be given or made shall, upon its production in evidence, be evidence of the matter or matters certified to therein, and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such matter or matters;\nany certificate purporting to be signed by the chief executive as to any inspection made by any inspector appointed under this Act of any vehicle, whether such inspection was carried out at the direction of any police officer or not, shall, upon its production (and provided that a copy thereof has been made available a reasonable time before the hearing of the proceedings to any party, if requested), be evidence of the matter or matters stated therein and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such matter or matters, and the appointment of the inspector who made such inspection shall be presumed until the contrary is proved;\nany certificate or document—\npurporting to be issued under regulations about motor vehicle or motorised mobility device registrations made under this Act or a law of another State or a Territory corresponding to the regulations (a corresponding law ); or\npurporting to be signed by the chief executive, an entity responsible for registering motor vehicles or motorised mobility devices under a corresponding law, or a person authorised by the chief executive or entity;\nwhich states that on any day or during any period the motor vehicle or motorised mobility device stated in the certificate or document was registered in the name of the person stated therein shall be received in evidence, and shall be evidence that the person stated in the certificate or document was the owner of the motor vehicle or motorised mobility device stated therein on the day or during the period stated therein, and in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such ownership;\nany certificate or document referred to in paragraph&#160;(f) shall be presumed to have been duly issued or given until the contrary is proved;\na certificate purporting to be signed by the chief executive, the commissioner or a superintendent stating that the records of the chief executive, commissioner or superintendent, as the case may be, show that any person was the licensee of any vehicle licensed under this Act at any time shall be received in evidence and shall be evidence that such person was such licensee at such time, and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence that such person was such licensee at that time;\nthe allegation or averment in any complaint that—\nany person is or is not or was or was not at any time or date mentioned in the complaint—\nthe owner of any vehicle, tram, train, vessel, or animal; or\nthe holder of a licence or any particular class or description of licence; or\nof, or under, or over a stated age; or\nthe holder of a driver licence authorising the holder to drive a motor vehicle on the road therein specified; or\nany thing is or was a vehicle, tram, train, vessel, or animal or of a particular class or description thereof; or\nany place or thing is or was a road or a part of a road or an off-street regulated parking area or a part of such an area; or\nany way is or was a tramway or railway; or\nany distance referred to therein is or was a stated distance or is or was greater or less than a stated distance; or\nany indication or prescribed indication is or was given by an official traffic sign;\nshall be evidence of the matter or matters so averred or alleged, and in the absence of evidence in rebuttal thereof shall be conclusive evidence of such matter or matters;\nthe allegation or averment in any complaint that any sign, signal, light, marking, or other device—\nis or is not, or was or was not, an official traffic sign; or\nis or is not, or was or was not, lawfully constructed, made, marked, placed, erected, affixed, or painted in, into, or on or near any stated road or off-street regulated parking area, or that such sign, signal, light, marking, or other device is or is not, or was or was not, for any purpose stated in the complaint; or\ndoes or does not contain, or has or has not contained, any stated work, figure, warning, direction, indication, or symbol;\nshall be evidence of the matter or matters so alleged or averred and in the absence of evidence in rebuttal thereof shall be conclusive evidence of such matter or matters;\nany person who appears, acts, or behaves as the driver, rider, or person having the possession, custody, care, or management of any vehicle, tram, train, vessel, or animal, or who uses or drives, or attempts to use or drive the same shall be presumed to be the person in charge thereof whether the person is or is not the real person in charge, and it is immaterial that by reason of circumstances not known to such person it is impossible to drive or otherwise use the same;\nSubsection&#160;(1) (i) and (j) shall apply to any matter alleged or averred thereunder although—\nevidence in support of such matter or of any other matter is given; or\nany matter so alleged or averred is a mixed question of law and fact, but in that case the allegation or averment shall be evidence of the fact only.\ns&#160;124 (prev 1949 13 Geo 6 No. 26 s&#160;49) amd 1953 2 Eliz 2 No. 11 s&#160;8; 1959 8 Eliz 2 No. 21 s&#160;27 sch; 1960 9 Eliz 2 No. 44 s&#160;10; 1961 10 Eliz 2 No. 27 s&#160;27; 1965 No.&#160;26 s&#160;36 ; 1971 No.&#160;33 s&#160;13 ; 1974 No.&#160;18 s&#160;16 (amd 1984 No.&#160;102 s&#160;37 ); 1975 No.&#160;13 s&#160;5 ; 1982 No.&#160;15 s&#160;13 ; 1984 No.&#160;102 s&#160;21 ; 1985 No.&#160;30 s&#160;74 ; 1990 No.&#160;73 s&#160;3 sch&#160;5 ; 1994 No.&#160;7 s&#160;32 (amd 1994 No.&#160;15 s&#160;3 sch&#160;1 ); 1996 No.&#160;62 s&#160;13 ; 1997 No.&#160;66 s&#160;31 ; 1999 No.&#160;42 s&#160;21 , s&#160;54 (1) sch amdts 122–128\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 131\namd 2001 No.&#160;79 s&#160;107 ; 2005 No.&#160;49 s&#160;64 ; 2007 No.&#160;36 s&#160;2 sch ; 2007 No.&#160;6 ss&#160;62 , 66 (1) sch&#160;2 ; 2007 No.&#160;43 s&#160;82 ; 2008 No.&#160;31 s&#160;45 ; 2010 No.&#160;13 ss&#160;18 , 40 ; 2017 No.&#160;25 s&#160;78 ; 2019 No.&#160;25 s&#160;105 ; 2022 No.&#160;19 s&#160;20\n(sec.124-ssec.1) In any proceeding under or for the purpose of this Act, the following apply— proof that a person applied for or obtained a licence for a vehicle shall be evidence that such person was the owner of such vehicle and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such ownership; a document purporting to be signed by the chief executive, the commissioner or a superintendent and stating that at any stated time there was or was not in force a licence under this Act as described therein issued to a stated person, or in respect of a stated vehicle, or for a stated purpose (or a document purporting to be signed by the officer ordinarily having the custody of the particulars of Queensland driver licences and stating that at any stated time there was or was not in force a Queensland driver licence under this Act issued to a stated person), or, in the case of either document as aforesaid, stating that any such licence was or was not issued subject to terms, conditions, or restrictions, or was or was not issued subject to the terms, conditions, and restrictions set out in that document shall, upon its production in evidence, be evidence of the matter or matters in that document, and in the absence of evidence in rebuttal thereof shall be conclusive evidence of such matter or matters; against the owner of a vehicle, tram, or animal for permitting or allowing such vehicle, tram, or animal to be used or driven by a person not authorised under this Act by an appropriate driver licence or otherwise to use or drive that vehicle, tram, or animal, proof that such person used or drove that vehicle, tram, or animal shall be evidence that the owner of such vehicle, tram, or animal permitted or allowed such use or driving, and in the absence of evidence in rebuttal thereof shall be conclusive evidence that the owner of such vehicle, tram, or animal permitted or allowed such use or driving; any certificate purporting to be signed by the chief executive, the commissioner, a superintendent, chief executive officer of a local government or a clerk of the court or other person having custody of records relating to payments of moneys payable under this Act of the receipt or non-receipt of any notice, application, or payment or of any other thing required by this Act to be given or made shall, upon its production in evidence, be evidence of the matter or matters certified to therein, and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such matter or matters; any certificate purporting to be signed by the chief executive as to any inspection made by any inspector appointed under this Act of any vehicle, whether such inspection was carried out at the direction of any police officer or not, shall, upon its production (and provided that a copy thereof has been made available a reasonable time before the hearing of the proceedings to any party, if requested), be evidence of the matter or matters stated therein and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such matter or matters, and the appointment of the inspector who made such inspection shall be presumed until the contrary is proved; any certificate or document— purporting to be issued under regulations about motor vehicle or motorised mobility device registrations made under this Act or a law of another State or a Territory corresponding to the regulations (a corresponding law ); or purporting to be signed by the chief executive, an entity responsible for registering motor vehicles or motorised mobility devices under a corresponding law, or a person authorised by the chief executive or entity; which states that on any day or during any period the motor vehicle or motorised mobility device stated in the certificate or document was registered in the name of the person stated therein shall be received in evidence, and shall be evidence that the person stated in the certificate or document was the owner of the motor vehicle or motorised mobility device stated therein on the day or during the period stated therein, and in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such ownership; any certificate or document referred to in paragraph&#160;(f) shall be presumed to have been duly issued or given until the contrary is proved; a certificate purporting to be signed by the chief executive, the commissioner or a superintendent stating that the records of the chief executive, commissioner or superintendent, as the case may be, show that any person was the licensee of any vehicle licensed under this Act at any time shall be received in evidence and shall be evidence that such person was such licensee at such time, and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence that such person was such licensee at that time; the allegation or averment in any complaint that— any person is or is not or was or was not at any time or date mentioned in the complaint— the owner of any vehicle, tram, train, vessel, or animal; or the holder of a licence or any particular class or description of licence; or of, or under, or over a stated age; or the holder of a driver licence authorising the holder to drive a motor vehicle on the road therein specified; or any thing is or was a vehicle, tram, train, vessel, or animal or of a particular class or description thereof; or any place or thing is or was a road or a part of a road or an off-street regulated parking area or a part of such an area; or any way is or was a tramway or railway; or any distance referred to therein is or was a stated distance or is or was greater or less than a stated distance; or any indication or prescribed indication is or was given by an official traffic sign; shall be evidence of the matter or matters so averred or alleged, and in the absence of evidence in rebuttal thereof shall be conclusive evidence of such matter or matters; the allegation or averment in any complaint that any sign, signal, light, marking, or other device— is or is not, or was or was not, an official traffic sign; or is or is not, or was or was not, lawfully constructed, made, marked, placed, erected, affixed, or painted in, into, or on or near any stated road or off-street regulated parking area, or that such sign, signal, light, marking, or other device is or is not, or was or was not, for any purpose stated in the complaint; or does or does not contain, or has or has not contained, any stated work, figure, warning, direction, indication, or symbol; shall be evidence of the matter or matters so alleged or averred and in the absence of evidence in rebuttal thereof shall be conclusive evidence of such matter or matters; any person who appears, acts, or behaves as the driver, rider, or person having the possession, custody, care, or management of any vehicle, tram, train, vessel, or animal, or who uses or drives, or attempts to use or drive the same shall be presumed to be the person in charge thereof whether the person is or is not the real person in charge, and it is immaterial that by reason of circumstances not known to such person it is impossible to drive or otherwise use the same;\n(sec.124-ssec.2) Subsection&#160;(1) (i) and (j) shall apply to any matter alleged or averred thereunder although— evidence in support of such matter or of any other matter is given; or any matter so alleged or averred is a mixed question of law and fact, but in that case the allegation or averment shall be evidence of the fact only.\n- (a) proof that a person applied for or obtained a licence for a vehicle shall be evidence that such person was the owner of such vehicle and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such ownership;\n- (b) a document purporting to be signed by the chief executive, the commissioner or a superintendent and stating that at any stated time there was or was not in force a licence under this Act as described therein issued to a stated person, or in respect of a stated vehicle, or for a stated purpose (or a document purporting to be signed by the officer ordinarily having the custody of the particulars of Queensland driver licences and stating that at any stated time there was or was not in force a Queensland driver licence under this Act issued to a stated person), or, in the case of either document as aforesaid, stating that any such licence was or was not issued subject to terms, conditions, or restrictions, or was or was not issued subject to the terms, conditions, and restrictions set out in that document shall, upon its production in evidence, be evidence of the matter or matters in that document, and in the absence of evidence in rebuttal thereof shall be conclusive evidence of such matter or matters;\n- (c) against the owner of a vehicle, tram, or animal for permitting or allowing such vehicle, tram, or animal to be used or driven by a person not authorised under this Act by an appropriate driver licence or otherwise to use or drive that vehicle, tram, or animal, proof that such person used or drove that vehicle, tram, or animal shall be evidence that the owner of such vehicle, tram, or animal permitted or allowed such use or driving, and in the absence of evidence in rebuttal thereof shall be conclusive evidence that the owner of such vehicle, tram, or animal permitted or allowed such use or driving;\n- (d) any certificate purporting to be signed by the chief executive, the commissioner, a superintendent, chief executive officer of a local government or a clerk of the court or other person having custody of records relating to payments of moneys payable under this Act of the receipt or non-receipt of any notice, application, or payment or of any other thing required by this Act to be given or made shall, upon its production in evidence, be evidence of the matter or matters certified to therein, and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such matter or matters;\n- (e) any certificate purporting to be signed by the chief executive as to any inspection made by any inspector appointed under this Act of any vehicle, whether such inspection was carried out at the direction of any police officer or not, shall, upon its production (and provided that a copy thereof has been made available a reasonable time before the hearing of the proceedings to any party, if requested), be evidence of the matter or matters stated therein and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such matter or matters, and the appointment of the inspector who made such inspection shall be presumed until the contrary is proved;\n- (f) any certificate or document— (i) purporting to be issued under regulations about motor vehicle or motorised mobility device registrations made under this Act or a law of another State or a Territory corresponding to the regulations (a corresponding law ); or (ii) purporting to be signed by the chief executive, an entity responsible for registering motor vehicles or motorised mobility devices under a corresponding law, or a person authorised by the chief executive or entity; which states that on any day or during any period the motor vehicle or motorised mobility device stated in the certificate or document was registered in the name of the person stated therein shall be received in evidence, and shall be evidence that the person stated in the certificate or document was the owner of the motor vehicle or motorised mobility device stated therein on the day or during the period stated therein, and in the absence of evidence in rebuttal thereof, shall be conclusive evidence of such ownership;\n- (i) purporting to be issued under regulations about motor vehicle or motorised mobility device registrations made under this Act or a law of another State or a Territory corresponding to the regulations (a corresponding law ); or\n- (ii) purporting to be signed by the chief executive, an entity responsible for registering motor vehicles or motorised mobility devices under a corresponding law, or a person authorised by the chief executive or entity;\n- (g) any certificate or document referred to in paragraph&#160;(f) shall be presumed to have been duly issued or given until the contrary is proved;\n- (h) a certificate purporting to be signed by the chief executive, the commissioner or a superintendent stating that the records of the chief executive, commissioner or superintendent, as the case may be, show that any person was the licensee of any vehicle licensed under this Act at any time shall be received in evidence and shall be evidence that such person was such licensee at such time, and, in the absence of evidence in rebuttal thereof, shall be conclusive evidence that such person was such licensee at that time;\n- (i) the allegation or averment in any complaint that— (i) any person is or is not or was or was not at any time or date mentioned in the complaint— (A) the owner of any vehicle, tram, train, vessel, or animal; or (B) the holder of a licence or any particular class or description of licence; or (C) of, or under, or over a stated age; or (D) the holder of a driver licence authorising the holder to drive a motor vehicle on the road therein specified; or (ii) any thing is or was a vehicle, tram, train, vessel, or animal or of a particular class or description thereof; or (iii) any place or thing is or was a road or a part of a road or an off-street regulated parking area or a part of such an area; or (iv) any way is or was a tramway or railway; or (v) any distance referred to therein is or was a stated distance or is or was greater or less than a stated distance; or (vi) any indication or prescribed indication is or was given by an official traffic sign; shall be evidence of the matter or matters so averred or alleged, and in the absence of evidence in rebuttal thereof shall be conclusive evidence of such matter or matters;\n- (i) any person is or is not or was or was not at any time or date mentioned in the complaint— (A) the owner of any vehicle, tram, train, vessel, or animal; or (B) the holder of a licence or any particular class or description of licence; or (C) of, or under, or over a stated age; or (D) the holder of a driver licence authorising the holder to drive a motor vehicle on the road therein specified; or\n- (A) the owner of any vehicle, tram, train, vessel, or animal; or\n- (B) the holder of a licence or any particular class or description of licence; or\n- (C) of, or under, or over a stated age; or\n- (D) the holder of a driver licence authorising the holder to drive a motor vehicle on the road therein specified; or\n- (ii) any thing is or was a vehicle, tram, train, vessel, or animal or of a particular class or description thereof; or\n- (iii) any place or thing is or was a road or a part of a road or an off-street regulated parking area or a part of such an area; or\n- (iv) any way is or was a tramway or railway; or\n- (v) any distance referred to therein is or was a stated distance or is or was greater or less than a stated distance; or\n- (vi) any indication or prescribed indication is or was given by an official traffic sign;\n- (j) the allegation or averment in any complaint that any sign, signal, light, marking, or other device— (i) is or is not, or was or was not, an official traffic sign; or (ii) is or is not, or was or was not, lawfully constructed, made, marked, placed, erected, affixed, or painted in, into, or on or near any stated road or off-street regulated parking area, or that such sign, signal, light, marking, or other device is or is not, or was or was not, for any purpose stated in the complaint; or (iii) does or does not contain, or has or has not contained, any stated work, figure, warning, direction, indication, or symbol; shall be evidence of the matter or matters so alleged or averred and in the absence of evidence in rebuttal thereof shall be conclusive evidence of such matter or matters;\n- (i) is or is not, or was or was not, an official traffic sign; or\n- (ii) is or is not, or was or was not, lawfully constructed, made, marked, placed, erected, affixed, or painted in, into, or on or near any stated road or off-street regulated parking area, or that such sign, signal, light, marking, or other device is or is not, or was or was not, for any purpose stated in the complaint; or\n- (iii) does or does not contain, or has or has not contained, any stated work, figure, warning, direction, indication, or symbol;\n- (k) any person who appears, acts, or behaves as the driver, rider, or person having the possession, custody, care, or management of any vehicle, tram, train, vessel, or animal, or who uses or drives, or attempts to use or drive the same shall be presumed to be the person in charge thereof whether the person is or is not the real person in charge, and it is immaterial that by reason of circumstances not known to such person it is impossible to drive or otherwise use the same;\n- (i) purporting to be issued under regulations about motor vehicle or motorised mobility device registrations made under this Act or a law of another State or a Territory corresponding to the regulations (a corresponding law ); or\n- (ii) purporting to be signed by the chief executive, an entity responsible for registering motor vehicles or motorised mobility devices under a corresponding law, or a person authorised by the chief executive or entity;\n- (i) any person is or is not or was or was not at any time or date mentioned in the complaint— (A) the owner of any vehicle, tram, train, vessel, or animal; or (B) the holder of a licence or any particular class or description of licence; or (C) of, or under, or over a stated age; or (D) the holder of a driver licence authorising the holder to drive a motor vehicle on the road therein specified; or\n- (A) the owner of any vehicle, tram, train, vessel, or animal; or\n- (B) the holder of a licence or any particular class or description of licence; or\n- (C) of, or under, or over a stated age; or\n- (D) the holder of a driver licence authorising the holder to drive a motor vehicle on the road therein specified; or\n- (ii) any thing is or was a vehicle, tram, train, vessel, or animal or of a particular class or description thereof; or\n- (iii) any place or thing is or was a road or a part of a road or an off-street regulated parking area or a part of such an area; or\n- (iv) any way is or was a tramway or railway; or\n- (v) any distance referred to therein is or was a stated distance or is or was greater or less than a stated distance; or\n- (vi) any indication or prescribed indication is or was given by an official traffic sign;\n- (A) the owner of any vehicle, tram, train, vessel, or animal; or\n- (B) the holder of a licence or any particular class or description of licence; or\n- (C) of, or under, or over a stated age; or\n- (D) the holder of a driver licence authorising the holder to drive a motor vehicle on the road therein specified; or\n- (i) is or is not, or was or was not, an official traffic sign; or\n- (ii) is or is not, or was or was not, lawfully constructed, made, marked, placed, erected, affixed, or painted in, into, or on or near any stated road or off-street regulated parking area, or that such sign, signal, light, marking, or other device is or is not, or was or was not, for any purpose stated in the complaint; or\n- (iii) does or does not contain, or has or has not contained, any stated work, figure, warning, direction, indication, or symbol;\n- (a) evidence in support of such matter or of any other matter is given; or\n- (b) any matter so alleged or averred is a mixed question of law and fact, but in that case the allegation or averment shall be evidence of the fact only.","sortOrder":381},{"sectionNumber":"sec.124AA","sectionType":"section","heading":"Inspection certificates","content":"### sec.124AA Inspection certificates\n\nThis section applies to a document purporting to be—\na print-out of an inspection certificate issued electronically under a vehicle standards and safety regulation; or\nan inspection certificate issued manually under a vehicle standards and safety regulation.\nFor a proceeding for an offence against a transport Act, the document—\nis taken to be an inspection certificate—\nissued under the vehicle standards and safety regulation; and\nof the type it purports to be; and\nis admissible in a proceeding for an offence against a transport Act as evidence of a matter stated in the document.\nIn this section—\nissued electronically means issued using an electronic method.\nissued manually means issued other than by using an electronic method.\ns&#160;124AA ins 2019 No.&#160;25 s&#160;40\namd 2022 No.&#160;19 s&#160;21\n(sec.124AA-ssec.1) This section applies to a document purporting to be— a print-out of an inspection certificate issued electronically under a vehicle standards and safety regulation; or an inspection certificate issued manually under a vehicle standards and safety regulation.\n(sec.124AA-ssec.2) For a proceeding for an offence against a transport Act, the document— is taken to be an inspection certificate— issued under the vehicle standards and safety regulation; and of the type it purports to be; and is admissible in a proceeding for an offence against a transport Act as evidence of a matter stated in the document.\n(sec.124AA-ssec.3) In this section— issued electronically means issued using an electronic method. issued manually means issued other than by using an electronic method.\n- (a) a print-out of an inspection certificate issued electronically under a vehicle standards and safety regulation; or\n- (b) an inspection certificate issued manually under a vehicle standards and safety regulation.\n- (a) is taken to be an inspection certificate— (i) issued under the vehicle standards and safety regulation; and (ii) of the type it purports to be; and\n- (i) issued under the vehicle standards and safety regulation; and\n- (ii) of the type it purports to be; and\n- (b) is admissible in a proceeding for an offence against a transport Act as evidence of a matter stated in the document.\n- (i) issued under the vehicle standards and safety regulation; and\n- (ii) of the type it purports to be; and","sortOrder":382},{"sectionNumber":"sec.124A","sectionType":"section","heading":"Additional ground of challenge not stated in written notice required under particular provisions","content":"### sec.124A Additional ground of challenge not stated in written notice required under particular provisions\n\nThis section applies to a hearing in relation to which a person has given a written notice under section&#160;80 (27) , 119 (1) , 120 (7) , 123R (2) or 123SA (2) .\nThe requirement mentioned in section&#160;80 (27) (c) , 119 (2) , 120 (8) , 123R (3) or 123SA (3) to state in the written notice the grounds on which the person intends to challenge the evidence mentioned in that subsection does not prevent the person from raising a ground at the hearing to challenge the evidence if—\nthe person did not know the ground before the hearing; and\nas far as the ground was able to be found out by the person—the person took all reasonable steps to find out the ground before the hearing.\nIf a person raises a ground at the hearing that was not stated in a written notice under section&#160;80 (27) , 119 (1) , 120 (7) , 123R (2) or 123SA (2) , the court may adjourn the hearing to the time, and on the terms as to costs, the court considers appropriate.\nSubsection&#160;(3) does not limit the powers of the court.\ns&#160;124A ins 2007 No.&#160;43 s&#160;83\namd 2010 No.&#160;13 s&#160;41 ; 2013 No.&#160;26 s&#160;83 ; 2019 No.&#160;25 s&#160;106 ; 2022 No.&#160;19 s&#160;22\n(sec.124A-ssec.1) This section applies to a hearing in relation to which a person has given a written notice under section&#160;80 (27) , 119 (1) , 120 (7) , 123R (2) or 123SA (2) .\n(sec.124A-ssec.2) The requirement mentioned in section&#160;80 (27) (c) , 119 (2) , 120 (8) , 123R (3) or 123SA (3) to state in the written notice the grounds on which the person intends to challenge the evidence mentioned in that subsection does not prevent the person from raising a ground at the hearing to challenge the evidence if— the person did not know the ground before the hearing; and as far as the ground was able to be found out by the person—the person took all reasonable steps to find out the ground before the hearing.\n(sec.124A-ssec.3) If a person raises a ground at the hearing that was not stated in a written notice under section&#160;80 (27) , 119 (1) , 120 (7) , 123R (2) or 123SA (2) , the court may adjourn the hearing to the time, and on the terms as to costs, the court considers appropriate.\n(sec.124A-ssec.4) Subsection&#160;(3) does not limit the powers of the court.\n- (a) the person did not know the ground before the hearing; and\n- (b) as far as the ground was able to be found out by the person—the person took all reasonable steps to find out the ground before the hearing.","sortOrder":383},{"sectionNumber":"sec.125","sectionType":"section","heading":"When offences not to be dealt with summarily","content":"### sec.125 When offences not to be dealt with summarily\n\nWhere a person is charged with an act or omission which is both an offence under this Act and an indictable offence, the justices shall abstain from dealing with the case summarily if they are of opinion that the charge is a fit subject for prosecution by indictment and thereupon shall commit the alleged offender for trial.\ns&#160;125 (prev 1949 13 Geo 6 No. 26 s&#160;51) amd 1999 No.&#160;42 s&#160;54 (1) sch amdt 129, 130\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 131","sortOrder":384},{"sectionNumber":"sec.125A","sectionType":"section","heading":"Onus of proof not lessened or affected","content":"### sec.125A Onus of proof not lessened or affected\n\nThis part does not lessen or affect any onus of proof otherwise falling on the defendant.\ns&#160;125A ins 2019 No.&#160;25 s&#160;107","sortOrder":385},{"sectionNumber":"ch.5-pt.9","sectionType":"part","heading":"General","content":"# General","sortOrder":386},{"sectionNumber":"sec.126","sectionType":"section","heading":"Fraud and unlawful possession of licences","content":"### sec.126 Fraud and unlawful possession of licences\n\nA person shall not—\nwithout lawful excuse (the proof of which shall be upon the person) have in the person’s possession—\nany licence; or\nany article resembling a licence and calculated to deceive; or\nany document which was formerly a licence, but which is void, cancelled, suspended, or surrendered; or\nforge, or without lawful excuse (the proof of which shall be upon the person) use, lend, or permit or allow to be used by any other person any licence; or\nunless the person is authorised by or under this Act or is a person acting under the direction of the chief executive or the commissioner or a judge of the Supreme Court or District Court or justices, make or cause or permit or allow to be made any endorsement or any addition or alteration or erasure whatsoever on or from a licence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nAny licence obtained by any false statement or misrepresentation shall be null and void.\nIn this section—\nlicence does not include an accreditation under the Tow Truck Act 2023 .\ns&#160;126 (prev 1949 13 Geo 6 No. 26 s&#160;53) amd 1961 10 Eliz 2 No. 27 s&#160;29; 1984 No.&#160;102 s&#160;22 ; 1990 No.&#160;73 s&#160;3 sch&#160;5 ; 1990 No.&#160;103 s&#160;2 .16; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdt 132\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 153\namd 2014 No.&#160;43 s&#160;117 sch&#160;1 ; 2023 No.&#160;28 s&#160;209\n(sec.126-ssec.1) A person shall not— without lawful excuse (the proof of which shall be upon the person) have in the person’s possession— any licence; or any article resembling a licence and calculated to deceive; or any document which was formerly a licence, but which is void, cancelled, suspended, or surrendered; or forge, or without lawful excuse (the proof of which shall be upon the person) use, lend, or permit or allow to be used by any other person any licence; or unless the person is authorised by or under this Act or is a person acting under the direction of the chief executive or the commissioner or a judge of the Supreme Court or District Court or justices, make or cause or permit or allow to be made any endorsement or any addition or alteration or erasure whatsoever on or from a licence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.126-ssec.2) Any licence obtained by any false statement or misrepresentation shall be null and void.\n(sec.126-ssec.3) In this section— licence does not include an accreditation under the Tow Truck Act 2023 .\n- (a) without lawful excuse (the proof of which shall be upon the person) have in the person’s possession— (i) any licence; or (ii) any article resembling a licence and calculated to deceive; or (iii) any document which was formerly a licence, but which is void, cancelled, suspended, or surrendered; or\n- (i) any licence; or\n- (ii) any article resembling a licence and calculated to deceive; or\n- (iii) any document which was formerly a licence, but which is void, cancelled, suspended, or surrendered; or\n- (b) forge, or without lawful excuse (the proof of which shall be upon the person) use, lend, or permit or allow to be used by any other person any licence; or\n- (c) unless the person is authorised by or under this Act or is a person acting under the direction of the chief executive or the commissioner or a judge of the Supreme Court or District Court or justices, make or cause or permit or allow to be made any endorsement or any addition or alteration or erasure whatsoever on or from a licence.\n- (i) any licence; or\n- (ii) any article resembling a licence and calculated to deceive; or\n- (iii) any document which was formerly a licence, but which is void, cancelled, suspended, or surrendered; or","sortOrder":387},{"sectionNumber":"sec.126A","sectionType":"section","heading":"Smartcard authority is property of the State","content":"### sec.126A Smartcard authority is property of the State\n\nA smartcard authority 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 authority or stored electronically on it; or\nhas the right to have information stored on the smartcard authority.\nThe State is not legally liable for an act or omission relating to the keeping or use of the smartcard authority.\ns&#160;126A ins 2008 No.&#160;71 s&#160;28A (amd 2010 No.&#160;13 s&#160;76 )\n(sec.126A-ssec.1) A smartcard authority is and remains the property of the State.\n(sec.126A-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 authority or stored electronically on it; or has the right to have information stored on the smartcard authority.\n(sec.126A-ssec.3) The State is not legally liable for an act or omission relating to the keeping or use of the smartcard authority.\n- (a) has the right to use information that is on the smartcard authority or stored electronically on it; or\n- (b) has the right to have information stored on the smartcard authority.","sortOrder":388},{"sectionNumber":"sec.127","sectionType":"section","heading":"Effect of disqualification","content":"### sec.127 Effect of disqualification\n\nWhere under this or any other Act a judge of the Supreme Court or District Court or justices orders or order that any person shall be disqualified absolutely from holding or obtaining a licence of any kind, class or description (other than a Queensland driver licence), each subsisting such licence held by that person shall, by virtue of such order, be and be deemed to be cancelled on and from the date upon which that person became so disqualified.\nWhere under this or any other Act a judge of the Supreme Court or District Court or justices orders or order that any person shall be disqualified for a specified period from holding or obtaining a licence of any kind, class or description (other than a Queensland driver licence), each subsisting such licence held by that person shall by virtue of the order, where such licence—\nwould expire during the period of disqualification so ordered, be and be deemed to be cancelled on and from the date upon which that person became so disqualified; or\nwould not expire during the period of disqualification so ordered, be and be deemed to be suspended on and from the date upon which that person became so disqualified and thereafter until the expiration of the period of disqualification specified in the order.\nWhere under this or any other Act a judge of the Supreme Court or District Court or justices orders or order that any person shall be disqualified absolutely or for a specified period from holding or obtaining a Queensland driver licence, each subsisting Queensland driver licence held by that person shall, by virtue of such order, be and be deemed to be cancelled on and from the date upon which that person became so disqualified.\nWhere under any provision of this Act a conviction for an offence disqualifies any person from holding or obtaining a Queensland driver licence for any period therein specified and no order of disqualification has been made upon such conviction, each and every subsisting Queensland driver licence held by that person shall, by virtue of such conviction, be and be deemed to be cancelled on and from the date of such conviction.\nIf, under a law of another State, a person is disqualified absolutely or for a specified period from holding or obtaining a driver licence in the other State, each subsisting Queensland driver licence held by the person is, by virtue of the disqualification, cancelled on and from the date the person became disqualified.\nSuspension under this Act of any licence—\nshall, whilst such licence is so suspended, have the same effect as the cancellation of the licence; and\nshall, whilst such licence is so suspended, disqualify the person who held that licence from holding or obtaining a licence of the same kind, class, or description; and\n(if the period of such suspension is less than the period during which that licence ordinarily would have remained in force) shall not, upon the termination of that suspension, extend the period during which that licence thereafter remains in force beyond the period during which that licence would have remained in force if it had not been so suspended.\nAny cancellation or suspension of a Queensland driver licence shall apply and extend to such licence and to every other Queensland driver licence authorising the person in question to drive any vehicle.\nA person shall not apply for or obtain a Queensland driver licence or licence of any other kind, class, or description at a time when the person is disqualified—\nby this Act; or\nby an order made under this or any other Act (including any Act of a State or Territory or any other country);\nfrom holding or obtaining a driver licence or, as the case may be, licence of that other kind, class, or description.\nThe provisions of subsection&#160;(6) do not apply to a person who in accordance with this Act applies for or obtains—\na restricted licence under an order made under section&#160;87 ; or\na replacement licence under section&#160;79F .\nAlso, subsection&#160;(6) does not apply to a person subject to a non-Queensland interlock requirement who, under this Act, applies for or obtains a Queensland driver licence subject to an interlock condition under section&#160;91K .\nA person who applies for or obtains a licence in contravention of subsection&#160;(6) shall be guilty of an offence.\nMaximum penalty—\nfor a Queensland driver licence—20 penalty units or 18 months imprisonment; or\nfor another licence—40 penalty units.\nIn determining the punishment to be imposed on a person who is guilty of an offence under subsection&#160;(8) where the licence applied for or obtained in contravention hereof is a Queensland driver licence, the justices shall have regard to—\nthe whole of the circumstances of the case, including circumstances of aggravation or mitigation; and\nthe interest of the public; and\nthe criminal and traffic history of the offender; and\nall matters before them in relation to the medical history of the offender or the offender’s physical or mental capacity that are considered by them to be relevant in the circumstances; and\nsuch other matters that are considered by them to be relevant in the circumstances.\nNotwithstanding that, at the time of the commission of an offence under subsection&#160;(8) where the licence applied for or obtained in contravention hereof is a Queensland driver licence, the person who committed the offence is disqualified by this Act or by an order made under this or any other Act from holding or obtaining a Queensland driver licence, the justices before whom the person is convicted of the offence, whether or not any other sentence is imposed, shall order that the person shall, on and from the date of the conviction, be disqualified absolutely from holding or obtaining a Queensland driver licence, and the person shall thereupon be so disqualified under and in accordance with that order.\nAny Queensland driver licence or licence of any other kind, class, or description, obtained by any person or issued to the person at any time when the person is disqualified—\nby this Act; or\nby an order made under this or any other Act (including any Act of a State or Territory or any other country);\nfrom holding or obtaining a driver licence or, as the case may be, licence of that other kind, class, or description shall be absolutely void and of no legal effect whatsoever.\nThe provisions of subsection&#160;(12) do not apply to either of the following obtained by or issued to any person—\na restricted licence under an order made under section&#160;87 ;\na replacement licence under section&#160;79F .\nAlso, subsection&#160;(12) does not apply to a person subject to a non-Queensland interlock requirement who, under this Act, applies for or obtains a Queensland driver licence subject to an interlock condition under section&#160;91K .\nSubsection&#160;(12) shall be read so as not to affect the liability (if any) of that person to punishment under any other provision of this Act or under any other Act in respect of anything done or omitted to be done by the person in relation to the obtaining of the licence in question.\ns&#160;127 (prev 1949 13 Geo 6 No. 26 s&#160;55) amd 1953 2 Eliz 2 No. 11 s&#160;10; 1961 10 Eliz 2 No. 27 s&#160;31; 1971 No.&#160;33 s&#160;14 ; 1974 No.&#160;18 s&#160;20 (amd 1984 No.&#160;102 s&#160;36 ); 1975 No.&#160;13 s&#160;6 (1) ; 1984 No.&#160;102 s&#160;24 ; 1990 No.&#160;103 ss&#160;2 .18, 2.26; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdts 133–139\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 153\namd 2006 No.&#160;57 s&#160;58 ; 2014 No.&#160;43 s&#160;101 ; 2019 No.&#160;25 s&#160;41\n(sec.127-ssec.1) Where under this or any other Act a judge of the Supreme Court or District Court or justices orders or order that any person shall be disqualified absolutely from holding or obtaining a licence of any kind, class or description (other than a Queensland driver licence), each subsisting such licence held by that person shall, by virtue of such order, be and be deemed to be cancelled on and from the date upon which that person became so disqualified.\n(sec.127-ssec.2) Where under this or any other Act a judge of the Supreme Court or District Court or justices orders or order that any person shall be disqualified for a specified period from holding or obtaining a licence of any kind, class or description (other than a Queensland driver licence), each subsisting such licence held by that person shall by virtue of the order, where such licence— would expire during the period of disqualification so ordered, be and be deemed to be cancelled on and from the date upon which that person became so disqualified; or would not expire during the period of disqualification so ordered, be and be deemed to be suspended on and from the date upon which that person became so disqualified and thereafter until the expiration of the period of disqualification specified in the order.\n(sec.127-ssec.2A) Where under this or any other Act a judge of the Supreme Court or District Court or justices orders or order that any person shall be disqualified absolutely or for a specified period from holding or obtaining a Queensland driver licence, each subsisting Queensland driver licence held by that person shall, by virtue of such order, be and be deemed to be cancelled on and from the date upon which that person became so disqualified.\n(sec.127-ssec.3) Where under any provision of this Act a conviction for an offence disqualifies any person from holding or obtaining a Queensland driver licence for any period therein specified and no order of disqualification has been made upon such conviction, each and every subsisting Queensland driver licence held by that person shall, by virtue of such conviction, be and be deemed to be cancelled on and from the date of such conviction.\n(sec.127-ssec.3A) If, under a law of another State, a person is disqualified absolutely or for a specified period from holding or obtaining a driver licence in the other State, each subsisting Queensland driver licence held by the person is, by virtue of the disqualification, cancelled on and from the date the person became disqualified.\n(sec.127-ssec.4) Suspension under this Act of any licence— shall, whilst such licence is so suspended, have the same effect as the cancellation of the licence; and shall, whilst such licence is so suspended, disqualify the person who held that licence from holding or obtaining a licence of the same kind, class, or description; and (if the period of such suspension is less than the period during which that licence ordinarily would have remained in force) shall not, upon the termination of that suspension, extend the period during which that licence thereafter remains in force beyond the period during which that licence would have remained in force if it had not been so suspended.\n(sec.127-ssec.5) Any cancellation or suspension of a Queensland driver licence shall apply and extend to such licence and to every other Queensland driver licence authorising the person in question to drive any vehicle.\n(sec.127-ssec.6) A person shall not apply for or obtain a Queensland driver licence or licence of any other kind, class, or description at a time when the person is disqualified— by this Act; or by an order made under this or any other Act (including any Act of a State or Territory or any other country); from holding or obtaining a driver licence or, as the case may be, licence of that other kind, class, or description.\n(sec.127-ssec.7) The provisions of subsection&#160;(6) do not apply to a person who in accordance with this Act applies for or obtains— a restricted licence under an order made under section&#160;87 ; or a replacement licence under section&#160;79F .\n(sec.127-ssec.7A) Also, subsection&#160;(6) does not apply to a person subject to a non-Queensland interlock requirement who, under this Act, applies for or obtains a Queensland driver licence subject to an interlock condition under section&#160;91K .\n(sec.127-ssec.8) A person who applies for or obtains a licence in contravention of subsection&#160;(6) shall be guilty of an offence. Maximum penalty— for a Queensland driver licence—20 penalty units or 18 months imprisonment; or for another licence—40 penalty units.\n(sec.127-ssec.10) In determining the punishment to be imposed on a person who is guilty of an offence under subsection&#160;(8) where the licence applied for or obtained in contravention hereof is a Queensland driver licence, the justices shall have regard to— the whole of the circumstances of the case, including circumstances of aggravation or mitigation; and the interest of the public; and the criminal and traffic history of the offender; and all matters before them in relation to the medical history of the offender or the offender’s physical or mental capacity that are considered by them to be relevant in the circumstances; and such other matters that are considered by them to be relevant in the circumstances.\n(sec.127-ssec.11) Notwithstanding that, at the time of the commission of an offence under subsection&#160;(8) where the licence applied for or obtained in contravention hereof is a Queensland driver licence, the person who committed the offence is disqualified by this Act or by an order made under this or any other Act from holding or obtaining a Queensland driver licence, the justices before whom the person is convicted of the offence, whether or not any other sentence is imposed, shall order that the person shall, on and from the date of the conviction, be disqualified absolutely from holding or obtaining a Queensland driver licence, and the person shall thereupon be so disqualified under and in accordance with that order.\n(sec.127-ssec.12) Any Queensland driver licence or licence of any other kind, class, or description, obtained by any person or issued to the person at any time when the person is disqualified— by this Act; or by an order made under this or any other Act (including any Act of a State or Territory or any other country); from holding or obtaining a driver licence or, as the case may be, licence of that other kind, class, or description shall be absolutely void and of no legal effect whatsoever.\n(sec.127-ssec.13) The provisions of subsection&#160;(12) do not apply to either of the following obtained by or issued to any person— a restricted licence under an order made under section&#160;87 ; a replacement licence under section&#160;79F .\n(sec.127-ssec.13A) Also, subsection&#160;(12) does not apply to a person subject to a non-Queensland interlock requirement who, under this Act, applies for or obtains a Queensland driver licence subject to an interlock condition under section&#160;91K .\n(sec.127-ssec.14) Subsection&#160;(12) shall be read so as not to affect the liability (if any) of that person to punishment under any other provision of this Act or under any other Act in respect of anything done or omitted to be done by the person in relation to the obtaining of the licence in question.\n- (a) would expire during the period of disqualification so ordered, be and be deemed to be cancelled on and from the date upon which that person became so disqualified; or\n- (b) would not expire during the period of disqualification so ordered, be and be deemed to be suspended on and from the date upon which that person became so disqualified and thereafter until the expiration of the period of disqualification specified in the order.\n- (a) shall, whilst such licence is so suspended, have the same effect as the cancellation of the licence; and\n- (b) shall, whilst such licence is so suspended, disqualify the person who held that licence from holding or obtaining a licence of the same kind, class, or description; and\n- (c) (if the period of such suspension is less than the period during which that licence ordinarily would have remained in force) shall not, upon the termination of that suspension, extend the period during which that licence thereafter remains in force beyond the period during which that licence would have remained in force if it had not been so suspended.\n- (a) by this Act; or\n- (b) by an order made under this or any other Act (including any Act of a State or Territory or any other country);\n- (a) a restricted licence under an order made under section&#160;87 ; or\n- (b) a replacement licence under section&#160;79F .\n- (a) for a Queensland driver licence—20 penalty units or 18 months imprisonment; or\n- (b) for another licence—40 penalty units.\n- (a) the whole of the circumstances of the case, including circumstances of aggravation or mitigation; and\n- (b) the interest of the public; and\n- (c) the criminal and traffic history of the offender; and\n- (d) all matters before them in relation to the medical history of the offender or the offender’s physical or mental capacity that are considered by them to be relevant in the circumstances; and\n- (e) such other matters that are considered by them to be relevant in the circumstances.\n- (a) by this Act; or\n- (b) by an order made under this or any other Act (including any Act of a State or Territory or any other country);\n- (a) a restricted licence under an order made under section&#160;87 ;\n- (b) a replacement licence under section&#160;79F .","sortOrder":389},{"sectionNumber":"sec.128","sectionType":"section","heading":"Effect of disqualification on subsequent issue of Queensland driver licence","content":"### sec.128 Effect of disqualification on subsequent issue of Queensland driver licence\n\nWhere the Queensland driver licence of a person is cancelled or deemed to be cancelled in accordance with the provisions of section&#160;127 and that person subsequently makes application for a Queensland driver licence (other than a learner licence or a restricted licence applied for pursuant to an order made under section&#160;87 ), the superintendent may cause the person to be tested as prescribed and issue a probationary licence to the person.\ns&#160;128 (prev 1949 13 Geo 6 No. 26 s&#160;55A) ins 1971 No.&#160;33 s&#160;15\namd 1984 No.&#160;102 s&#160;25 ; 1988 No.&#160;94 s&#160;5 ; 1990 No.&#160;103 s&#160;2 .19; 1999 No.&#160;42 s&#160;54 (1) sch amdts 140–146\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 153","sortOrder":390},{"sectionNumber":"sec.129","sectionType":"section","heading":null,"content":"### Section sec.129\n\ns&#160;129 (prev 1949 13 Geo 6 No. 26 s&#160;55B) ins 1990 No.&#160;103 s&#160;2 0.2\namd 1994 No.&#160;87 s&#160;3 sch&#160;1 ; 1999 No.&#160;42 s&#160;54 (1) sch amdt 147\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 153\nom 2001 No.&#160;79 s&#160;108","sortOrder":391},{"sectionNumber":"sec.129A","sectionType":"section","heading":"Effect of suspension of licence under other Acts","content":"### sec.129A Effect of suspension of licence under other Acts\n\nThis section applies if a person’s driver licence is suspended under—\nthe State Penalties Enforcement Act 1999 , section&#160;105 ; or\nthe Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ .\nThe suspension of the driver licence—\nhas, while the licence is suspended, the same effect as if the licence were cancelled under this Act; and\nif the period of the suspension ends before the licence would ordinarily expire, does not extend the period during which the licence would, apart from the suspension, have remained in force.\nIf under this Act, a person must hold a driver licence for a stated period—\nthe stated period is extended by the length of the period for which the licence is suspended under a provision mentioned in subsection&#160;(1) ; and\nthe period of the suspension does not break the continuous period for which the person must hold the licence.\nIf the period of the licence expires before the period of the suspension ends, the person must not apply for or obtain a Queensland driver licence until the period of the suspension ends.\nMaximum penalty—20 penalty units or 18 months imprisonment.\nThe suspension of the driver licence also suspends any other driver licence authorising the person in question to drive a vehicle.\nA person must not apply for or obtain a Queensland driver licence while the person’s licence is suspended under a provision mentioned in subsection&#160;(1) or a corresponding law of another State.\nMaximum penalty—20 penalty units or 18 months imprisonment.\nA person who is disqualified from applying for or obtaining a driver licence under either of the following provisions must not apply for or obtain a driver licence while the person is disqualified under that provision—\nthe State Penalties Enforcement Act 1999 , section&#160;106 (4) ;\nthe Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ .\nMaximum penalty—20 penalty units or 18 months imprisonment.\ns&#160;129A ins 1999 No.&#160;70 s&#160;166 sch&#160;1\namd 2017 No.&#160;18 s&#160;36\n(sec.129A-ssec.1) This section applies if a person’s driver licence is suspended under— the State Penalties Enforcement Act 1999 , section&#160;105 ; or the Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ .\n(sec.129A-ssec.2) The suspension of the driver licence— has, while the licence is suspended, the same effect as if the licence were cancelled under this Act; and if the period of the suspension ends before the licence would ordinarily expire, does not extend the period during which the licence would, apart from the suspension, have remained in force.\n(sec.129A-ssec.3) If under this Act, a person must hold a driver licence for a stated period— the stated period is extended by the length of the period for which the licence is suspended under a provision mentioned in subsection&#160;(1) ; and the period of the suspension does not break the continuous period for which the person must hold the licence.\n(sec.129A-ssec.4) If the period of the licence expires before the period of the suspension ends, the person must not apply for or obtain a Queensland driver licence until the period of the suspension ends. Maximum penalty—20 penalty units or 18 months imprisonment.\n(sec.129A-ssec.5) The suspension of the driver licence also suspends any other driver licence authorising the person in question to drive a vehicle.\n(sec.129A-ssec.6) A person must not apply for or obtain a Queensland driver licence while the person’s licence is suspended under a provision mentioned in subsection&#160;(1) or a corresponding law of another State. Maximum penalty—20 penalty units or 18 months imprisonment.\n(sec.129A-ssec.7) A person who is disqualified from applying for or obtaining a driver licence under either of the following provisions must not apply for or obtain a driver licence while the person is disqualified under that provision— the State Penalties Enforcement Act 1999 , section&#160;106 (4) ; the Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ . Maximum penalty—20 penalty units or 18 months imprisonment.\n- (a) the State Penalties Enforcement Act 1999 , section&#160;105 ; or\n- (b) the Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ .\n- (a) has, while the licence is suspended, the same effect as if the licence were cancelled under this Act; and\n- (b) if the period of the suspension ends before the licence would ordinarily expire, does not extend the period during which the licence would, apart from the suspension, have remained in force.\n- (a) the stated period is extended by the length of the period for which the licence is suspended under a provision mentioned in subsection&#160;(1) ; and\n- (b) the period of the suspension does not break the continuous period for which the person must hold the licence.\n- (a) the State Penalties Enforcement Act 1999 , section&#160;106 (4) ;\n- (b) the Transport Operations (Passenger Transport) Act 1994 , section&#160;91ZJ .","sortOrder":392},{"sectionNumber":"sec.129B","sectionType":"section","heading":"Disqualification period for person driving more than 40km/h over speed limit","content":"### sec.129B Disqualification period for person driving more than 40km/h over speed limit\n\nThis section applies if—\na person is convicted of an offence against a regulation for driving more than 40km/h over the speed limit; and\nthe court that convicts the person decides, under the Penalties and Sentences Act 1992 , section&#160;187 , to disqualify the person from holding or obtaining a driver licence for a period.\nThe disqualification must be for a period of at least 6 months.\ns&#160;129B ins 2005 No.&#160;49 s&#160;65\n(sec.129B-ssec.1) This section applies if— a person is convicted of an offence against a regulation for driving more than 40km/h over the speed limit; and the court that convicts the person decides, under the Penalties and Sentences Act 1992 , section&#160;187 , to disqualify the person from holding or obtaining a driver licence for a period.\n(sec.129B-ssec.2) The disqualification must be for a period of at least 6 months.\n- (a) a person is convicted of an offence against a regulation for driving more than 40km/h over the speed limit; and\n- (b) the court that convicts the person decides, under the Penalties and Sentences Act 1992 , section&#160;187 , to disqualify the person from holding or obtaining a driver licence for a period.","sortOrder":393},{"sectionNumber":"sec.130","sectionType":"section","heading":"Delivery of cancelled or surrendered licences, or licences for endorsement","content":"### sec.130 Delivery of cancelled or surrendered licences, or licences for endorsement\n\nWhere any licence is or is deemed to be cancelled or is surrendered or is required for the purpose of making an endorsement thereon under this Act the licensee shall forthwith deliver that licence—\nif any person is appointed by the regulations to whom a licence of that kind, class, or description is to be delivered upon its cancellation or surrender, or for its endorsement—to that person; or\nwhere any person has not been so appointed by the regulations and—\nwhere such licence is cancelled consequent on a conviction on indictment, or by or consequent on an order made by a judge of the Supreme Court or District Court—to the registrar of the Supreme Court or District Court which recorded the conviction or made the order; or\nwhere such licence is cancelled consequent on a conviction, or by or consequent on an order, by justices—to the clerk of the court which recorded the conviction or made the order; or\nin any other case—to the chief executive or the superintendent who is the officer in charge of the police station in the police division in which the address of the licensee, as indicated on the licence in question, is situated.\nAny person who fails to deliver any licence as required by subsection&#160;(1) shall be guilty of an offence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nIf such default in delivering any licence is continued by any person who has been convicted of the offence of failing to deliver that licence as required by subsection&#160;(1) , then that person shall be deemed to commit a continuing offence and shall be liable to a penalty of 1 penalty unit for each and every day during which such offence is so continued.\nHowever, the continuing offence in respect of the non-delivery of such licence shall not be deemed to commence until the expiration of 14 days from the date of conviction as aforementioned.\nThe person to whom any licence is delivered pursuant to the provisions of this section shall make an endorsement containing such particulars relating to its cancellation or surrender, or the other purpose for which the endorsement is required to be made thereon, as may be prescribed and shall transmit such licence to the commissioner unless, in the case of a licence continuing in force, the commissioner is authorised by the regulations to return such licence to the licensee.\nWhere any person (whether the person is at the time the holder of a licence or not) has been disqualified—\nby this Act; or\nby an order made under this or any other Act;\nfrom holding or obtaining any licence (other than a Queensland driver licence), every licence of that kind, class, or description which the person may then hold or may subsequently obtain shall be endorsed with such particulars relating to the person’s disqualification as may be prescribed.\nOn the issue of a new licence (other than a Queensland driver licence) to any person, the prescribed particulars endorsed or required to be endorsed on any previous licence of that kind, class, or description held by the person shall be copied or made on to the new licence unless the person has previously become entitled under the provisions of this Act to have that new licence issued to the person free from such endorsements.\nAny person who, having failed to deliver in accordance with this Act for endorsement the person’s licence required hereby to be delivered for the purpose of making an endorsement thereon hereunder and not previously becoming entitled under the provisions of this Act to have a licence issued to the person free from such endorsement, applies for or obtains a new licence of the same kind, class, or description as that which was required to be endorsed without giving sufficient particulars to enable any and every required endorsement to be made on the new licence shall be guilty of an offence.\nMaximum penalty for subsection&#160;(7) —40 penalty units or 6 months imprisonment.\ns&#160;130 (prev 1949 13 Geo 6 No. 26 s&#160;56) amd 1961 10 Eliz 2 No. 27 s&#160;32; 1974 No.&#160;18 s&#160;22 (c) (amd 1984 No.&#160;102 s&#160;36 ); 1990 No.&#160;103 ss&#160;2 .21, 2.26; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdts 147–148\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 153\namd 2001 No.&#160;79 s&#160;109 ; 2011 No.&#160;45 s&#160;217 sch&#160;1A\n(sec.130-ssec.1) Where any licence is or is deemed to be cancelled or is surrendered or is required for the purpose of making an endorsement thereon under this Act the licensee shall forthwith deliver that licence— if any person is appointed by the regulations to whom a licence of that kind, class, or description is to be delivered upon its cancellation or surrender, or for its endorsement—to that person; or where any person has not been so appointed by the regulations and— where such licence is cancelled consequent on a conviction on indictment, or by or consequent on an order made by a judge of the Supreme Court or District Court—to the registrar of the Supreme Court or District Court which recorded the conviction or made the order; or where such licence is cancelled consequent on a conviction, or by or consequent on an order, by justices—to the clerk of the court which recorded the conviction or made the order; or in any other case—to the chief executive or the superintendent who is the officer in charge of the police station in the police division in which the address of the licensee, as indicated on the licence in question, is situated.\n(sec.130-ssec.2) Any person who fails to deliver any licence as required by subsection&#160;(1) shall be guilty of an offence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.130-ssec.2A) If such default in delivering any licence is continued by any person who has been convicted of the offence of failing to deliver that licence as required by subsection&#160;(1) , then that person shall be deemed to commit a continuing offence and shall be liable to a penalty of 1 penalty unit for each and every day during which such offence is so continued.\n(sec.130-ssec.2B) However, the continuing offence in respect of the non-delivery of such licence shall not be deemed to commence until the expiration of 14 days from the date of conviction as aforementioned.\n(sec.130-ssec.3) The person to whom any licence is delivered pursuant to the provisions of this section shall make an endorsement containing such particulars relating to its cancellation or surrender, or the other purpose for which the endorsement is required to be made thereon, as may be prescribed and shall transmit such licence to the commissioner unless, in the case of a licence continuing in force, the commissioner is authorised by the regulations to return such licence to the licensee.\n(sec.130-ssec.5) Where any person (whether the person is at the time the holder of a licence or not) has been disqualified— by this Act; or by an order made under this or any other Act; from holding or obtaining any licence (other than a Queensland driver licence), every licence of that kind, class, or description which the person may then hold or may subsequently obtain shall be endorsed with such particulars relating to the person’s disqualification as may be prescribed.\n(sec.130-ssec.6) On the issue of a new licence (other than a Queensland driver licence) to any person, the prescribed particulars endorsed or required to be endorsed on any previous licence of that kind, class, or description held by the person shall be copied or made on to the new licence unless the person has previously become entitled under the provisions of this Act to have that new licence issued to the person free from such endorsements.\n(sec.130-ssec.7) Any person who, having failed to deliver in accordance with this Act for endorsement the person’s licence required hereby to be delivered for the purpose of making an endorsement thereon hereunder and not previously becoming entitled under the provisions of this Act to have a licence issued to the person free from such endorsement, applies for or obtains a new licence of the same kind, class, or description as that which was required to be endorsed without giving sufficient particulars to enable any and every required endorsement to be made on the new licence shall be guilty of an offence. Maximum penalty for subsection&#160;(7) —40 penalty units or 6 months imprisonment.\n- (a) if any person is appointed by the regulations to whom a licence of that kind, class, or description is to be delivered upon its cancellation or surrender, or for its endorsement—to that person; or\n- (b) where any person has not been so appointed by the regulations and— (i) where such licence is cancelled consequent on a conviction on indictment, or by or consequent on an order made by a judge of the Supreme Court or District Court—to the registrar of the Supreme Court or District Court which recorded the conviction or made the order; or (ii) where such licence is cancelled consequent on a conviction, or by or consequent on an order, by justices—to the clerk of the court which recorded the conviction or made the order; or (iii) in any other case—to the chief executive or the superintendent who is the officer in charge of the police station in the police division in which the address of the licensee, as indicated on the licence in question, is situated.\n- (i) where such licence is cancelled consequent on a conviction on indictment, or by or consequent on an order made by a judge of the Supreme Court or District Court—to the registrar of the Supreme Court or District Court which recorded the conviction or made the order; or\n- (ii) where such licence is cancelled consequent on a conviction, or by or consequent on an order, by justices—to the clerk of the court which recorded the conviction or made the order; or\n- (iii) in any other case—to the chief executive or the superintendent who is the officer in charge of the police station in the police division in which the address of the licensee, as indicated on the licence in question, is situated.\n- (i) where such licence is cancelled consequent on a conviction on indictment, or by or consequent on an order made by a judge of the Supreme Court or District Court—to the registrar of the Supreme Court or District Court which recorded the conviction or made the order; or\n- (ii) where such licence is cancelled consequent on a conviction, or by or consequent on an order, by justices—to the clerk of the court which recorded the conviction or made the order; or\n- (iii) in any other case—to the chief executive or the superintendent who is the officer in charge of the police station in the police division in which the address of the licensee, as indicated on the licence in question, is situated.\n- (a) by this Act; or\n- (b) by an order made under this or any other Act;","sortOrder":394},{"sectionNumber":"sec.131","sectionType":"section","heading":"Reviews and appeals with respect to issue of licences etc.","content":"### sec.131 Reviews and appeals with respect to issue of licences etc.\n\nThis section does not apply in relation to a licence that is suspended under the State Penalties Enforcement Act 1999 .\nA person aggrieved by the refusal of the chief executive or commissioner or of a superintendent to issue or renew a licence, or by the suspension or cancellation of a licence by the chief executive or commissioner, or by the imposition of a condition in respect of a licence by or by direction of the chief executive or commissioner or a superintendent may apply, as provided under the QCAT Act , to QCAT for a review of the refusal, suspension, cancellation or imposition.\nSubsection&#160;(2) does not apply to a refusal, suspension, cancellation or imposition that is a licensing decision.\nA person aggrieved by a decision of the chief executive on a reconsideration of a licensing decision may apply to QCAT for a review of the decision on the reconsideration.\nDespite the QCAT Act , a decision of QCAT on review under subsection&#160;(2) or (4) is final and binding and without further appeal under that Act.\nSubsection&#160;(7) applies to a review of any of the following decisions to suspend or cancel a licence, unless the reason, or 1 of the reasons, for the suspension or cancellation is the mental or physical incapacity of the applicant—\na decision to which subsection&#160;(2) applies and that involves the suspension or cancellation of a licence of the applicant other than a Queensland driver licence;\na decision of the chief executive on a reconsideration of a decision to suspend or cancel the applicant’s Queensland driver licence.\nOn the making of the application for review, the cancellation or suspension is suspended pending the finalisation of the review but, subject to QCAT’s decision on the review, the cancellation or suspension takes effect from the date of the finalisation of the review for the part of the period for which it was made that had not expired when the review started.\nIf the reason, or 1 of the reasons, for the suspension or cancellation of the licence is the licence holder’s mental or physical incapacity, QCAT can not make an order staying the operation of the suspension or cancellation.\nSubsections&#160;(2) to (8) must be read and construed so that a review does not lie under subsection&#160;(2) or (4) —\nin respect of the cancellation or suspension of a Queensland driver licence by reason of the disqualification from holding or obtaining that licence of the licensee upon conviction or by order of a judge of the Supreme Court or District Court or of the court; or\nin respect of the cancellation or suspension of a licence by or at or pursuant to the order or direction of a judge of the Supreme Court or District Court or of the court under any provision of this Act or under any other Act or law; or\nin respect of the refusal to issue or renew a licence or a suspension or cancellation of a licence or the imposition of a condition in respect of a licence if provision is made elsewhere in this Act for or in respect of such a review; or\nin respect of the suspension of a Queensland driver licence of a person because of the allocation of demerit points; or\nin respect of the suspension of a Queensland driver licence of a person who has been convicted of an offence against a regulation for driving more than 40km/h over the speed limit.\nA person who has been disqualified, by operation of law or an order, from holding or obtaining a Queensland driver licence absolutely or for a period of more than 2 years, 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 for the disqualification to be removed must be made to—\nif the disqualification was ordered by a judge of the Supreme Court—a judge of the Supreme Court; or\nif the disqualification was ordered by a judge of the District Court—a judge of the District Court; or\nif the disqualification was not ordered by a judge of 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 district.\nNotice of any such application shall be given to the commissioner or to any police officer authorised by the commissioner to receive such notices, who shall be entitled to appear and be heard and to give and produce evidence at the hearing of such application for or against the granting of the application.\nThe notice required by subsection&#160;(12) to be given shall be given at least 28 clear days prior to the date of hearing of such application.\nUpon hearing any such application the judge of the Supreme Court or District Court or justices constituting the court may, as is thought proper, having regard to the character of the person disqualified and the person’s conduct subsequent to the order, the nature of the offence, and any other circumstances of the case, either by order remove the disqualification as from such date as may be specified in the order or refuse the application.\nWhere an application under subsection&#160;(10) is refused, a further application hereunder shall not be entertained if made within 1 year after the date of the refusal.\nIf an order is made under subsection&#160;(10) for the removal of a disqualification, the judge or justices have power to order the applicant to pay the whole or any part of the costs of the application.\nParticulars of the result of any application made under subsection&#160;(10) shall be transmitted by the registrar of the Supreme Court or District Court or the clerk of the court concerned to the commissioner.\nA person who by virtue of an order of a judge of the Supreme Court or District Court or justices made under this or any other Act is disqualified from holding or obtaining a licence may appeal against the order in the same manner as against a conviction recorded against the person by that judge or the justices and the Supreme Court or District Court in determining the appeal may, as is thought proper, having regard to the circumstances of the case, either by order remove the disqualification as from such date as may be specified in that order or dismiss the appeal.\nA memorandum of the determination of the appeal shall be transmitted by the registrar of the Supreme Court or, as the case may be, District Court to the commissioner.\nWhere a person has, following upon a conviction, been disqualified from holding or obtaining a Queensland driver licence and has commenced an appeal against that conviction, that disqualification shall, upon the commencement of that appeal, and without further order in that behalf, be suspended pending the determination of that appeal.\nHowever, subject to any decision of a court upon that appeal, that portion of the period of disqualification which had not expired when such suspension began to operate shall take effect from the date of determination of that appeal.\nWhere on an appeal a conviction against any person for an offence against this or any other Act is quashed, any disqualification of that person from the holding or obtaining of a licence by that conviction without any specific order of disqualification having been made by a judge of the Supreme Court or District Court or justices shall thereupon be removed without any specific order being required for that purpose and without further or other authority than this Act.\nWhere under the authority of this or any other Act an order is made by a judge of the Supreme Court or District Court or justices disqualifying a person from holding or obtaining any licence such order shall be valid and effective notwithstanding that no application was made for that purpose or that the person so disqualified was not present or was not called upon to show cause against the making thereof.\nIn this section—\nlicence does not include an accreditation under the Tow Truck Act 2023 .\nlicensing decision means a decision of the chief executive to—\nrefuse to grant or renew the person’s Queensland driver licence; or\namend, suspend or cancel the person’s Queensland driver licence; or\nimmediately amend or suspend the person’s Queensland driver licence; or\nimpose a condition on a Queensland driver licence.\ns&#160;131 (prev 1949 13 Geo 6 No. 26 s&#160;57) amd 1961 10 Eliz 2 No. 27 s&#160;33; 1968 No.&#160;22 s&#160;10 ; 1977 No.&#160;35 s&#160;2 ; 1982 No.&#160;15 s&#160;14 ; 1990 No.&#160;103 s&#160;2 .22; 1994 No.&#160;7 s&#160;3 sch ; 1994 No.&#160;87 s&#160;3 sch&#160;1 ; 1997 No.&#160;66 s&#160;32 ; 1999 No.&#160;42 s&#160;54 (1) sch amdt 149\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 153\namd 1999 No.&#160;70 s&#160;166 sch&#160;1 ; 2002 No.&#160;71 s&#160;25 ; 2007 No.&#160;6 s&#160;62A ; 2009 No.&#160;24 s&#160;1789 ; 2019 No.&#160;25 s&#160;42 ; 2023 No.&#160;28 s&#160;210\n(sec.131-ssec.1) This section does not apply in relation to a licence that is suspended under the State Penalties Enforcement Act 1999 .\n(sec.131-ssec.2) A person aggrieved by the refusal of the chief executive or commissioner or of a superintendent to issue or renew a licence, or by the suspension or cancellation of a licence by the chief executive or commissioner, or by the imposition of a condition in respect of a licence by or by direction of the chief executive or commissioner or a superintendent may apply, as provided under the QCAT Act , to QCAT for a review of the refusal, suspension, cancellation or imposition.\n(sec.131-ssec.3) Subsection&#160;(2) does not apply to a refusal, suspension, cancellation or imposition that is a licensing decision.\n(sec.131-ssec.4) A person aggrieved by a decision of the chief executive on a reconsideration of a licensing decision may apply to QCAT for a review of the decision on the reconsideration.\n(sec.131-ssec.5) Despite the QCAT Act , a decision of QCAT on review under subsection&#160;(2) or (4) is final and binding and without further appeal under that Act.\n(sec.131-ssec.6) Subsection&#160;(7) applies to a review of any of the following decisions to suspend or cancel a licence, unless the reason, or 1 of the reasons, for the suspension or cancellation is the mental or physical incapacity of the applicant— a decision to which subsection&#160;(2) applies and that involves the suspension or cancellation of a licence of the applicant other than a Queensland driver licence; a decision of the chief executive on a reconsideration of a decision to suspend or cancel the applicant’s Queensland driver licence.\n(sec.131-ssec.7) On the making of the application for review, the cancellation or suspension is suspended pending the finalisation of the review but, subject to QCAT’s decision on the review, the cancellation or suspension takes effect from the date of the finalisation of the review for the part of the period for which it was made that had not expired when the review started.\n(sec.131-ssec.8) If the reason, or 1 of the reasons, for the suspension or cancellation of the licence is the licence holder’s mental or physical incapacity, QCAT can not make an order staying the operation of the suspension or cancellation.\n(sec.131-ssec.9) Subsections&#160;(2) to (8) must be read and construed so that a review does not lie under subsection&#160;(2) or (4) — in respect of the cancellation or suspension of a Queensland driver licence by reason of the disqualification from holding or obtaining that licence of the licensee upon conviction or by order of a judge of the Supreme Court or District Court or of the court; or in respect of the cancellation or suspension of a licence by or at or pursuant to the order or direction of a judge of the Supreme Court or District Court or of the court under any provision of this Act or under any other Act or law; or in respect of the refusal to issue or renew a licence or a suspension or cancellation of a licence or the imposition of a condition in respect of a licence if provision is made elsewhere in this Act for or in respect of such a review; or in respect of the suspension of a Queensland driver licence of a person because of the allocation of demerit points; or in respect of the suspension of a Queensland driver licence of a person who has been convicted of an offence against a regulation for driving more than 40km/h over the speed limit.\n(sec.131-ssec.10) A person who has been disqualified, by operation of law or an order, from holding or obtaining a Queensland driver licence absolutely or for a period of more than 2 years, 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.131-ssec.11) The application for the disqualification to be removed must be made to— if the disqualification was ordered by a judge of the Supreme Court—a judge of the Supreme Court; or if the disqualification was ordered by a judge of the District Court—a judge of the District Court; or if the disqualification was not ordered by a judge of 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 district.\n(sec.131-ssec.12) Notice of any such application shall be given to the commissioner or to any police officer authorised by the commissioner to receive such notices, who shall be entitled to appear and be heard and to give and produce evidence at the hearing of such application for or against the granting of the application.\n(sec.131-ssec.13) The notice required by subsection&#160;(12) to be given shall be given at least 28 clear days prior to the date of hearing of such application.\n(sec.131-ssec.14) Upon hearing any such application the judge of the Supreme Court or District Court or justices constituting the court may, as is thought proper, having regard to the character of the person disqualified and the person’s conduct subsequent to the order, the nature of the offence, and any other circumstances of the case, either by order remove the disqualification as from such date as may be specified in the order or refuse the application.\n(sec.131-ssec.15) Where an application under subsection&#160;(10) is refused, a further application hereunder shall not be entertained if made within 1 year after the date of the refusal.\n(sec.131-ssec.16) If an order is made under subsection&#160;(10) for the removal of a disqualification, the judge or justices have power to order the applicant to pay the whole or any part of the costs of the application.\n(sec.131-ssec.17) Particulars of the result of any application made under subsection&#160;(10) shall be transmitted by the registrar of the Supreme Court or District Court or the clerk of the court concerned to the commissioner.\n(sec.131-ssec.18) A person who by virtue of an order of a judge of the Supreme Court or District Court or justices made under this or any other Act is disqualified from holding or obtaining a licence may appeal against the order in the same manner as against a conviction recorded against the person by that judge or the justices and the Supreme Court or District Court in determining the appeal may, as is thought proper, having regard to the circumstances of the case, either by order remove the disqualification as from such date as may be specified in that order or dismiss the appeal.\n(sec.131-ssec.19) A memorandum of the determination of the appeal shall be transmitted by the registrar of the Supreme Court or, as the case may be, District Court to the commissioner.\n(sec.131-ssec.20) Where a person has, following upon a conviction, been disqualified from holding or obtaining a Queensland driver licence and has commenced an appeal against that conviction, that disqualification shall, upon the commencement of that appeal, and without further order in that behalf, be suspended pending the determination of that appeal.\n(sec.131-ssec.21) However, subject to any decision of a court upon that appeal, that portion of the period of disqualification which had not expired when such suspension began to operate shall take effect from the date of determination of that appeal.\n(sec.131-ssec.22) Where on an appeal a conviction against any person for an offence against this or any other Act is quashed, any disqualification of that person from the holding or obtaining of a licence by that conviction without any specific order of disqualification having been made by a judge of the Supreme Court or District Court or justices shall thereupon be removed without any specific order being required for that purpose and without further or other authority than this Act.\n(sec.131-ssec.23) Where under the authority of this or any other Act an order is made by a judge of the Supreme Court or District Court or justices disqualifying a person from holding or obtaining any licence such order shall be valid and effective notwithstanding that no application was made for that purpose or that the person so disqualified was not present or was not called upon to show cause against the making thereof.\n(sec.131-ssec.24) In this section— licence does not include an accreditation under the Tow Truck Act 2023 . licensing decision means a decision of the chief executive to— refuse to grant or renew the person’s Queensland driver licence; or amend, suspend or cancel the person’s Queensland driver licence; or immediately amend or suspend the person’s Queensland driver licence; or impose a condition on a Queensland driver licence.\n- (a) a decision to which subsection&#160;(2) applies and that involves the suspension or cancellation of a licence of the applicant other than a Queensland driver licence;\n- (b) a decision of the chief executive on a reconsideration of a decision to suspend or cancel the applicant’s Queensland driver licence.\n- (a) in respect of the cancellation or suspension of a Queensland driver licence by reason of the disqualification from holding or obtaining that licence of the licensee upon conviction or by order of a judge of the Supreme Court or District Court or of the court; or\n- (b) in respect of the cancellation or suspension of a licence by or at or pursuant to the order or direction of a judge of the Supreme Court or District Court or of the court under any provision of this Act or under any other Act or law; or\n- (c) in respect of the refusal to issue or renew a licence or a suspension or cancellation of a licence or the imposition of a condition in respect of a licence if provision is made elsewhere in this Act for or in respect of such a review; or\n- (d) in respect of the suspension of a Queensland driver licence of a person because of the allocation of demerit points; or\n- (e) in respect of the suspension of a Queensland driver licence of a person who has been convicted of an offence against a regulation for driving more than 40km/h over the speed limit.\n- (a) if the disqualification was ordered by a judge of the Supreme Court—a judge of the Supreme Court; or\n- (b) if the disqualification was ordered by a judge of the District Court—a judge of the District Court; or\n- (c) if the disqualification was not ordered by a judge of 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 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 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 district.\n- (a) refuse to grant or renew the person’s Queensland driver licence; or\n- (b) amend, suspend or cancel the person’s Queensland driver licence; or\n- (c) immediately amend or suspend the person’s Queensland driver licence; or\n- (d) impose a condition on a Queensland driver licence.","sortOrder":395},{"sectionNumber":"sec.131A","sectionType":"section","heading":"Removing absolute disqualification imposed before 13 March 2002","content":"### sec.131A Removing absolute disqualification imposed before 13 March 2002\n\nThis section applies to a person who was absolutely disqualified from holding or obtaining a Queensland driver licence under section&#160;78 before 13 March 2002.\nThe person may, at any time after the expiration of 5 years from the start of the disqualification, apply to the chief executive to remove the disqualification.\nWhen deciding whether to remove the disqualification, the chief executive may consider—\nwhether any demerit points have been recorded on the person’s traffic history in the 2 years immediately before the person applies to the chief executive; and\nwhether the person has been disqualified from holding or obtaining an Australian driver licence since the disqualification that the person is applying to the chief executive to remove.\nThe chief executive may decide—\nto remove the disqualification from a certain date; or\nto refuse to remove the disqualification.\nThe chief executive must inform the person of the chief executive’s decision by written notice.\nIf the chief executive refuses to remove the disqualification, the person must wait at least 1 year after the date of the chief executive’s written notice before—\nreapplying to the chief executive, under this section, to remove the disqualification; or\napplying to a court, under section&#160;131 , to remove the disqualification.\ns&#160;131A ins 2004 No.&#160;43 s&#160;116\namd 2007 No.&#160;25 s&#160;13\n(sec.131A-ssec.1) This section applies to a person who was absolutely disqualified from holding or obtaining a Queensland driver licence under section&#160;78 before 13 March 2002.\n(sec.131A-ssec.2) The person may, at any time after the expiration of 5 years from the start of the disqualification, apply to the chief executive to remove the disqualification.\n(sec.131A-ssec.3) When deciding whether to remove the disqualification, the chief executive may consider— whether any demerit points have been recorded on the person’s traffic history in the 2 years immediately before the person applies to the chief executive; and whether the person has been disqualified from holding or obtaining an Australian driver licence since the disqualification that the person is applying to the chief executive to remove.\n(sec.131A-ssec.4) The chief executive may decide— to remove the disqualification from a certain date; or to refuse to remove the disqualification.\n(sec.131A-ssec.5) The chief executive must inform the person of the chief executive’s decision by written notice.\n(sec.131A-ssec.6) If the chief executive refuses to remove the disqualification, the person must wait at least 1 year after the date of the chief executive’s written notice before— reapplying to the chief executive, under this section, to remove the disqualification; or applying to a court, under section&#160;131 , to remove the disqualification.\n- (a) whether any demerit points have been recorded on the person’s traffic history in the 2 years immediately before the person applies to the chief executive; and\n- (b) whether the person has been disqualified from holding or obtaining an Australian driver licence since the disqualification that the person is applying to the chief executive to remove.\n- (a) to remove the disqualification from a certain date; or\n- (b) to refuse to remove the disqualification.\n- (a) reapplying to the chief executive, under this section, to remove the disqualification; or\n- (b) applying to a court, under section&#160;131 , to remove the disqualification.","sortOrder":396},{"sectionNumber":"sec.132","sectionType":"section","heading":null,"content":"### Section sec.132\n\ns&#160;132 (prev 1949 13 Geo 6 No. 26 s&#160;57B) ins 1990 No.&#160;103 s&#160;2 0.23\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 153\namd 2001 No.&#160;79 s&#160;109A\nom 2005 No.&#160;49 s&#160;66","sortOrder":397},{"sectionNumber":"sec.133","sectionType":"section","heading":"Business owner to record information about repairs and painting","content":"### sec.133 Business owner to record information about repairs and painting\n\nA person ( business owner ) who operates a business that includes the repair or painting of motor vehicles or trailers must ensure a record is kept of each of the following (the required information ) for a motor vehicle or trailer the business owner or an employee of the business owner repairs or paints in the course of operating the business—\nthe make and model of the motor vehicle or trailer;\nthe VIN or chassis number of the motor vehicle or trailer;\nif the motor vehicle or trailer has a number plate—the registration number displayed on the plate;\nthe colour of the motor vehicle or trailer—\nbefore it is repaired or painted; and\nafter it is repaired or painted (if different);\nthe name and contact details of the person for whom the repair or painting is carried out (the customer );\nthe date and time the motor vehicle or trailer is delivered to the business owner or access is given to it;\nthe proposed nature of the repair or painting at the time the motor vehicle or trailer is delivered or access is given to it;\nif, during the period the motor vehicle or trailer is in the business owner’s control, a person drives the motor vehicle or a motor vehicle attached to the trailer on a road outside the business owner’s premises—\nthe person’s name and contact details; and\nthe date and time the person started and ended driving the motor vehicle;\nIf an employee of the business owner tests the motor vehicle or trailer on a road, the employee’s name, contact details and the date and time the employee started and ended driving the motor vehicle must be recorded.\nif a part for the repair of the motor vehicle or trailer is supplied by the customer or another person on the customer’s behalf—details of the part;\nif the repair or painting carried out is different from the proposed nature of the repair or painting recorded under paragraph&#160;(g) —the repair or painting carried out;\nany other information prescribed under a regulation.\nMaximum penalty—40 penalty units.\nIf both a motor vehicle and a trailer attached to the motor vehicle are being repaired or painted, the business owner must ensure the required information is recorded for both the motor vehicle and the trailer.\nThe required information may be recorded in different documents.\nA business owner may record the required information about the same motor vehicle or trailer in a job card, invoice, receipt or computer program.\nIf the required information is recorded in more than 1 document, the business owner must also record in each document information that identifies the motor vehicle or trailer.\nMaximum penalty—40 penalty units.\nA business owner may record in each document a job code that identifies the motor vehicle or trailer.\nThe business owner must ensure the name and address of the business owner’s business is recorded in at least 1 of the documents in which the required information is recorded.\nMaximum penalty—40 penalty units.\nA person must not state, or cause or allow to be stated, required information, or information that must be recorded under subsection&#160;(4) or (5) , that the person knows, or ought reasonably to know, is false or misleading in a material particular.\nMaximum penalty—40 penalty units.\nIn this section—\ncontact details , of a person, means the person’s address or telephone number.\nemployee includes agent or contractor.\npaint , a motor vehicle or trailer, means—\npaint to change the predominant colour of the motor vehicle or trailer; or\npaint a part of the motor vehicle or trailer that has or may have been damaged because of a collision involving the motor vehicle or trailer.\nrepair , a motor vehicle or trailer, means to restore or replace a part of the motor vehicle or trailer that has or may have been damaged because of—\ncorrosion; or\na collision involving the motor vehicle or trailer.\ns&#160;133 (prev 1949 13 Geo 6 No. 26 s&#160;58) amd 1994 No.&#160;7 s&#160;3 sch ; 1997 No.&#160;66 s&#160;33\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 153\namd 2000 No.&#160;5 s&#160;461 sch&#160;3\nsub 2014 No.&#160;43 s&#160;102\n(sec.133-ssec.1) A person ( business owner ) who operates a business that includes the repair or painting of motor vehicles or trailers must ensure a record is kept of each of the following (the required information ) for a motor vehicle or trailer the business owner or an employee of the business owner repairs or paints in the course of operating the business— the make and model of the motor vehicle or trailer; the VIN or chassis number of the motor vehicle or trailer; if the motor vehicle or trailer has a number plate—the registration number displayed on the plate; the colour of the motor vehicle or trailer— before it is repaired or painted; and after it is repaired or painted (if different); the name and contact details of the person for whom the repair or painting is carried out (the customer ); the date and time the motor vehicle or trailer is delivered to the business owner or access is given to it; the proposed nature of the repair or painting at the time the motor vehicle or trailer is delivered or access is given to it; if, during the period the motor vehicle or trailer is in the business owner’s control, a person drives the motor vehicle or a motor vehicle attached to the trailer on a road outside the business owner’s premises— the person’s name and contact details; and the date and time the person started and ended driving the motor vehicle; If an employee of the business owner tests the motor vehicle or trailer on a road, the employee’s name, contact details and the date and time the employee started and ended driving the motor vehicle must be recorded. if a part for the repair of the motor vehicle or trailer is supplied by the customer or another person on the customer’s behalf—details of the part; if the repair or painting carried out is different from the proposed nature of the repair or painting recorded under paragraph&#160;(g) —the repair or painting carried out; any other information prescribed under a regulation. Maximum penalty—40 penalty units.\n(sec.133-ssec.2) If both a motor vehicle and a trailer attached to the motor vehicle are being repaired or painted, the business owner must ensure the required information is recorded for both the motor vehicle and the trailer.\n(sec.133-ssec.3) The required information may be recorded in different documents. A business owner may record the required information about the same motor vehicle or trailer in a job card, invoice, receipt or computer program.\n(sec.133-ssec.4) If the required information is recorded in more than 1 document, the business owner must also record in each document information that identifies the motor vehicle or trailer. Maximum penalty—40 penalty units. A business owner may record in each document a job code that identifies the motor vehicle or trailer.\n(sec.133-ssec.5) The business owner must ensure the name and address of the business owner’s business is recorded in at least 1 of the documents in which the required information is recorded. Maximum penalty—40 penalty units.\n(sec.133-ssec.6) A person must not state, or cause or allow to be stated, required information, or information that must be recorded under subsection&#160;(4) or (5) , that the person knows, or ought reasonably to know, is false or misleading in a material particular. Maximum penalty—40 penalty units.\n(sec.133-ssec.7) In this section— contact details , of a person, means the person’s address or telephone number. employee includes agent or contractor. paint , a motor vehicle or trailer, means— paint to change the predominant colour of the motor vehicle or trailer; or paint a part of the motor vehicle or trailer that has or may have been damaged because of a collision involving the motor vehicle or trailer. repair , a motor vehicle or trailer, means to restore or replace a part of the motor vehicle or trailer that has or may have been damaged because of— corrosion; or a collision involving the motor vehicle or trailer.\n- (a) the make and model of the motor vehicle or trailer;\n- (b) the VIN or chassis number of the motor vehicle or trailer;\n- (c) if the motor vehicle or trailer has a number plate—the registration number displayed on the plate;\n- (d) the colour of the motor vehicle or trailer— (i) before it is repaired or painted; and (ii) after it is repaired or painted (if different);\n- (i) before it is repaired or painted; and\n- (ii) after it is repaired or painted (if different);\n- (e) the name and contact details of the person for whom the repair or painting is carried out (the customer );\n- (f) the date and time the motor vehicle or trailer is delivered to the business owner or access is given to it;\n- (g) the proposed nature of the repair or painting at the time the motor vehicle or trailer is delivered or access is given to it;\n- (h) if, during the period the motor vehicle or trailer is in the business owner’s control, a person drives the motor vehicle or a motor vehicle attached to the trailer on a road outside the business owner’s premises— (i) the person’s name and contact details; and (ii) the date and time the person started and ended driving the motor vehicle; Example for paragraph&#160;(h) — If an employee of the business owner tests the motor vehicle or trailer on a road, the employee’s name, contact details and the date and time the employee started and ended driving the motor vehicle must be recorded.\n- (i) the person’s name and contact details; and\n- (ii) the date and time the person started and ended driving the motor vehicle;\n- (i) if a part for the repair of the motor vehicle or trailer is supplied by the customer or another person on the customer’s behalf—details of the part;\n- (j) if the repair or painting carried out is different from the proposed nature of the repair or painting recorded under paragraph&#160;(g) —the repair or painting carried out;\n- (k) any other information prescribed under a regulation.\n- (i) before it is repaired or painted; and\n- (ii) after it is repaired or painted (if different);\n- (i) the person’s name and contact details; and\n- (ii) the date and time the person started and ended driving the motor vehicle;\n- (a) paint to change the predominant colour of the motor vehicle or trailer; or\n- (b) paint a part of the motor vehicle or trailer that has or may have been damaged because of a collision involving the motor vehicle or trailer.\n- (a) corrosion; or\n- (b) a collision involving the motor vehicle or trailer.","sortOrder":398},{"sectionNumber":"sec.133A","sectionType":"section","heading":"When information in s&#160;133 must be recorded","content":"### sec.133A When information in s&#160;133 must be recorded\n\nThe business owner must record the information mentioned in section&#160;133 (1) within the following periods—\nfor information mentioned in section&#160;133 (1) (a) to (c) , (d) (i) and (e) to (g)—as soon as practicable after the motor vehicle or trailer is delivered or access is given to it;\nfor information mentioned in section&#160;133 (1) (d) (ii) and (j)—as soon as practicable after the motor vehicle or trailer is repaired or painted but before the motor vehicle or trailer ceases to be under the business owner’s control;\nfor information mentioned in section&#160;133 (1) (h) —as soon as practicable after the person mentioned in section&#160;133 (1) (h) drives the motor vehicle or a motor vehicle attached to the trailer;\nfor information mentioned in section&#160;133 (1) (i) —as soon as practicable after the part is supplied;\nfor information mentioned in section&#160;133 (1) (k) —the period prescribed under a regulation.\nThe business owner must record the information mentioned in section&#160;133 (4) when the required information is recorded in the relevant document.\nThe business owner must record the information mentioned in section&#160;133 (5) when the required information mentioned in subsection&#160;(1) (a) is recorded.\ns&#160;133A ins 2014 No.&#160;43 s&#160;102\n(sec.133A-ssec.1) The business owner must record the information mentioned in section&#160;133 (1) within the following periods— for information mentioned in section&#160;133 (1) (a) to (c) , (d) (i) and (e) to (g)—as soon as practicable after the motor vehicle or trailer is delivered or access is given to it; for information mentioned in section&#160;133 (1) (d) (ii) and (j)—as soon as practicable after the motor vehicle or trailer is repaired or painted but before the motor vehicle or trailer ceases to be under the business owner’s control; for information mentioned in section&#160;133 (1) (h) —as soon as practicable after the person mentioned in section&#160;133 (1) (h) drives the motor vehicle or a motor vehicle attached to the trailer; for information mentioned in section&#160;133 (1) (i) —as soon as practicable after the part is supplied; for information mentioned in section&#160;133 (1) (k) —the period prescribed under a regulation.\n(sec.133A-ssec.2) The business owner must record the information mentioned in section&#160;133 (4) when the required information is recorded in the relevant document.\n(sec.133A-ssec.3) The business owner must record the information mentioned in section&#160;133 (5) when the required information mentioned in subsection&#160;(1) (a) is recorded.\n- (a) for information mentioned in section&#160;133 (1) (a) to (c) , (d) (i) and (e) to (g)—as soon as practicable after the motor vehicle or trailer is delivered or access is given to it;\n- (b) for information mentioned in section&#160;133 (1) (d) (ii) and (j)—as soon as practicable after the motor vehicle or trailer is repaired or painted but before the motor vehicle or trailer ceases to be under the business owner’s control;\n- (c) for information mentioned in section&#160;133 (1) (h) —as soon as practicable after the person mentioned in section&#160;133 (1) (h) drives the motor vehicle or a motor vehicle attached to the trailer;\n- (d) for information mentioned in section&#160;133 (1) (i) —as soon as practicable after the part is supplied;\n- (e) for information mentioned in section&#160;133 (1) (k) —the period prescribed under a regulation.","sortOrder":399},{"sectionNumber":"sec.133B","sectionType":"section","heading":"How long information in s&#160;133 must be kept","content":"### sec.133B How long information in s&#160;133 must be kept\n\nThe business owner must keep the information mentioned in section&#160;133 (1) , (4) and (5) for 3 years after the day the motor vehicle or trailer ceases to be under the business owner’s control.\nMaximum penalty—40 penalty units.\ns&#160;133B ins 2014 No.&#160;43 s&#160;102","sortOrder":400},{"sectionNumber":"sec.134","sectionType":"section","heading":"Altering, defacing or removing identifying numbers","content":"### sec.134 Altering, defacing or removing identifying numbers\n\nAny person who—\nalters, defaces, or removes an identifying number on a motor vehicle without the permission in writing of the commissioner; or\nplaces on a motor vehicle a number purporting to be, or which is likely to be taken to be, an identifying number, without previously—\ndelivering to the commissioner a notice in writing signed by such person and stating that the number is to be placed on the motor vehicle and containing particulars of such number and the registration number of the vehicle under this Act; and\nreceiving permission in writing from the commissioner to place the identifying number on the motor vehicle; or\nwithout lawful excuse, the proof of which shall lie upon the person, has in the person’s possession or under the person’s control any motor vehicle upon which an identifying number has been altered, or defaced, or from which an identifying number has been removed, or upon which any number has been placed in contravention of this section;\nshall be guilty of an offence.\nMaximum penalty—100 penalty units or 1 year’s imprisonment.\ns&#160;134 (prev 1949 13 Geo 6 No. 26 s&#160;59) amd 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdt 150\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 153\namd 2005 No.&#160;49 s&#160;67\n- (a) alters, defaces, or removes an identifying number on a motor vehicle without the permission in writing of the commissioner; or\n- (b) places on a motor vehicle a number purporting to be, or which is likely to be taken to be, an identifying number, without previously— (i) delivering to the commissioner a notice in writing signed by such person and stating that the number is to be placed on the motor vehicle and containing particulars of such number and the registration number of the vehicle under this Act; and (ii) receiving permission in writing from the commissioner to place the identifying number on the motor vehicle; or\n- (i) delivering to the commissioner a notice in writing signed by such person and stating that the number is to be placed on the motor vehicle and containing particulars of such number and the registration number of the vehicle under this Act; and\n- (ii) receiving permission in writing from the commissioner to place the identifying number on the motor vehicle; or\n- (c) without lawful excuse, the proof of which shall lie upon the person, has in the person’s possession or under the person’s control any motor vehicle upon which an identifying number has been altered, or defaced, or from which an identifying number has been removed, or upon which any number has been placed in contravention of this section;\n- (i) delivering to the commissioner a notice in writing signed by such person and stating that the number is to be placed on the motor vehicle and containing particulars of such number and the registration number of the vehicle under this Act; and\n- (ii) receiving permission in writing from the commissioner to place the identifying number on the motor vehicle; or","sortOrder":401},{"sectionNumber":"sec.135","sectionType":"section","heading":"Unlawfully interfering with, or detaining, vehicles etc.","content":"### sec.135 Unlawfully interfering with, or detaining, vehicles etc.\n\nA person must not, without the owner’s consent—\ndrive or otherwise use a vehicle on a road; or\nwilfully interfere with—\nany mechanism or other part of, or equipment attached to, a vehicle or tram on a road or elsewhere; or\nthe harness or other equipment attached to an animal on a road; or\ndetain a vehicle parked or stopped on a road or elsewhere by—\nattaching an immobilising device to the vehicle; or\nplacing an immobilising device near the vehicle.\nby locking in an upright position, a moveable steel post (commonly called a parking sentinel ) that is secured to the ground at the entrance of a parking space where the vehicle is parked or stopped\nMaximum penalty—40 penalty units or 6 months imprisonment.\nFor subsection&#160;(1) (c) , the owner’s consent must be given expressly.\nSubsection&#160;(1) does not apply to a police officer exercising the officer’s powers or performing the officer’s functions, or a person acting under a lawful direction of a police officer.\nSubsection&#160;(1) (c) does not apply to the sheriff or another person authorised by law to execute a warrant of execution against the vehicle.\nSubsection&#160;(1) (c) does not apply to an enforcement officer under the State Penalties Enforcement Act 1999 who is enforcing an immobilisation warrant under that Act.\nThis section does not limit the exercise of a power over a vehicle that a person may have as the holder of a security interest in the vehicle.\nThe common law remedy of distress damage feasant in relation to trespass on land by a vehicle is abolished to the extent that it is inconsistent with subsection&#160;(1) (c) .\nHowever, subsection&#160;(5) does not limit a right a person may have to remove, or cause to be removed, from land a vehicle parked or stopped on the land.\nSubsection&#160;(6) does not apply to a person who has detained a vehicle in contravention of subsection&#160;(1) (c) .\nIn this section—\ndetain includes immobilise.\nimmobilising device , for a vehicle, means—\nwheel clamps; or\nanother device that effectively detains the vehicle.\ninterfere with includes damage, destroy and remove.\nowner of a vehicle includes a person in lawful possession of the vehicle.\nsecurity interest has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;12 .\ns&#160;135 (prev 1949 13 Geo 6 No. 26 s&#160;60) amd 1974 No.&#160;18 s&#160;24 ; 1994 No.&#160;7 s&#160;3 sch\nsub 1997 No.&#160;66 s&#160;34\namd 1999 No.&#160;42 s&#160;22 , s&#160;54 (1) sch amdts 151–152\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 153\namd 2003 No.&#160;22 s&#160;30 sch ; 2009 No.&#160;48 s&#160;44 ; 2010 No.&#160;44 s&#160;228\n(sec.135-ssec.1) A person must not, without the owner’s consent— drive or otherwise use a vehicle on a road; or wilfully interfere with— any mechanism or other part of, or equipment attached to, a vehicle or tram on a road or elsewhere; or the harness or other equipment attached to an animal on a road; or detain a vehicle parked or stopped on a road or elsewhere by— attaching an immobilising device to the vehicle; or placing an immobilising device near the vehicle. by locking in an upright position, a moveable steel post (commonly called a parking sentinel ) that is secured to the ground at the entrance of a parking space where the vehicle is parked or stopped Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.135-ssec.1A) For subsection&#160;(1) (c) , the owner’s consent must be given expressly.\n(sec.135-ssec.2) Subsection&#160;(1) does not apply to a police officer exercising the officer’s powers or performing the officer’s functions, or a person acting under a lawful direction of a police officer.\n(sec.135-ssec.3) Subsection&#160;(1) (c) does not apply to the sheriff or another person authorised by law to execute a warrant of execution against the vehicle.\n(sec.135-ssec.3A) Subsection&#160;(1) (c) does not apply to an enforcement officer under the State Penalties Enforcement Act 1999 who is enforcing an immobilisation warrant under that Act.\n(sec.135-ssec.4) This section does not limit the exercise of a power over a vehicle that a person may have as the holder of a security interest in the vehicle.\n(sec.135-ssec.5) The common law remedy of distress damage feasant in relation to trespass on land by a vehicle is abolished to the extent that it is inconsistent with subsection&#160;(1) (c) .\n(sec.135-ssec.6) However, subsection&#160;(5) does not limit a right a person may have to remove, or cause to be removed, from land a vehicle parked or stopped on the land.\n(sec.135-ssec.7) Subsection&#160;(6) does not apply to a person who has detained a vehicle in contravention of subsection&#160;(1) (c) .\n(sec.135-ssec.8) In this section— detain includes immobilise. immobilising device , for a vehicle, means— wheel clamps; or another device that effectively detains the vehicle. interfere with includes damage, destroy and remove. owner of a vehicle includes a person in lawful possession of the vehicle. security interest has the meaning given by the Personal Property Securities Act 2009 (Cwlth) , section&#160;12 .\n- (a) drive or otherwise use a vehicle on a road; or\n- (b) wilfully interfere with— (i) any mechanism or other part of, or equipment attached to, a vehicle or tram on a road or elsewhere; or (ii) the harness or other equipment attached to an animal on a road; or\n- (i) any mechanism or other part of, or equipment attached to, a vehicle or tram on a road or elsewhere; or\n- (ii) the harness or other equipment attached to an animal on a road; or\n- (c) detain a vehicle parked or stopped on a road or elsewhere by— (i) attaching an immobilising device to the vehicle; or (ii) placing an immobilising device near the vehicle. Example of paragraph&#160;(c) (ii) — by locking in an upright position, a moveable steel post (commonly called a parking sentinel ) that is secured to the ground at the entrance of a parking space where the vehicle is parked or stopped\n- (i) attaching an immobilising device to the vehicle; or\n- (ii) placing an immobilising device near the vehicle.\n- (i) any mechanism or other part of, or equipment attached to, a vehicle or tram on a road or elsewhere; or\n- (ii) the harness or other equipment attached to an animal on a road; or\n- (i) attaching an immobilising device to the vehicle; or\n- (ii) placing an immobilising device near the vehicle.\n- (a) wheel clamps; or\n- (b) another device that effectively detains the vehicle.","sortOrder":402},{"sectionNumber":"sec.136","sectionType":"section","heading":"Agreements for detaining vehicles","content":"### sec.136 Agreements for detaining vehicles\n\nAn agreement, whether entered into before or after 12 December 1997 is of no legal effect to the extent to which it authorises, or purports to authorise, a person to—\ndo an act in contravention of section&#160;135 ; or\nremove a vehicle detained in contravention of section&#160;135 from any land.\nA party to an agreement that is of no legal effect wholly or partly because of subsection&#160;(1) —\nis not entitled to recover any money for providing services under the agreement from—\nthe owner or occupier of the land to which the agreement relates or purports to relate; or\nany other person; and\nmust repay to the person from whom it was received—\nany money received before the commencement of this section, for services that were to be provided after the commencement; and\nany money received after the commencement of this section for the services.\nIf a party does not repay money required by subsection&#160;(2) (b) to be repaid, the person entitled to be repaid may recover the money from the party as a debt.\ns&#160;136 (prev 1949 13 Geo 6 No. 26 s&#160;72) ins 1997 No.&#160;66 s&#160;36\namd 1999 No.&#160;42 s&#160;54 (1) sch amdts 163–164\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 165\n(sec.136-ssec.1) An agreement, whether entered into before or after 12 December 1997 is of no legal effect to the extent to which it authorises, or purports to authorise, a person to— do an act in contravention of section&#160;135 ; or remove a vehicle detained in contravention of section&#160;135 from any land.\n(sec.136-ssec.2) A party to an agreement that is of no legal effect wholly or partly because of subsection&#160;(1) — is not entitled to recover any money for providing services under the agreement from— the owner or occupier of the land to which the agreement relates or purports to relate; or any other person; and must repay to the person from whom it was received— any money received before the commencement of this section, for services that were to be provided after the commencement; and any money received after the commencement of this section for the services.\n(sec.136-ssec.3) If a party does not repay money required by subsection&#160;(2) (b) to be repaid, the person entitled to be repaid may recover the money from the party as a debt.\n- (a) do an act in contravention of section&#160;135 ; or\n- (b) remove a vehicle detained in contravention of section&#160;135 from any land.\n- (a) is not entitled to recover any money for providing services under the agreement from— (i) the owner or occupier of the land to which the agreement relates or purports to relate; or (ii) any other person; and\n- (i) the owner or occupier of the land to which the agreement relates or purports to relate; or\n- (ii) any other person; and\n- (b) must repay to the person from whom it was received— (i) any money received before the commencement of this section, for services that were to be provided after the commencement; and (ii) any money received after the commencement of this section for the services.\n- (i) any money received before the commencement of this section, for services that were to be provided after the commencement; and\n- (ii) any money received after the commencement of this section for the services.\n- (i) the owner or occupier of the land to which the agreement relates or purports to relate; or\n- (ii) any other person; and\n- (i) any money received before the commencement of this section, for services that were to be provided after the commencement; and\n- (ii) any money received after the commencement of this section for the services.","sortOrder":403},{"sectionNumber":"sec.137","sectionType":"section","heading":"Injurious matter on roads","content":"### sec.137 Injurious matter on roads\n\nAny person who deposits or drops or causes or suffers to be deposited or dropped on any road any matter, substance, or thing likely to cause injury, damage, or danger to any person, vehicle, tram, train, or animal, and being any wood, stone, sand, gravel, nail, tack, scrap iron, glass, wire, tin, bottle, thorn, clipping, oily or sticky substance, or other matter, substance or thing whatsoever, shall be guilty of an offence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nHowever, it shall be a defence to a charge under this section if the defendant proves that the defendant had taken reasonable precautions to prevent the matter, substance or thing from being so deposited or dropped.\nAny person who deposits or drops or causes or suffers to be deposited or dropped upon any road any matter, substance or thing referred to in subsection&#160;(1) shall immediately upon becoming aware thereof remove or cause to be removed from such road all of such matter, substance or thing, and if the person fails to do so the person shall be guilty of an offence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nIf any damage or injury (other than normal wear and tear) is caused to any road in consequence of the use or passage thereon of a vehicle, tram, or animal, or of anything carried, drawn, or propelled by a vehicle, tram, or animal, and such damage or injury is of such a nature that it may endanger any person, vehicle, tram, or animal using or being used upon such road, the driver of the vehicle, tram, or animal by the use or passage of which such damage or injury was caused or which carried, drew, or propelled the thing by the use or passage of which such damage or injury was caused shall immediately place a mark or sign on or near the place where the damage or injury has been caused of such a nature and in such a manner that it will act as a conspicuous warning of danger to any person approaching that place.\nThe driver as aforesaid shall also report the damage or injury to the superintendent who is the officer in charge of the nearest police station as soon as reasonably practicable after the causing thereof.\nA person who fails to comply with subsection&#160;(3) or (3A) in any respect shall be guilty of an offence.\nMaximum penalty—40 penalty units or 6 months imprisonment.\nThe provisions of this chapter—\nshall not be deemed to repeal or prejudice or otherwise affect—\nthe provisions of any law or of any other Act or of any regulation or local law made under any other Act; or\nany power under any other Act to make local laws;\nwith respect to the digging up or undermining of, or any other interference with, any road or part thereof, or the placing or use thereon or therein of anything which may, or would be likely to cause danger, obstruction, inconvenience, annoyance, injury, or accident; and\nshall not be deemed to prejudice or otherwise affect the having, exercising, or performing by a local government of any power, function, authority, or duty with respect to any of the matters in this subsection specified, and any liability of the local government therefor.\ns&#160;137 (prev 1949 13 Geo 6 No. 26 s&#160;61) amd 1953 2 Eliz 2 No. 11 s&#160;11; 1994 No.&#160;7 s&#160;3 sch ; 1999 No.&#160;42 s&#160;54 (1) sch amdts 154–155\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 162\namd 2007 No.&#160;36 s&#160;2 sch\n(sec.137-ssec.1) Any person who deposits or drops or causes or suffers to be deposited or dropped on any road any matter, substance, or thing likely to cause injury, damage, or danger to any person, vehicle, tram, train, or animal, and being any wood, stone, sand, gravel, nail, tack, scrap iron, glass, wire, tin, bottle, thorn, clipping, oily or sticky substance, or other matter, substance or thing whatsoever, shall be guilty of an offence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.137-ssec.1A) However, it shall be a defence to a charge under this section if the defendant proves that the defendant had taken reasonable precautions to prevent the matter, substance or thing from being so deposited or dropped.\n(sec.137-ssec.2) Any person who deposits or drops or causes or suffers to be deposited or dropped upon any road any matter, substance or thing referred to in subsection&#160;(1) shall immediately upon becoming aware thereof remove or cause to be removed from such road all of such matter, substance or thing, and if the person fails to do so the person shall be guilty of an offence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.137-ssec.3) If any damage or injury (other than normal wear and tear) is caused to any road in consequence of the use or passage thereon of a vehicle, tram, or animal, or of anything carried, drawn, or propelled by a vehicle, tram, or animal, and such damage or injury is of such a nature that it may endanger any person, vehicle, tram, or animal using or being used upon such road, the driver of the vehicle, tram, or animal by the use or passage of which such damage or injury was caused or which carried, drew, or propelled the thing by the use or passage of which such damage or injury was caused shall immediately place a mark or sign on or near the place where the damage or injury has been caused of such a nature and in such a manner that it will act as a conspicuous warning of danger to any person approaching that place.\n(sec.137-ssec.3A) The driver as aforesaid shall also report the damage or injury to the superintendent who is the officer in charge of the nearest police station as soon as reasonably practicable after the causing thereof.\n(sec.137-ssec.3B) A person who fails to comply with subsection&#160;(3) or (3A) in any respect shall be guilty of an offence. Maximum penalty—40 penalty units or 6 months imprisonment.\n(sec.137-ssec.4) The provisions of this chapter— shall not be deemed to repeal or prejudice or otherwise affect— the provisions of any law or of any other Act or of any regulation or local law made under any other Act; or any power under any other Act to make local laws; with respect to the digging up or undermining of, or any other interference with, any road or part thereof, or the placing or use thereon or therein of anything which may, or would be likely to cause danger, obstruction, inconvenience, annoyance, injury, or accident; and shall not be deemed to prejudice or otherwise affect the having, exercising, or performing by a local government of any power, function, authority, or duty with respect to any of the matters in this subsection specified, and any liability of the local government therefor.\n- (a) shall not be deemed to repeal or prejudice or otherwise affect— (i) the provisions of any law or of any other Act or of any regulation or local law made under any other Act; or (ii) any power under any other Act to make local laws; with respect to the digging up or undermining of, or any other interference with, any road or part thereof, or the placing or use thereon or therein of anything which may, or would be likely to cause danger, obstruction, inconvenience, annoyance, injury, or accident; and\n- (i) the provisions of any law or of any other Act or of any regulation or local law made under any other Act; or\n- (ii) any power under any other Act to make local laws;\n- (b) shall not be deemed to prejudice or otherwise affect the having, exercising, or performing by a local government of any power, function, authority, or duty with respect to any of the matters in this subsection specified, and any liability of the local government therefor.\n- (i) the provisions of any law or of any other Act or of any regulation or local law made under any other Act; or\n- (ii) any power under any other Act to make local laws;","sortOrder":404},{"sectionNumber":"sec.138","sectionType":"section","heading":null,"content":"### Section sec.138\n\ns&#160;138 (prev 1949 13 Geo 6 No. 26 s&#160;63) orig om 1959 8 Eliz 2 No. 21 s&#160;27 sch\npres ins 1961 10 Eliz 2 No. 27 s&#160;35\namd 1968 No.&#160;22 s&#160;11 ; 1984 No.&#160;102 s&#160;26 ; 1990 No.&#160;73 s&#160;3 sch&#160;5 ; 1994 No.&#160;7 s&#160;3 sch\nsub 1999 No.&#160;42 s&#160;23\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 162\namd 2005 No.&#160;4 s&#160;30 sch&#160;1\nom 2005 No.&#160;49 s&#160;68","sortOrder":405},{"sectionNumber":"sec.139","sectionType":"section","heading":"Service of determinations, notices, orders, and directions of the commissioner or the chief executive","content":"### sec.139 Service of determinations, notices, orders, and directions of the commissioner or the chief executive\n\nEvery determination, notice, order, or direction made or given by the commissioner or the chief executive under this Act, or notice of rescission by the commissioner or the chief executive of any such determination, notice, order, or direction, may be published in the gazette, and upon such publication shall be judicially noticed and shall be and be deemed to be sufficiently served upon or notified to all persons affected by such determination, notice, order, or direction, or rescission thereof.\nSubsection&#160;(1) shall not apply with respect to determinations by the commissioner or the chief executive of any provision, term, or condition of a licence, where such provision, term, or condition is set out in that licence.\ns&#160;139 (prev 1949 13 Geo 6 No. 26 s&#160;64) amd 1999 No.&#160;42 s&#160;54 (1) sch amdts 156–157\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 162\namd 1999 No.&#160;70 s&#160;166 sch&#160;1 ; 2014 No.&#160;43 s&#160;117 sch&#160;1\n(sec.139-ssec.1) Every determination, notice, order, or direction made or given by the commissioner or the chief executive under this Act, or notice of rescission by the commissioner or the chief executive of any such determination, notice, order, or direction, may be published in the gazette, and upon such publication shall be judicially noticed and shall be and be deemed to be sufficiently served upon or notified to all persons affected by such determination, notice, order, or direction, or rescission thereof.\n(sec.139-ssec.2) Subsection&#160;(1) shall not apply with respect to determinations by the commissioner or the chief executive of any provision, term, or condition of a licence, where such provision, term, or condition is set out in that licence.","sortOrder":406},{"sectionNumber":"sec.140","sectionType":"section","heading":"Service if address unknown etc.","content":"### sec.140 Service if address unknown etc.\n\nIf a determination, notice, order, direction, or document (the notice ) is required or authorised to be given to a person whose place of business, postal address or address is unknown to the commissioner or chief executive, the notice may be, and is taken to be, given by publishing it twice in a newspaper with an interval of at least 1 week between the dates of publication.\nA declaration purporting to be made by the commissioner or chief executive that the place of business, postal address or address of a person is unknown is evidence of the matter.\nThe publication of a determination, notice, order, direction, or document may be proved by the production of a copy of the gazette or newspaper containing it.\nThis section does not limit section&#160;139 .\ns&#160;140 (prev 1949 13 Geo 6 No. 26 s&#160;65) amd 1961 10 Eliz 2 No. 27 s&#160;36; 1982 No.&#160;15 s&#160;15 ; 1984 No.&#160;102 s&#160;27 ; 1990 No.&#160;73 s&#160;3 sch&#160;5\nsub 1994 No.&#160;7 s&#160;3 sch\namd 1999 No.&#160;42 s&#160;54 (1) sch amdt 158\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 162\namd 2014 No.&#160;43 s&#160;103\n(sec.140-ssec.1) If a determination, notice, order, direction, or document (the notice ) is required or authorised to be given to a person whose place of business, postal address or address is unknown to the commissioner or chief executive, the notice may be, and is taken to be, given by publishing it twice in a newspaper with an interval of at least 1 week between the dates of publication.\n(sec.140-ssec.2) A declaration purporting to be made by the commissioner or chief executive that the place of business, postal address or address of a person is unknown is evidence of the matter.\n(sec.140-ssec.3) The publication of a determination, notice, order, direction, or document may be proved by the production of a copy of the gazette or newspaper containing it.\n(sec.140-ssec.4) This section does not limit section&#160;139 .","sortOrder":407},{"sectionNumber":"sec.141","sectionType":"section","heading":"Instruments not affected by error","content":"### sec.141 Instruments not affected by error\n\nAn omission, misnomer or inaccurate description in a determination, notice, order or direction (the instrument ) made or given by the commissioner, the chief executive or a superintendent does not affect the instrument if the instrument’s true intent can be understood.\ns&#160;141 (prev 1949 13 Geo 6 No. 26 s&#160;66) amd 1961 10 Eliz 2 No. 27 s&#160;37; 1984 No.&#160;102 s&#160;28 ; 1990 No.&#160;73 s&#160;3 sch&#160;5\nsub 1994 No.&#160;7 s&#160;3 sch\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 162","sortOrder":408},{"sectionNumber":"sec.142","sectionType":"section","heading":"Health professional’s disclosure not breach of confidence","content":"### sec.142 Health professional’s disclosure not breach of confidence\n\nA health professional is not liable, civilly or under an administrative process, for giving information in good faith to the chief executive about a person’s medical fitness—\nto hold, or to continue to hold, a Queensland driver licence; or\nto continue to be authorised to drive on a Queensland road under a non-Queensland driver licence.\nWithout limiting subsection&#160;(1) —\nin a civil proceeding for defamation, the health professional has a defence of absolute privilege for publishing the information; and\nif the health professional would otherwise be required to maintain confidentiality about the information under an Act, oath, rule of law or practice—\nthe health professional does not contravene the Act , oath, rule of law or practice by disclosing the information; and\nis not liable to disciplinary action for disclosing the information.\nIn this section—\nhealth professional means—\na doctor; or\na person registered under the Health Practitioner Regulation National Law to practise, other than as a student, in any of the following—\nthe occupational therapy profession;\nthe optometry profession;\nthe physiotherapy profession.\ninformation includes a document.\ns&#160;142 (prev 1949 13 Geo 6 No. 26 s&#160;67A) ins 1999 No.&#160;42 s&#160;24\namd 1999 No.&#160;42 s&#160;54 (1) sch amdt 160\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 162\namd 2004 No.&#160;53 s&#160;2 sch ; 2005 No.&#160;10 s&#160;50 sch ; 2010 No.&#160;14 s&#160;124 sch ; 2012 No.&#160;10 s&#160;45 ; 2022 No.&#160;19 s&#160;23\n(sec.142-ssec.1) A health professional is not liable, civilly or under an administrative process, for giving information in good faith to the chief executive about a person’s medical fitness— to hold, or to continue to hold, a Queensland driver licence; or to continue to be authorised to drive on a Queensland road under a non-Queensland driver licence.\n(sec.142-ssec.2) Without limiting subsection&#160;(1) — in a civil proceeding for defamation, the health professional has a defence of absolute privilege for publishing the information; and if the health professional would otherwise be required to maintain confidentiality about the information under an Act, oath, rule of law or practice— the health professional does not contravene the Act , oath, rule of law or practice by disclosing the information; and is not liable to disciplinary action for disclosing the information.\n(sec.142-ssec.3) In this section— health professional means— a doctor; or a person registered under the Health Practitioner Regulation National Law to practise, other than as a student, in any of the following— the occupational therapy profession; the optometry profession; the physiotherapy profession. information includes a document.\n- (a) to hold, or to continue to hold, a Queensland driver licence; or\n- (b) to continue to be authorised to drive on a Queensland road under a non-Queensland driver licence.\n- (a) in a civil proceeding for defamation, the health professional has a defence of absolute privilege for publishing the information; and\n- (b) if the health professional would otherwise be required to maintain confidentiality about the information under an Act, oath, rule of law or practice— (i) the health professional does not contravene the Act , oath, rule of law or practice by disclosing the information; and (ii) is not liable to disciplinary action for disclosing the information.\n- (i) the health professional does not contravene the Act , oath, rule of law or practice by disclosing the information; and\n- (ii) is not liable to disciplinary action for disclosing the information.\n- (i) the health professional does not contravene the Act , oath, rule of law or practice by disclosing the information; and\n- (ii) is not liable to disciplinary action for disclosing the information.\n- (a) a doctor; or\n- (b) a person registered under the Health Practitioner Regulation National Law to practise, other than as a student, in any of the following— (i) the occupational therapy profession; (ii) the optometry profession; (iii) the physiotherapy profession.\n- (i) the occupational therapy profession;\n- (ii) the optometry profession;\n- (iii) the physiotherapy profession.\n- (i) the occupational therapy profession;\n- (ii) the optometry profession;\n- (iii) the physiotherapy profession.","sortOrder":409},{"sectionNumber":"sec.143","sectionType":"section","heading":"Confidentiality","content":"### sec.143 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.\nGenerally, under section&#160;144 , provisions of this Act about offences do not apply to a police officer while exercising a power or performing a function under this or another Act. However, the Police Service Administration Act 1990 , section&#160;10.1 provides for an offence if a police officer uses information within the meaning of section&#160;10.2G of that Act that the police officer should not use.\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—\na specimen provided by or taken from a person; and\na digital photo and digitised signature.\ns&#160;143 (prev 1949 13 Geo 6 No. 26 s&#160;67B) ins 1999 No.&#160;42 s&#160;24\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 162\namd 2007 No.&#160;6 ss&#160;51 , 63 ; 2008 No.&#160;71 s&#160;29 ; 2023 No.&#160;7 s&#160;68 s ch&#160;1 pt&#160;1\n(sec.143-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. Generally, under section&#160;144 , provisions of this Act about offences do not apply to a police officer while exercising a power or performing a function under this or another Act. However, the Police Service Administration Act 1990 , section&#160;10.1 provides for an offence if a police officer uses information within the meaning of section&#160;10.2G of that Act that the police officer should not use.\n(sec.143-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.143-ssec.3) In this section— disclose information means— intentionally or recklessly disclose the information; or allow access to the information. information includes— a specimen provided by or taken from a person; and 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.\n- (a) a specimen provided by or taken from a person; and\n- (b) a digital photo and digitised signature.","sortOrder":410},{"sectionNumber":"sec.144","sectionType":"section","heading":"Act does not apply to police officer in course of duty","content":"### sec.144 Act does not apply to police officer in course of duty\n\nProvisions of this Act about offences (other than section&#160;79 and 80 ) do not apply to a police officer while exercising a power, or performing a function, under this or another Act.\ns&#160;144 (prev 1949 13 Geo 6 No. 26 s&#160;68) amd 1961 10 Eliz 2 No. 27 s&#160;39; 1965 No.&#160;26 s&#160;38 ; 1968 No.&#160;22 s&#160;13 ; 1990 No.&#160;73 s&#160;3 sch&#160;5\nsub 1994 No.&#160;7 s&#160;34\namd 1999 No.&#160;42 s&#160;54 (1) sch amdt 161\nreloc 1999 No.&#160;42 s&#160;54 (1) sch amdt 162","sortOrder":411},{"sectionNumber":"ch.5-pt.10","sectionType":"part","heading":"Fees and regulations","content":"# Fees and regulations","sortOrder":412},{"sectionNumber":"sec.145","sectionType":"section","heading":"Fees for road use","content":"### sec.145 Fees for road use\n\nFees for road use (other than registration fees) must take into account, but must not be more than, the costs of the road use to other road users and the community and the administrative costs involved.\naccelerated road wear\ncosts of ensuring safety\ncongestion\nnoise\npollution\nA regulation may prescribe a way of calculating or deciding the costs of road use.\ns&#160;145 (prev s&#160;74) renum 1999 No.&#160;42 s&#160;54 (2) sch amdt 179\n(sec.145-ssec.1) Fees for road use (other than registration fees) must take into account, but must not be more than, the costs of the road use to other road users and the community and the administrative costs involved. accelerated road wear costs of ensuring safety congestion noise pollution\n(sec.145-ssec.2) A regulation may prescribe a way of calculating or deciding the costs of road use.\n- 1 accelerated road wear\n- 2 costs of ensuring safety\n- 3 congestion\n- 4 noise\n- 5 pollution","sortOrder":413},{"sectionNumber":"sec.146","sectionType":"section","heading":"Regulating vehicle operations and road rules","content":"### sec.146 Regulating vehicle operations and road rules\n\nA regulation may prescribe rules about the operation of vehicles and use of the road network, including, for example, rules about—\ndriver behaviour; and\nloading, unloading and securing loads; and\nkeeping and producing records; and\nvehicle mass and dimension; and\ndefective vehicles and ways of managing them; and\nthe environmental impact of vehicle use; and\nthe use of the road network by vehicles, trains, trams, persons and animals; and\ntraffic density, routes and load restrictions for vehicles with a GVM of more than 4.5t; and\nremoving vehicles from the road network if they pose a risk to safety or impede the use of the road network; and\nthe recovery of removed vehicles by their owners or registered operators, and fees for removing and storing the vehicles.\nAlso, a regulation may provide for the following—\nfor a motor vehicle with a GVM of more than 4.5t—\nprohibiting the vehicle’s registration in circumstances stated in the regulation; or\nprohibiting the transfer, or cancellation, of the vehicle’s registration in circumstances stated in the regulation; or\nprohibiting a person from driving the vehicle in Queensland if the person irresponsibly uses the vehicle;\nprohibiting a visiting heavy vehicle from being driven in Queensland if a person irresponsibly uses the vehicle.\nA regulation may prescribe what is an irresponsible use of a motor vehicle.\nIn this section—\nvisiting heavy vehicle means a motor vehicle with a GVM of more than 4.5t that is registered in the Commonwealth, another State or a foreign country under a corresponding law to this Act.\ns&#160;146 (prev s&#160;75) amd 1997 No.&#160;66 s&#160;125 ; 1999 No.&#160;42 s&#160;33\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 172, 179\namd 2000 No.&#160;6 s&#160;78 sch amdt 10\n(sec.146-ssec.1) A regulation may prescribe rules about the operation of vehicles and use of the road network, including, for example, rules about— driver behaviour; and loading, unloading and securing loads; and keeping and producing records; and vehicle mass and dimension; and defective vehicles and ways of managing them; and the environmental impact of vehicle use; and the use of the road network by vehicles, trains, trams, persons and animals; and traffic density, routes and load restrictions for vehicles with a GVM of more than 4.5t; and removing vehicles from the road network if they pose a risk to safety or impede the use of the road network; and the recovery of removed vehicles by their owners or registered operators, and fees for removing and storing the vehicles.\n(sec.146-ssec.2) Also, a regulation may provide for the following— for a motor vehicle with a GVM of more than 4.5t— prohibiting the vehicle’s registration in circumstances stated in the regulation; or prohibiting the transfer, or cancellation, of the vehicle’s registration in circumstances stated in the regulation; or prohibiting a person from driving the vehicle in Queensland if the person irresponsibly uses the vehicle; prohibiting a visiting heavy vehicle from being driven in Queensland if a person irresponsibly uses the vehicle.\n(sec.146-ssec.3) A regulation may prescribe what is an irresponsible use of a motor vehicle.\n(sec.146-ssec.4) In this section— visiting heavy vehicle means a motor vehicle with a GVM of more than 4.5t that is registered in the Commonwealth, another State or a foreign country under a corresponding law to this Act.\n- (a) driver behaviour; and\n- (b) loading, unloading and securing loads; and\n- (c) keeping and producing records; and\n- (d) vehicle mass and dimension; and\n- (e) defective vehicles and ways of managing them; and\n- (f) the environmental impact of vehicle use; and\n- (g) the use of the road network by vehicles, trains, trams, persons and animals; and\n- (ga) traffic density, routes and load restrictions for vehicles with a GVM of more than 4.5t; and\n- (h) removing vehicles from the road network if they pose a risk to safety or impede the use of the road network; and\n- (i) the recovery of removed vehicles by their owners or registered operators, and fees for removing and storing the vehicles.\n- (a) for a motor vehicle with a GVM of more than 4.5t— (i) prohibiting the vehicle’s registration in circumstances stated in the regulation; or (ii) prohibiting the transfer, or cancellation, of the vehicle’s registration in circumstances stated in the regulation; or (iii) prohibiting a person from driving the vehicle in Queensland if the person irresponsibly uses the vehicle;\n- (i) prohibiting the vehicle’s registration in circumstances stated in the regulation; or\n- (ii) prohibiting the transfer, or cancellation, of the vehicle’s registration in circumstances stated in the regulation; or\n- (iii) prohibiting a person from driving the vehicle in Queensland if the person irresponsibly uses the vehicle;\n- (b) prohibiting a visiting heavy vehicle from being driven in Queensland if a person irresponsibly uses the vehicle.\n- (i) prohibiting the vehicle’s registration in circumstances stated in the regulation; or\n- (ii) prohibiting the transfer, or cancellation, of the vehicle’s registration in circumstances stated in the regulation; or\n- (iii) prohibiting a person from driving the vehicle in Queensland if the person irresponsibly uses the vehicle;","sortOrder":414},{"sectionNumber":"sec.147","sectionType":"section","heading":"Regulating vehicles etc. in public places","content":"### sec.147 Regulating vehicles etc. in public places\n\nA regulation may—\nprescribe rules about the operation of vehicles and their use in a public place, including, for example, rules about—\ndriver behaviour; and\nloading, unloading and securing loads; and\nkeeping and producing records; and\nvehicle mass and dimension; and\ndefective vehicles and ways of managing them; and\nthe environmental impact of vehicle use; and\nrules for using public places for vehicles, drivers, cyclists, pedestrians and animals; and\nremoving vehicles from a public place if they pose a risk to safety or impede the use of the public place; and\nthe recovery of removed vehicles by their owners or registered operators, and fees for removing and storing the vehicles; and\nprescribe vehicle standards with which vehicles must comply to use a public place.\nA regulation may authorise a local government to—\ndeclare, by gazette notice—\na place not to be a public place; or\nreasonable conditions, consistent with the objectives of this Act, for using a vehicle in a public place; or\nby a local law, consistent with the objectives of this Act, regulate (including by permit) access of vehicles that must be registered under this Act, to a public place in its area.\ns&#160;147 (prev s&#160;79M) ins 1997 No.&#160;66 s&#160;129\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 186\namd 2000 No.&#160;6 s&#160;78 sch amdt 11; 2001 No.&#160;79 s&#160;110\n(sec.147-ssec.1) A regulation may— prescribe rules about the operation of vehicles and their use in a public place, including, for example, rules about— driver behaviour; and loading, unloading and securing loads; and keeping and producing records; and vehicle mass and dimension; and defective vehicles and ways of managing them; and the environmental impact of vehicle use; and rules for using public places for vehicles, drivers, cyclists, pedestrians and animals; and removing vehicles from a public place if they pose a risk to safety or impede the use of the public place; and the recovery of removed vehicles by their owners or registered operators, and fees for removing and storing the vehicles; and prescribe vehicle standards with which vehicles must comply to use a public place.\n(sec.147-ssec.2) A regulation may authorise a local government to— declare, by gazette notice— a place not to be a public place; or reasonable conditions, consistent with the objectives of this Act, for using a vehicle in a public place; or by a local law, consistent with the objectives of this Act, regulate (including by permit) access of vehicles that must be registered under this Act, to a public place in its area.\n- (a) prescribe rules about the operation of vehicles and their use in a public place, including, for example, rules about— (i) driver behaviour; and (ii) loading, unloading and securing loads; and (iii) keeping and producing records; and (iv) vehicle mass and dimension; and (v) defective vehicles and ways of managing them; and (vi) the environmental impact of vehicle use; and (vii) rules for using public places for vehicles, drivers, cyclists, pedestrians and animals; and (viii) removing vehicles from a public place if they pose a risk to safety or impede the use of the public place; and (ix) the recovery of removed vehicles by their owners or registered operators, and fees for removing and storing the vehicles; and\n- (i) driver behaviour; and\n- (ii) loading, unloading and securing loads; and\n- (iii) keeping and producing records; and\n- (iv) vehicle mass and dimension; and\n- (v) defective vehicles and ways of managing them; and\n- (vi) the environmental impact of vehicle use; and\n- (vii) rules for using public places for vehicles, drivers, cyclists, pedestrians and animals; and\n- (viii) removing vehicles from a public place if they pose a risk to safety or impede the use of the public place; and\n- (ix) the recovery of removed vehicles by their owners or registered operators, and fees for removing and storing the vehicles; and\n- (b) prescribe vehicle standards with which vehicles must comply to use a public place.\n- (i) driver behaviour; and\n- (ii) loading, unloading and securing loads; and\n- (iii) keeping and producing records; and\n- (iv) vehicle mass and dimension; and\n- (v) defective vehicles and ways of managing them; and\n- (vi) the environmental impact of vehicle use; and\n- (vii) rules for using public places for vehicles, drivers, cyclists, pedestrians and animals; and\n- (viii) removing vehicles from a public place if they pose a risk to safety or impede the use of the public place; and\n- (ix) the recovery of removed vehicles by their owners or registered operators, and fees for removing and storing the vehicles; and\n- (a) declare, by gazette notice— (i) a place not to be a public place; or (ii) reasonable conditions, consistent with the objectives of this Act, for using a vehicle in a public place; or\n- (i) a place not to be a public place; or\n- (ii) reasonable conditions, consistent with the objectives of this Act, for using a vehicle in a public place; or\n- (b) by a local law, consistent with the objectives of this Act, regulate (including by permit) access of vehicles that must be registered under this Act, to a public place in its area.\n- (i) a place not to be a public place; or\n- (ii) reasonable conditions, consistent with the objectives of this Act, for using a vehicle in a public place; or","sortOrder":415},{"sectionNumber":"sec.148","sectionType":"section","heading":"Regulating vehicle standards","content":"### sec.148 Regulating vehicle standards\n\nA regulation may prescribe—\nvehicle standards with which vehicles must comply to use the road network; and\nrules about—\nrequiring vehicles to be inspected and inspection certificates to be obtained, at stated times or in stated circumstances, to ensure the vehicles comply with—\nthe standards prescribed under paragraph&#160;(a) ; and\nthe heavy vehicle standards prescribed under the Heavy Vehicle National Law; and\na requirement that a heavy vehicle be inspected at a regular interval\na requirement that a vehicle be inspected and an inspection certificate issued for it before the vehicle is sold or the registration is transferred\nissuing inspection certificates, defect notices and other documents for vehicles inspected; and\napproving premises (including mobile premises) as inspection stations for vehicles; and\nfees for the inspection of, and the obtaining of inspection certificates for, heavy vehicles for compliance with the heavy vehicle standards prescribed under the Heavy Vehicle National Law .\ns&#160;148 (prev s&#160;76) sub 1997 No.&#160;66 s&#160;127\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 174, 179\namd 2000 No.&#160;6 s&#160;78 sch amdt 12; 2007 No.&#160;36 s&#160;2 sch ; 2007 No.&#160;43 s&#160;33 sch (amdt could not be given effect); 2013 No.&#160;26 s&#160;84 ; 2019 No.&#160;25 s&#160;43\n- (a) vehicle standards with which vehicles must comply to use the road network; and\n- (b) rules about— (i) requiring vehicles to be inspected and inspection certificates to be obtained, at stated times or in stated circumstances, to ensure the vehicles comply with— (A) the standards prescribed under paragraph&#160;(a) ; and (B) the heavy vehicle standards prescribed under the Heavy Vehicle National Law; and Examples for subparagraph&#160;(i) — • a requirement that a heavy vehicle be inspected at a regular interval • a requirement that a vehicle be inspected and an inspection certificate issued for it before the vehicle is sold or the registration is transferred (ii) issuing inspection certificates, defect notices and other documents for vehicles inspected; and (iii) approving premises (including mobile premises) as inspection stations for vehicles; and\n- (i) requiring vehicles to be inspected and inspection certificates to be obtained, at stated times or in stated circumstances, to ensure the vehicles comply with— (A) the standards prescribed under paragraph&#160;(a) ; and (B) the heavy vehicle standards prescribed under the Heavy Vehicle National Law; and Examples for subparagraph&#160;(i) — • a requirement that a heavy vehicle be inspected at a regular interval • a requirement that a vehicle be inspected and an inspection certificate issued for it before the vehicle is sold or the registration is transferred\n- (A) the standards prescribed under paragraph&#160;(a) ; and\n- (B) the heavy vehicle standards prescribed under the Heavy Vehicle National Law; and\n- • a requirement that a heavy vehicle be inspected at a regular interval\n- • a requirement that a vehicle be inspected and an inspection certificate issued for it before the vehicle is sold or the registration is transferred\n- (ii) issuing inspection certificates, defect notices and other documents for vehicles inspected; and\n- (iii) approving premises (including mobile premises) as inspection stations for vehicles; and\n- (c) fees for the inspection of, and the obtaining of inspection certificates for, heavy vehicles for compliance with the heavy vehicle standards prescribed under the Heavy Vehicle National Law .\n- (i) requiring vehicles to be inspected and inspection certificates to be obtained, at stated times or in stated circumstances, to ensure the vehicles comply with— (A) the standards prescribed under paragraph&#160;(a) ; and (B) the heavy vehicle standards prescribed under the Heavy Vehicle National Law; and Examples for subparagraph&#160;(i) — • a requirement that a heavy vehicle be inspected at a regular interval • a requirement that a vehicle be inspected and an inspection certificate issued for it before the vehicle is sold or the registration is transferred\n- (A) the standards prescribed under paragraph&#160;(a) ; and\n- (B) the heavy vehicle standards prescribed under the Heavy Vehicle National Law; and\n- • a requirement that a heavy vehicle be inspected at a regular interval\n- • a requirement that a vehicle be inspected and an inspection certificate issued for it before the vehicle is sold or the registration is transferred\n- (ii) issuing inspection certificates, defect notices and other documents for vehicles inspected; and\n- (iii) approving premises (including mobile premises) as inspection stations for vehicles; and\n- (A) the standards prescribed under paragraph&#160;(a) ; and\n- (B) the heavy vehicle standards prescribed under the Heavy Vehicle National Law; and\n- • a requirement that a heavy vehicle be inspected at a regular interval\n- • a requirement that a vehicle be inspected and an inspection certificate issued for it before the vehicle is sold or the registration is transferred","sortOrder":416},{"sectionNumber":"sec.149","sectionType":"section","heading":"Regulating identification of vehicles","content":"### sec.149 Regulating identification of vehicles\n\nA regulation may—\nprescribe ways of identifying vehicles; and\nrequire the keeping of a register of the vehicles identified in those ways; and\nprovide for the circumstances in which details of the register’s contents can be given to someone.\ns&#160;149 (prev s&#160;77) renum 1999 No.&#160;42 s&#160;54 (2) sch amdt 175,179\n- (a) prescribe ways of identifying vehicles; and\n- (b) require the keeping of a register of the vehicles identified in those ways; and\n- (c) provide for the circumstances in which details of the register’s contents can be given to someone.","sortOrder":417},{"sectionNumber":"sec.150","sectionType":"section","heading":"Regulating driver management","content":"### sec.150 Regulating driver management\n\nA regulation may prescribe rules about the management of drivers, including, for example—\nstandards about driver skills and knowledge; and\nthe training of drivers; and\nthe approval of driver trainers and driver trainer competency assessors; and\nthe testing and licensing of drivers; and\nrules about licences, including, in particular, the circumstances in which, and the reasons for which, they can be cancelled or suspended or conditions imposed on them; and\nrequiring the keeping of a register of licences; and\nproviding for the circumstances in which details of the register’s contents can be given to someone; and\nthe granting of exemptions from conditions of licences.\nWithout limiting subsection&#160;(1) (c) , a regulation may provide that a court may make orders, on the basis of special hardship, authorising persons whose licences have been suspended to continue to drive motor vehicles under Queensland driver licences in stated circumstances ( special hardship orders ), including, for example—\nthe persons who are eligible, and who are not eligible, to apply for the orders; and\nhow and when applications for the orders are to be made; and\nthe criteria to be used in deciding applications for the orders; and\nthe types of restrictions the court may or must apply to licences; and\nthe periods for which orders are effective; and\nvariation of the orders; and\nthe consequences for failing to comply with the orders, including, for example, the creation of offences and the disqualification of persons from holding or obtaining driver licences.\nA regulation may prescribe the maximum fees payable for approved courses for pre-licence motorbike driver training.\nIn this section—\napproval includes accreditation.\ns&#160;150 (prev s&#160;78) amd 1997 No.&#160;66 s&#160;128 ; 1999 No.&#160;42 s&#160;35\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 178,179\namd 2005 No.&#160;49 s&#160;69 ; 2007 No.&#160;6 s&#160;63A ; 2007 No.&#160;43 s&#160;33 sch ; 2008 No.&#160;31 s&#160;59 ; 2013 No.&#160;26 s&#160;85\n(sec.150-ssec.1) A regulation may prescribe rules about the management of drivers, including, for example— standards about driver skills and knowledge; and the training of drivers; and the approval of driver trainers and driver trainer competency assessors; and the testing and licensing of drivers; and rules about licences, including, in particular, the circumstances in which, and the reasons for which, they can be cancelled or suspended or conditions imposed on them; and requiring the keeping of a register of licences; and providing for the circumstances in which details of the register’s contents can be given to someone; and the granting of exemptions from conditions of licences.\n(sec.150-ssec.1A) Without limiting subsection&#160;(1) (c) , a regulation may provide that a court may make orders, on the basis of special hardship, authorising persons whose licences have been suspended to continue to drive motor vehicles under Queensland driver licences in stated circumstances ( special hardship orders ), including, for example— the persons who are eligible, and who are not eligible, to apply for the orders; and how and when applications for the orders are to be made; and the criteria to be used in deciding applications for the orders; and the types of restrictions the court may or must apply to licences; and the periods for which orders are effective; and variation of the orders; and the consequences for failing to comply with the orders, including, for example, the creation of offences and the disqualification of persons from holding or obtaining driver licences.\n(sec.150-ssec.2) A regulation may prescribe the maximum fees payable for approved courses for pre-licence motorbike driver training.\n(sec.150-ssec.3) In this section— approval includes accreditation.\n- (a) standards about driver skills and knowledge; and\n- (aa) the training of drivers; and\n- (ab) the approval of driver trainers and driver trainer competency assessors; and\n- (b) the testing and licensing of drivers; and\n- (c) rules about licences, including, in particular, the circumstances in which, and the reasons for which, they can be cancelled or suspended or conditions imposed on them; and\n- (d) requiring the keeping of a register of licences; and\n- (e) providing for the circumstances in which details of the register’s contents can be given to someone; and\n- (f) the granting of exemptions from conditions of licences.\n- (a) the persons who are eligible, and who are not eligible, to apply for the orders; and\n- (aa) how and when applications for the orders are to be made; and\n- (b) the criteria to be used in deciding applications for the orders; and\n- (c) the types of restrictions the court may or must apply to licences; and\n- (ca) the periods for which orders are effective; and\n- (d) variation of the orders; and\n- (e) the consequences for failing to comply with the orders, including, for example, the creation of offences and the disqualification of persons from holding or obtaining driver licences.","sortOrder":418},{"sectionNumber":"sec.150AA","sectionType":"section","heading":"Regulating young drivers","content":"### sec.150AA Regulating young drivers\n\nA regulation made under this part, to the extent it is about the management of young drivers, may provide for the following—\nstandards about young driver skills and knowledge;\nthe training of young drivers;\nthe keeping and production of logbooks to record the driving experience of young drivers;\nthe retention of the logbooks mentioned in paragraph&#160;(c) ;\nthe testing and licensing of young drivers;\nrules about licences held by young drivers, including, in particular, the circumstances in which, and the reasons for which, they can be cancelled or suspended or conditions imposed on them;\nthe granting of exemptions from conditions of licences;\nthe passengers young drivers may carry in vehicles;\nthe use, operation or holding of mobile phones and other electronic devices by, or the resting of mobile phones and other electronic devices on, persons in vehicles driven by young drivers;\nthe vehicles that may and may not be driven by young drivers.\nThe following is not unlawful discrimination on the basis of age for the Anti-Discrimination Act 1991 —\na provision of a regulation about the management of young drivers as mentioned in subsection&#160;(1) , that is declared under the regulation as a provision that is not unlawful discrimination on the basis of age for the Anti-Discrimination Act 1991 ;\nthe doing of an act that is necessary to comply with, or that is authorised by, a provision declared under paragraph&#160;(a) .\nIn this section—\nyoung driver means a driver under 25 years.\ns&#160;150AA ins 2007 No.&#160;6 s&#160;52\namd 2007 No.&#160;27 s&#160;19 ; 2024 No.&#160;2 s&#160;63\n(sec.150AA-ssec.1) A regulation made under this part, to the extent it is about the management of young drivers, may provide for the following— standards about young driver skills and knowledge; the training of young drivers; the keeping and production of logbooks to record the driving experience of young drivers; the retention of the logbooks mentioned in paragraph&#160;(c) ; the testing and licensing of young drivers; rules about licences held by young drivers, including, in particular, the circumstances in which, and the reasons for which, they can be cancelled or suspended or conditions imposed on them; the granting of exemptions from conditions of licences; the passengers young drivers may carry in vehicles; the use, operation or holding of mobile phones and other electronic devices by, or the resting of mobile phones and other electronic devices on, persons in vehicles driven by young drivers; the vehicles that may and may not be driven by young drivers.\n(sec.150AA-ssec.2) The following is not unlawful discrimination on the basis of age for the Anti-Discrimination Act 1991 — a provision of a regulation about the management of young drivers as mentioned in subsection&#160;(1) , that is declared under the regulation as a provision that is not unlawful discrimination on the basis of age for the Anti-Discrimination Act 1991 ; the doing of an act that is necessary to comply with, or that is authorised by, a provision declared under paragraph&#160;(a) .\n(sec.150AA-ssec.3) In this section— young driver means a driver under 25 years.\n- (a) standards about young driver skills and knowledge;\n- (b) the training of young drivers;\n- (c) the keeping and production of logbooks to record the driving experience of young drivers;\n- (d) the retention of the logbooks mentioned in paragraph&#160;(c) ;\n- (e) the testing and licensing of young drivers;\n- (f) rules about licences held by young drivers, including, in particular, the circumstances in which, and the reasons for which, they can be cancelled or suspended or conditions imposed on them;\n- (g) the granting of exemptions from conditions of licences;\n- (h) the passengers young drivers may carry in vehicles;\n- (i) the use, operation or holding of mobile phones and other electronic devices by, or the resting of mobile phones and other electronic devices on, persons in vehicles driven by young drivers;\n- (j) the vehicles that may and may not be driven by young drivers.\n- (a) a provision of a regulation about the management of young drivers as mentioned in subsection&#160;(1) , that is declared under the regulation as a provision that is not unlawful discrimination on the basis of age for the Anti-Discrimination Act 1991 ;\n- (b) the doing of an act that is necessary to comply with, or that is authorised by, a provision declared under paragraph&#160;(a) .","sortOrder":419},{"sectionNumber":"sec.150AB","sectionType":"section","heading":null,"content":"### Section sec.150AB\n\ns&#160;150AB ins 2008 No.&#160;31 s&#160;61\namd 2010 No.&#160;13 s&#160;3 sch pt&#160;2\nom 2013 No.&#160;26 s&#160;86","sortOrder":420},{"sectionNumber":"sec.150AC","sectionType":"section","heading":"Driver licensing regulation prevails over rules of court","content":"### sec.150AC Driver licensing regulation prevails over rules of court\n\nThis section applies if the driver licensing regulation provides for how and when an application is to be made to a court.\nIf there is an inconsistency between the driver licensing regulation and any rules of court, the regulation prevails to the extent of the inconsistency.\ns&#160;150AC (prev s&#160;150AB) ins 2007 No.&#160;6 s&#160;63B\nrenum 2008 No.&#160;31 s&#160;60\namd 2010 No.&#160;13 s&#160;3 sch pt&#160;1\n(sec.150AC-ssec.1) This section applies if the driver licensing regulation provides for how and when an application is to be made to a court.\n(sec.150AC-ssec.2) If there is an inconsistency between the driver licensing regulation and any rules of court, the regulation prevails to the extent of the inconsistency.","sortOrder":421},{"sectionNumber":"sec.150A","sectionType":"section","heading":"Regulating form of licence","content":"### sec.150A Regulating form of licence\n\nA regulation may provide for the form of a licence under this Act, including the information to be included on a licence.\nWithout limiting subsection&#160;(1) , a regulation may provide that a Queensland driver licence may include information that identifies the holder of the Queensland driver licence as being the holder of a licence under another Act.\nA regulation may provide that a Queensland driver licence may include information indicating the holder of the Queensland driver licence also holds a licence under the Transport Operations (Marine Safety) Act 1994 .\nWithout limiting subsection&#160;(1) , a regulation may provide for the following—\na document evidencing a Queensland driver licence to be in the form of a card or something similar approved by the chief executive and on which information may be stored electronically;\na PIN to be used by the holder of a Queensland driver licence as a security measure to protect information stored electronically on a document evidencing the Queensland driver licence.\ns&#160;150A ins 2005 No.&#160;49 s&#160;70\nsub 2008 No.&#160;71 s&#160;30 (amd 2010 No.&#160;13 s&#160;77 )\n(sec.150A-ssec.1) A regulation may provide for the form of a licence under this Act, including the information to be included on a licence.\n(sec.150A-ssec.2) Without limiting subsection&#160;(1) , a regulation may provide that a Queensland driver licence may include information that identifies the holder of the Queensland driver licence as being the holder of a licence under another Act. A regulation may provide that a Queensland driver licence may include information indicating the holder of the Queensland driver licence also holds a licence under the Transport Operations (Marine Safety) Act 1994 .\n(sec.150A-ssec.3) Without limiting subsection&#160;(1) , a regulation may provide for the following— a document evidencing a Queensland driver licence to be in the form of a card or something similar approved by the chief executive and on which information may be stored electronically; a PIN to be used by the holder of a Queensland driver licence as a security measure to protect information stored electronically on a document evidencing the Queensland driver licence.\n- (a) a document evidencing a Queensland driver licence to be in the form of a card or something similar approved by the chief executive and on which information may be stored electronically;\n- (b) a PIN to be used by the holder of a Queensland driver licence as a security measure to protect information stored electronically on a document evidencing the Queensland driver licence.","sortOrder":422},{"sectionNumber":"sec.150BA","sectionType":"section","heading":"Regulating form of prescribed authority other than Queensland driver licence","content":"### sec.150BA Regulating form of prescribed authority other than Queensland driver licence\n\nA regulation may provide for the form of a relevant prescribed authority, including the information to be included on a relevant prescribed authority.\nWithout limiting subsection&#160;(1) , a regulation may provide for the following—\na document evidencing a relevant prescribed authority;\na document evidencing a relevant prescribed authority to be in the form of a card or something similar approved by the chief executive and on which information may be stored electronically;\na PIN to be used by the holder of a relevant prescribed authority as a security measure to protect information stored electronically on a document evidencing the relevant prescribed authority.\nAlso, without limiting subsection&#160;(1) , a regulation may provide that—\na document evidencing a relevant prescribed authority may include on it information about another transport authority held by the person under a prescribed transport Act, if allowed under that Act; or\ninformation about a relevant prescribed authority may be included on another transport authority.\nSee also the Transport Planning and Coordination Act 1994 , section&#160;36G for smartcard transport authorities.\nIn this section—\nprescribed transport Act means—\nthe Tow Truck Act 2023 ; or\nthe Transport Operations (Passenger Transport) Act 1994 ; or\nthis Act.\nrelevant prescribed authority means a prescribed authority other than a Queensland driver licence.\ntransport authority means—\na driver accreditation or an assistant accreditation under the Tow Truck Act 2023 ; or\ndriver authorisation under the Transport Operations (Passenger Transport) Act 1994 ; or\na prescribed authority (other than a Queensland driver licence).\ns&#160;150BA ins 2008 No.&#160;71 s&#160;30 (amd 2010 No.&#160;13 s&#160;77 )\namd 2023 No.&#160;28 s&#160;211\n(sec.150BA-ssec.1) A regulation may provide for the form of a relevant prescribed authority, including the information to be included on a relevant prescribed authority.\n(sec.150BA-ssec.2) Without limiting subsection&#160;(1) , a regulation may provide for the following— a document evidencing a relevant prescribed authority; a document evidencing a relevant prescribed authority to be in the form of a card or something similar approved by the chief executive and on which information may be stored electronically; a PIN to be used by the holder of a relevant prescribed authority as a security measure to protect information stored electronically on a document evidencing the relevant prescribed authority.\n(sec.150BA-ssec.3) Also, without limiting subsection&#160;(1) , a regulation may provide that— a document evidencing a relevant prescribed authority may include on it information about another transport authority held by the person under a prescribed transport Act, if allowed under that Act; or information about a relevant prescribed authority may be included on another transport authority. See also the Transport Planning and Coordination Act 1994 , section&#160;36G for smartcard transport authorities.\n(sec.150BA-ssec.4) In this section— prescribed transport Act means— the Tow Truck Act 2023 ; or the Transport Operations (Passenger Transport) Act 1994 ; or this Act. relevant prescribed authority means a prescribed authority other than a Queensland driver licence. transport authority means— a driver accreditation or an assistant accreditation under the Tow Truck Act 2023 ; or driver authorisation under the Transport Operations (Passenger Transport) Act 1994 ; or a prescribed authority (other than a Queensland driver licence).\n- (a) a document evidencing a relevant prescribed authority;\n- (b) a document evidencing a relevant prescribed authority to be in the form of a card or something similar approved by the chief executive and on which information may be stored electronically;\n- (c) a PIN to be used by the holder of a relevant prescribed authority as a security measure to protect information stored electronically on a document evidencing the relevant prescribed authority.\n- (a) a document evidencing a relevant prescribed authority may include on it information about another transport authority held by the person under a prescribed transport Act, if allowed under that Act; or\n- (b) information about a relevant prescribed authority may be included on another transport authority.\n- (a) the Tow Truck Act 2023 ; or\n- (b) the Transport Operations (Passenger Transport) Act 1994 ; or\n- (c) this Act.\n- (a) a driver accreditation or an assistant accreditation under the Tow Truck Act 2023 ; or\n- (b) driver authorisation under the Transport Operations (Passenger Transport) Act 1994 ; or\n- (c) a prescribed authority (other than a Queensland driver licence).","sortOrder":423},{"sectionNumber":"sec.150B","sectionType":"section","heading":"Proceedings for particular offences involving requirements about passengers","content":"### sec.150B Proceedings for particular offences involving requirements about passengers\n\nThis section applies in relation to proceedings for an offence prescribed under a regulation under this part that may be committed by a driver driving a vehicle carrying passengers in contravention of a requirement that a passenger be over a particular age or have a particular family relationship to the driver.\nIn relation to proof of whether the particular family relationship existed between a passenger and the driver, a regulation may prescribe—\nthat a belief of a police officer, on reasonable grounds, that the relationship did not exist is sufficient evidence of that fact; and\nthat the driver has the onus of proving the relationship did exist.\nFor subsection&#160;(2) (a) , the regulation may provide the belief mentioned in that paragraph may be formed by the police officer after reasonable enquiries made of the driver and passengers when the police officer finds the driver driving the passengers or soon after.\ns&#160;150B ins 2007 No.&#160;27 s&#160;20\n(sec.150B-ssec.1) This section applies in relation to proceedings for an offence prescribed under a regulation under this part that may be committed by a driver driving a vehicle carrying passengers in contravention of a requirement that a passenger be over a particular age or have a particular family relationship to the driver.\n(sec.150B-ssec.2) In relation to proof of whether the particular family relationship existed between a passenger and the driver, a regulation may prescribe— that a belief of a police officer, on reasonable grounds, that the relationship did not exist is sufficient evidence of that fact; and that the driver has the onus of proving the relationship did exist.\n(sec.150B-ssec.3) For subsection&#160;(2) (a) , the regulation may provide the belief mentioned in that paragraph may be formed by the police officer after reasonable enquiries made of the driver and passengers when the police officer finds the driver driving the passengers or soon after.\n- (a) that a belief of a police officer, on reasonable grounds, that the relationship did not exist is sufficient evidence of that fact; and\n- (b) that the driver has the onus of proving the relationship did exist.","sortOrder":424},{"sectionNumber":"sec.150C","sectionType":"section","heading":null,"content":"### Section sec.150C\n\ns&#160;150C ins 2008 No.&#160;31 s&#160;62\namd 2008 No.&#160;67 s&#160;174 ; 2013 No.&#160;26 s&#160;87","sortOrder":425},{"sectionNumber":"ch.5A-pt.1","sectionType":"part","heading":"Preliminary","content":"# Preliminary","sortOrder":426},{"sectionNumber":"sec.151","sectionType":"section","heading":"Application of chapter","content":"### sec.151 Application of chapter\n\nThis chapter—\napplies only to the transportation of dangerous goods, other than prescribed exempt transport; and\napplies in addition to, and does not limit, any other provision of this Act or any other Act.\ns&#160;151 (prev s&#160;79A) ins 1997 No.&#160;66 s&#160;129 (amd 1999 No.&#160;15 s&#160;137 sch&#160;1 (amdt could not be given effect))\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\namd 1999 No.&#160;20 s&#160;235 (amd 2000 No.&#160;46 s&#160;3 sch amdt 9); 2001 No.&#160;79 s&#160;111 ; 2003 No.&#160;29 s&#160;387 ; 2004 No.&#160;9 s&#160;58 sch ; 2007 No.&#160;36 s&#160;2 sch ; 2008 No.&#160;67 s&#160;83 ; 2014 No.&#160;43 s&#160;104 ; 2017 No.&#160;25 s&#160;79\nsub 2019 No.&#160;25 s&#160;44\n- (a) applies only to the transportation of dangerous goods, other than prescribed exempt transport; and\n- (b) applies in addition to, and does not limit, any other provision of this Act or any other Act.","sortOrder":427},{"sectionNumber":"sec.151AA","sectionType":"section","heading":"Definition for chapter","content":"### sec.151AA Definition for chapter\n\nIn this chapter—\nprescribed exempt transport means the transport of dangerous goods that is prescribed by regulation as exempt from the application of this chapter.\ns&#160;151AA ins 2019 No.&#160;25 s&#160;44","sortOrder":428},{"sectionNumber":"sec.151A","sectionType":"section","heading":"Regulation may include provision for tools of trade","content":"### sec.151A Regulation may include provision for tools of trade\n\nThis section applies to dangerous goods that—\nare not transported in the course of a business of transporting goods but are transported by a person who intends to use them or so they may be used for a commercial purpose; and\nare transported as part of a load as prescribed under a regulation.\nA regulation may provide that provisions of the regulation (the excluded provisions ) do not apply to the transport of the dangerous goods mentioned in subsection&#160;(1) .\nWithout limiting subsection&#160;(2) , the regulation may provide the excluded provisions do not apply to a person if the person transports the dangerous goods in a way required by the regulation.\ns&#160;151A ins 2008 No.&#160;67 s&#160;84\namd 2010 No.&#160;13 s&#160;3 sch pt&#160;1\n(sec.151A-ssec.1) This section applies to dangerous goods that— are not transported in the course of a business of transporting goods but are transported by a person who intends to use them or so they may be used for a commercial purpose; and are transported as part of a load as prescribed under a regulation.\n(sec.151A-ssec.2) A regulation may provide that provisions of the regulation (the excluded provisions ) do not apply to the transport of the dangerous goods mentioned in subsection&#160;(1) .\n(sec.151A-ssec.3) Without limiting subsection&#160;(2) , the regulation may provide the excluded provisions do not apply to a person if the person transports the dangerous goods in a way required by the regulation.\n- (a) are not transported in the course of a business of transporting goods but are transported by a person who intends to use them or so they may be used for a commercial purpose; and\n- (b) are transported as part of a load as prescribed under a regulation.","sortOrder":429},{"sectionNumber":"ch.5A-pt.2","sectionType":"part","heading":"Regulations and emergency orders","content":"# Regulations and emergency orders","sortOrder":430},{"sectionNumber":"sec.152","sectionType":"section","heading":"Regulations about dangerous goods and transport of dangerous goods","content":"### sec.152 Regulations about dangerous goods and transport of dangerous goods\n\nA regulation may make provision about dangerous goods and the transport of dangerous goods, including for example, the following—\nidentifying and classifying goods as dangerous goods, and the identification and classification of dangerous goods;\nthe making of decisions by the chief executive for the purposes of a regulation in relation to the following—\nthe identification and classification of goods as dangerous goods;\nthe identification and classification of dangerous goods;\nthe specification of what is, and what is not, compatible with dangerous goods for transport purposes;\nprohibiting or regulating the transport of dangerous goods;\nregulating the containment of dangerous goods that are being, or that are to be, transported;\nthe analysis and testing of dangerous goods;\nthe marking and labelling of packages containing dangerous goods for transport and the placarding of vehicles and packaging on or in which dangerous goods are transported;\ncontainers, vehicles, packaging, equipment and other items used in the transport of dangerous goods;\nthe manufacture of containers, vehicles, packaging, equipment and other items for use in the transport of dangerous goods;\nvoluntary accreditation schemes, including privileges to be accorded or sanctions to be imposed under the schemes and the cancellation or suspension of the schemes;\nthe loading of dangerous goods for, and the unloading of dangerous goods after, their transport;\ndeciding routes along which, the areas in which and the times during which dangerous goods may or may not be transported;\nprocedures for transporting dangerous goods, including, but not limited to—\nthe quantities and circumstances in which dangerous goods, may be transported; and\nsafety procedures and equipment;\nthe licensing of—\nvehicles and drivers for transporting dangerous goods; and\npersons involved in the transport of dangerous goods or vehicles used in the transport;\nthe mandatory accreditation of persons involved in the transport of dangerous goods or particular aspects of that transport;\nthe approval of—\nvehicles, packaging, equipment and other items used in relation to transporting dangerous goods; and\nfacilities for, and methods of, testing or using vehicles, packaging, equipment and other items used in relation to transporting dangerous goods; and\nprocesses carried out in relation to transporting dangerous goods;\ndocuments required to be prepared or kept by persons involved in the transport of dangerous goods, and the approval by the chief executive of alternative documentation;\npublic liability insurance or some other form of indemnity that must be taken out by persons involved in the transport of dangerous goods;\nobligations arising, and procedures to be followed, in the event of a dangerous situation;\nthe training and qualifications required of persons involved in, and the approval of training courses and qualifications relating to involvement in, transporting dangerous goods;\nthe recognition of accredited providers of training, package testing, design verification and other similar activities;\nexempting from the application of this chapter the transport—\nof stated types of dangerous goods; and\nof dangerous goods in stated circumstances or ways.\nWithout limiting subsection&#160;(1) , a regulation may make provision about the recognition of laws of other jurisdictions relating to transporting dangerous goods, things done under those laws and giving effect to those things, including, for example, providing for—\nthe recognition of an entity (the competent authorities panel ) whose membership includes the chief executive and dangerous goods authorities and that may be required to make decisions, and to provide oversight on decisions made, under this chapter in the interests of national uniformity; and\nfor other matters in relation to the competent authorities panel.\nFor subsection&#160;(2) (b) , a regulation may provide that the chief executive must refer to the competent authorities panel—\nan application made to the chief executive for a decision, approval or exemption under this Act if the chief executive considers the decision, approval or exemption should have effect in all participating dangerous goods jurisdictions or some of those jurisdictions including this jurisdiction; or\na decision, approval or exemption under this Act that has effect in all participating dangerous goods jurisdictions or some of those jurisdictions including this jurisdiction if—\nthe chief executive considers the decision, approval or exemption should be cancelled or amended; or\na dangerous goods authority recommended to the chief executive that the decision, approval or exemption should be cancelled or amended; or\na recommendation by the chief executive to a dangerous goods authority that a decision, approval or exemption given by the authority under a corresponding law, that has effect in all participating dangerous goods jurisdictions or some of those jurisdictions including this jurisdiction, if the chief executive considers a ground exists under the corresponding law for the authority to cancel or amend the decision, approval or exemption.\nIf a regulation provides that a matter must be referred to the competent authorities panel, the regulation may provide that the chief executive must have regard to the panel’s decision.\nA regulation may make provision in relation to an action taken or decision made by the competent authorities panel or a dangerous goods authority in relation to a matter considered by the competent authorities panel, including that the action or decision has effect in this jurisdiction as if it were an action or decision of the chief executive.\nThe reference in subsection&#160;(1) (b) to the chief executive making decisions about particular matters does not limit the Statutory Instruments Act 1992 , section&#160;26 , in relation to any other matter mentioned in this section.\nIn this section—\namend includes vary.\ns&#160;152 (prev s&#160;79B) ins 1997 No.&#160;66 s&#160;129\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\nsub 2008 No.&#160;67 s&#160;85\namd 2019 No.&#160;25 s&#160;45\n(sec.152-ssec.1) A regulation may make provision about dangerous goods and the transport of dangerous goods, including for example, the following— identifying and classifying goods as dangerous goods, and the identification and classification of dangerous goods; the making of decisions by the chief executive for the purposes of a regulation in relation to the following— the identification and classification of goods as dangerous goods; the identification and classification of dangerous goods; the specification of what is, and what is not, compatible with dangerous goods for transport purposes; prohibiting or regulating the transport of dangerous goods; regulating the containment of dangerous goods that are being, or that are to be, transported; the analysis and testing of dangerous goods; the marking and labelling of packages containing dangerous goods for transport and the placarding of vehicles and packaging on or in which dangerous goods are transported; containers, vehicles, packaging, equipment and other items used in the transport of dangerous goods; the manufacture of containers, vehicles, packaging, equipment and other items for use in the transport of dangerous goods; voluntary accreditation schemes, including privileges to be accorded or sanctions to be imposed under the schemes and the cancellation or suspension of the schemes; the loading of dangerous goods for, and the unloading of dangerous goods after, their transport; deciding routes along which, the areas in which and the times during which dangerous goods may or may not be transported; procedures for transporting dangerous goods, including, but not limited to— the quantities and circumstances in which dangerous goods, may be transported; and safety procedures and equipment; the licensing of— vehicles and drivers for transporting dangerous goods; and persons involved in the transport of dangerous goods or vehicles used in the transport; the mandatory accreditation of persons involved in the transport of dangerous goods or particular aspects of that transport; the approval of— vehicles, packaging, equipment and other items used in relation to transporting dangerous goods; and facilities for, and methods of, testing or using vehicles, packaging, equipment and other items used in relation to transporting dangerous goods; and processes carried out in relation to transporting dangerous goods; documents required to be prepared or kept by persons involved in the transport of dangerous goods, and the approval by the chief executive of alternative documentation; public liability insurance or some other form of indemnity that must be taken out by persons involved in the transport of dangerous goods; obligations arising, and procedures to be followed, in the event of a dangerous situation; the training and qualifications required of persons involved in, and the approval of training courses and qualifications relating to involvement in, transporting dangerous goods; the recognition of accredited providers of training, package testing, design verification and other similar activities; exempting from the application of this chapter the transport— of stated types of dangerous goods; and of dangerous goods in stated circumstances or ways.\n(sec.152-ssec.2) Without limiting subsection&#160;(1) , a regulation may make provision about the recognition of laws of other jurisdictions relating to transporting dangerous goods, things done under those laws and giving effect to those things, including, for example, providing for— the recognition of an entity (the competent authorities panel ) whose membership includes the chief executive and dangerous goods authorities and that may be required to make decisions, and to provide oversight on decisions made, under this chapter in the interests of national uniformity; and for other matters in relation to the competent authorities panel.\n(sec.152-ssec.3) For subsection&#160;(2) (b) , a regulation may provide that the chief executive must refer to the competent authorities panel— an application made to the chief executive for a decision, approval or exemption under this Act if the chief executive considers the decision, approval or exemption should have effect in all participating dangerous goods jurisdictions or some of those jurisdictions including this jurisdiction; or a decision, approval or exemption under this Act that has effect in all participating dangerous goods jurisdictions or some of those jurisdictions including this jurisdiction if— the chief executive considers the decision, approval or exemption should be cancelled or amended; or a dangerous goods authority recommended to the chief executive that the decision, approval or exemption should be cancelled or amended; or a recommendation by the chief executive to a dangerous goods authority that a decision, approval or exemption given by the authority under a corresponding law, that has effect in all participating dangerous goods jurisdictions or some of those jurisdictions including this jurisdiction, if the chief executive considers a ground exists under the corresponding law for the authority to cancel or amend the decision, approval or exemption.\n(sec.152-ssec.4) If a regulation provides that a matter must be referred to the competent authorities panel, the regulation may provide that the chief executive must have regard to the panel’s decision.\n(sec.152-ssec.5) A regulation may make provision in relation to an action taken or decision made by the competent authorities panel or a dangerous goods authority in relation to a matter considered by the competent authorities panel, including that the action or decision has effect in this jurisdiction as if it were an action or decision of the chief executive.\n(sec.152-ssec.6) The reference in subsection&#160;(1) (b) to the chief executive making decisions about particular matters does not limit the Statutory Instruments Act 1992 , section&#160;26 , in relation to any other matter mentioned in this section.\n(sec.152-ssec.7) In this section— amend includes vary.\n- (a) identifying and classifying goods as dangerous goods, and the identification and classification of dangerous goods;\n- (b) the making of decisions by the chief executive for the purposes of a regulation in relation to the following— (i) the identification and classification of goods as dangerous goods; (ii) the identification and classification of dangerous goods; (iii) the specification of what is, and what is not, compatible with dangerous goods for transport purposes; (iv) prohibiting or regulating the transport of dangerous goods; (v) regulating the containment of dangerous goods that are being, or that are to be, transported;\n- (i) the identification and classification of goods as dangerous goods;\n- (ii) the identification and classification of dangerous goods;\n- (iii) the specification of what is, and what is not, compatible with dangerous goods for transport purposes;\n- (iv) prohibiting or regulating the transport of dangerous goods;\n- (v) regulating the containment of dangerous goods that are being, or that are to be, transported;\n- (c) the analysis and testing of dangerous goods;\n- (d) the marking and labelling of packages containing dangerous goods for transport and the placarding of vehicles and packaging on or in which dangerous goods are transported;\n- (e) containers, vehicles, packaging, equipment and other items used in the transport of dangerous goods;\n- (f) the manufacture of containers, vehicles, packaging, equipment and other items for use in the transport of dangerous goods;\n- (g) voluntary accreditation schemes, including privileges to be accorded or sanctions to be imposed under the schemes and the cancellation or suspension of the schemes;\n- (h) the loading of dangerous goods for, and the unloading of dangerous goods after, their transport;\n- (i) deciding routes along which, the areas in which and the times during which dangerous goods may or may not be transported;\n- (j) procedures for transporting dangerous goods, including, but not limited to— (i) the quantities and circumstances in which dangerous goods, may be transported; and (ii) safety procedures and equipment;\n- (i) the quantities and circumstances in which dangerous goods, may be transported; and\n- (ii) safety procedures and equipment;\n- (k) the licensing of— (i) vehicles and drivers for transporting dangerous goods; and (ii) persons involved in the transport of dangerous goods or vehicles used in the transport;\n- (i) vehicles and drivers for transporting dangerous goods; and\n- (ii) persons involved in the transport of dangerous goods or vehicles used in the transport;\n- (l) the mandatory accreditation of persons involved in the transport of dangerous goods or particular aspects of that transport;\n- (m) the approval of— (i) vehicles, packaging, equipment and other items used in relation to transporting dangerous goods; and (ii) facilities for, and methods of, testing or using vehicles, packaging, equipment and other items used in relation to transporting dangerous goods; and (iii) processes carried out in relation to transporting dangerous goods;\n- (i) vehicles, packaging, equipment and other items used in relation to transporting dangerous goods; and\n- (ii) facilities for, and methods of, testing or using vehicles, packaging, equipment and other items used in relation to transporting dangerous goods; and\n- (iii) processes carried out in relation to transporting dangerous goods;\n- (n) documents required to be prepared or kept by persons involved in the transport of dangerous goods, and the approval by the chief executive of alternative documentation;\n- (o) public liability insurance or some other form of indemnity that must be taken out by persons involved in the transport of dangerous goods;\n- (p) obligations arising, and procedures to be followed, in the event of a dangerous situation;\n- (q) the training and qualifications required of persons involved in, and the approval of training courses and qualifications relating to involvement in, transporting dangerous goods;\n- (r) the recognition of accredited providers of training, package testing, design verification and other similar activities;\n- (s) exempting from the application of this chapter the transport— (i) of stated types of dangerous goods; and (ii) of dangerous goods in stated circumstances or ways.\n- (i) of stated types of dangerous goods; and\n- (ii) of dangerous goods in stated circumstances or ways.\n- (i) the identification and classification of goods as dangerous goods;\n- (ii) the identification and classification of dangerous goods;\n- (iii) the specification of what is, and what is not, compatible with dangerous goods for transport purposes;\n- (iv) prohibiting or regulating the transport of dangerous goods;\n- (v) regulating the containment of dangerous goods that are being, or that are to be, transported;\n- (i) the quantities and circumstances in which dangerous goods, may be transported; and\n- (ii) safety procedures and equipment;\n- (i) vehicles and drivers for transporting dangerous goods; and\n- (ii) persons involved in the transport of dangerous goods or vehicles used in the transport;\n- (i) vehicles, packaging, equipment and other items used in relation to transporting dangerous goods; and\n- (ii) facilities for, and methods of, testing or using vehicles, packaging, equipment and other items used in relation to transporting dangerous goods; and\n- (iii) processes carried out in relation to transporting dangerous goods;\n- (i) of stated types of dangerous goods; and\n- (ii) of dangerous goods in stated circumstances or ways.\n- (a) the recognition of an entity (the competent authorities panel ) whose membership includes the chief executive and dangerous goods authorities and that may be required to make decisions, and to provide oversight on decisions made, under this chapter in the interests of national uniformity; and\n- (b) for other matters in relation to the competent authorities panel.\n- (a) an application made to the chief executive for a decision, approval or exemption under this Act if the chief executive considers the decision, approval or exemption should have effect in all participating dangerous goods jurisdictions or some of those jurisdictions including this jurisdiction; or\n- (b) a decision, approval or exemption under this Act that has effect in all participating dangerous goods jurisdictions or some of those jurisdictions including this jurisdiction if— (i) the chief executive considers the decision, approval or exemption should be cancelled or amended; or (ii) a dangerous goods authority recommended to the chief executive that the decision, approval or exemption should be cancelled or amended; or\n- (i) the chief executive considers the decision, approval or exemption should be cancelled or amended; or\n- (ii) a dangerous goods authority recommended to the chief executive that the decision, approval or exemption should be cancelled or amended; or\n- (c) a recommendation by the chief executive to a dangerous goods authority that a decision, approval or exemption given by the authority under a corresponding law, that has effect in all participating dangerous goods jurisdictions or some of those jurisdictions including this jurisdiction, if the chief executive considers a ground exists under the corresponding law for the authority to cancel or amend the decision, approval or exemption.\n- (i) the chief executive considers the decision, approval or exemption should be cancelled or amended; or\n- (ii) a dangerous goods authority recommended to the chief executive that the decision, approval or exemption should be cancelled or amended; or","sortOrder":431},{"sectionNumber":"ch.5A-pt.3","sectionType":"part","heading":"Exemptions","content":"# Exemptions","sortOrder":432},{"sectionNumber":"sec.153","sectionType":"section","heading":"Exemptions","content":"### sec.153 Exemptions\n\nA person, or a person who is the representative of a class of persons, may apply to the chief executive for an exemption from complying with a provision of a dangerous goods regulation about transporting particular dangerous goods.\nThe chief executive may, on an application under subsection&#160;(1) or on the chief executive’s own initiative, exempt a person or class of persons from complying with a provision of a dangerous goods regulation if satisfied that—\nit is not reasonably practicable for the person or class of persons to comply with the provision; and\ngranting the exemption—\nwould not be likely to create a risk of death or injury to a person, or harm to the environment or to property, greater than that which would be the case if the person or class of persons was required to comply; and\nwould not cause unnecessary administrative or enforcement difficulties, particularly about maintaining national uniformity of road transport laws.\nIf an exemption is given on conditions, the exemption operates only if the conditions are complied with.\nIf an application is made for an exemption and the chief executive grants the exemption, the chief executive must send to each applicant a notice stating—\nthe provisions of a dangerous goods regulation in relation to which the exemption applies; and\nthe dangerous goods to which the exemption applies; and\nthe time for which the exemption applies, including the date that the exemption takes effect; and\nthe conditions to which the exemption is subject; and\nthe geographical area for which the exemption applies; and\nfor a class exemption—each of the following to be stated in the exemption—\nthe class of person exempted;\nthe class representative for the exemption.\nIf an application is made for an exemption and the chief executive does not grant the exemption, the chief executive must give a notice stating the following to each applicant—\nthat the chief executive is not granting the exemption;\nthe reasons for the decision;\nthe prescribed review information for the decision.\nA notice is not required when an exemption is granted on conditions.\nThe Statutory Instruments Act 1992 , sections&#160;24 to 26 apply to the exemption as if it were a statutory instrument.\nA regulation may make provision in relation to applying for, and the giving of, exemptions under this Act.\nIn this section—\napplicant means—\na person who has applied under subsection&#160;(1) for himself or herself, whether or not the application is made jointly with other persons; or\na person who is a representative of a class of persons and who has applied under subsection&#160;(1) for the class of persons; or\na person who is a member of a class of persons and whose name and address is given in an application made by a person as mentioned in paragraph&#160;(b) .\ns&#160;153 (prev s&#160;79C) ins 1997 No.&#160;66 s&#160;129\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\namd 2001 No.&#160;79 s&#160;112 ; 2008 No.&#160;67 s&#160;86 ; 2009 No.&#160;24 s&#160;1790\n(sec.153-ssec.1) A person, or a person who is the representative of a class of persons, may apply to the chief executive for an exemption from complying with a provision of a dangerous goods regulation about transporting particular dangerous goods.\n(sec.153-ssec.2) The chief executive may, on an application under subsection&#160;(1) or on the chief executive’s own initiative, exempt a person or class of persons from complying with a provision of a dangerous goods regulation if satisfied that— it is not reasonably practicable for the person or class of persons to comply with the provision; and granting the exemption— would not be likely to create a risk of death or injury to a person, or harm to the environment or to property, greater than that which would be the case if the person or class of persons was required to comply; and would not cause unnecessary administrative or enforcement difficulties, particularly about maintaining national uniformity of road transport laws.\n(sec.153-ssec.3) If an exemption is given on conditions, the exemption operates only if the conditions are complied with.\n(sec.153-ssec.4) If an application is made for an exemption and the chief executive grants the exemption, the chief executive must send to each applicant a notice stating— the provisions of a dangerous goods regulation in relation to which the exemption applies; and the dangerous goods to which the exemption applies; and the time for which the exemption applies, including the date that the exemption takes effect; and the conditions to which the exemption is subject; and the geographical area for which the exemption applies; and for a class exemption—each of the following to be stated in the exemption— the class of person exempted; the class representative for the exemption.\n(sec.153-ssec.5) If an application is made for an exemption and the chief executive does not grant the exemption, the chief executive must give a notice stating the following to each applicant— that the chief executive is not granting the exemption; the reasons for the decision; the prescribed review information for the decision. A notice is not required when an exemption is granted on conditions.\n(sec.153-ssec.6) The Statutory Instruments Act 1992 , sections&#160;24 to 26 apply to the exemption as if it were a statutory instrument.\n(sec.153-ssec.7) A regulation may make provision in relation to applying for, and the giving of, exemptions under this Act.\n(sec.153-ssec.8) In this section— applicant means— a person who has applied under subsection&#160;(1) for himself or herself, whether or not the application is made jointly with other persons; or a person who is a representative of a class of persons and who has applied under subsection&#160;(1) for the class of persons; or a person who is a member of a class of persons and whose name and address is given in an application made by a person as mentioned in paragraph&#160;(b) .\n- (a) it is not reasonably practicable for the person or class of persons to comply with the provision; and\n- (b) granting the exemption— (i) would not be likely to create a risk of death or injury to a person, or harm to the environment or to property, greater than that which would be the case if the person or class of persons was required to comply; and (ii) would not cause unnecessary administrative or enforcement difficulties, particularly about maintaining national uniformity of road transport laws.\n- (i) would not be likely to create a risk of death or injury to a person, or harm to the environment or to property, greater than that which would be the case if the person or class of persons was required to comply; and\n- (ii) would not cause unnecessary administrative or enforcement difficulties, particularly about maintaining national uniformity of road transport laws.\n- (i) would not be likely to create a risk of death or injury to a person, or harm to the environment or to property, greater than that which would be the case if the person or class of persons was required to comply; and\n- (ii) would not cause unnecessary administrative or enforcement difficulties, particularly about maintaining national uniformity of road transport laws.\n- (a) the provisions of a dangerous goods regulation in relation to which the exemption applies; and\n- (b) the dangerous goods to which the exemption applies; and\n- (c) the time for which the exemption applies, including the date that the exemption takes effect; and\n- (d) the conditions to which the exemption is subject; and\n- (e) the geographical area for which the exemption applies; and\n- (f) for a class exemption—each of the following to be stated in the exemption— (i) the class of person exempted; (ii) the class representative for the exemption.\n- (i) the class of person exempted;\n- (ii) the class representative for the exemption.\n- (i) the class of person exempted;\n- (ii) the class representative for the exemption.\n- (a) that the chief executive is not granting the exemption;\n- (b) the reasons for the decision;\n- (c) the prescribed review information for the decision.\n- (a) a person who has applied under subsection&#160;(1) for himself or herself, whether or not the application is made jointly with other persons; or\n- (b) a person who is a representative of a class of persons and who has applied under subsection&#160;(1) for the class of persons; or\n- (c) a person who is a member of a class of persons and whose name and address is given in an application made by a person as mentioned in paragraph&#160;(b) .","sortOrder":433},{"sectionNumber":"sec.153A","sectionType":"section","heading":"Contravention of condition of exemption","content":"### sec.153A Contravention of condition of exemption\n\nA person acting under the authority of an exemption under section&#160;153 must not contravene a condition of the exemption.\nMaximum penalty—100 penalty units or 6 months imprisonment.\nIf a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\nIf, because of the operation of section&#160;153 (3) , a person commits an offence against a provision of a regulation (the other offence provision ) the person was exempted from complying with under the exemption, the person—\nmay be charged with committing an offence against either subsection&#160;(1) or the other offence provision; but\nmust not be charged with both offences.\nAlso see the Criminal Code , section&#160;16 .\ns&#160;153A ins 2008 No.&#160;67 s&#160;87\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2013 No.&#160;51 s&#160;229 sch&#160;1 ; 2014 No.&#160;43 s&#160;117 sch&#160;1\n(sec.153A-ssec.1) A person acting under the authority of an exemption under section&#160;153 must not contravene a condition of the exemption. Maximum penalty—100 penalty units or 6 months imprisonment. If a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\n(sec.153A-ssec.2) If, because of the operation of section&#160;153 (3) , a person commits an offence against a provision of a regulation (the other offence provision ) the person was exempted from complying with under the exemption, the person— may be charged with committing an offence against either subsection&#160;(1) or the other offence provision; but must not be charged with both offences. Also see the Criminal Code , section&#160;16 .\n- (a) may be charged with committing an offence against either subsection&#160;(1) or the other offence provision; but\n- (b) must not be charged with both offences.","sortOrder":434},{"sectionNumber":"sec.153B","sectionType":"section","heading":"Grounds for amending, suspending or cancelling exemption","content":"### sec.153B Grounds for amending, suspending or cancelling exemption\n\nIt is a ground for amending, suspending or cancelling an exemption if—\nthe exemption was granted because of a document or representation that is false or misleading or obtained or made in another improper way; or\nthe person, or 1 or more of the persons, to whom the exemption applies—\nhas contravened a condition of the exemption; or\nhas been convicted of an offence against this Act or a corresponding law that is an offence relevant to the issue of whether the person or persons should continue to be the subject of an exemption; or\npublic safety has been endangered, or is likely to be endangered because of the exemption; or\nthe chief executive considers that if he or she were dealing with an application for the exemption again (a notional application ), the chief executive would not be satisfied, as mentioned in section&#160;153 (2) , in relation to the granting of the notional application; or\nthe chief executive considers it necessary in the public interest.\ns&#160;153B ins 2008 No.&#160;67 s&#160;87\n- (a) the exemption was granted because of a document or representation that is false or misleading or obtained or made in another improper way; or\n- (b) the person, or 1 or more of the persons, to whom the exemption applies— (i) has contravened a condition of the exemption; or (ii) has been convicted of an offence against this Act or a corresponding law that is an offence relevant to the issue of whether the person or persons should continue to be the subject of an exemption; or\n- (i) has contravened a condition of the exemption; or\n- (ii) has been convicted of an offence against this Act or a corresponding law that is an offence relevant to the issue of whether the person or persons should continue to be the subject of an exemption; or\n- (c) public safety has been endangered, or is likely to be endangered because of the exemption; or\n- (d) the chief executive considers that if he or she were dealing with an application for the exemption again (a notional application ), the chief executive would not be satisfied, as mentioned in section&#160;153 (2) , in relation to the granting of the notional application; or\n- (e) the chief executive considers it necessary in the public interest.\n- (i) has contravened a condition of the exemption; or\n- (ii) has been convicted of an offence against this Act or a corresponding law that is an offence relevant to the issue of whether the person or persons should continue to be the subject of an exemption; or","sortOrder":435},{"sectionNumber":"sec.153C","sectionType":"section","heading":"What chief executive must do before taking proposed action, other than for class exemption","content":"### sec.153C What chief executive must do before taking proposed action, other than for class exemption\n\nThis section applies if the chief executive proposes to amend, suspend or cancel an exemption, other than a class exemption (the proposed action ).\nBefore taking the proposed action, the chief executive must give the holder written notice stating—\nthe proposed action; and\nthe grounds for the proposed action; and\nan outline of the facts and circumstances forming the basis for the grounds; and\nif the proposed action is to amend the exemption, including a condition of the exemption—the proposed amendment; and\nif the proposed action is to suspend the exemption—the proposed suspension period; and\nan invitation to the holder to show in writing, within a stated time of at least 28 days, why the proposed action should not be taken.\ns&#160;153C ins 2008 No.&#160;67 s&#160;87\n(sec.153C-ssec.1) This section applies if the chief executive proposes to amend, suspend or cancel an exemption, other than a class exemption (the proposed action ).\n(sec.153C-ssec.2) Before taking the proposed action, the chief executive must give the holder written notice stating— the proposed action; and the grounds for the proposed action; and an outline of the facts and circumstances forming the basis for the grounds; and if the proposed action is to amend the exemption, including a condition of the exemption—the proposed amendment; and if the proposed action is to suspend the exemption—the proposed suspension period; and an invitation to the holder to show in writing, within a stated time of at least 28 days, why the proposed action should not be taken.\n- (a) the proposed action; and\n- (b) the grounds for the proposed action; and\n- (c) an outline of the facts and circumstances forming the basis for the grounds; and\n- (d) if the proposed action is to amend the exemption, including a condition of the exemption—the proposed amendment; and\n- (e) if the proposed action is to suspend the exemption—the proposed suspension period; and\n- (f) an invitation to the holder to show in writing, within a stated time of at least 28 days, why the proposed action should not be taken.","sortOrder":436},{"sectionNumber":"sec.153D","sectionType":"section","heading":"What chief executive must do before taking proposed action for class exemption","content":"### sec.153D What chief executive must do before taking proposed action for class exemption\n\nThis section applies if the chief executive proposes to amend, suspend or cancel a class exemption (the proposed action ).\nBefore taking the proposed action, the chief executive must give written notice to the holder and in the gazette stating—\nthe proposed action; and\nthe grounds for the proposed action; and\nan outline of the facts and circumstances forming the basis for the grounds; and\nif the proposed action is to amend the exemption, including a condition of the exemption—the proposed amendment; and\nif the proposed action is to suspend the exemption—the proposed suspension period; and\nan invitation to the holder and any member of the class for the exemption to show in writing, within a stated time of at least 28 days, why the proposed action should not be taken.\ns&#160;153D ins 2008 No.&#160;67 s&#160;87\n(sec.153D-ssec.1) This section applies if the chief executive proposes to amend, suspend or cancel a class exemption (the proposed action ).\n(sec.153D-ssec.2) Before taking the proposed action, the chief executive must give written notice to the holder and in the gazette stating— the proposed action; and the grounds for the proposed action; and an outline of the facts and circumstances forming the basis for the grounds; and if the proposed action is to amend the exemption, including a condition of the exemption—the proposed amendment; and if the proposed action is to suspend the exemption—the proposed suspension period; and an invitation to the holder and any member of the class for the exemption to show in writing, within a stated time of at least 28 days, why the proposed action should not be taken.\n- (a) the proposed action; and\n- (b) the grounds for the proposed action; and\n- (c) an outline of the facts and circumstances forming the basis for the grounds; and\n- (d) if the proposed action is to amend the exemption, including a condition of the exemption—the proposed amendment; and\n- (e) if the proposed action is to suspend the exemption—the proposed suspension period; and\n- (f) an invitation to the holder and any member of the class for the exemption to show in writing, within a stated time of at least 28 days, why the proposed action should not be taken.","sortOrder":437},{"sectionNumber":"sec.153E","sectionType":"section","heading":"Decision on proposed action","content":"### sec.153E Decision on proposed action\n\nIf, after considering any written representations made within the time allowed under section&#160;153C or 153D , the chief executive still considers proposed action under the section should be taken, the chief executive may—\nif the proposed action was to amend the exemption—amend the exemption; or\nif the proposed action was to suspend the exemption—suspend the exemption for no longer than the period stated in the notice under section&#160;153C or 153D ; or\nif the proposed action was to cancel the exemption—\namend the exemption; or\nsuspend the exemption for a period, including, if the grounds for taking action are capable of being remedied by the holder or any member of the class for the exemption, on the condition that—\nthe grounds must be remedied to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and\nthe chief executive may cancel the exemption under section&#160;153H if the grounds are not remedied as mentioned in subsubparagraph (A); or\ncancel the exemption.\nThe chief executive must give written notice of the chief executive’s decision to the holder.\nIf the chief executive decides to amend, suspend or cancel the exemption, the notice must state—\nthe reasons for the decision; and\nif the exemption is suspended on the condition mentioned in subsection&#160;(1) (c) (ii) —the exemption may be cancelled under section&#160;153H if the holder fails to comply with the condition; and\nthe prescribed review information for the decision.\nThe decision takes effect on the later of the following—\nthe day the notice is given to the holder;\nthe day stated in the notice.\ns&#160;153E ins 2008 No.&#160;67 s&#160;87\namd 2009 No.&#160;24 s&#160;1791\n(sec.153E-ssec.1) If, after considering any written representations made within the time allowed under section&#160;153C or 153D , the chief executive still considers proposed action under the section should be taken, the chief executive may— if the proposed action was to amend the exemption—amend the exemption; or if the proposed action was to suspend the exemption—suspend the exemption for no longer than the period stated in the notice under section&#160;153C or 153D ; or if the proposed action was to cancel the exemption— amend the exemption; or suspend the exemption for a period, including, if the grounds for taking action are capable of being remedied by the holder or any member of the class for the exemption, on the condition that— the grounds must be remedied to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and the chief executive may cancel the exemption under section&#160;153H if the grounds are not remedied as mentioned in subsubparagraph (A); or cancel the exemption.\n(sec.153E-ssec.2) The chief executive must give written notice of the chief executive’s decision to the holder.\n(sec.153E-ssec.3) If the chief executive decides to amend, suspend or cancel the exemption, the notice must state— the reasons for the decision; and if the exemption is suspended on the condition mentioned in subsection&#160;(1) (c) (ii) —the exemption may be cancelled under section&#160;153H if the holder fails to comply with the condition; and the prescribed review information for the decision.\n(sec.153E-ssec.4) The decision takes effect on the later of the following— the day the notice is given to the holder; the day stated in the notice.\n- (a) if the proposed action was to amend the exemption—amend the exemption; or\n- (b) if the proposed action was to suspend the exemption—suspend the exemption for no longer than the period stated in the notice under section&#160;153C or 153D ; or\n- (c) if the proposed action was to cancel the exemption— (i) amend the exemption; or (ii) suspend the exemption for a period, including, if the grounds for taking action are capable of being remedied by the holder or any member of the class for the exemption, on the condition that— (A) the grounds must be remedied to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and (B) the chief executive may cancel the exemption under section&#160;153H if the grounds are not remedied as mentioned in subsubparagraph (A); or (iii) cancel the exemption.\n- (i) amend the exemption; or\n- (ii) suspend the exemption for a period, including, if the grounds for taking action are capable of being remedied by the holder or any member of the class for the exemption, on the condition that— (A) the grounds must be remedied to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and (B) the chief executive may cancel the exemption under section&#160;153H if the grounds are not remedied as mentioned in subsubparagraph (A); or\n- (A) the grounds must be remedied to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and\n- (B) the chief executive may cancel the exemption under section&#160;153H if the grounds are not remedied as mentioned in subsubparagraph (A); or\n- (iii) cancel the exemption.\n- (i) amend the exemption; or\n- (ii) suspend the exemption for a period, including, if the grounds for taking action are capable of being remedied by the holder or any member of the class for the exemption, on the condition that— (A) the grounds must be remedied to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and (B) the chief executive may cancel the exemption under section&#160;153H if the grounds are not remedied as mentioned in subsubparagraph (A); or\n- (A) the grounds must be remedied to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and\n- (B) the chief executive may cancel the exemption under section&#160;153H if the grounds are not remedied as mentioned in subsubparagraph (A); or\n- (iii) cancel the exemption.\n- (A) the grounds must be remedied to the chief executive’s reasonable satisfaction within a reasonable time before the suspension period ends; and\n- (B) the chief executive may cancel the exemption under section&#160;153H if the grounds are not remedied as mentioned in subsubparagraph (A); or\n- (a) the reasons for the decision; and\n- (b) if the exemption is suspended on the condition mentioned in subsection&#160;(1) (c) (ii) —the exemption may be cancelled under section&#160;153H if the holder fails to comply with the condition; and\n- (c) the prescribed review information for the decision.\n- (a) the day the notice is given to the holder;\n- (b) the day stated in the notice.","sortOrder":438},{"sectionNumber":"sec.153F","sectionType":"section","heading":"Provisions not applying to beneficial or clerical amendment","content":"### sec.153F Provisions not applying to beneficial or clerical amendment\n\nSections&#160;153C , 153D or 153E do not apply—\nif the chief executive proposes to amend an exemption only—\nfor a formal or clerical reason; or\nin another way that does not adversely affect the interests of any person; or\nif the chief executive proposes to amend an exemption in another way or cancel it and the holder asked the chief executive to make the amendment or to cancel the exemption.\nThe chief executive may amend an exemption in a way mentioned in subsection&#160;(1) by written notice to the holder.\ns&#160;153F ins 2008 No.&#160;67 s&#160;87\n(sec.153F-ssec.1) Sections&#160;153C , 153D or 153E do not apply— if the chief executive proposes to amend an exemption only— for a formal or clerical reason; or in another way that does not adversely affect the interests of any person; or if the chief executive proposes to amend an exemption in another way or cancel it and the holder asked the chief executive to make the amendment or to cancel the exemption.\n(sec.153F-ssec.2) The chief executive may amend an exemption in a way mentioned in subsection&#160;(1) by written notice to the holder.\n- (a) if the chief executive proposes to amend an exemption only— (i) for a formal or clerical reason; or (ii) in another way that does not adversely affect the interests of any person; or\n- (i) for a formal or clerical reason; or\n- (ii) in another way that does not adversely affect the interests of any person; or\n- (b) if the chief executive proposes to amend an exemption in another way or cancel it and the holder asked the chief executive to make the amendment or to cancel the exemption.\n- (i) for a formal or clerical reason; or\n- (ii) in another way that does not adversely affect the interests of any person; or","sortOrder":439},{"sectionNumber":"sec.153G","sectionType":"section","heading":"Immediate suspension in the public interest","content":"### sec.153G Immediate suspension in the public interest\n\nDespite sections&#160;153C and 153D , this section applies if the chief executive considers it is necessary in the public interest to immediately suspend an exemption.\nThe chief executive may, by written notice to the holder, immediately suspend the exemption until the earlier of the following—\na notice is given to the holder under section&#160;153E (2) after complying with section&#160;153C or 153D ;\nthe end of 56 days after the day the notice under this section is given to the holder.\nIf the chief executive immediately suspends the exemption, the notice must state—\nthe reasons for the decision; and\nthe prescribed review information for the decision.\nIf the chief executive suspends a class exemption, the chief executive must give notice of the suspension in the gazette.\ns&#160;153G ins 2008 No.&#160;67 s&#160;87\namd 2009 No.&#160;24 s&#160;1792 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1\n(sec.153G-ssec.1) Despite sections&#160;153C and 153D , this section applies if the chief executive considers it is necessary in the public interest to immediately suspend an exemption.\n(sec.153G-ssec.2) The chief executive may, by written notice to the holder, immediately suspend the exemption until the earlier of the following— a notice is given to the holder under section&#160;153E (2) after complying with section&#160;153C or 153D ; the end of 56 days after the day the notice under this section is given to the holder.\n(sec.153G-ssec.3) If the chief executive immediately suspends the exemption, the notice must state— the reasons for the decision; and the prescribed review information for the decision.\n(sec.153G-ssec.4) If the chief executive suspends a class exemption, the chief executive must give notice of the suspension in the gazette.\n- (a) a notice is given to the holder under section&#160;153E (2) after complying with section&#160;153C or 153D ;\n- (b) the end of 56 days after the day the notice under this section is given to the holder.\n- (a) the reasons for the decision; and\n- (b) the prescribed review information for the decision.","sortOrder":440},{"sectionNumber":"sec.153H","sectionType":"section","heading":"Cancelling suspended exemption for failing to take remedial action","content":"### sec.153H Cancelling suspended exemption for failing to take remedial action\n\nThis section applies if the chief executive—\nsuspends an exemption on the condition mentioned in section&#160;153E (1) (c) (ii) ; and\nreasonably believes the condition has not been complied with.\nThe chief executive may by written notice given to the holder cancel the exemption.\nThe notice must state—\nthe reasons for the chief executive’s belief; and\nthe prescribed review information for the decision.\nThe cancellation takes effect on the later of the following—\nthe day the notice is given to the holder;\nthe day stated in the notice.\ns&#160;153H ins 2008 No.&#160;67 s&#160;87\namd 2009 No.&#160;24 s&#160;1793\n(sec.153H-ssec.1) This section applies if the chief executive— suspends an exemption on the condition mentioned in section&#160;153E (1) (c) (ii) ; and reasonably believes the condition has not been complied with.\n(sec.153H-ssec.2) The chief executive may by written notice given to the holder cancel the exemption.\n(sec.153H-ssec.3) The notice must state— the reasons for the chief executive’s belief; and the prescribed review information for the decision.\n(sec.153H-ssec.4) The cancellation takes effect on the later of the following— the day the notice is given to the holder; the day stated in the notice.\n- (a) suspends an exemption on the condition mentioned in section&#160;153E (1) (c) (ii) ; and\n- (b) reasonably believes the condition has not been complied with.\n- (a) the reasons for the chief executive’s belief; and\n- (b) the prescribed review information for the decision.\n- (a) the day the notice is given to the holder;\n- (b) the day stated in the notice.","sortOrder":441},{"sectionNumber":"ch.5A-pt.4","sectionType":"part","heading":"Offences and matters relating to legal proceedings","content":"# Offences and matters relating to legal proceedings","sortOrder":442},{"sectionNumber":"sec.154","sectionType":"section","heading":"Failure to hold licence etc.","content":"### sec.154 Failure to hold licence etc.\n\nA person must not drive a vehicle transporting dangerous goods if—\na dangerous goods regulation requires the vehicle to be licensed to transport the goods; and\nthe vehicle is not licensed under the dangerous goods regulation.\nMaximum penalty—100 penalty units.\nA person must not drive a vehicle transporting dangerous goods if—\na dangerous goods regulation requires the person to be licensed to drive the vehicle; and\nthe person is not licensed under the dangerous goods regulation.\nMaximum penalty—100 penalty units or 2 years imprisonment.\nA person must not employ, engage or permit another person to drive a vehicle transporting dangerous goods if—\na dangerous goods regulation requires the other person to be licensed to drive the vehicle; and\nthe other person is not licensed under the dangerous goods regulation.\nMaximum penalty—500 penalty units or 2 years imprisonment.\nIf a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\nA person must not employ, engage or permit another person to drive a vehicle transporting dangerous goods if—\na dangerous goods regulation requires the vehicle to be licensed to transport the goods; and\nthe vehicle is not licensed under the dangerous goods regulation.\nMaximum penalty—500 penalty units or 2 years imprisonment.\nIf a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\nA person who is required under a dangerous goods regulation to be accredited to be involved in transporting dangerous goods or a particular aspect of that transport must not be involved unless the person is accredited as required.\nMaximum penalty—500 penalty units.\nA person must not consign dangerous goods for transport on a vehicle if the person knows, or reasonably ought to know, that—\na dangerous goods regulation requires the vehicle to be licensed to transport the goods; and\nthe vehicle is not licensed under the dangerous goods regulation.\nMaximum penalty—100 penalty units.\nIf a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\ns&#160;154 (prev s&#160;79D) ins 1997 No.&#160;66 s&#160;129\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\namd 2008 No.&#160;67 s&#160;88 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2013 No.&#160;51 s&#160;229 sch&#160;1\n(sec.154-ssec.1) A person must not drive a vehicle transporting dangerous goods if— a dangerous goods regulation requires the vehicle to be licensed to transport the goods; and the vehicle is not licensed under the dangerous goods regulation. Maximum penalty—100 penalty units.\n(sec.154-ssec.2) A person must not drive a vehicle transporting dangerous goods if— a dangerous goods regulation requires the person to be licensed to drive the vehicle; and the person is not licensed under the dangerous goods regulation. Maximum penalty—100 penalty units or 2 years imprisonment.\n(sec.154-ssec.3) A person must not employ, engage or permit another person to drive a vehicle transporting dangerous goods if— a dangerous goods regulation requires the other person to be licensed to drive the vehicle; and the other person is not licensed under the dangerous goods regulation. Maximum penalty—500 penalty units or 2 years imprisonment. If a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\n(sec.154-ssec.4) A person must not employ, engage or permit another person to drive a vehicle transporting dangerous goods if— a dangerous goods regulation requires the vehicle to be licensed to transport the goods; and the vehicle is not licensed under the dangerous goods regulation. Maximum penalty—500 penalty units or 2 years imprisonment. If a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\n(sec.154-ssec.5) A person who is required under a dangerous goods regulation to be accredited to be involved in transporting dangerous goods or a particular aspect of that transport must not be involved unless the person is accredited as required. Maximum penalty—500 penalty units.\n(sec.154-ssec.6) A person must not consign dangerous goods for transport on a vehicle if the person knows, or reasonably ought to know, that— a dangerous goods regulation requires the vehicle to be licensed to transport the goods; and the vehicle is not licensed under the dangerous goods regulation. Maximum penalty—100 penalty units. If a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\n- (a) a dangerous goods regulation requires the vehicle to be licensed to transport the goods; and\n- (b) the vehicle is not licensed under the dangerous goods regulation.\n- (a) a dangerous goods regulation requires the person to be licensed to drive the vehicle; and\n- (b) the person is not licensed under the dangerous goods regulation.\n- (a) a dangerous goods regulation requires the other person to be licensed to drive the vehicle; and\n- (b) the other person is not licensed under the dangerous goods regulation.\n- (a) a dangerous goods regulation requires the vehicle to be licensed to transport the goods; and\n- (b) the vehicle is not licensed under the dangerous goods regulation.\n- (a) a dangerous goods regulation requires the vehicle to be licensed to transport the goods; and\n- (b) the vehicle is not licensed under the dangerous goods regulation.","sortOrder":443},{"sectionNumber":"sec.155","sectionType":"section","heading":null,"content":"### Section sec.155\n\ns&#160;155 (prev s&#160;79E) ins 1997 No.&#160;66 s&#160;129\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\nom 2008 No.&#160;67 s&#160;89","sortOrder":444},{"sectionNumber":"sec.156","sectionType":"section","heading":"Duties when transporting dangerous goods","content":"### sec.156 Duties when transporting dangerous goods\n\nA person involved in transporting dangerous goods must ensure, as far as is practicable, that the goods are transported safely.\nIf a person involved in transporting dangerous goods contravenes this Act in circumstances where the person knew, or ought reasonably to have known, that the contravention would be likely to endanger the safety of another person or of property or the environment, the person commits an offence.\nMaximum penalty—\nif the contravention results in death or grievous bodily harm to a person—1,000 penalty units or 2 years imprisonment; or\notherwise—500 penalty units or 1 year’s imprisonment.\nIf a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\nThis section is in addition to and does not limit any other provision of this Act.\ns&#160;156 (prev s&#160;79F) ins 1997 No.&#160;66 s&#160;129\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\namd 2008 No.&#160;67 s&#160;90 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2013 No.&#160;51 s&#160;229 sch&#160;1\n(sec.156-ssec.1) A person involved in transporting dangerous goods must ensure, as far as is practicable, that the goods are transported safely.\n(sec.156-ssec.2) If a person involved in transporting dangerous goods contravenes this Act in circumstances where the person knew, or ought reasonably to have known, that the contravention would be likely to endanger the safety of another person or of property or the environment, the person commits an offence. Maximum penalty— if the contravention results in death or grievous bodily harm to a person—1,000 penalty units or 2 years imprisonment; or otherwise—500 penalty units or 1 year’s imprisonment. If a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\n(sec.156-ssec.3) This section is in addition to and does not limit any other provision of this Act.\n- (a) if the contravention results in death or grievous bodily harm to a person—1,000 penalty units or 2 years imprisonment; or\n- (b) otherwise—500 penalty units or 1 year’s imprisonment.","sortOrder":445},{"sectionNumber":"sec.157","sectionType":"section","heading":"Additional evidentiary aids for transporting dangerous goods","content":"### sec.157 Additional evidentiary aids for transporting dangerous goods\n\nThis section applies if, in a prosecution for a contravention of this Act—\nan authorised officer gives evidence the officer believes, or at a particular time relevant to the exercise of a power believed, any of the following matters—\nthat dangerous goods stated in transport documentation carried in a vehicle are or were being carried in the vehicle;\nthat particular dangerous goods are or were dangerous goods or dangerous goods of a particular type;\nif a marking or placard on a substance or packaging indicates or indicated that the substance is or was, or the packaging contains or contained particular dangerous goods—that the substance is or was or the packaging contains or contained the dangerous goods indicated;\nif a marking on a package indicates or indicated that the package contains or contained particular dangerous goods—that the package contains or contained the dangerous goods indicated;\nif a marking on a package indicates or indicated an attribute in relation to the contents of the package—that the contents of the package have or had the indicated attribute;\nif a marking or placard on a vehicle or equipment indicates or indicated the vehicle or equipment is or was being used to transport dangerous goods—that the vehicle or equipment is or was being used to transport the dangerous goods indicated;\nif a marking or placard on a substance or packaging indicates or indicated the substance, packaging or contents of the packaging have or had an indicated attribute—that the substance, packaging or contents have or had the indicated attribute;\nif a marking or placard on a vehicle or packaging indicates or indicated the vehicle’s load is or was, or the contents of the packaging are or were, an indicated quantity of dangerous goods—that the vehicle is or was loaded with, or the packaging contained, the quantity of dangerous goods indicated; and\nthe court considers the belief to be, or to have been, reasonable; and\nthere is no evidence to the contrary.\nThe court must accept the matter as proved.\nIn this section—\nattribute means—\ncapacity; or\ncharacter; or\ndate of manufacture; or\norigin; or\nownership; or\nspecification; or\ntare weight.\non includes attached to.\ns&#160;157 (prev s&#160;79G) ins 1997 No.&#160;66 s&#160;129\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\namd 2008 No.&#160;67 s&#160;91\n(sec.157-ssec.1) This section applies if, in a prosecution for a contravention of this Act— an authorised officer gives evidence the officer believes, or at a particular time relevant to the exercise of a power believed, any of the following matters— that dangerous goods stated in transport documentation carried in a vehicle are or were being carried in the vehicle; that particular dangerous goods are or were dangerous goods or dangerous goods of a particular type; if a marking or placard on a substance or packaging indicates or indicated that the substance is or was, or the packaging contains or contained particular dangerous goods—that the substance is or was or the packaging contains or contained the dangerous goods indicated; if a marking on a package indicates or indicated that the package contains or contained particular dangerous goods—that the package contains or contained the dangerous goods indicated; if a marking on a package indicates or indicated an attribute in relation to the contents of the package—that the contents of the package have or had the indicated attribute; if a marking or placard on a vehicle or equipment indicates or indicated the vehicle or equipment is or was being used to transport dangerous goods—that the vehicle or equipment is or was being used to transport the dangerous goods indicated; if a marking or placard on a substance or packaging indicates or indicated the substance, packaging or contents of the packaging have or had an indicated attribute—that the substance, packaging or contents have or had the indicated attribute; if a marking or placard on a vehicle or packaging indicates or indicated the vehicle’s load is or was, or the contents of the packaging are or were, an indicated quantity of dangerous goods—that the vehicle is or was loaded with, or the packaging contained, the quantity of dangerous goods indicated; and the court considers the belief to be, or to have been, reasonable; and there is no evidence to the contrary.\n(sec.157-ssec.2) The court must accept the matter as proved.\n(sec.157-ssec.3) In this section— attribute means— capacity; or character; or date of manufacture; or origin; or ownership; or specification; or tare weight. on includes attached to.\n- (a) an authorised officer gives evidence the officer believes, or at a particular time relevant to the exercise of a power believed, any of the following matters— (i) that dangerous goods stated in transport documentation carried in a vehicle are or were being carried in the vehicle; (ii) that particular dangerous goods are or were dangerous goods or dangerous goods of a particular type; (iii) if a marking or placard on a substance or packaging indicates or indicated that the substance is or was, or the packaging contains or contained particular dangerous goods—that the substance is or was or the packaging contains or contained the dangerous goods indicated; (iv) if a marking on a package indicates or indicated that the package contains or contained particular dangerous goods—that the package contains or contained the dangerous goods indicated; (v) if a marking on a package indicates or indicated an attribute in relation to the contents of the package—that the contents of the package have or had the indicated attribute; (vi) if a marking or placard on a vehicle or equipment indicates or indicated the vehicle or equipment is or was being used to transport dangerous goods—that the vehicle or equipment is or was being used to transport the dangerous goods indicated; (vii) if a marking or placard on a substance or packaging indicates or indicated the substance, packaging or contents of the packaging have or had an indicated attribute—that the substance, packaging or contents have or had the indicated attribute; (viii) if a marking or placard on a vehicle or packaging indicates or indicated the vehicle’s load is or was, or the contents of the packaging are or were, an indicated quantity of dangerous goods—that the vehicle is or was loaded with, or the packaging contained, the quantity of dangerous goods indicated; and\n- (i) that dangerous goods stated in transport documentation carried in a vehicle are or were being carried in the vehicle;\n- (ii) that particular dangerous goods are or were dangerous goods or dangerous goods of a particular type;\n- (iii) if a marking or placard on a substance or packaging indicates or indicated that the substance is or was, or the packaging contains or contained particular dangerous goods—that the substance is or was or the packaging contains or contained the dangerous goods indicated;\n- (iv) if a marking on a package indicates or indicated that the package contains or contained particular dangerous goods—that the package contains or contained the dangerous goods indicated;\n- (v) if a marking on a package indicates or indicated an attribute in relation to the contents of the package—that the contents of the package have or had the indicated attribute;\n- (vi) if a marking or placard on a vehicle or equipment indicates or indicated the vehicle or equipment is or was being used to transport dangerous goods—that the vehicle or equipment is or was being used to transport the dangerous goods indicated;\n- (vii) if a marking or placard on a substance or packaging indicates or indicated the substance, packaging or contents of the packaging have or had an indicated attribute—that the substance, packaging or contents have or had the indicated attribute;\n- (viii) if a marking or placard on a vehicle or packaging indicates or indicated the vehicle’s load is or was, or the contents of the packaging are or were, an indicated quantity of dangerous goods—that the vehicle is or was loaded with, or the packaging contained, the quantity of dangerous goods indicated; and\n- (b) the court considers the belief to be, or to have been, reasonable; and\n- (c) there is no evidence to the contrary.\n- (i) that dangerous goods stated in transport documentation carried in a vehicle are or were being carried in the vehicle;\n- (ii) that particular dangerous goods are or were dangerous goods or dangerous goods of a particular type;\n- (iii) if a marking or placard on a substance or packaging indicates or indicated that the substance is or was, or the packaging contains or contained particular dangerous goods—that the substance is or was or the packaging contains or contained the dangerous goods indicated;\n- (iv) if a marking on a package indicates or indicated that the package contains or contained particular dangerous goods—that the package contains or contained the dangerous goods indicated;\n- (v) if a marking on a package indicates or indicated an attribute in relation to the contents of the package—that the contents of the package have or had the indicated attribute;\n- (vi) if a marking or placard on a vehicle or equipment indicates or indicated the vehicle or equipment is or was being used to transport dangerous goods—that the vehicle or equipment is or was being used to transport the dangerous goods indicated;\n- (vii) if a marking or placard on a substance or packaging indicates or indicated the substance, packaging or contents of the packaging have or had an indicated attribute—that the substance, packaging or contents have or had the indicated attribute;\n- (viii) if a marking or placard on a vehicle or packaging indicates or indicated the vehicle’s load is or was, or the contents of the packaging are or were, an indicated quantity of dangerous goods—that the vehicle is or was loaded with, or the packaging contained, the quantity of dangerous goods indicated; and\n- (a) capacity; or\n- (b) character; or\n- (c) date of manufacture; or\n- (d) origin; or\n- (e) ownership; or\n- (f) specification; or\n- (g) tare weight.","sortOrder":446},{"sectionNumber":"sec.157A","sectionType":"section","heading":"Document signed by chief executive is evidence of matters stated in it if no evidence to the contrary","content":"### sec.157A Document signed by chief executive is evidence of matters stated in it if no evidence to the contrary\n\nIn a prosecution for a contravention of this Act, a court may admit each of the following documents as evidence if the document purports to be signed by the chief executive—\na document relating to whether a person is exempt from a requirement under section&#160;153 ;\na document relating to a vehicle, equipment or another item required under a dangerous goods regulation to be approved by the chief executive;\na document relating to an accreditation or licence under a dangerous goods regulation about the transport of dangerous goods.\nIf there is no evidence to the contrary, the court must accept the document as proof of the facts stated in it.\nThis section does not limit section&#160;123C , 123F or 123G .\ns&#160;157A ins 2008 No.&#160;67 s&#160;92\namd 2010 No.&#160;13 s&#160;3 sch pt&#160;1 ; 2019 No.&#160;25 s&#160;108\n(sec.157A-ssec.1) In a prosecution for a contravention of this Act, a court may admit each of the following documents as evidence if the document purports to be signed by the chief executive— a document relating to whether a person is exempt from a requirement under section&#160;153 ; a document relating to a vehicle, equipment or another item required under a dangerous goods regulation to be approved by the chief executive; a document relating to an accreditation or licence under a dangerous goods regulation about the transport of dangerous goods.\n(sec.157A-ssec.2) If there is no evidence to the contrary, the court must accept the document as proof of the facts stated in it.\n(sec.157A-ssec.3) This section does not limit section&#160;123C , 123F or 123G .\n- (a) a document relating to whether a person is exempt from a requirement under section&#160;153 ;\n- (b) a document relating to a vehicle, equipment or another item required under a dangerous goods regulation to be approved by the chief executive;\n- (c) a document relating to an accreditation or licence under a dangerous goods regulation about the transport of dangerous goods.","sortOrder":447},{"sectionNumber":"sec.158","sectionType":"section","heading":"Recovery of costs from convicted person","content":"### sec.158 Recovery of costs from convicted person\n\nA court convicting a person of an offence against this Act about the transport of dangerous goods may order the person to pay to a government entity or the State any of the following—\ncosts that have been reasonably incurred in investigating and prosecuting the offence including, for example, collecting, packaging, testing, transporting, storing, destroying the dangerous goods or other evidence;\ncosts that, after the conviction, will be reasonably incurred in collecting, packaging, testing, transporting, storing, destroying, selling or otherwise disposing of the dangerous goods or other evidence, whether or not there is an order under section&#160;161 for forfeiture of the dangerous goods or other things.\nAn amount ordered to be paid under subsection&#160;(1) is a debt owing to the entity or the State.\nSubsection&#160;(1) is in addition to any other order the court may make.\nA document purporting to be signed by any of the following stating details of the costs that have been or will be reasonably incurred for a matter mentioned in subsection&#160;(1) is evidence of the costs—\nfor the department—the chief executive;\nfor another government entity—the person who is the chief executive or otherwise responsible for the entity.\ns&#160;158 (prev s&#160;79H) ins 1997 No.&#160;66 s&#160;129\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\namd 2008 No.&#160;67 s&#160;93\n(sec.158-ssec.1) A court convicting a person of an offence against this Act about the transport of dangerous goods may order the person to pay to a government entity or the State any of the following— costs that have been reasonably incurred in investigating and prosecuting the offence including, for example, collecting, packaging, testing, transporting, storing, destroying the dangerous goods or other evidence; costs that, after the conviction, will be reasonably incurred in collecting, packaging, testing, transporting, storing, destroying, selling or otherwise disposing of the dangerous goods or other evidence, whether or not there is an order under section&#160;161 for forfeiture of the dangerous goods or other things.\n(sec.158-ssec.2) An amount ordered to be paid under subsection&#160;(1) is a debt owing to the entity or the State.\n(sec.158-ssec.3) Subsection&#160;(1) is in addition to any other order the court may make.\n(sec.158-ssec.4) A document purporting to be signed by any of the following stating details of the costs that have been or will be reasonably incurred for a matter mentioned in subsection&#160;(1) is evidence of the costs— for the department—the chief executive; for another government entity—the person who is the chief executive or otherwise responsible for the entity.\n- (a) costs that have been reasonably incurred in investigating and prosecuting the offence including, for example, collecting, packaging, testing, transporting, storing, destroying the dangerous goods or other evidence;\n- (b) costs that, after the conviction, will be reasonably incurred in collecting, packaging, testing, transporting, storing, destroying, selling or otherwise disposing of the dangerous goods or other evidence, whether or not there is an order under section&#160;161 for forfeiture of the dangerous goods or other things.\n- (a) for the department—the chief executive;\n- (b) for another government entity—the person who is the chief executive or otherwise responsible for the entity.","sortOrder":448},{"sectionNumber":"sec.160","sectionType":"section","heading":"Exclusion orders prohibiting involvement in the transport of dangerous goods","content":"### sec.160 Exclusion orders prohibiting involvement in the transport of dangerous goods\n\nThis section applies if a person is convicted of an offence against this Act relating to the transport of dangerous goods.\nThe court before which the person is convicted may, after having regard to the following matters, make an order (an exclusion order ) that the person be prohibited for a stated period from involvement in the transport of dangerous goods—\nthe person’s record in the transport of dangerous goods;\nthe person’s criminal history to the extent the court considers it relevant to the making of the exclusion order;\nthe circumstances surrounding the commission of the offence;\nany other matters the court considers appropriate.\nHowever, the court must not make an exclusion order that prohibits the person from either of the following—\ndriving a vehicle other than a dangerous goods vehicle; or\nregistering a vehicle.\nA person must not contravene an exclusion order made under subsection&#160;(2) .\nMaximum penalty—500 penalty units or 2 years imprisonment.\nIf a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\nSubsections&#160;(2) and (2A) do not limit any other penalty the court may impose for the offence.\nIf a court has made an exclusion order, the court may revoke or amend the exclusion order on the application of—\nthe chief executive; or\nthe person for whom the order was made but only if the court is satisfied there has been a change of circumstances warranting revocation or amendment and the chief executive was given reasonable notice of the application.\nFor subsection&#160;(5) , the chief executive is entitled to appear and be heard and to give and produce evidence at the hearing of the application for or against the granting of the revocation or amendment.\nIn this section—\ncriminal history , of a person, means each of the following despite the Criminal Law (Rehabilitation of Offenders) Act 1986 , sections&#160;6 , 8 and 9 —\nevery conviction of the person for an offence, in Queensland or elsewhere, and whether before or after the commencement of this Act;\nevery charge made against the person for an offence, in Queensland or elsewhere, and whether before or after the commencement of this Act.\ns&#160;160 (prev s&#160;79J) ins 1997 No.&#160;66 s&#160;129\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\namd 2008 No.&#160;67 s&#160;95 ; 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2013 No.&#160;51 s&#160;229 sch&#160;1\n(sec.160-ssec.1) This section applies if a person is convicted of an offence against this Act relating to the transport of dangerous goods.\n(sec.160-ssec.2) The court before which the person is convicted may, after having regard to the following matters, make an order (an exclusion order ) that the person be prohibited for a stated period from involvement in the transport of dangerous goods— the person’s record in the transport of dangerous goods; the person’s criminal history to the extent the court considers it relevant to the making of the exclusion order; the circumstances surrounding the commission of the offence; any other matters the court considers appropriate.\n(sec.160-ssec.2A) However, the court must not make an exclusion order that prohibits the person from either of the following— driving a vehicle other than a dangerous goods vehicle; or registering a vehicle.\n(sec.160-ssec.3) A person must not contravene an exclusion order made under subsection&#160;(2) . Maximum penalty—500 penalty units or 2 years imprisonment. If a corporation commits an offence against this provision, an executive officer of the corporation may be taken, under section&#160;57 , to have also committed the offence.\n(sec.160-ssec.4) Subsections&#160;(2) and (2A) do not limit any other penalty the court may impose for the offence.\n(sec.160-ssec.5) If a court has made an exclusion order, the court may revoke or amend the exclusion order on the application of— the chief executive; or the person for whom the order was made but only if the court is satisfied there has been a change of circumstances warranting revocation or amendment and the chief executive was given reasonable notice of the application.\n(sec.160-ssec.6) For subsection&#160;(5) , the chief executive is entitled to appear and be heard and to give and produce evidence at the hearing of the application for or against the granting of the revocation or amendment.\n(sec.160-ssec.7) In this section— criminal history , of a person, means each of the following despite the Criminal Law (Rehabilitation of Offenders) Act 1986 , sections&#160;6 , 8 and 9 — every conviction of the person for an offence, in Queensland or elsewhere, and whether before or after the commencement of this Act; every charge made against the person for an offence, in Queensland or elsewhere, and whether before or after the commencement of this Act.\n- (a) the person’s record in the transport of dangerous goods;\n- (b) the person’s criminal history to the extent the court considers it relevant to the making of the exclusion order;\n- (c) the circumstances surrounding the commission of the offence;\n- (d) any other matters the court considers appropriate.\n- (a) driving a vehicle other than a dangerous goods vehicle; or\n- (b) registering a vehicle.\n- (a) the chief executive; or\n- (b) the person for whom the order was made but only if the court is satisfied there has been a change of circumstances warranting revocation or amendment and the chief executive was given reasonable notice of the application.\n- (a) every conviction of the person for an offence, in Queensland or elsewhere, and whether before or after the commencement of this Act;\n- (b) every charge made against the person for an offence, in Queensland or elsewhere, and whether before or after the commencement of this Act.","sortOrder":449},{"sectionNumber":"sec.161","sectionType":"section","heading":"Forfeiting dangerous goods","content":"### sec.161 Forfeiting dangerous goods\n\nIf a person is convicted of an offence against this Act relating to the transport of dangerous goods, the court before which the person is convicted may order the dangerous goods or their packaging, or other things used to commit the offence, be forfeited to the State.\nDangerous goods, their packaging or other things that are forfeited may be destroyed or otherwise dealt with as directed by the chief executive.\nSubsection&#160;(1) does not limit the court’s power to make any other order on the conviction including an order under section&#160;158 .\ns&#160;161 (prev s&#160;79K) ins 1997 No.&#160;66 s&#160;129\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\namd 2008 No.&#160;67 s&#160;96\n(sec.161-ssec.1) If a person is convicted of an offence against this Act relating to the transport of dangerous goods, the court before which the person is convicted may order the dangerous goods or their packaging, or other things used to commit the offence, be forfeited to the State.\n(sec.161-ssec.2) Dangerous goods, their packaging or other things that are forfeited may be destroyed or otherwise dealt with as directed by the chief executive.\n(sec.161-ssec.3) Subsection&#160;(1) does not limit the court’s power to make any other order on the conviction including an order under section&#160;158 .","sortOrder":450},{"sectionNumber":"sec.161A","sectionType":"section","heading":"Helping in emergencies or accidents","content":"### sec.161A Helping in emergencies or accidents\n\nThis section applies if an individual, other than an official mentioned in section&#160;167 —\nhelps, or attempts to help, in a situation in which an emergency or accident involving the transport of dangerous goods happens or is likely to happen; and\nthe help, or attempt to help, is given—\nhonestly and without negligence; and\nwithout any fee, charge or other reward.\nThe individual does not incur civil liability for helping or attempting to help.\nHowever, this section does not apply to an individual whose act or omission wholly or partly caused the emergency or accident involving the transport of dangerous goods.\ns&#160;161A ins 2008 No.&#160;67 s&#160;97\n(sec.161A-ssec.1) This section applies if an individual, other than an official mentioned in section&#160;167 — helps, or attempts to help, in a situation in which an emergency or accident involving the transport of dangerous goods happens or is likely to happen; and the help, or attempt to help, is given— honestly and without negligence; and without any fee, charge or other reward.\n(sec.161A-ssec.2) The individual does not incur civil liability for helping or attempting to help.\n(sec.161A-ssec.3) However, this section does not apply to an individual whose act or omission wholly or partly caused the emergency or accident involving the transport of dangerous goods.\n- (a) helps, or attempts to help, in a situation in which an emergency or accident involving the transport of dangerous goods happens or is likely to happen; and\n- (b) the help, or attempt to help, is given— (i) honestly and without negligence; and (ii) without any fee, charge or other reward.\n- (i) honestly and without negligence; and\n- (ii) without any fee, charge or other reward.\n- (i) honestly and without negligence; and\n- (ii) without any fee, charge or other reward.","sortOrder":451},{"sectionNumber":"ch.5A-pt.5","sectionType":"part","heading":"Improvement notices","content":"# Improvement notices","sortOrder":452},{"sectionNumber":"sec.161B","sectionType":"section","heading":"Improvement notices","content":"### sec.161B Improvement notices\n\nThis section applies if an authorised officer reasonably believes a person has contravened, is contravening or is likely to contravene a provision under this Act about the transport of dangerous goods or relating to a prescribed dangerous goods vehicle.\nThe authorised officer may give the person a notice (an improvement notice ) requiring the person to remedy the contravention or likely contravention, or the matters or activities occasioning the contravention or likely contravention, before the date stated in the notice.\nThe improvement notice must state a date, with or without a time, by which the person is required to remedy the contravention or likely contravention, or the matters or activities causing the contravention or likely contravention, that the officer considers is reasonable having regard to—\nthe severity of any relevant risks; and\nthe nature of the contravention or likely contravention.\nThe improvement notice must state each of the following—\nthat the authorised officer reasonably believes that a person has contravened, is contravening or is likely to contravene a provision under this Act;\nthe reasons for that belief;\nthe provisions under this Act in relation to which that belief is held;\nthe prescribed review information for the decision;\nthat the notice is given under this section.\nThe improvement notice may state the way the alleged contravention or likely contravention, or the matters or activities occasioning the alleged contravention or likely contravention, are to be remedied.\ns&#160;161B ins 2008 No.&#160;67 s&#160;97\namd 2009 No.&#160;24 s&#160;1794\n(sec.161B-ssec.1) This section applies if an authorised officer reasonably believes a person has contravened, is contravening or is likely to contravene a provision under this Act about the transport of dangerous goods or relating to a prescribed dangerous goods vehicle.\n(sec.161B-ssec.2) The authorised officer may give the person a notice (an improvement notice ) requiring the person to remedy the contravention or likely contravention, or the matters or activities occasioning the contravention or likely contravention, before the date stated in the notice.\n(sec.161B-ssec.3) The improvement notice must state a date, with or without a time, by which the person is required to remedy the contravention or likely contravention, or the matters or activities causing the contravention or likely contravention, that the officer considers is reasonable having regard to— the severity of any relevant risks; and the nature of the contravention or likely contravention.\n(sec.161B-ssec.4) The improvement notice must state each of the following— that the authorised officer reasonably believes that a person has contravened, is contravening or is likely to contravene a provision under this Act; the reasons for that belief; the provisions under this Act in relation to which that belief is held; the prescribed review information for the decision; that the notice is given under this section.\n(sec.161B-ssec.5) The improvement notice may state the way the alleged contravention or likely contravention, or the matters or activities occasioning the alleged contravention or likely contravention, are to be remedied.\n- (a) the severity of any relevant risks; and\n- (b) the nature of the contravention or likely contravention.\n- (a) that the authorised officer reasonably believes that a person has contravened, is contravening or is likely to contravene a provision under this Act;\n- (b) the reasons for that belief;\n- (c) the provisions under this Act in relation to which that belief is held;\n- (d) the prescribed review information for the decision;\n- (e) that the notice is given under this section.","sortOrder":453},{"sectionNumber":"sec.161C","sectionType":"section","heading":"Contravention of improvement notice","content":"### sec.161C Contravention of improvement notice\n\nA person given an improvement notice must comply with the notice, unless the person has a reasonable excuse.\nMaximum penalty—the maximum penalty for the contravention of the provision about which the notice is given.\ns&#160;161C ins 2008 No.&#160;67 s&#160;97","sortOrder":454},{"sectionNumber":"sec.161D","sectionType":"section","heading":"Improvement notice may be given by attaching to vehicle","content":"### sec.161D Improvement notice may be given by attaching to vehicle\n\nIf an improvement notice under section&#160;161B relates to a vehicle, it may be given by securely attaching it to the vehicle in a conspicuous position.\nA person must not remove an improvement notice from the vehicle before complying with the notice.\nMaximum penalty—100 penalty units.\nHowever, the person to whom the notice is given does not contravene subsection&#160;(2) if the person removes the notice from the vehicle and immediately reads it and reattaches it to the vehicle.\ns&#160;161D ins 2008 No.&#160;67 s&#160;97\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;2\n(sec.161D-ssec.1) If an improvement notice under section&#160;161B relates to a vehicle, it may be given by securely attaching it to the vehicle in a conspicuous position.\n(sec.161D-ssec.2) A person must not remove an improvement notice from the vehicle before complying with the notice. Maximum penalty—100 penalty units.\n(sec.161D-ssec.3) However, the person to whom the notice is given does not contravene subsection&#160;(2) if the person removes the notice from the vehicle and immediately reads it and reattaches it to the vehicle.","sortOrder":455},{"sectionNumber":"sec.161E","sectionType":"section","heading":"Cancellation of an improvement notice","content":"### sec.161E Cancellation of an improvement notice\n\nThis section applies to an improvement notice given to a person.\nThe chief executive may, by written notice to the person, cancel the improvement notice.\ns&#160;161E ins 2008 No.&#160;67 s&#160;97\n(sec.161E-ssec.1) This section applies to an improvement notice given to a person.\n(sec.161E-ssec.2) The chief executive may, by written notice to the person, cancel the improvement notice.","sortOrder":456},{"sectionNumber":"ch.5A-pt.6","sectionType":"part","heading":"Dangerous situation notices and relevant oral directions","content":"# Dangerous situation notices and relevant oral directions","sortOrder":457},{"sectionNumber":"sec.161F","sectionType":"section","heading":"Application","content":"### sec.161F Application\n\nThis part applies only if an authorised officer reasonably believes a dangerous situation exists.\nA power may be exercised under this part despite anything to the contrary in chapter&#160;3 , part&#160;3 .\ns&#160;161F ins 2008 No.&#160;67 s&#160;97\n(sec.161F-ssec.1) This part applies only if an authorised officer reasonably believes a dangerous situation exists.\n(sec.161F-ssec.2) A power may be exercised under this part despite anything to the contrary in chapter&#160;3 , part&#160;3 .","sortOrder":458},{"sectionNumber":"sec.161G","sectionType":"section","heading":"Power to give notice about dangerous situation","content":"### sec.161G Power to give notice about dangerous situation\n\nThis section applies if the authorised officer reasonably believes a person is in a position to take steps to prevent a dangerous situation.\nThe authorised officer may give the person a written notice (a dangerous situation notice ) requiring the person to take the steps reasonably necessary to prevent the dangerous situation.\nWithout limiting subsection&#160;(2) , the authorised officer may require the prime contractor or consignor of dangerous goods to provide equipment and other resources necessary—\nto control the dangerous situation; or\nto contain, control, recover or dispose of the goods that have leaked, spilled or escaped; or\nto recover a vehicle involved in the situation or its equipment.\nIf the notice relates to a vehicle, it may be given by securely attaching it to the vehicle in a conspicuous position.\nA person must not remove a dangerous situation notice from a vehicle before the steps stated in the notice are taken.\nMaximum penalty—100 penalty units.\nHowever, the person to whom the notice is given does not contravene subsection&#160;(5) if the person removes the notice from the vehicle and immediately reads it and reattaches it to the vehicle.\nWithout limiting the power under a regulation to confer a power on a relevant emergency service officer, a regulation may authorise a relevant emergency service officer to exercise by written notice the same power as the power mentioned in subsection&#160;(3) or a similar power.\ns&#160;161G ins 2008 No.&#160;67 s&#160;97\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;2\n(sec.161G-ssec.1) This section applies if the authorised officer reasonably believes a person is in a position to take steps to prevent a dangerous situation.\n(sec.161G-ssec.2) The authorised officer may give the person a written notice (a dangerous situation notice ) requiring the person to take the steps reasonably necessary to prevent the dangerous situation.\n(sec.161G-ssec.3) Without limiting subsection&#160;(2) , the authorised officer may require the prime contractor or consignor of dangerous goods to provide equipment and other resources necessary— to control the dangerous situation; or to contain, control, recover or dispose of the goods that have leaked, spilled or escaped; or to recover a vehicle involved in the situation or its equipment.\n(sec.161G-ssec.4) If the notice relates to a vehicle, it may be given by securely attaching it to the vehicle in a conspicuous position.\n(sec.161G-ssec.5) A person must not remove a dangerous situation notice from a vehicle before the steps stated in the notice are taken. Maximum penalty—100 penalty units.\n(sec.161G-ssec.6) However, the person to whom the notice is given does not contravene subsection&#160;(5) if the person removes the notice from the vehicle and immediately reads it and reattaches it to the vehicle.\n(sec.161G-ssec.7) Without limiting the power under a regulation to confer a power on a relevant emergency service officer, a regulation may authorise a relevant emergency service officer to exercise by written notice the same power as the power mentioned in subsection&#160;(3) or a similar power.\n- (a) to control the dangerous situation; or\n- (b) to contain, control, recover or dispose of the goods that have leaked, spilled or escaped; or\n- (c) to recover a vehicle involved in the situation or its equipment.","sortOrder":459},{"sectionNumber":"sec.161H","sectionType":"section","heading":"Dangerous situation notice","content":"### sec.161H Dangerous situation notice\n\nA dangerous situation notice has effect—\nwhen it is given to the person; or\nif the notice states a later date—on that date.\nA dangerous situation notice given to a person must state each of the following—\nthe notice is given under section&#160;161G ;\nthe authorised officer believes a dangerous situation exists;\nthe grounds for the belief;\nif the authorised officer believes the dangerous situation involves a contravention of an Act—the relevant provision of the Act ;\nthe prescribed review information for the decision;\nit is an offence to fail to comply with a dangerous situation notice;\nthe maximum penalty for the offence of failing to comply with a dangerous situation notice.\nThe dangerous situation notice may include a requirement about the steps to be taken to prevent the dangerous situation.\nA requirement may—\noffer a choice of ways to prevent the dangerous situation; and\nprohibit the carrying out of an activity by stating—\na place where the activity may not be carried out; or\na thing that may not be used in connection with the activity; or\na procedure that may not be followed in connection with the activity.\ns&#160;161H ins 2008 No.&#160;67 s&#160;97\namd 2009 No.&#160;24 s&#160;1795\n(sec.161H-ssec.1) A dangerous situation notice has effect— when it is given to the person; or if the notice states a later date—on that date.\n(sec.161H-ssec.2) A dangerous situation notice given to a person must state each of the following— the notice is given under section&#160;161G ; the authorised officer believes a dangerous situation exists; the grounds for the belief; if the authorised officer believes the dangerous situation involves a contravention of an Act—the relevant provision of the Act ; the prescribed review information for the decision; it is an offence to fail to comply with a dangerous situation notice; the maximum penalty for the offence of failing to comply with a dangerous situation notice.\n(sec.161H-ssec.3) The dangerous situation notice may include a requirement about the steps to be taken to prevent the dangerous situation.\n(sec.161H-ssec.4) A requirement may— offer a choice of ways to prevent the dangerous situation; and prohibit the carrying out of an activity by stating— a place where the activity may not be carried out; or a thing that may not be used in connection with the activity; or a procedure that may not be followed in connection with the activity.\n- (a) when it is given to the person; or\n- (b) if the notice states a later date—on that date.\n- (a) the notice is given under section&#160;161G ;\n- (b) the authorised officer believes a dangerous situation exists;\n- (c) the grounds for the belief;\n- (d) if the authorised officer believes the dangerous situation involves a contravention of an Act—the relevant provision of the Act ;\n- (e) the prescribed review information for the decision;\n- (f) it is an offence to fail to comply with a dangerous situation notice;\n- (g) the maximum penalty for the offence of failing to comply with a dangerous situation notice.\n- (a) offer a choice of ways to prevent the dangerous situation; and\n- (b) prohibit the carrying out of an activity by stating— (i) a place where the activity may not be carried out; or (ii) a thing that may not be used in connection with the activity; or (iii) a procedure that may not be followed in connection with the activity.\n- (i) a place where the activity may not be carried out; or\n- (ii) a thing that may not be used in connection with the activity; or\n- (iii) a procedure that may not be followed in connection with the activity.\n- (i) a place where the activity may not be carried out; or\n- (ii) a thing that may not be used in connection with the activity; or\n- (iii) a procedure that may not be followed in connection with the activity.","sortOrder":460},{"sectionNumber":"sec.161I","sectionType":"section","heading":"Contravention of dangerous situation notice","content":"### sec.161I Contravention of dangerous situation notice\n\nA person given a dangerous situation notice must comply with the requirements stated in the notice, unless the person has a reasonable excuse for not doing so.\nMaximum penalty—\nif the contravention results in death or grievous bodily harm to a person—200 penalty units; or\notherwise—100 penalty units.\ns&#160;161I ins 2008 No.&#160;67 s&#160;97\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;2\n- (a) if the contravention results in death or grievous bodily harm to a person—200 penalty units; or\n- (b) otherwise—100 penalty units.","sortOrder":461},{"sectionNumber":"sec.161J","sectionType":"section","heading":"Oral direction may be given before dangerous situation notice is served","content":"### sec.161J Oral direction may be given before dangerous situation notice is served\n\nThis section applies if an authorised officer reasonably believes—\na person is in a position to take steps to prevent a dangerous situation; and\nit is not reasonable or immediately possible to give a dangerous situation notice.\nThe authorised officer may give an oral direction to the person instead of a written notice.\nThe oral direction must include—\nthe matters mentioned in section&#160;161H (2) (b) , (c) and (d) ; and\na statement that it is an offence to fail to comply with an oral direction.\nThe person must comply with the oral direction.\nMaximum penalty—\nif the contravention results in death or grievous bodily harm to a person—200 penalty units; or\notherwise—100 penalty units.\nThe oral direction must be confirmed in writing by any authorised officer giving a dangerous situation notice under section&#160;161G as soon as practicable.\nThe oral direction stops having effect if the dangerous situation notice is not given to the person within 5 days after the oral direction is given.\ns&#160;161J ins 2008 No.&#160;67 s&#160;97\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;2 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1\n(sec.161J-ssec.1) This section applies if an authorised officer reasonably believes— a person is in a position to take steps to prevent a dangerous situation; and it is not reasonable or immediately possible to give a dangerous situation notice.\n(sec.161J-ssec.2) The authorised officer may give an oral direction to the person instead of a written notice.\n(sec.161J-ssec.3) The oral direction must include— the matters mentioned in section&#160;161H (2) (b) , (c) and (d) ; and a statement that it is an offence to fail to comply with an oral direction.\n(sec.161J-ssec.4) The person must comply with the oral direction. Maximum penalty— if the contravention results in death or grievous bodily harm to a person—200 penalty units; or otherwise—100 penalty units.\n(sec.161J-ssec.5) The oral direction must be confirmed in writing by any authorised officer giving a dangerous situation notice under section&#160;161G as soon as practicable.\n(sec.161J-ssec.6) The oral direction stops having effect if the dangerous situation notice is not given to the person within 5 days after the oral direction is given.\n- (a) a person is in a position to take steps to prevent a dangerous situation; and\n- (b) it is not reasonable or immediately possible to give a dangerous situation notice.\n- (a) the matters mentioned in section&#160;161H (2) (b) , (c) and (d) ; and\n- (b) a statement that it is an offence to fail to comply with an oral direction.\n- (a) if the contravention results in death or grievous bodily harm to a person—200 penalty units; or\n- (b) otherwise—100 penalty units.","sortOrder":462},{"sectionNumber":"sec.161K","sectionType":"section","heading":"Cancellation of dangerous situation notice","content":"### sec.161K Cancellation of dangerous situation notice\n\nThe chief executive may, by written notice to a person who was given a dangerous situation notice, cancel the notice.\ns&#160;161K ins 2008 No.&#160;67 s&#160;97","sortOrder":463},{"sectionNumber":"sec.161L","sectionType":"section","heading":"Additional power to require information or produce document","content":"### sec.161L Additional power to require information or produce document\n\nIf an authorised officer reasonably believes a person may be able to give information or produce a document that will help to prevent a dangerous situation, the officer may require the person to give the information or produce the document.\nproperties of dangerous goods being transported\nsafe ways of handling or containing and controlling the dangerous goods\nThe person must give the information or produce the document unless the person has a reasonable excuse.\nMaximum penalty—\nif the contravention results in death or grievous bodily harm to a person—200 penalty units; or\notherwise—100 penalty units.\nThe fact that giving the information or providing the document might tend to incriminate the person is not a reasonable excuse for subsection&#160;(2) .\nHowever, the information or document is not admissible in evidence against the person, other than a corporation, in criminal proceedings apart from proceedings for an offence against section&#160;52 or 53 .\ns&#160;161L ins 2008 No.&#160;67 s&#160;97\namd 2008 No.&#160;66 s&#160;4 sch pt&#160;2\n(sec.161L-ssec.1) If an authorised officer reasonably believes a person may be able to give information or produce a document that will help to prevent a dangerous situation, the officer may require the person to give the information or produce the document. properties of dangerous goods being transported safe ways of handling or containing and controlling the dangerous goods\n(sec.161L-ssec.2) The person must give the information or produce the document unless the person has a reasonable excuse. Maximum penalty— if the contravention results in death or grievous bodily harm to a person—200 penalty units; or otherwise—100 penalty units.\n(sec.161L-ssec.3) The fact that giving the information or providing the document might tend to incriminate the person is not a reasonable excuse for subsection&#160;(2) .\n(sec.161L-ssec.4) However, the information or document is not admissible in evidence against the person, other than a corporation, in criminal proceedings apart from proceedings for an offence against section&#160;52 or 53 .\n- • properties of dangerous goods being transported\n- • safe ways of handling or containing and controlling the dangerous goods\n- (a) if the contravention results in death or grievous bodily harm to a person—200 penalty units; or\n- (b) otherwise—100 penalty units.","sortOrder":464},{"sectionNumber":"sec.161M","sectionType":"section","heading":"Proceedings for an offence not affected by dangerous situation notice","content":"### sec.161M Proceedings for an offence not affected by dangerous situation notice\n\nThe fact that a dangerous situation notice has been given or cancelled does not affect any proceedings for an offence against this Act.\ns&#160;161M ins 2008 No.&#160;67 s&#160;97","sortOrder":465},{"sectionNumber":"ch.5A-pt.7","sectionType":"part","heading":"Other matters","content":"# Other matters","sortOrder":466},{"sectionNumber":"sec.161N","sectionType":"section","heading":"Preventing injury and damage—taking direct action","content":"### sec.161N Preventing injury and damage—taking direct action\n\nThis section applies if the authorised officer reasonably believes—\na person given an improvement notice or dangerous situation notice has not complied with the notice; or\nhaving regard to the nature of the dangerous situation, action under an improvement notice or dangerous situation notice is inappropriate to prevent the dangerous situation.\nThe authorised officer may take, or cause to be taken, the action the officer reasonably believes is necessary to prevent the dangerous situation.\nThe action an authorised officer may take includes asking someone the officer reasonably believes has appropriate knowledge and experience to help the officer prevent the dangerous situation.\nIf the person agrees to help, the person is taken to have the powers of an authorised officer to the extent reasonably necessary for the person to help prevent the dangerous situation.\nA power may be exercised under this section despite anything to the contrary in chapter&#160;3 , part&#160;3 .\ns&#160;161N ins 2008 No.&#160;67 s&#160;97\n(sec.161N-ssec.1) This section applies if the authorised officer reasonably believes— a person given an improvement notice or dangerous situation notice has not complied with the notice; or having regard to the nature of the dangerous situation, action under an improvement notice or dangerous situation notice is inappropriate to prevent the dangerous situation.\n(sec.161N-ssec.2) The authorised officer may take, or cause to be taken, the action the officer reasonably believes is necessary to prevent the dangerous situation.\n(sec.161N-ssec.3) The action an authorised officer may take includes asking someone the officer reasonably believes has appropriate knowledge and experience to help the officer prevent the dangerous situation.\n(sec.161N-ssec.4) If the person agrees to help, the person is taken to have the powers of an authorised officer to the extent reasonably necessary for the person to help prevent the dangerous situation.\n(sec.161N-ssec.5) A power may be exercised under this section despite anything to the contrary in chapter&#160;3 , part&#160;3 .\n- (a) a person given an improvement notice or dangerous situation notice has not complied with the notice; or\n- (b) having regard to the nature of the dangerous situation, action under an improvement notice or dangerous situation notice is inappropriate to prevent the dangerous situation.","sortOrder":467},{"sectionNumber":"sec.161O","sectionType":"section","heading":"Recovery of costs of government action","content":"### sec.161O Recovery of costs of government action\n\nThis section applies if any of the following events happens in relation to the transport of dangerous goods—\na dangerous situation;\nan incident—\nwholly or partly constituted by or arising from—\nthe escape of dangerous goods; or\nan explosion or fire involving dangerous goods; or\ninvolving the risk of the escape of dangerous goods or an explosion or fire involving dangerous goods.\nIf a government entity incurs costs because of the event, the entity may recover the costs reasonably incurred in dealing with the event as a debt owing to the entity or the State.\nThe costs are recoverable jointly and severally from the following—\nthe person who owned the dangerous goods when the event happened;\nthe person who had possession or control of the dangerous goods when the event happened;\nthe person who caused the event;\nthe person responsible (other than as an employee, agent or subcontractor of someone else) for the transport of the dangerous goods.\nHowever, costs are not recoverable from a person who—\nis mentioned in section&#160;161A ; or\nestablishes that—\nthe event was primarily caused by someone else; or\nthe person could not, exercising reasonable care, have prevented the event; or\nthe event was not attributable to the person or to an employee, agent or subcontractor of the person.\nThis section does not limit the powers a government entity has apart from this Act.\ns&#160;161O (prev s&#160;159 (orig s&#160;79I)) ins 1997 No.&#160;66 s&#160;129\namd 1999 No.&#160;42 s&#160;54 (2) sch amdt 182\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 184\namd 2008 No.&#160;67 s&#160;94 (1) – (2)\nrenum and reloc 2008 No.&#160;67 s&#160;94 (3)\n(sec.161O-ssec.1) This section applies if any of the following events happens in relation to the transport of dangerous goods— a dangerous situation; an incident— wholly or partly constituted by or arising from— the escape of dangerous goods; or an explosion or fire involving dangerous goods; or involving the risk of the escape of dangerous goods or an explosion or fire involving dangerous goods.\n(sec.161O-ssec.2) If a government entity incurs costs because of the event, the entity may recover the costs reasonably incurred in dealing with the event as a debt owing to the entity or the State.\n(sec.161O-ssec.3) The costs are recoverable jointly and severally from the following— the person who owned the dangerous goods when the event happened; the person who had possession or control of the dangerous goods when the event happened; the person who caused the event; the person responsible (other than as an employee, agent or subcontractor of someone else) for the transport of the dangerous goods.\n(sec.161O-ssec.4) However, costs are not recoverable from a person who— is mentioned in section&#160;161A ; or establishes that— the event was primarily caused by someone else; or the person could not, exercising reasonable care, have prevented the event; or the event was not attributable to the person or to an employee, agent or subcontractor of the person.\n(sec.161O-ssec.5) This section does not limit the powers a government entity has apart from this Act.\n- (a) a dangerous situation;\n- (b) an incident— (i) wholly or partly constituted by or arising from— (A) the escape of dangerous goods; or (B) an explosion or fire involving dangerous goods; or (ii) involving the risk of the escape of dangerous goods or an explosion or fire involving dangerous goods.\n- (i) wholly or partly constituted by or arising from— (A) the escape of dangerous goods; or (B) an explosion or fire involving dangerous goods; or\n- (A) the escape of dangerous goods; or\n- (B) an explosion or fire involving dangerous goods; or\n- (ii) involving the risk of the escape of dangerous goods or an explosion or fire involving dangerous goods.\n- (i) wholly or partly constituted by or arising from— (A) the escape of dangerous goods; or (B) an explosion or fire involving dangerous goods; or\n- (A) the escape of dangerous goods; or\n- (B) an explosion or fire involving dangerous goods; or\n- (ii) involving the risk of the escape of dangerous goods or an explosion or fire involving dangerous goods.\n- (A) the escape of dangerous goods; or\n- (B) an explosion or fire involving dangerous goods; or\n- (a) the person who owned the dangerous goods when the event happened;\n- (b) the person who had possession or control of the dangerous goods when the event happened;\n- (c) the person who caused the event;\n- (d) the person responsible (other than as an employee, agent or subcontractor of someone else) for the transport of the dangerous goods.\n- (a) is mentioned in section&#160;161A ; or\n- (b) establishes that— (i) the event was primarily caused by someone else; or (ii) the person could not, exercising reasonable care, have prevented the event; or (iii) the event was not attributable to the person or to an employee, agent or subcontractor of the person.\n- (i) the event was primarily caused by someone else; or\n- (ii) the person could not, exercising reasonable care, have prevented the event; or\n- (iii) the event was not attributable to the person or to an employee, agent or subcontractor of the person.\n- (i) the event was primarily caused by someone else; or\n- (ii) the person could not, exercising reasonable care, have prevented the event; or\n- (iii) the event was not attributable to the person or to an employee, agent or subcontractor of the person.","sortOrder":468},{"sectionNumber":"ch.5D-pt.1","sectionType":"part","heading":null,"content":"","sortOrder":469},{"sectionNumber":"sec.163AA","sectionType":"section","heading":null,"content":"### Section sec.163AA\n\ns&#160;163AA ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":470},{"sectionNumber":"sec.163AB","sectionType":"section","heading":null,"content":"### Section sec.163AB\n\ns&#160;163AB ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":471},{"sectionNumber":"sec.163AC","sectionType":"section","heading":null,"content":"### Section sec.163AC\n\ns&#160;163AC ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":472},{"sectionNumber":"ch.5D-pt.2","sectionType":"part","heading":null,"content":"","sortOrder":473},{"sectionNumber":"ch.5D-pt.2-div.1","sectionType":"division","heading":null,"content":"","sortOrder":474},{"sectionNumber":"sec.163AD","sectionType":"section","heading":null,"content":"### Section sec.163AD\n\ns&#160;163AD ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":475},{"sectionNumber":"sec.163AE","sectionType":"section","heading":null,"content":"### Section sec.163AE\n\ns&#160;163AE ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":476},{"sectionNumber":"sec.163AF","sectionType":"section","heading":null,"content":"### Section sec.163AF\n\ns&#160;163AF ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":477},{"sectionNumber":"ch.5D-pt.2-div.2","sectionType":"division","heading":null,"content":"","sortOrder":478},{"sectionNumber":"sec.163AG","sectionType":"section","heading":null,"content":"### Section sec.163AG\n\ns&#160;163AG ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":479},{"sectionNumber":"sec.163AH","sectionType":"section","heading":null,"content":"### Section sec.163AH\n\ns&#160;163AH ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":480},{"sectionNumber":"ch.5D-pt.2-div.3","sectionType":"division","heading":null,"content":"","sortOrder":481},{"sectionNumber":"sec.163AI","sectionType":"section","heading":null,"content":"### Section sec.163AI\n\ns&#160;163AI ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":482},{"sectionNumber":"ch.5D-pt.2-div.4","sectionType":"division","heading":null,"content":"","sortOrder":483},{"sectionNumber":"sec.163AJ","sectionType":"section","heading":null,"content":"### Section sec.163AJ\n\ns&#160;163AJ ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":484},{"sectionNumber":"sec.163AK","sectionType":"section","heading":null,"content":"### Section sec.163AK\n\ns&#160;163AK ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":485},{"sectionNumber":"sec.163AL","sectionType":"section","heading":null,"content":"### Section sec.163AL\n\ns&#160;163AL ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":486},{"sectionNumber":"sec.163AM","sectionType":"section","heading":null,"content":"### Section sec.163AM\n\ns&#160;163AM ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":487},{"sectionNumber":"ch.5D-pt.2-div.5","sectionType":"division","heading":null,"content":"","sortOrder":488},{"sectionNumber":"sec.163AN","sectionType":"section","heading":null,"content":"### Section sec.163AN\n\ns&#160;163AN ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":489},{"sectionNumber":"sec.163AO","sectionType":"section","heading":null,"content":"### Section sec.163AO\n\ns&#160;163AO ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":490},{"sectionNumber":"sec.163AP","sectionType":"section","heading":null,"content":"### Section sec.163AP\n\ns&#160;163AP ins 2010 No.&#160;13 s&#160;31\nom 2013 No.&#160;26 s&#160;88","sortOrder":491},{"sectionNumber":"ch.6-pt.1","sectionType":"part","heading":"Court orders","content":"# Court orders","sortOrder":492},{"sectionNumber":"ch.6-pt.1-div.1","sectionType":"division","heading":"Preliminary","content":"## Preliminary","sortOrder":493},{"sectionNumber":"sec.163C","sectionType":"section","heading":null,"content":"### Section sec.163C\n\ns&#160;163C ins 2007 No.&#160;43 s&#160;72\nom 2013 No.&#160;26 s 89","sortOrder":494},{"sectionNumber":"sec.163D","sectionType":"section","heading":null,"content":"### Section sec.163D\n\ns&#160;163D ins 2008 No.&#160;31 s&#160;64\namd 2010 No.&#160;13 s&#160;32\nom 2013 No.&#160;26 s 89","sortOrder":495},{"sectionNumber":"sec.163E","sectionType":"section","heading":null,"content":"### Section sec.163E\n\ns&#160;163E ins 2008 No.&#160;67 s&#160;165\nsub 2010 No.&#160;13 s&#160;33\nom 2013 No.&#160;26 s 89","sortOrder":496},{"sectionNumber":"sec.163F","sectionType":"section","heading":null,"content":"### Section sec.163F\n\ns&#160;163F ins 2010 No.&#160;13 s&#160;33\nom 2013 No.&#160;26 s 89","sortOrder":497},{"sectionNumber":"sec.163F-oc.2","sectionType":"section","heading":"Definitions for pt&#160;1","content":"### sec.163F-oc.2 Definitions for pt&#160;1\n\nIn this part—\nconvicts , a person, includes finds a person guilty, and accepts a plea of guilty from a person, whether or not a conviction is recorded.\ndangerous goods vehicle offence means an offence against a transport Act in relation to a dangerous goods vehicle.\ns&#160;163F def dangerous goods vehicle offence ins 2013 No.&#160;26 s&#160;90 (3)\nheavy vehicle offence ...\ns&#160;163F def heavy vehicle offence om 2013 No.&#160;26 s&#160;90 (2)\nroad compensation order see section&#160;164AB (1) .\nsupervisory intervention order ...\ns&#160;163F def supervisory intervention order om 2013 No.&#160;26 s&#160;90 (2)\ntransport Act , other than in section&#160;164 , does not include the Queensland Road Rules .\ns&#160;163F ins 2010 No.&#160;19 s&#160;259\namd 2013 No.&#160;26 s&#160;90 (1)","sortOrder":498},{"sectionNumber":"ch.6-pt.1-div.2","sectionType":"division","heading":"Court orders for payment","content":"## Court orders for payment","sortOrder":499},{"sectionNumber":"sec.164","sectionType":"section","heading":"Court orders for payment","content":"### sec.164 Court orders for payment\n\nIf—\na court convicts a person of an offence against a transport Act; and\nthe person owes fees in relation to the offence;\nthe court may, in addition to or instead of imposing a penalty, order the person to pay an amount of not more than double the amount of the fees.\nIf—\na court convicts a person of an offence against a transport Act; and\nin committing the offence, the person caused damage to road transport infrastructure, including, for example, accelerated wear of road pavements or structures through overloading;\nthe court may, in addition to imposing a penalty, order the person to pay an amount of not more than the cost of the damage.\nSubsection&#160;(2) does not apply in relation to a dangerous goods vehicle offence.\nSee division&#160;3 in relation to a dangerous goods vehicle offence.\ns&#160;164 (prev s&#160;80) renum 1999 No.&#160;42 s&#160;54 (2) sch amdt 188\namd 2010 No.&#160;19 s&#160;261 ; 2013 No.&#160;26 s&#160;91\n(sec.164-ssec.1) If— a court convicts a person of an offence against a transport Act; and the person owes fees in relation to the offence; the court may, in addition to or instead of imposing a penalty, order the person to pay an amount of not more than double the amount of the fees.\n(sec.164-ssec.2) If— a court convicts a person of an offence against a transport Act; and in committing the offence, the person caused damage to road transport infrastructure, including, for example, accelerated wear of road pavements or structures through overloading; the court may, in addition to imposing a penalty, order the person to pay an amount of not more than the cost of the damage.\n(sec.164-ssec.3) Subsection&#160;(2) does not apply in relation to a dangerous goods vehicle offence. See division&#160;3 in relation to a dangerous goods vehicle offence.\n- (a) a court convicts a person of an offence against a transport Act; and\n- (b) the person owes fees in relation to the offence;\n- (a) a court convicts a person of an offence against a transport Act; and\n- (b) in committing the offence, the person caused damage to road transport infrastructure, including, for example, accelerated wear of road pavements or structures through overloading;","sortOrder":500},{"sectionNumber":"ch.6-pt.1-div.3","sectionType":"division","heading":"Road compensation order","content":"## Road compensation order","sortOrder":501},{"sectionNumber":"sec.164AA","sectionType":"section","heading":"Definition for div&#160;3","content":"### sec.164AA Definition for div&#160;3\n\nIn this division—\nresponsible entity means—\nin relation to a State-controlled road under the Transport Infrastructure Act 1994 —the chief executive; or\nin relation to a road under the control of a local government—the local government.\ns&#160;164AA def responsible entity amd 2013 No.&#160;26 s&#160;92\ns&#160;164AA ins 2010 No.&#160;19 s&#160;262\n- (a) in relation to a State-controlled road under the Transport Infrastructure Act 1994 —the chief executive; or\n- (b) in relation to a road under the control of a local government—the local government.","sortOrder":502},{"sectionNumber":"sec.164AB","sectionType":"section","heading":"Road compensation order","content":"### sec.164AB Road compensation order\n\nIf a court convicts a person of a dangerous goods vehicle offence, the court may make an order ( road compensation order ) requiring the offender to pay to the responsible entity an amount by way of compensation for damage caused to any road infrastructure as a consequence of the commission of the offence.\nThe road compensation order may be made on application by the prosecutor and is in addition to any other penalty imposed for the offence.\nThe court may make the road compensation order if satisfied on the balance of probabilities that the commission of the offence caused or contributed to the damage.\nThe road compensation order may be made when the court convicts the person of the dangerous goods vehicle offence or at any time afterwards, but not later than the period within which a prosecution for the offence could have been started.\ns&#160;164AB ins 2010 No.&#160;19 s&#160;262\namd 2013 No.&#160;26 s&#160;93\n(sec.164AB-ssec.1) If a court convicts a person of a dangerous goods vehicle offence, the court may make an order ( road compensation order ) requiring the offender to pay to the responsible entity an amount by way of compensation for damage caused to any road infrastructure as a consequence of the commission of the offence.\n(sec.164AB-ssec.2) The road compensation order may be made on application by the prosecutor and is in addition to any other penalty imposed for the offence.\n(sec.164AB-ssec.3) The court may make the road compensation order if satisfied on the balance of probabilities that the commission of the offence caused or contributed to the damage.\n(sec.164AB-ssec.4) The road compensation order may be made when the court convicts the person of the dangerous goods vehicle offence or at any time afterwards, but not later than the period within which a prosecution for the offence could have been started.","sortOrder":503},{"sectionNumber":"sec.164AC","sectionType":"section","heading":"Assessment of compensation","content":"### sec.164AC Assessment of compensation\n\nIn making the road compensation order, the court may assess the amount of compensation, or any other matter relevant to the assessment.\nthe estimated cost of remedying the damage the subject of the road compensation order\nIn assessing the amount of compensation, the court may take into account the matters it considers relevant, including all or any of the following—\nany evidence adduced in connection with the prosecution of the offence;\nany evidence not adduced in connection with the prosecution of the offence but adduced in connection with the making of the proposed order;\nany certificate of the responsible entity stating that the responsible entity maintains the relevant road;\nany other certificate of the responsible entity, including, for example, a certificate—\nestimating the monetary value of all or any part of the road infrastructure or of the damage to it; or\nestimating the cost of remedying the damage; or\nestimating the extent of the offender’s contribution to the damage.\ns&#160;164AC ins 2010 No.&#160;19 s&#160;262\n(sec.164AC-ssec.1) In making the road compensation order, the court may assess the amount of compensation, or any other matter relevant to the assessment. the estimated cost of remedying the damage the subject of the road compensation order\n(sec.164AC-ssec.2) In assessing the amount of compensation, the court may take into account the matters it considers relevant, including all or any of the following— any evidence adduced in connection with the prosecution of the offence; any evidence not adduced in connection with the prosecution of the offence but adduced in connection with the making of the proposed order; any certificate of the responsible entity stating that the responsible entity maintains the relevant road; any other certificate of the responsible entity, including, for example, a certificate— estimating the monetary value of all or any part of the road infrastructure or of the damage to it; or estimating the cost of remedying the damage; or estimating the extent of the offender’s contribution to the damage.\n- (a) any evidence adduced in connection with the prosecution of the offence;\n- (b) any evidence not adduced in connection with the prosecution of the offence but adduced in connection with the making of the proposed order;\n- (c) any certificate of the responsible entity stating that the responsible entity maintains the relevant road;\n- (d) any other certificate of the responsible entity, including, for example, a certificate— (i) estimating the monetary value of all or any part of the road infrastructure or of the damage to it; or (ii) estimating the cost of remedying the damage; or (iii) estimating the extent of the offender’s contribution to the damage.\n- (i) estimating the monetary value of all or any part of the road infrastructure or of the damage to it; or\n- (ii) estimating the cost of remedying the damage; or\n- (iii) estimating the extent of the offender’s contribution to the damage.\n- (i) estimating the monetary value of all or any part of the road infrastructure or of the damage to it; or\n- (ii) estimating the cost of remedying the damage; or\n- (iii) estimating the extent of the offender’s contribution to the damage.","sortOrder":504},{"sectionNumber":"sec.164AD","sectionType":"section","heading":"Copy of certificate to be given to defendant","content":"### sec.164AD Copy of certificate to be given to defendant\n\nIf the responsible entity proposes to use a certificate mentioned in section&#160;164AC (2) in proceedings, the responsible entity must give a copy of the certificate to the defendant at least 28 business days before the day fixed for the hearing of the matter.\nThe certificate can not be used in the proceedings unless a copy of the certificate has been given to the defendant under subsection&#160;(1) .\nIf the defendant intends to challenge a statement in the certificate, the defendant must give the responsible entity notice in writing of the intention to challenge (the notice of intention to challenge ), stating the matters in the certificate that are intended to be challenged.\nThe defendant must give the notice of intention to challenge to the responsible entity at least 14 business days before the day fixed for the hearing.\nIf the defendant intends to challenge the accuracy of any measurement, analysis or reading in the certificate, the notice of intention to challenge must state—\nthe reason why the defendant alleges the measurement, analysis or reading is inaccurate; and\nthe measurement, analysis or reading the defendant considers to be correct.\nThe defendant can not challenge any matter in the certificate if the defendant has not complied with subsections&#160;(3) to (5) , unless the court gives leave to do so in the interests of justice.\ns&#160;164AD ins 2010 No.&#160;19 s&#160;262\n(sec.164AD-ssec.1) If the responsible entity proposes to use a certificate mentioned in section&#160;164AC (2) in proceedings, the responsible entity must give a copy of the certificate to the defendant at least 28 business days before the day fixed for the hearing of the matter.\n(sec.164AD-ssec.2) The certificate can not be used in the proceedings unless a copy of the certificate has been given to the defendant under subsection&#160;(1) .\n(sec.164AD-ssec.3) If the defendant intends to challenge a statement in the certificate, the defendant must give the responsible entity notice in writing of the intention to challenge (the notice of intention to challenge ), stating the matters in the certificate that are intended to be challenged.\n(sec.164AD-ssec.4) The defendant must give the notice of intention to challenge to the responsible entity at least 14 business days before the day fixed for the hearing.\n(sec.164AD-ssec.5) If the defendant intends to challenge the accuracy of any measurement, analysis or reading in the certificate, the notice of intention to challenge must state— the reason why the defendant alleges the measurement, analysis or reading is inaccurate; and the measurement, analysis or reading the defendant considers to be correct.\n(sec.164AD-ssec.6) The defendant can not challenge any matter in the certificate if the defendant has not complied with subsections&#160;(3) to (5) , unless the court gives leave to do so in the interests of justice.\n- (a) the reason why the defendant alleges the measurement, analysis or reading is inaccurate; and\n- (b) the measurement, analysis or reading the defendant considers to be correct.","sortOrder":505},{"sectionNumber":"sec.164AE","sectionType":"section","heading":"Limits on amount of compensation","content":"### sec.164AE Limits on amount of compensation\n\nIf, in making the road compensation order, the court is satisfied that—\nthe commission of the dangerous goods vehicle offence contributed to the damage the subject of the order; but\nother factors not connected with the commission of the offence also contributed to the damage;\nthe court must limit the amount of the compensation payable by the offender to the amount the court assesses as being the offender’s contribution to the damage.\nThe maximum amount of compensation can not exceed the monetary limit to the court’s jurisdiction in civil proceedings.\nThe court may not include in the road compensation order any amount for—\npersonal injury or death; or\nloss of income, whether sustained by the State or any other entity; or\ndamage to any property, including a vehicle, that is not part of the road infrastructure.\ns&#160;164AE ins 2010 No.&#160;19 s&#160;262\namd 2013 No.&#160;26 s&#160;94\n(sec.164AE-ssec.1) If, in making the road compensation order, the court is satisfied that— the commission of the dangerous goods vehicle offence contributed to the damage the subject of the order; but other factors not connected with the commission of the offence also contributed to the damage; the court must limit the amount of the compensation payable by the offender to the amount the court assesses as being the offender’s contribution to the damage.\n(sec.164AE-ssec.2) The maximum amount of compensation can not exceed the monetary limit to the court’s jurisdiction in civil proceedings.\n(sec.164AE-ssec.3) The court may not include in the road compensation order any amount for— personal injury or death; or loss of income, whether sustained by the State or any other entity; or damage to any property, including a vehicle, that is not part of the road infrastructure.\n- (a) the commission of the dangerous goods vehicle offence contributed to the damage the subject of the order; but\n- (b) other factors not connected with the commission of the offence also contributed to the damage;\n- (a) personal injury or death; or\n- (b) loss of income, whether sustained by the State or any other entity; or\n- (c) damage to any property, including a vehicle, that is not part of the road infrastructure.","sortOrder":506},{"sectionNumber":"sec.164AF","sectionType":"section","heading":"Costs","content":"### sec.164AF Costs\n\nThe court has the same power to award costs in relation to the proceedings for the road compensation order as it has under the Uniform Civil Procedure Rules&#160;1999 in relation to civil proceedings, and those rules apply with any necessary changes to the proceedings for the road compensation order.\ns&#160;164AF ins 2010 No.&#160;19 s&#160;262","sortOrder":507},{"sectionNumber":"sec.164AG","sectionType":"section","heading":"Enforcement of compensation order and costs","content":"### sec.164AG Enforcement of compensation order and costs\n\nThe road compensation order, and any award of costs, are enforceable as if they were a judgment of the court in civil proceedings.\ns&#160;164AG ins 2010 No.&#160;19 s&#160;262","sortOrder":508},{"sectionNumber":"sec.164AH","sectionType":"section","heading":"Relationship with orders or awards of other courts and tribunals","content":"### sec.164AH Relationship with orders or awards of other courts and tribunals\n\nA road compensation order may not be made if another court or tribunal has awarded compensatory damages or compensation in civil proceedings in relation to the damage the subject of the order based on the same or similar facts.\nIf a court purports to make a road compensation order in the circumstances mentioned in subsection&#160;(1) —\nthe order is void to the extent it covers the same matters as those covered by the other award; and\nany payment made under the order to the extent to which it is void must be repaid by the responsible entity.\nThe making of a road compensation order does not prevent another court or tribunal from afterwards awarding damages or compensation in civil proceedings in relation to the damage the subject of the order based on the same or similar facts, but the court or tribunal must take the order into account when awarding damages or compensation.\nNothing in this division affects or limits any liability to pay compensation under the Transport Infrastructure Act 1994 , section&#160;48 other than as provided by this section.\ns&#160;164AH ins 2010 No.&#160;19 s&#160;262\n(sec.164AH-ssec.1) A road compensation order may not be made if another court or tribunal has awarded compensatory damages or compensation in civil proceedings in relation to the damage the subject of the order based on the same or similar facts.\n(sec.164AH-ssec.2) If a court purports to make a road compensation order in the circumstances mentioned in subsection&#160;(1) — the order is void to the extent it covers the same matters as those covered by the other award; and any payment made under the order to the extent to which it is void must be repaid by the responsible entity.\n(sec.164AH-ssec.3) The making of a road compensation order does not prevent another court or tribunal from afterwards awarding damages or compensation in civil proceedings in relation to the damage the subject of the order based on the same or similar facts, but the court or tribunal must take the order into account when awarding damages or compensation.\n(sec.164AH-ssec.4) Nothing in this division affects or limits any liability to pay compensation under the Transport Infrastructure Act 1994 , section&#160;48 other than as provided by this section.\n- (a) the order is void to the extent it covers the same matters as those covered by the other award; and\n- (b) any payment made under the order to the extent to which it is void must be repaid by the responsible entity.","sortOrder":509},{"sectionNumber":"ch.6-pt.1-div.4","sectionType":"division","heading":"Commercial benefits penalty order","content":"## Commercial benefits penalty order","sortOrder":510},{"sectionNumber":"sec.164A","sectionType":"section","heading":"Commercial benefits penalty order","content":"### sec.164A Commercial benefits penalty order\n\nIf a court convicts a person of an offence against a transport Act in relation to a prescribed dangerous goods vehicle or the transport of dangerous goods, the court may, on application by the prosecutor, and in addition to imposing any other penalty for the offence, make a commercial benefits penalty order under this section.\nThe commercial benefits penalty order may require the person to pay, as a fine, an amount not exceeding 3 times the amount estimated by the court to be the gross commercial benefit—\nreceived or receivable, by the person or by an associate of the person, from the commission of the offence; and\nfor a journey that was interrupted or not commenced because of action taken by an authorised officer in connection with the commission of the offence—that would have been received or receivable, by the person or by an associate of the person, from the commission of the offence had the journey been completed.\nIn estimating the gross commercial benefit, the court may take into account—\nbenefits of any kind, whether or not monetary; and\nany other matters it considers relevant, including, for example—\nthe value of any goods involved in the offence; and\nthe distance over which the goods were, or were to be, carried.\nHowever, in estimating the gross commercial benefit, the court must disregard any costs, expenses or liabilities incurred by the person or by an associate of the person.\nNothing in this section prevents the court from ordering payment of an amount that is—\nless than 3 times the estimated gross commercial benefit; or\nless than the estimated gross commercial benefit.\nFor this section, a person is an associate of another if—\none is a spouse, parent, brother, sister or child of the other; or\nthey are members of the same household; or\nthey are partners; or\nthey are both trustees or beneficiaries of the same trust, or one is a trustee and the other is a beneficiary of the same trust; or\none is a body corporate and the other is a director or member of the governing body of the body corporate; or\none is a body corporate (other than a public company whose shares are listed on a stock exchange) and the other is a shareholder in the body corporate; or\nthey are related bodies corporate within the meaning of the Corporations Act ; or\na chain of relationships can be traced between them under any one or more of the above paragraphs.\nIn this section—\nbeneficiary , of a trust, includes an object of a discretionary trust.\nbody corporate includes—\nthe State, another State or the Commonwealth; and\nan entity other than an individual.\ntransport Act does not include the Queensland Road Rules .\ns&#160;164A ins 2007 No.&#160;43 s&#160;73\namd 2008 No.&#160;67 s&#160;99 ; 2010 No.&#160;19 s&#160;264 ; 2013 No.&#160;26 s&#160;95\n(sec.164A-ssec.1) If a court convicts a person of an offence against a transport Act in relation to a prescribed dangerous goods vehicle or the transport of dangerous goods, the court may, on application by the prosecutor, and in addition to imposing any other penalty for the offence, make a commercial benefits penalty order under this section.\n(sec.164A-ssec.2) The commercial benefits penalty order may require the person to pay, as a fine, an amount not exceeding 3 times the amount estimated by the court to be the gross commercial benefit— received or receivable, by the person or by an associate of the person, from the commission of the offence; and for a journey that was interrupted or not commenced because of action taken by an authorised officer in connection with the commission of the offence—that would have been received or receivable, by the person or by an associate of the person, from the commission of the offence had the journey been completed.\n(sec.164A-ssec.3) In estimating the gross commercial benefit, the court may take into account— benefits of any kind, whether or not monetary; and any other matters it considers relevant, including, for example— the value of any goods involved in the offence; and the distance over which the goods were, or were to be, carried.\n(sec.164A-ssec.4) However, in estimating the gross commercial benefit, the court must disregard any costs, expenses or liabilities incurred by the person or by an associate of the person.\n(sec.164A-ssec.5) Nothing in this section prevents the court from ordering payment of an amount that is— less than 3 times the estimated gross commercial benefit; or less than the estimated gross commercial benefit.\n(sec.164A-ssec.6) For this section, a person is an associate of another if— one is a spouse, parent, brother, sister or child of the other; or they are members of the same household; or they are partners; or they are both trustees or beneficiaries of the same trust, or one is a trustee and the other is a beneficiary of the same trust; or one is a body corporate and the other is a director or member of the governing body of the body corporate; or one is a body corporate (other than a public company whose shares are listed on a stock exchange) and the other is a shareholder in the body corporate; or they are related bodies corporate within the meaning of the Corporations Act ; or a chain of relationships can be traced between them under any one or more of the above paragraphs.\n(sec.164A-ssec.7) In this section— beneficiary , of a trust, includes an object of a discretionary trust. body corporate includes— the State, another State or the Commonwealth; and an entity other than an individual. transport Act does not include the Queensland Road Rules .\n- (a) received or receivable, by the person or by an associate of the person, from the commission of the offence; and\n- (b) for a journey that was interrupted or not commenced because of action taken by an authorised officer in connection with the commission of the offence—that would have been received or receivable, by the person or by an associate of the person, from the commission of the offence had the journey been completed.\n- (a) benefits of any kind, whether or not monetary; and\n- (b) any other matters it considers relevant, including, for example— (i) the value of any goods involved in the offence; and (ii) the distance over which the goods were, or were to be, carried.\n- (i) the value of any goods involved in the offence; and\n- (ii) the distance over which the goods were, or were to be, carried.\n- (i) the value of any goods involved in the offence; and\n- (ii) the distance over which the goods were, or were to be, carried.\n- (a) less than 3 times the estimated gross commercial benefit; or\n- (b) less than the estimated gross commercial benefit.\n- (a) one is a spouse, parent, brother, sister or child of the other; or\n- (b) they are members of the same household; or\n- (c) they are partners; or\n- (d) they are both trustees or beneficiaries of the same trust, or one is a trustee and the other is a beneficiary of the same trust; or\n- (e) one is a body corporate and the other is a director or member of the governing body of the body corporate; or\n- (f) one is a body corporate (other than a public company whose shares are listed on a stock exchange) and the other is a shareholder in the body corporate; or\n- (g) they are related bodies corporate within the meaning of the Corporations Act ; or\n- (h) a chain of relationships can be traced between them under any one or more of the above paragraphs.\n- (a) the State, another State or the Commonwealth; and\n- (b) an entity other than an individual.","sortOrder":511},{"sectionNumber":"ch.6-pt.1-div.5","sectionType":"division","heading":null,"content":"","sortOrder":512},{"sectionNumber":"sec.164B","sectionType":"section","heading":null,"content":"### Section sec.164B\n\ns&#160;164B ins 2010 No.&#160;19 s&#160;265\nom 2013 No.&#160;26 s&#160;96","sortOrder":513},{"sectionNumber":"sec.164C","sectionType":"section","heading":null,"content":"### Section sec.164C\n\ns&#160;164C ins 2010 No.&#160;19 s&#160;265\nom 2013 No.&#160;26 s&#160;96","sortOrder":514},{"sectionNumber":"sec.164D","sectionType":"section","heading":null,"content":"### Section sec.164D\n\ns&#160;164D ins 2010 No.&#160;19 s&#160;265\nom 2013 No.&#160;26 s&#160;96","sortOrder":515},{"sectionNumber":"sec.164E","sectionType":"section","heading":null,"content":"### Section sec.164E\n\ns&#160;164E ins 2010 No.&#160;19 s&#160;265\nom 2013 No.&#160;26 s&#160;96","sortOrder":516},{"sectionNumber":"ch.6-pt.2","sectionType":"part","heading":"Other provisions","content":"# Other provisions","sortOrder":517},{"sectionNumber":"sec.165","sectionType":"section","heading":"Special provision for serving documents","content":"### sec.165 Special provision for serving documents\n\nA document about a vehicle may be given to the vehicle’s owner or registered operator under a transport Act by securely fixing the document to a part of the vehicle in a way that a driver of the vehicle is likely to notice the document.\nThis section does not affect—\nthe operation of another law that 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;165 (prev s&#160;81) renum 1999 No.&#160;42 s&#160;54 (2) sch amdt 188\namd 2000 No.&#160;6 s&#160;78 sch amdt 13\n(sec.165-ssec.1) A document about a vehicle may be given to the vehicle’s owner or registered operator under a transport Act by securely fixing the document to a part of the vehicle in a way that a driver of the vehicle is likely to notice the document.\n(sec.165-ssec.2) This section does not affect— the operation of another law that 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) the operation of another law that 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":518},{"sectionNumber":"sec.166","sectionType":"section","heading":"Official traffic sign approvals","content":"### sec.166 Official traffic sign approvals\n\nThe chief executive may approve the design of, and a method, standard or procedure about, an official traffic sign.\nThe approved design, method, standard or procedure must be contained in the MUTCD or an approved notice.\nThe MUTCD or approval notice must be available for purchase or inspection by the public at the department’s head office or the other offices of the department that the chief executive directs.\ns&#160;166 (prev s&#160;82) renum 1999 No.&#160;42 s&#160;54 (2) sch amdt 188\namd 2001 No.&#160;79 s&#160;113\n(sec.166-ssec.1) The chief executive may approve the design of, and a method, standard or procedure about, an official traffic sign.\n(sec.166-ssec.2) The approved design, method, standard or procedure must be contained in the MUTCD or an approved notice.\n(sec.166-ssec.3) The MUTCD or approval notice must be available for purchase or inspection by the public at the department’s head office or the other offices of the department that the chief executive directs.","sortOrder":519},{"sectionNumber":"sec.166A","sectionType":"section","heading":null,"content":"### Section sec.166A\n\ns&#160;166A ins 2014 No.&#160;43 s&#160;105\nom 2019 No.&#160;25 s&#160;46","sortOrder":520},{"sectionNumber":"sec.167","sectionType":"section","heading":"Protection from liability","content":"### sec.167 Protection from liability\n\nIn this section—\nofficial means—\nthe Minister; and\nthe chief executive; and\nthe commissioner; and\nan authorised officer; and\nan accredited person; and\na relevant emergency service officer; and\na person acting under the direction or authorisation of an authorised officer or a relevant emergency service officer; and\nan employee of the department of the police service; and\na health care professional under section&#160;80 acting under that section; and\nthe chief executive officer, or an officer or employee, of a local government.\nAn official is not civilly liable for an act done, or omission made, honestly and without negligence under a transport Act.\nIf subsection&#160;(2) prevents civil liability attaching to an official, the liability attaches instead to—\nfor a person mentioned in subsection&#160;(1) (a) to (h) —the State; or\nfor a person mentioned in subsection&#160;(1) (i) —the local government.\ns&#160;167 (prev s&#160;83) renum 1999 No.&#160;42 s&#160;54 (2) sch amdt 188\namd 2002 No.&#160;48 s&#160;5 ; 2007 No.&#160;43 s&#160;33 sch ; 2008 No.&#160;67 s&#160;100\n(sec.167-ssec.1) In this section— official means— the Minister; and the chief executive; and the commissioner; and an authorised officer; and an accredited person; and a relevant emergency service officer; and a person acting under the direction or authorisation of an authorised officer or a relevant emergency service officer; and an employee of the department of the police service; and a health care professional under section&#160;80 acting under that section; and the chief executive officer, or an officer or employee, of a local government.\n(sec.167-ssec.2) An official is not civilly liable for an act done, or omission made, honestly and without negligence under a transport Act.\n(sec.167-ssec.3) If subsection&#160;(2) prevents civil liability attaching to an official, the liability attaches instead to— for a person mentioned in subsection&#160;(1) (a) to (h) —the State; or for a person mentioned in subsection&#160;(1) (i) —the local government.\n- (a) the Minister; and\n- (b) the chief executive; and\n- (c) the commissioner; and\n- (d) an authorised officer; and\n- (e) an accredited person; and\n- (ea) a relevant emergency service officer; and\n- (f) a person acting under the direction or authorisation of an authorised officer or a relevant emergency service officer; and\n- (g) an employee of the department of the police service; and\n- (h) a health care professional under section&#160;80 acting under that section; and\n- (i) the chief executive officer, or an officer or employee, of a local government.\n- (a) for a person mentioned in subsection&#160;(1) (a) to (h) —the State; or\n- (b) for a person mentioned in subsection&#160;(1) (i) —the local government.","sortOrder":521},{"sectionNumber":"sec.168","sectionType":"section","heading":"Effect of failure to comply with ch 2","content":"### sec.168 Effect of failure to comply with ch 2\n\nIt is Parliament’s intention that chapter&#160;2 be complied with.\nHowever—\nchapter&#160;2 is directory only and does not create rights or impose legally enforceable obligations on the State, Minister, chief executive or anyone else; and\nfailure to comply with chapter&#160;2 does not affect the validity of anything done or not done under this Act.\nIn addition, a decision made, or appearing to be made, under chapter&#160;2 —\nis final and conclusive; and\ncan not be challenged, appealed against, reviewed, quashed, set aside, or called in question in another way, under the Judicial Review Act 1991 (whether by the Supreme Court, another court, a tribunal or another entity); and\nis not subject to a writ or order of the Supreme Court, another court, a tribunal or another entity on any ground.\nIn this section—\ndecision includes—\nconduct engaged in to make a decision; and\nconduct related to making a decision; and\nfailure to make a decision.\ns&#160;168 (prev s&#160;84) renum 1999 No.&#160;42 s&#160;54 (2) sch amdt 188\n(sec.168-ssec.1) It is Parliament’s intention that chapter&#160;2 be complied with.\n(sec.168-ssec.2) However— chapter&#160;2 is directory only and does not create rights or impose legally enforceable obligations on the State, Minister, chief executive or anyone else; and failure to comply with chapter&#160;2 does not affect the validity of anything done or not done under this Act.\n(sec.168-ssec.3) In addition, a decision made, or appearing to be made, under chapter&#160;2 — is final and conclusive; and can not be challenged, appealed against, reviewed, quashed, set aside, or called in question in another way, under the Judicial Review Act 1991 (whether by the Supreme Court, another court, a tribunal or another entity); and is not subject to a writ or order of the Supreme Court, another court, a tribunal or another entity on any ground.\n(sec.168-ssec.4) In this section— decision includes— conduct engaged in to make a decision; and conduct related to making a decision; and failure to make a decision.\n- (a) chapter&#160;2 is directory only and does not create rights or impose legally enforceable obligations on the State, Minister, chief executive or anyone else; and\n- (b) failure to comply with chapter&#160;2 does not affect the validity of anything done or not done under this Act.\n- (a) is final and conclusive; and\n- (b) can not be challenged, appealed against, reviewed, quashed, set aside, or called in question in another way, under the Judicial Review Act 1991 (whether by the Supreme Court, another court, a tribunal or another entity); and\n- (c) is not subject to a writ or order of the Supreme Court, another court, a tribunal or another entity on any ground.\n- (a) conduct engaged in to make a decision; and\n- (b) conduct related to making a decision; and\n- (c) failure to make a decision.","sortOrder":522},{"sectionNumber":"sec.168A","sectionType":"section","heading":null,"content":"### Section sec.168A\n\ns&#160;168A ins 2007 No.&#160;43 s&#160;74\namd 2008 No.&#160;67 s&#160;166 ; 2010 No.&#160;13 ss&#160;19 , 3 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;98","sortOrder":523},{"sectionNumber":"sec.168AA","sectionType":"section","heading":null,"content":"### Section sec.168AA\n\ns&#160;168AA ins 2008 No.&#160;67 s&#160;167\namd 2009 No.&#160;24 s&#160;1796 ; 2010 No.&#160;13 s&#160;3 sch pt&#160;1\nom 2013 No.&#160;26 s&#160;98","sortOrder":524},{"sectionNumber":"sec.168B","sectionType":"section","heading":"Giving evidence about dangerous goods matter to external public authority","content":"### sec.168B Giving evidence about dangerous goods matter to external public authority\n\nThe chief executive or the commissioner (the official ) may give any prescribed evidence to an external public authority if the official—\nconsiders giving the evidence to the external public authority is appropriate for law enforcement purposes; and\nhas consulted with the external public authority about giving the evidence.\nSubsection&#160;(1) does not apply if the official or external public authority would otherwise be required to maintain confidentiality about the evidence under an Act.\nIn this section—\nprescribed evidence means anything seized under chapter&#160;3 , part&#160;3 , division&#160;3 , or any information obtained under this Act about a contravention of this Act or a corresponding law in relation to a dangerous goods matter.\ns&#160;168B ins 2007 No.&#160;43 s&#160;74\namd 2008 No.&#160;67 s&#160;101 ; 2013 No.&#160;26 s&#160;99\n(sec.168B-ssec.1) The chief executive or the commissioner (the official ) may give any prescribed evidence to an external public authority if the official— considers giving the evidence to the external public authority is appropriate for law enforcement purposes; and has consulted with the external public authority about giving the evidence.\n(sec.168B-ssec.2) Subsection&#160;(1) does not apply if the official or external public authority would otherwise be required to maintain confidentiality about the evidence under an Act.\n(sec.168B-ssec.3) In this section— prescribed evidence means anything seized under chapter&#160;3 , part&#160;3 , division&#160;3 , or any information obtained under this Act about a contravention of this Act or a corresponding law in relation to a dangerous goods matter.\n- (a) considers giving the evidence to the external public authority is appropriate for law enforcement purposes; and\n- (b) has consulted with the external public authority about giving the evidence.","sortOrder":525},{"sectionNumber":"sec.168C","sectionType":"section","heading":"Chief executive may give information to corresponding authority","content":"### sec.168C Chief executive may give information to corresponding authority\n\nThe chief executive may give information to a corresponding authority about—\nany action taken in relation to a dangerous goods matter by the chief executive under a transport Act; or\nany information in relation to a dangerous goods matter obtained under this Act, including any information contained in any document, device or other thing inspected or seized under this Act.\nSubsection&#160;(1) does not apply if the chief executive or corresponding authority would otherwise be required to maintain confidentiality about the information under an Act.\nIn this section—\ntransport Act does not include the Queensland Road Rules .\ns&#160;168C ins 2007 No.&#160;43 s&#160;74\namd 2008 No.&#160;67 s&#160;102 ; 2013 No.&#160;26 s&#160;100\n(sec.168C-ssec.1) The chief executive may give information to a corresponding authority about— any action taken in relation to a dangerous goods matter by the chief executive under a transport Act; or any information in relation to a dangerous goods matter obtained under this Act, including any information contained in any document, device or other thing inspected or seized under this Act.\n(sec.168C-ssec.2) Subsection&#160;(1) does not apply if the chief executive or corresponding authority would otherwise be required to maintain confidentiality about the information under an Act.\n(sec.168C-ssec.3) In this section— transport Act does not include the Queensland Road Rules .\n- (a) any action taken in relation to a dangerous goods matter by the chief executive under a transport Act; or\n- (b) any information in relation to a dangerous goods matter obtained under this Act, including any information contained in any document, device or other thing inspected or seized under this Act.","sortOrder":526},{"sectionNumber":"sec.168D","sectionType":"section","heading":"Contracting out in relation to prescribed dangerous goods vehicles etc. prohibited","content":"### sec.168D Contracting out in relation to prescribed dangerous goods vehicles etc. prohibited\n\nA contract or agreement relating to a prescribed dangerous goods vehicle or the transport of dangerous goods is void to the extent to which it—\nis contrary to this Act; or\npurports to exclude, limit or otherwise change the effect of a provision of this Act.\ns&#160;168D ins 2007 No.&#160;43 s&#160;74\namd 2008 No.&#160;67 s&#160;103 ; 2013 No.&#160;26 s&#160;101\n- (a) is contrary to this Act; or\n- (b) purports to exclude, limit or otherwise change the effect of a provision of this Act.","sortOrder":527},{"sectionNumber":"sec.169","sectionType":"section","heading":"Approval of forms","content":"### sec.169 Approval of forms\n\nThe chief executive may approve forms for use under this Act.\ns&#160;169 (prev s&#160;84A) ins 1997 No.&#160;66 s&#160;130\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 188","sortOrder":528},{"sectionNumber":"sec.170","sectionType":"section","heading":"Nomination of responsible operator","content":"### sec.170 Nomination of responsible operator\n\nIf a registered operator has previously claimed the registered operator was not the driver and has failed to notify the name and address of the driver of a vehicle that was involved in a camera-detected offence, the chief executive may give written notice requesting the registered operator to nominate 1 responsible operator for each vehicle registered in the registered operator’s name whether jointly or otherwise.\nSee chapter&#160;5 , part&#160;7 , division&#160;2 for other provisions about camera-detected offences.\nIf the registered operator wants to nominate the responsible operator, the registered operator must give written notice containing the prescribed particulars to the chief executive within 28 days of receipt of the notice from the chief executive.\nIf a person does not nominate a responsible operator within 28 days, or nominates a person who is ineligible to be a responsible operator, the chief executive may nominate an existing registered operator as the responsible operator.\nA responsible operator must be—\nan individual who is—\n17 years or more; and\nthe holder of a licence issued under a law of a State to drive a vehicle on a road; or\na corporation that is—\na company registered under the Corporations Act ; or\nincorporated by or under an Act; or\nincorporated for a public purpose by an Act of this or another State or the Commonwealth; or\nthis or another State or the Commonwealth.\nExcept for a nomination by the chief executive, the nomination must be accompanied by the written consent of the responsible operator.\nIf a licence is not required for the normal operation of the type of vehicle being registered and it is not designed to be towed, the responsible operator does not have to be the holder of a licence for the vehicle.\nA person must not nominate a person as a responsible operator knowing that—\nthe nominated person is ineligible to be a responsible operator; or\nany particulars about the nominated person are inaccurate.\nMaximum penalty—40 penalty units.\nA person who has been requested to nominate a responsible operator—\nmay subsequently apply for, renew or transfer the registration of a vehicle only if a responsible operator has been nominated for the vehicle; and\nmust ensure there is a responsible operator during the registration of the vehicle.\nIf for any reason there ceases to be a responsible operator for a vehicle, the chief executive may nominate a responsible operator.\ns&#160;170 (prev s&#160;77A) ins 1996 No.&#160;62 s&#160;18\namd 1999 No.&#160;42 s&#160;34\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 176\namd 2000 No.&#160;6 s&#160;78 sch amdts 14–17; 2001 No.&#160;45 s&#160;29 sch&#160;3 ; 2007 No.&#160;43 s&#160;33 sch ; 2014 No.&#160;43 s&#160;117 sch&#160;1\n(sec.170-ssec.1) If a registered operator has previously claimed the registered operator was not the driver and has failed to notify the name and address of the driver of a vehicle that was involved in a camera-detected offence, the chief executive may give written notice requesting the registered operator to nominate 1 responsible operator for each vehicle registered in the registered operator’s name whether jointly or otherwise. See chapter&#160;5 , part&#160;7 , division&#160;2 for other provisions about camera-detected offences.\n(sec.170-ssec.2) If the registered operator wants to nominate the responsible operator, the registered operator must give written notice containing the prescribed particulars to the chief executive within 28 days of receipt of the notice from the chief executive.\n(sec.170-ssec.3) If a person does not nominate a responsible operator within 28 days, or nominates a person who is ineligible to be a responsible operator, the chief executive may nominate an existing registered operator as the responsible operator.\n(sec.170-ssec.4) A responsible operator must be— an individual who is— 17 years or more; and the holder of a licence issued under a law of a State to drive a vehicle on a road; or a corporation that is— a company registered under the Corporations Act ; or incorporated by or under an Act; or incorporated for a public purpose by an Act of this or another State or the Commonwealth; or this or another State or the Commonwealth.\n(sec.170-ssec.5) Except for a nomination by the chief executive, the nomination must be accompanied by the written consent of the responsible operator.\n(sec.170-ssec.6) If a licence is not required for the normal operation of the type of vehicle being registered and it is not designed to be towed, the responsible operator does not have to be the holder of a licence for the vehicle.\n(sec.170-ssec.7) A person must not nominate a person as a responsible operator knowing that— the nominated person is ineligible to be a responsible operator; or any particulars about the nominated person are inaccurate. Maximum penalty—40 penalty units.\n(sec.170-ssec.8) A person who has been requested to nominate a responsible operator— may subsequently apply for, renew or transfer the registration of a vehicle only if a responsible operator has been nominated for the vehicle; and must ensure there is a responsible operator during the registration of the vehicle.\n(sec.170-ssec.9) If for any reason there ceases to be a responsible operator for a vehicle, the chief executive may nominate a responsible operator.\n- (a) an individual who is— (i) 17 years or more; and (ii) the holder of a licence issued under a law of a State to drive a vehicle on a road; or\n- (i) 17 years or more; and\n- (ii) the holder of a licence issued under a law of a State to drive a vehicle on a road; or\n- (b) a corporation that is— (i) a company registered under the Corporations Act ; or (ii) incorporated by or under an Act; or (iii) incorporated for a public purpose by an Act of this or another State or the Commonwealth; or\n- (i) a company registered under the Corporations Act ; or\n- (ii) incorporated by or under an Act; or\n- (iii) incorporated for a public purpose by an Act of this or another State or the Commonwealth; or\n- (c) this or another State or the Commonwealth.\n- (i) 17 years or more; and\n- (ii) the holder of a licence issued under a law of a State to drive a vehicle on a road; or\n- (i) a company registered under the Corporations Act ; or\n- (ii) incorporated by or under an Act; or\n- (iii) incorporated for a public purpose by an Act of this or another State or the Commonwealth; or\n- (a) the nominated person is ineligible to be a responsible operator; or\n- (b) any particulars about the nominated person are inaccurate.\n- (a) may subsequently apply for, renew or transfer the registration of a vehicle only if a responsible operator has been nominated for the vehicle; and\n- (b) must ensure there is a responsible operator during the registration of the vehicle.","sortOrder":529},{"sectionNumber":"sec.170A","sectionType":"section","heading":null,"content":"### Section sec.170A\n\ns&#160;170A ins 2009 No.&#160;47 s&#160;34\nom 2011 No.&#160;12 s&#160;112","sortOrder":530},{"sectionNumber":"sec.171","sectionType":"section","heading":"Regulation-making power","content":"### sec.171 Regulation-making power\n\nThe Governor in Council may make regulations under this Act.\nA regulation may be made prescribing offences for a contravention of a regulation and fixing a maximum penalty of not more than 80 penalty units for a contravention.\nA regulation may—\nprescribe fees payable for a transport Act, other than the Tow Truck Act 2023 , and the effect of nonpayment; or\nallow the chief executive to refund fees completely or partly or provide concessions; or\nprescribe circumstances in which roads may be closed; or\nprescribe offences for misuse of roads; or\nrequire the collection, keeping or production of records; or\nestablish requirements for the certification of instruments (within the meaning of section&#160;123S ); or\nprescribe rules about the use by the following, under the Transport Infrastructure Act 1994 , of busway land—\nbuses operating on a busway established on the busway land;\npersons having the permission of the chief executive to be on the busway land; or\nprescribe rules about the use by the following, under the Transport Infrastructure Act 1994 , of light rail land—\nlight rail vehicles operating on a light rail established on the light rail land;\npersons having the permission of the chief executive or a light rail manager for the light rail to be on the light rail land; or\nexempt a person or vehicle from a provision of this Act.\noffences for throwing rocks or other things onto roads\nA regulation may enact provisions for the State that are the same as, or substantially similar to, model legislation or road transport legislation within the meaning of the National Transport Commission Act 2003 (Cwlth) .\nFor the provisions mentioned in subsection&#160;(4) , a regulation may—\nconfer powers on the chief executive, the commissioner, an authorised officer or an accredited person; or\nmake transitional provisions.\ns&#160;171 (prev s&#160;85) amd 1997 No.&#160;66 s&#160;131 ; 1998 No.&#160;33 s&#160;23\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 188\namd 2000 No.&#160;40 s&#160;32 ; 2007 No.&#160;43 s&#160;84 ; 2014 No.&#160;43 s&#160;117 sch&#160;1 ; 2020 No.&#160;21 s&#160;72 s ch&#160;1 pt&#160;1 ; 2023 No.&#160;28 s&#160;212\n(sec.171-ssec.1) The Governor in Council may make regulations under this Act.\n(sec.171-ssec.2) A regulation may be made prescribing offences for a contravention of a regulation and fixing a maximum penalty of not more than 80 penalty units for a contravention.\n(sec.171-ssec.3) A regulation may— prescribe fees payable for a transport Act, other than the Tow Truck Act 2023 , and the effect of nonpayment; or allow the chief executive to refund fees completely or partly or provide concessions; or prescribe circumstances in which roads may be closed; or prescribe offences for misuse of roads; or require the collection, keeping or production of records; or establish requirements for the certification of instruments (within the meaning of section&#160;123S ); or prescribe rules about the use by the following, under the Transport Infrastructure Act 1994 , of busway land— buses operating on a busway established on the busway land; persons having the permission of the chief executive to be on the busway land; or prescribe rules about the use by the following, under the Transport Infrastructure Act 1994 , of light rail land— light rail vehicles operating on a light rail established on the light rail land; persons having the permission of the chief executive or a light rail manager for the light rail to be on the light rail land; or exempt a person or vehicle from a provision of this Act. offences for throwing rocks or other things onto roads\n(sec.171-ssec.4) A regulation may enact provisions for the State that are the same as, or substantially similar to, model legislation or road transport legislation within the meaning of the National Transport Commission Act 2003 (Cwlth) .\n(sec.171-ssec.5) For the provisions mentioned in subsection&#160;(4) , a regulation may— confer powers on the chief executive, the commissioner, an authorised officer or an accredited person; or make transitional provisions.\n- (a) prescribe fees payable for a transport Act, other than the Tow Truck Act 2023 , and the effect of nonpayment; or\n- (b) allow the chief executive to refund fees completely or partly or provide concessions; or\n- (c) prescribe circumstances in which roads may be closed; or\n- (d) prescribe offences for misuse of roads; or\n- (e) require the collection, keeping or production of records; or\n- (f) establish requirements for the certification of instruments (within the meaning of section&#160;123S ); or\n- (g) prescribe rules about the use by the following, under the Transport Infrastructure Act 1994 , of busway land— (i) buses operating on a busway established on the busway land; (ii) persons having the permission of the chief executive to be on the busway land; or\n- (i) buses operating on a busway established on the busway land;\n- (ii) persons having the permission of the chief executive to be on the busway land; or\n- (h) prescribe rules about the use by the following, under the Transport Infrastructure Act 1994 , of light rail land— (i) light rail vehicles operating on a light rail established on the light rail land; (ii) persons having the permission of the chief executive or a light rail manager for the light rail to be on the light rail land; or\n- (i) light rail vehicles operating on a light rail established on the light rail land;\n- (ii) persons having the permission of the chief executive or a light rail manager for the light rail to be on the light rail land; or\n- (i) exempt a person or vehicle from a provision of this Act.\n- (i) buses operating on a busway established on the busway land;\n- (ii) persons having the permission of the chief executive to be on the busway land; or\n- (i) light rail vehicles operating on a light rail established on the light rail land;\n- (ii) persons having the permission of the chief executive or a light rail manager for the light rail to be on the light rail land; or\n- (a) confer powers on the chief executive, the commissioner, an authorised officer or an accredited person; or\n- (b) make transitional provisions.","sortOrder":531},{"sectionNumber":"ch.7-pt.1","sectionType":"part","heading":"Transitional provisions for Transport Operations (Road Use Management) Act 1995","content":"# Transitional provisions for Transport Operations (Road Use Management) Act 1995","sortOrder":532},{"sectionNumber":"sec.172","sectionType":"section","heading":"Reference provisions operate only after repeal of relevant Act","content":"### sec.172 Reference provisions operate only after repeal of relevant Act\n\nTo remove any doubt, it is declared that sections&#160;173 to 178 apply to an Act mentioned in them only after the Act is, or the relevant provisions of the Act are, repealed.\nA reference to the Carriage of Dangerous Goods by Road Act 1984 or a provision of that Act is not taken to be a reference to this Act until the repeal of the Carriage of Dangerous Goods by Road Act 1984 or the provision of that Act.\ns&#160;172 (prev s&#160;85A) ins 1995 No.&#160;58 s&#160;4 sch&#160;1\namd 1999 No.&#160;42 s&#160;54 (2) sch amdt 189\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 191","sortOrder":533},{"sectionNumber":"sec.173","sectionType":"section","heading":"Carriage of Dangerous Goods by Road Act 1984 references","content":"### sec.173 Carriage of Dangerous Goods by Road Act 1984 references\n\nA reference to the Carriage of Dangerous Goods by Road Act 1984 may, if the context permits, be taken to be a reference to this Act.\ns&#160;173 (prev s&#160;86) amd 1995 No.&#160;58 s&#160;4 sch&#160;1\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 191","sortOrder":534},{"sectionNumber":"sec.174","sectionType":"section","heading":"Main Roads Act 1920 references","content":"### sec.174 Main Roads Act 1920 references\n\nA reference to the Main Roads Act 1920 may, other than in relation to transport infrastructure or another matter dealt with under the Transport Infrastructure Act 1994 , and the context otherwise permits, be taken to be a reference to this Act.\ns&#160;174 (prev s&#160;87) amd 1995 No.&#160;58 s&#160;4 sch&#160;1\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 191","sortOrder":535},{"sectionNumber":"sec.175","sectionType":"section","heading":"Motor Vehicles Control Act 1975 references","content":"### sec.175 Motor Vehicles Control Act 1975 references\n\nA reference to the Motor Vehicles Control Act 1975 may, if the context permits, be taken to be a reference to this Act.\ns&#160;175 (prev s&#160;88) amd 1995 No.&#160;58 s&#160;4 sch&#160;1\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 191","sortOrder":536},{"sectionNumber":"sec.176","sectionType":"section","heading":"Motor Vehicles Safety Act 1980 references","content":"### sec.176 Motor Vehicles Safety Act 1980 references\n\nA reference to the Motor Vehicles Safety Act 1980 may, if the context permits, be taken to be a reference to this Act.\ns&#160;176 (prev s&#160;89) amd 1995 No.&#160;58 s&#160;4 sch&#160;1\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 191","sortOrder":537},{"sectionNumber":"sec.177","sectionType":"section","heading":"State Transport Act 1960 references","content":"### sec.177 State Transport Act 1960 references\n\nA reference to the State Transport Act 1960 may, other than a reference (whether express or implied) to a provision of that Act repealed by the Transport Operations (Passenger Transport) Act 1994 and if the context otherwise permits, be taken to be a reference to this Act.\ns&#160;177 (prev s&#160;90) amd 1995 No.&#160;58 s&#160;4 sch&#160;1\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 191","sortOrder":538},{"sectionNumber":"sec.178","sectionType":"section","heading":"Transport Infrastructure (Roads) Act 1991 references","content":"### sec.178 Transport Infrastructure (Roads) Act 1991 references\n\nA reference to the Transport Infrastructure (Roads) Act 1991 may, other than in relation to transport infrastructure or another matter dealt with under the Transport Infrastructure Act 1994 , and the context otherwise permits, be taken to be a reference to this Act.\ns&#160;178 (prev s&#160;91) amd 1995 No.&#160;58 s&#160;4 sch&#160;1\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 191","sortOrder":539},{"sectionNumber":"sec.179","sectionType":"section","heading":"Transitional provisions for Motor Vehicle Driving Instruction School Act 1969","content":"### sec.179 Transitional provisions for Motor Vehicle Driving Instruction School Act 1969\n\nA person licensed as a driving instructor under the Motor Vehicle Driving Instruction School Act 1969 immediately before the commencement is taken to have provisional approval as a driver trainer under this Act.\nThe approval is, to the greatest practicable extent, subject to the same conditions that applied to the licence immediately before the commencement.\nHowever, the approval—\ndoes not authorise a matter that can not be authorised under an approval granted under this Act; and\nmay be renewed once only.\ns&#160;179 (prev s&#160;92B) ins 1997 No.&#160;66 s&#160;132\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 191\n(sec.179-ssec.1) A person licensed as a driving instructor under the Motor Vehicle Driving Instruction School Act 1969 immediately before the commencement is taken to have provisional approval as a driver trainer under this Act.\n(sec.179-ssec.2) The approval is, to the greatest practicable extent, subject to the same conditions that applied to the licence immediately before the commencement.\n(sec.179-ssec.3) However, the approval— does not authorise a matter that can not be authorised under an approval granted under this Act; and may be renewed once only.\n- (a) does not authorise a matter that can not be authorised under an approval granted under this Act; and\n- (b) may be renewed once only.","sortOrder":540},{"sectionNumber":"sec.181","sectionType":"section","heading":null,"content":"### Section sec.181\n\ns&#160;181 (prev s&#160;93A) ins 1999 No.&#160;29 s&#160;50 sch\namd 1999 No.&#160;42 s&#160;54 (2) sch amdt 190\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 191\nom 2004 No.&#160;53 s&#160;2 sch","sortOrder":541},{"sectionNumber":"ch.7-pt.2","sectionType":"part","heading":"Transitional provisions for Transport Legislation Amendment Act 1998","content":"# Transitional provisions for Transport Legislation Amendment Act 1998","sortOrder":542},{"sectionNumber":"sec.182","sectionType":"section","heading":"Transitional provisions for Motor Vehicles Control Act 1975 about local laws","content":"### sec.182 Transitional provisions for Motor Vehicles Control Act 1975 about local laws\n\nThis section applies to a local law made under the repealed Motor Vehicles Control Act 1975 , section&#160;35 , and in force immediately before the commencement of this section.\nThe law remains in force, until amended or repealed under the Local Government Act 2009 .\ns&#160;182 (prev s&#160;94) ins 1998 No.&#160;33 s&#160;24 (2)\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 193\namd 2009 No.&#160;17 s&#160;331 sch&#160;1\n(sec.182-ssec.1) This section applies to a local law made under the repealed Motor Vehicles Control Act 1975 , section&#160;35 , and in force immediately before the commencement of this section.\n(sec.182-ssec.2) The law remains in force, until amended or repealed under the Local Government Act 2009 .","sortOrder":543},{"sectionNumber":"sec.183","sectionType":"section","heading":"Transport Infrastructure (Roads) Regulation 1991","content":"### sec.183 Transport Infrastructure (Roads) Regulation 1991\n\nFor section&#160;56, a certificate of registration under the Transport Infrastructure (Roads) Regulation 1991 is a document to which section&#160;56 does not apply.\ns&#160;183 (prev s&#160;95) ins 1998 No.&#160;33 s&#160;24 (2)\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 193","sortOrder":544},{"sectionNumber":"sec.184","sectionType":"section","heading":"Carriage of Dangerous Goods by Road Regulation 1989 —transition of approvals","content":"### sec.184 Carriage of Dangerous Goods by Road Regulation 1989 —transition of approvals\n\nAn approval of something given under the code that was in force immediately before 7 August 1998 is taken to be an approval of the thing under the Transport Operations (Road Use Management—Dangerous Goods) Regulation 1998 .\nThe approval is subject to the same conditions that applied immediately before the commencement of this section.\nIn this section—\ncode means the code under the Carriage of Dangerous Goods by Road Regulation 1989 .\ns&#160;184 (prev s&#160;96) ins 1998 No.&#160;33 s&#160;24 (3)\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 193\n(sec.184-ssec.1) An approval of something given under the code that was in force immediately before 7 August 1998 is taken to be an approval of the thing under the Transport Operations (Road Use Management—Dangerous Goods) Regulation 1998 .\n(sec.184-ssec.2) The approval is subject to the same conditions that applied immediately before the commencement of this section.\n(sec.184-ssec.3) In this section— code means the code under the Carriage of Dangerous Goods by Road Regulation 1989 .","sortOrder":545},{"sectionNumber":"sec.185","sectionType":"section","heading":"Carriage of Dangerous Goods by Road Act 1984 —exemptions","content":"### sec.185 Carriage of Dangerous Goods by Road Act 1984 —exemptions\n\nThis section applies to an exemption given under the repealed Carriage of Dangerous Goods by Road Act 1984 , section&#160;24 , that was in force immediately before the repeal of that Act.\nThe exemption is taken to be an exemption under section&#160;153 that exempts the person to whom it was given from complying with a provision of the Transport Operations (Road Use Management—Dangerous Goods) Regulation 1998 that most closely corresponds to the provision stated in the exemption.\nSubsection&#160;(2) applies even though section&#160;153 had not commenced on the repeal.\nThe exemption—\nis, to the greatest practicable extent, subject to the same conditions that applied immediately before the repeal; and\ndespite paragraph&#160;(a), expires on 31 January 1999.\ns&#160;185 (prev s&#160;97) ins 1998 No.&#160;33 s&#160;24 (4)\namd 1999 No.&#160;42 s&#160;54 (2) sch amdt 192\nrenum 1999 No.&#160;42 s&#160;54 (2) sch amdt 193\n(sec.185-ssec.1) This section applies to an exemption given under the repealed Carriage of Dangerous Goods by Road Act 1984 , section&#160;24 , that was in force immediately before the repeal of that Act.\n(sec.185-ssec.2) The exemption is taken to be an exemption under section&#160;153 that exempts the person to whom it was given from complying with a provision of the Transport Operations (Road Use Management—Dangerous Goods) Regulation 1998 that most closely corresponds to the provision stated in the exemption.\n(sec.185-ssec.3) Subsection&#160;(2) applies even though section&#160;153 had not commenced on the repeal.\n(sec.185-ssec.4) The exemption— is, to the greatest practicable extent, subject to the same conditions that applied immediately before the repeal; and despite paragraph&#160;(a), expires on 31 January 1999.\n- (a) is, to the greatest practicable extent, subject to the same conditions that applied immediately before the repeal; and\n- (b) despite paragraph&#160;(a), expires on 31 January 1999.","sortOrder":546},{"sectionNumber":"ch.7-pt.3","sectionType":"part","heading":"Transitional provisions for Road Transport Reform Act 1999","content":"# Transitional provisions for Road Transport Reform Act 1999","sortOrder":547},{"sectionNumber":"sec.186","sectionType":"section","heading":"Definitions for pt&#160;3","content":"### sec.186 Definitions for pt&#160;3\n\nIn this part—\nrelocated provision means a provision of the Traffic Act that is relocated to this Act by the Road Transport Reform Act .\nRoad Transport Reform Act means the Road Transport Reform Act 1999 .\nTraffic Act means the Traffic Act 1949 .\ns&#160;186 def Traffic Act amd 2000 No.&#160;6 s&#160;78 sch amdt 18\ns&#160;186 ins 1999 No.&#160;42 s&#160;52","sortOrder":548},{"sectionNumber":"sec.187","sectionType":"section","heading":"Relocation of Traffic Act provisions","content":"### sec.187 Relocation of Traffic Act provisions\n\nTo remove any doubt, it is declared that the relocated provisions were not re-enacted by the Road Transport Reform Act , but merely moved (without re-enactment) to this Act.\nWithout limiting subsection&#160;(1) and to further remove any doubt, it is also declared that the relocation did not—\nimpliedly repeal or amend, or otherwise affect the operation of, the existing provisions of this Act, the relocated provisions or the provisions of any other law; or\naffect the meaning or effect that the existing or relocated provisions, or the provisions of the other law, had because of the respective times when they were enacted.\nHowever, definitions in this Act apply to all provisions of this Act.\nFurther, it is declared that anything made or done or not made or done under a relocated provision before it is relocated is taken, after it is relocated, to have been made or done or not made or done under the provision as relocated.\nIn an Act or document, a reference to a provision of the Traffic Act that is relocated to this Act by the Road Transport Reform Act may, if the context permits, be taken to be a reference to the relocated provision in this Act.\ns&#160;187 ins 1999 No.&#160;42 s&#160;52\n(sec.187-ssec.1) To remove any doubt, it is declared that the relocated provisions were not re-enacted by the Road Transport Reform Act , but merely moved (without re-enactment) to this Act.\n(sec.187-ssec.2) Without limiting subsection&#160;(1) and to further remove any doubt, it is also declared that the relocation did not— impliedly repeal or amend, or otherwise affect the operation of, the existing provisions of this Act, the relocated provisions or the provisions of any other law; or affect the meaning or effect that the existing or relocated provisions, or the provisions of the other law, had because of the respective times when they were enacted.\n(sec.187-ssec.3) However, definitions in this Act apply to all provisions of this Act.\n(sec.187-ssec.4) Further, it is declared that anything made or done or not made or done under a relocated provision before it is relocated is taken, after it is relocated, to have been made or done or not made or done under the provision as relocated.\n(sec.187-ssec.5) In an Act or document, a reference to a provision of the Traffic Act that is relocated to this Act by the Road Transport Reform Act may, if the context permits, be taken to be a reference to the relocated provision in this Act.\n- (a) impliedly repeal or amend, or otherwise affect the operation of, the existing provisions of this Act, the relocated provisions or the provisions of any other law; or\n- (b) affect the meaning or effect that the existing or relocated provisions, or the provisions of the other law, had because of the respective times when they were enacted.","sortOrder":549},{"sectionNumber":"sec.188","sectionType":"section","heading":"Person’s traffic history","content":"### sec.188 Person’s traffic history\n\nFrom the commencement of this section—\na person’s traffic history is not affected by the relocation and renumbering of provisions from the Traffic Act to this Act by the Road Transport Reform Act ; and\nanything done or not done, including any conviction recorded, under a relocated provision, before it is relocated, is taken, after it is relocated, to have been done or not done under the provision as relocated.\ns&#160;188 ins 1999 No.&#160;42 s&#160;52\n- (a) a person’s traffic history is not affected by the relocation and renumbering of provisions from the Traffic Act to this Act by the Road Transport Reform Act ; and\n- (b) anything done or not done, including any conviction recorded, under a relocated provision, before it is relocated, is taken, after it is relocated, to have been done or not done under the provision as relocated.","sortOrder":550},{"sectionNumber":"sec.189","sectionType":"section","heading":"Licence references","content":"### sec.189 Licence references\n\nIn this Act, a reference to—\na learner licence includes a reference to a learner’s permit issued under the Traffic Act ; and\na probationary licence includes a reference to a provisional licence issued, under the Traffic Act , after a period of disqualification from holding or obtaining a driver’s licence; and\na restricted licence includes a reference to a provisional licence issued to give effect to a court order made under section&#160;20A of the Traffic Act ; and\na provisional licence includes a reference to a provisional licence issued under the Traffic Act , other than a provisional licence mentioned in paragraph&#160;(b) or (c); and\nan open licence includes a reference to an open licence issued under the Traffic Act .\nA reference in a document to a learner’s permit, whether made before or after the commencement of this section, includes a reference to a learner licence for the purposes of this Act.\nA reference in a document to a provisional licence, whether made before or after the commencement of this section—\nfor a provisional licence issued to a person after a period of disqualification from holding or obtaining a driver licence—includes a reference to a probationary licence for the purposes of this Act; or\nfor a provisional licence issued to a person to give effect to a court order made under section&#160;20A of the Traffic Act —includes a reference to a restricted licence for the purposes of this Act.\nA reference in a document to a driver’s licence, whether made before or after the commencement of this section, includes a reference to a driver licence for the purposes of this Act.\ns&#160;189 ins 1999 No.&#160;42 s&#160;52\n(sec.189-ssec.1) In this Act, a reference to— a learner licence includes a reference to a learner’s permit issued under the Traffic Act ; and a probationary licence includes a reference to a provisional licence issued, under the Traffic Act , after a period of disqualification from holding or obtaining a driver’s licence; and a restricted licence includes a reference to a provisional licence issued to give effect to a court order made under section&#160;20A of the Traffic Act ; and a provisional licence includes a reference to a provisional licence issued under the Traffic Act , other than a provisional licence mentioned in paragraph&#160;(b) or (c); and an open licence includes a reference to an open licence issued under the Traffic Act .\n(sec.189-ssec.2) A reference in a document to a learner’s permit, whether made before or after the commencement of this section, includes a reference to a learner licence for the purposes of this Act.\n(sec.189-ssec.3) A reference in a document to a provisional licence, whether made before or after the commencement of this section— for a provisional licence issued to a person after a period of disqualification from holding or obtaining a driver licence—includes a reference to a probationary licence for the purposes of this Act; or for a provisional licence issued to a person to give effect to a court order made under section&#160;20A of the Traffic Act —includes a reference to a restricted licence for the purposes of this Act.\n(sec.189-ssec.4) A reference in a document to a driver’s licence, whether made before or after the commencement of this section, includes a reference to a driver licence for the purposes of this Act.\n- (a) a learner licence includes a reference to a learner’s permit issued under the Traffic Act ; and\n- (b) a probationary licence includes a reference to a provisional licence issued, under the Traffic Act , after a period of disqualification from holding or obtaining a driver’s licence; and\n- (c) a restricted licence includes a reference to a provisional licence issued to give effect to a court order made under section&#160;20A of the Traffic Act ; and\n- (d) a provisional licence includes a reference to a provisional licence issued under the Traffic Act , other than a provisional licence mentioned in paragraph&#160;(b) or (c); and\n- (e) an open licence includes a reference to an open licence issued under the Traffic Act .\n- (a) for a provisional licence issued to a person after a period of disqualification from holding or obtaining a driver licence—includes a reference to a probationary licence for the purposes of this Act; or\n- (b) for a provisional licence issued to a person to give effect to a court order made under section&#160;20A of the Traffic Act —includes a reference to a restricted licence for the purposes of this Act.","sortOrder":551},{"sectionNumber":"sec.190","sectionType":"section","heading":"Traffic Regulation 1962","content":"### sec.190 Traffic Regulation 1962\n\nThe Traffic Regulation 1962 continues in force after the repeal of the Traffic Act as if it had been made under this Act.\ns&#160;190 ins 1999 No.&#160;42 s&#160;52","sortOrder":552},{"sectionNumber":"sec.191","sectionType":"section","heading":"Acts or authorities under Traffic Act continue under this Act","content":"### sec.191 Acts or authorities under Traffic Act continue under this Act\n\nThis section applies to an appointment, approval, certificate, decision, delegation, direction, exemption, licence, notice, notification, order, permit, registration or other act or authority (the act or authority ) that—\nwas granted, issued, made and published, given or done under the Traffic Act ; and\nwas in force immediately before 1 December 1999.\nThe act or authority continues in force as if granted, issued, made and published, given or done under this Act until the time when it would have expired under the Traffic Act .\ns&#160;191 ins 1999 No.&#160;42 s&#160;52\n(sec.191-ssec.1) This section applies to an appointment, approval, certificate, decision, delegation, direction, exemption, licence, notice, notification, order, permit, registration or other act or authority (the act or authority ) that— was granted, issued, made and published, given or done under the Traffic Act ; and was in force immediately before 1 December 1999.\n(sec.191-ssec.2) The act or authority continues in force as if granted, issued, made and published, given or done under this Act until the time when it would have expired under the Traffic Act .\n- (a) was granted, issued, made and published, given or done under the Traffic Act ; and\n- (b) was in force immediately before 1 December 1999.","sortOrder":553},{"sectionNumber":"sec.192","sectionType":"section","heading":"Fees","content":"### sec.192 Fees\n\nAll fees prescribed under the Traffic Act to be paid are, from 1 December 1999, prescribed under this Act and continue to be payable as prescribed.\ns&#160;192 ins 1999 No.&#160;42 s&#160;52","sortOrder":554},{"sectionNumber":"sec.193","sectionType":"section","heading":"Application of Acts Interpretation Act , s&#160;20","content":"### sec.193 Application of Acts Interpretation Act , s&#160;20\n\nThe Acts Interpretation Act 1954 , section&#160;20 applies to—\nthe amendment of the Traffic Act 1949 by the relocation of provisions to this Act; and\nthe repeal of the Traffic Act 1949 .\ns&#160;193 ins 1999 No.&#160;42 s&#160;52\n- (a) the amendment of the Traffic Act 1949 by the relocation of provisions to this Act; and\n- (b) the repeal of the Traffic Act 1949 .","sortOrder":555},{"sectionNumber":"sec.194","sectionType":"section","heading":"Wheeled recreational devices and wheeled toys","content":"### sec.194 Wheeled recreational devices and wheeled toys\n\nTo remove doubt, it is declared that a wheeled recreational device, pedal car, scooter, tricycle or similar toy is, and always has been, a vehicle within the meaning of the definition vehicle in schedule&#160;4.\nSubsection&#160;(1) is not effective to impose criminal liability retrospectively.\ns&#160;194 ins 2000 No.&#160;6 s&#160;78 sch amdt 19\n(sec.194-ssec.1) To remove doubt, it is declared that a wheeled recreational device, pedal car, scooter, tricycle or similar toy is, and always has been, a vehicle within the meaning of the definition vehicle in schedule&#160;4.\n(sec.194-ssec.2) Subsection&#160;(1) is not effective to impose criminal liability retrospectively.","sortOrder":556},{"sectionNumber":"ch.7-pt.4","sectionType":"part","heading":"Transitional provisions for Transport Operations (Road Use Management) Amendment Act 2002","content":"# Transitional provisions for Transport Operations (Road Use Management) Amendment Act 2002","sortOrder":557},{"sectionNumber":"sec.195","sectionType":"section","heading":"Provision for particular disqualifications","content":"### sec.195 Provision for particular disqualifications\n\nThis section applies to a person if—\nduring the period starting on 3 December 2001 and ending on the commencement of this section—\nthe person committed an offence against section&#160;78(1) as in force immediately before the commencement of this section; and\nthe person was convicted of the offence and was disqualified under section&#160;78(3) from holding or obtaining a Queensland driver licence for 6 months; and\nwhen the person committed the offence, the person was not disqualified from holding or obtaining a driver licence; and\nthe person’s driver licence for the motor vehicle that the person was driving when the offence was committed had expired no more than 5 years before the person committed the offence.\nThe person is no longer disqualified under section&#160;78(3) from holding or obtaining a Queensland driver licence and any order of a court of any jurisdiction of the State, to the extent that it gives effect to the disqualification, is of no effect.\nNo compensation is payable to the person in relation to the period of disqualification served by the person before the disqualification ended.\ns&#160;195 ins 2002 No.&#160;4 s&#160;5 (2)\n(sec.195-ssec.1) This section applies to a person if— during the period starting on 3 December 2001 and ending on the commencement of this section— the person committed an offence against section&#160;78(1) as in force immediately before the commencement of this section; and the person was convicted of the offence and was disqualified under section&#160;78(3) from holding or obtaining a Queensland driver licence for 6 months; and when the person committed the offence, the person was not disqualified from holding or obtaining a driver licence; and the person’s driver licence for the motor vehicle that the person was driving when the offence was committed had expired no more than 5 years before the person committed the offence.\n(sec.195-ssec.2) The person is no longer disqualified under section&#160;78(3) from holding or obtaining a Queensland driver licence and any order of a court of any jurisdiction of the State, to the extent that it gives effect to the disqualification, is of no effect.\n(sec.195-ssec.3) No compensation is payable to the person in relation to the period of disqualification served by the person before the disqualification ended.\n- (a) during the period starting on 3 December 2001 and ending on the commencement of this section— (i) the person committed an offence against section&#160;78(1) as in force immediately before the commencement of this section; and (ii) the person was convicted of the offence and was disqualified under section&#160;78(3) from holding or obtaining a Queensland driver licence for 6 months; and\n- (i) the person committed an offence against section&#160;78(1) as in force immediately before the commencement of this section; and\n- (ii) the person was convicted of the offence and was disqualified under section&#160;78(3) from holding or obtaining a Queensland driver licence for 6 months; and\n- (b) when the person committed the offence, the person was not disqualified from holding or obtaining a driver licence; and\n- (c) the person’s driver licence for the motor vehicle that the person was driving when the offence was committed had expired no more than 5 years before the person committed the offence.\n- (i) the person committed an offence against section&#160;78(1) as in force immediately before the commencement of this section; and\n- (ii) the person was convicted of the offence and was disqualified under section&#160;78(3) from holding or obtaining a Queensland driver licence for 6 months; and","sortOrder":558},{"sectionNumber":"sec.196","sectionType":"section","heading":"Persons affected by amendment Act","content":"### sec.196 Persons affected by amendment Act\n\nThis section applies to a person if—\nduring the period starting on 3 December 2001 and ending on the commencement of this section, the person is alleged to have contravened section&#160;78(1) as in force immediately before the commencement of this section; and\nthe person has not been dealt with for the alleged contravention before the commencement of this section.\nIf prosecuted for the contravention, the person must be dealt with for the contravention as if the person had contravened section&#160;78(1), unaffected by the definition any court order , as in force immediately after the commencement.\ns&#160;196 ins 2002 No.&#160;4 s&#160;5 (2)\n(sec.196-ssec.1) This section applies to a person if— during the period starting on 3 December 2001 and ending on the commencement of this section, the person is alleged to have contravened section&#160;78(1) as in force immediately before the commencement of this section; and the person has not been dealt with for the alleged contravention before the commencement of this section.\n(sec.196-ssec.2) If prosecuted for the contravention, the person must be dealt with for the contravention as if the person had contravened section&#160;78(1), unaffected by the definition any court order , as in force immediately after the commencement.\n- (a) during the period starting on 3 December 2001 and ending on the commencement of this section, the person is alleged to have contravened section&#160;78(1) as in force immediately before the commencement of this section; and\n- (b) the person has not been dealt with for the alleged contravention before the commencement of this section.","sortOrder":559},{"sectionNumber":"ch.7-pt.5","sectionType":"part","heading":"Transitional provision for Transport Legislation Amendment Act (No. 2) 2002","content":"# Transitional provision for Transport Legislation Amendment Act (No. 2) 2002","sortOrder":560},{"sectionNumber":"sec.197","sectionType":"section","heading":"What Transport Legislation Amendment Act (No. 2) 2002 applies to","content":"### sec.197 What Transport Legislation Amendment Act (No. 2) 2002 applies to\n\nSection&#160;18(g) applies to an approval issued before or after the commencement of this section.\nSection&#160;50AA applies to an information offence committed after the commencement of this section.\nSection&#160;78(3), as in force immediately before the commencement of this section, continues to apply to an offence committed before the commencement.\nSection&#160;131(2), as amended by the Transport Legislation Amendment Act (No. 2) 2002 , applies to a disqualification that happened before or after the commencement of this section.\ns&#160;197 ins 2002 No.&#160;71 s&#160;26\n(sec.197-ssec.1) Section&#160;18(g) applies to an approval issued before or after the commencement of this section.\n(sec.197-ssec.2) Section&#160;50AA applies to an information offence committed after the commencement of this section.\n(sec.197-ssec.3) Section&#160;78(3), as in force immediately before the commencement of this section, continues to apply to an offence committed before the commencement.\n(sec.197-ssec.4) Section&#160;131(2), as amended by the Transport Legislation Amendment Act (No. 2) 2002 , applies to a disqualification that happened before or after the commencement of this section.","sortOrder":561},{"sectionNumber":"ch.7-pt.6","sectionType":"part","heading":"Transitional provision for the Transport Operations (Road Use Management) and Another Act Amendment Act 2003","content":"# Transitional provision for the Transport Operations (Road Use Management) and Another Act Amendment Act 2003","sortOrder":562},{"sectionNumber":"sec.198","sectionType":"section","heading":"Evidentiary value of certificates preserved","content":"### sec.198 Evidentiary value of certificates preserved\n\nA certificate, or a copy of the certificate, stating the concentration of alcohol present in a person’s blood as indicated by a breath analysing instrument issued before the commencement of this section continues, after the commencement, to be as effectual as it was before the commencement, including in evidence in any proceeding.\ns&#160;198 ins 2003 No.&#160;69 s&#160;12","sortOrder":563},{"sectionNumber":"ch.7-pt.7","sectionType":"part","heading":"Transitional provisions for the Transport Legislation Amendment Act 2005","content":"# Transitional provisions for the Transport Legislation Amendment Act 2005","sortOrder":564},{"sectionNumber":"sec.199","sectionType":"section","heading":"Transitional provision for offences against s&#160;85","content":"### sec.199 Transitional provision for offences against s&#160;85\n\nThis section applies if, after the commencement of this section—\na person is convicted of an offence against section&#160;85(1); and\nthe act for which the person is convicted (the relevant act ) happened before the commencement.\nSection&#160;85(6) applies to the conviction of the person as if the relevant act had happened after the commencement.\ns&#160;199 ins 2005 No.&#160;49 s&#160;71\n(sec.199-ssec.1) This section applies if, after the commencement of this section— a person is convicted of an offence against section&#160;85(1); and the act for which the person is convicted (the relevant act ) happened before the commencement.\n(sec.199-ssec.2) Section&#160;85(6) applies to the conviction of the person as if the relevant act had happened after the commencement.\n- (a) a person is convicted of an offence against section&#160;85(1); and\n- (b) the act for which the person is convicted (the relevant act ) happened before the commencement.","sortOrder":565},{"sectionNumber":"sec.200","sectionType":"section","heading":"Transitional provision for evidentiary certificates under s&#160;124","content":"### sec.200 Transitional provision for evidentiary certificates under s&#160;124\n\nThis section applies to a certificate under section&#160;124(1)(p) or (pc) that was—\nsigned before the commencement of this section; and\nin force immediately before the commencement.\nThe certificate continues to be evidence of the matters stated in it for the period it would have been evidence of the matters if this Act had not commenced.\ns&#160;200 ins 2005 No.&#160;49 s&#160;71\n(sec.200-ssec.1) This section applies to a certificate under section&#160;124(1)(p) or (pc) that was— signed before the commencement of this section; and in force immediately before the commencement.\n(sec.200-ssec.2) The certificate continues to be evidence of the matters stated in it for the period it would have been evidence of the matters if this Act had not commenced.\n- (a) signed before the commencement of this section; and\n- (b) in force immediately before the commencement.","sortOrder":566},{"sectionNumber":"sec.201","sectionType":"section","heading":"Transitional provision for s&#160;129B","content":"### sec.201 Transitional provision for s&#160;129B\n\nThis section applies if—\nafter the commencement of this section, a person is convicted of an offence against a regulation for driving more than 40km/h over the speed limit (the driving at excessive speed ); and\nthe court that convicts the person decides, under the Penalties and Sentences Act 1992 , section&#160;187 , to disqualify the person from holding or obtaining a driver licence for a period; and\nthe driving at excessive speed for which the person is convicted happened before the commencement.\nSection&#160;129B(2) applies to the conviction of the person as if the driving at excessive speed had happened after the commencement.\ns&#160;201 ins 2005 No.&#160;49 s&#160;71\n(sec.201-ssec.1) This section applies if— after the commencement of this section, a person is convicted of an offence against a regulation for driving more than 40km/h over the speed limit (the driving at excessive speed ); and the court that convicts the person decides, under the Penalties and Sentences Act 1992 , section&#160;187 , to disqualify the person from holding or obtaining a driver licence for a period; and the driving at excessive speed for which the person is convicted happened before the commencement.\n(sec.201-ssec.2) Section&#160;129B(2) applies to the conviction of the person as if the driving at excessive speed had happened after the commencement.\n- (a) after the commencement of this section, a person is convicted of an offence against a regulation for driving more than 40km/h over the speed limit (the driving at excessive speed ); and\n- (b) the court that convicts the person decides, under the Penalties and Sentences Act 1992 , section&#160;187 , to disqualify the person from holding or obtaining a driver licence for a period; and\n- (c) the driving at excessive speed for which the person is convicted happened before the commencement.","sortOrder":567},{"sectionNumber":"sec.202","sectionType":"section","heading":null,"content":"### Section sec.202\n\ns&#160;202 ins 2005 No.&#160;49 s&#160;71\nexp 2 November 2010 (see s&#160;202(3))","sortOrder":568},{"sectionNumber":"sec.203","sectionType":"section","heading":"Transitional power for authorised schemes and crossing supervisors","content":"### sec.203 Transitional power for authorised schemes and crossing supervisors\n\nIf, immediately before the commencement, a scheme to help children safely cross roads was an authorised scheme under repealed section&#160;138, on the commencement the scheme, with necessary changes, is taken to be an authorised scheme under chapter&#160;5, part&#160;7A as if it had been authorised under section&#160;122A(1)(a).\nIf, immediately before the commencement, a person was a crossing supervisor under repealed section&#160;138, on the commencement the person is taken to be a crossing supervisor under chapter&#160;5, part&#160;7A as if the person had been authorised under section&#160;122A(1)(b).\nAn application under repealed section&#160;138 to authorise a scheme, or authorise a person to perform a function or exercise a power under the scheme, made, but not decided, before the commencement may be decided under chapter&#160;5, part&#160;7A as if it were an application made under that part to authorise a scheme or authorise a person to perform a role.\nIn this section—\ncommencement means the commencement of this section.\nrepealed section&#160;138 means section&#160;138, as in force immediately before the commencement of this section.\ns&#160;203 ins 2005 No.&#160;49 s&#160;71\n(sec.203-ssec.1) If, immediately before the commencement, a scheme to help children safely cross roads was an authorised scheme under repealed section&#160;138, on the commencement the scheme, with necessary changes, is taken to be an authorised scheme under chapter&#160;5, part&#160;7A as if it had been authorised under section&#160;122A(1)(a).\n(sec.203-ssec.2) If, immediately before the commencement, a person was a crossing supervisor under repealed section&#160;138, on the commencement the person is taken to be a crossing supervisor under chapter&#160;5, part&#160;7A as if the person had been authorised under section&#160;122A(1)(b).\n(sec.203-ssec.3) An application under repealed section&#160;138 to authorise a scheme, or authorise a person to perform a function or exercise a power under the scheme, made, but not decided, before the commencement may be decided under chapter&#160;5, part&#160;7A as if it were an application made under that part to authorise a scheme or authorise a person to perform a role.\n(sec.203-ssec.4) In this section— commencement means the commencement of this section. repealed section&#160;138 means section&#160;138, as in force immediately before the commencement of this section.","sortOrder":569},{"sectionNumber":"ch.7-pt.8","sectionType":"part","heading":"Transitional provisions for Maritime and Other Legislation Amendment Act 2006","content":"# Transitional provisions for Maritime and Other Legislation Amendment Act 2006","sortOrder":570},{"sectionNumber":"sec.204","sectionType":"section","heading":"Transitional provision for ss&#160;79B–79D","content":"### sec.204 Transitional provision for ss&#160;79B–79D\n\nThis section applies if, after the commencement of this section—\na person is charged with an offence as mentioned in section&#160;79B(1); and\nthe act constituting the offence happened before the commencement.\nTo remove any doubt, it is declared that sections&#160;79B to 79D do not apply to the person in relation to the charge.\ns&#160;204 ins 2006 No.&#160;21 s&#160;146\n(sec.204-ssec.1) This section applies if, after the commencement of this section— a person is charged with an offence as mentioned in section&#160;79B(1); and the act constituting the offence happened before the commencement.\n(sec.204-ssec.2) To remove any doubt, it is declared that sections&#160;79B to 79D do not apply to the person in relation to the charge.\n- (a) a person is charged with an offence as mentioned in section&#160;79B(1); and\n- (b) the act constituting the offence happened before the commencement.","sortOrder":571},{"sectionNumber":"sec.205","sectionType":"section","heading":"Transitional provision for ss&#160;90A–90D","content":"### sec.205 Transitional provision for ss&#160;90A–90D\n\nSections&#160;90A to 90D apply only in relation to an act happening after the commencement of this section that results in a person being charged with an offence.\nBefore the commencement of this section, D is disqualified for an offence under section&#160;79(1). After the commencement and while still disqualified, D drives a motor vehicle while under the influence of liquor, is charged with an offence against section&#160;79(1) and is convicted and again disqualified. Section&#160;90B(3) does not apply to D in relation to the disqualifications.\nD commits an offence against section&#160;79(2A) before the commencement of this section. After the commencement, a court convicts D of the offence and disqualifies him from holding or obtaining a driver licence for 4 months. While disqualified D commits a further offence against section&#160;79(2A) and is again disqualified. Section&#160;90B(3) does not apply to D in relation to the disqualifications.\nBefore the commencement of this section, D does an act that results in D being disqualified. After the commencement and while still disqualified, D does an act that results in D committing offences against sections&#160;78(1) and 79(1). A period of disqualification is imposed for each offence. The periods of disqualification are cumulative with each other but take effect concurrently with the period of disqualification that took effect before the commencement of this section.\ns&#160;205 ins 2006 No.&#160;21 s&#160;146\n- 1 Before the commencement of this section, D is disqualified for an offence under section&#160;79(1). After the commencement and while still disqualified, D drives a motor vehicle while under the influence of liquor, is charged with an offence against section&#160;79(1) and is convicted and again disqualified. Section&#160;90B(3) does not apply to D in relation to the disqualifications.\n- 2 D commits an offence against section&#160;79(2A) before the commencement of this section. After the commencement, a court convicts D of the offence and disqualifies him from holding or obtaining a driver licence for 4 months. While disqualified D commits a further offence against section&#160;79(2A) and is again disqualified. Section&#160;90B(3) does not apply to D in relation to the disqualifications.\n- 3 Before the commencement of this section, D does an act that results in D being disqualified. After the commencement and while still disqualified, D does an act that results in D committing offences against sections&#160;78(1) and 79(1). A period of disqualification is imposed for each offence. The periods of disqualification are cumulative with each other but take effect concurrently with the period of disqualification that took effect before the commencement of this section.","sortOrder":572},{"sectionNumber":"ch.7-pt.9","sectionType":"part","heading":"Transitional provisions for Transport Legislation and Another Act Amendment Act 2007","content":"# Transitional provisions for Transport Legislation and Another Act Amendment Act 2007","sortOrder":573},{"sectionNumber":"sec.206","sectionType":"section","heading":"Definition for pt&#160;9","content":"### sec.206 Definition for pt&#160;9\n\nIn this part—\namending Act means the Transport Legislation and Another Act Amendment Act 2007 .\ns&#160;206 ins 2007 No.&#160;6 s&#160;64\namd 2008 No.&#160;31 s&#160;72 sch","sortOrder":574},{"sectionNumber":"sec.207","sectionType":"section","heading":"No saliva testing or saliva analysis for 1 month after commencement","content":"### sec.207 No saliva testing or saliva analysis for 1 month after commencement\n\nDespite the commencement of part&#160;9, division&#160;2 of the amending Act, a saliva test or specimen of saliva for saliva analysis is not to be taken or obtained under this Act until 1 month after the commencement.\ns&#160;207 ins 2007 No.&#160;6 s&#160;64","sortOrder":575},{"sectionNumber":"sec.208","sectionType":"section","heading":"Certificates under s&#160;124","content":"### sec.208 Certificates under s&#160;124\n\nA certificate given under section&#160;124(1)(pa), (pb), (pd), (pe) or (pf), as in force immediately before the commencement of section&#160;62 of the amending Act in relation to a proceeding started before that commencement but not decided before that commencement may continue to be used in or in relation to that proceeding after that commencement.\ns&#160;208 ins 2007 No.&#160;6 s&#160;64","sortOrder":576},{"sectionNumber":"sec.209","sectionType":"section","heading":"Updated text","content":"### sec.209 Updated text\n\nThe object of the amendment of this Act by schedules&#160;2 and 3 of the amending Act is to improve the readability of the provisions amended in the schedules and is not intended to affect their meaning.\ns&#160;209 ins 2007 No.&#160;6 s&#160;64","sortOrder":577},{"sectionNumber":"ch.7-pt.10","sectionType":"part","heading":"Transitional provisions for Transport Legislation Amendment Act 2007","content":"# Transitional provisions for Transport Legislation Amendment Act 2007","sortOrder":578},{"sectionNumber":"sec.210","sectionType":"section","heading":"Recovering moving expenses for vehicle on prescribed road","content":"### sec.210 Recovering moving expenses for vehicle on prescribed road\n\nThis section applies to moving expenses for a vehicle on a prescribed road incurred by the State, but not recovered, under a regulation before the commencement.\nThe moving expenses are taken to have been incurred, and may be recovered, under chapter&#160;3, part&#160;4C.\nA proceeding to recover the moving expenses that was started, but not finished, before the commencement is taken to have been started under chapter&#160;3, part&#160;4C.\nIn this section—\ncommencement means the commencement of section&#160;51I.\ns&#160;210 ins 2007 No.&#160;43 s&#160;75\n(sec.210-ssec.1) This section applies to moving expenses for a vehicle on a prescribed road incurred by the State, but not recovered, under a regulation before the commencement.\n(sec.210-ssec.2) The moving expenses are taken to have been incurred, and may be recovered, under chapter&#160;3, part&#160;4C.\n(sec.210-ssec.3) A proceeding to recover the moving expenses that was started, but not finished, before the commencement is taken to have been started under chapter&#160;3, part&#160;4C.\n(sec.210-ssec.4) In this section— commencement means the commencement of section&#160;51I.","sortOrder":579},{"sectionNumber":"sec.211","sectionType":"section","heading":"Recovering vehicle removed from prescribed road","content":"### sec.211 Recovering vehicle removed from prescribed road\n\nThis section applies if a vehicle was removed from a prescribed road, and not recovered by its owner, under a regulation before the commencement.\nThe vehicle is taken to have been removed from the prescribed road under chapter&#160;3, part&#160;4C.\nA notice of the kind mentioned in section&#160;51J and given under a regulation in relation to the vehicle before the commencement is taken to be a notice given under section&#160;51J.\nFor applying section&#160;51L(1)(b) to the vehicle, a reference in the paragraph to a decision made under section&#160;51J(3) includes a reference to a decision of the kind mentioned in section&#160;51J(3) that was made under a regulation before the commencement.\nIn this section—\ncommencement means the commencement of section&#160;51J.\ns&#160;211 ins 2007 No.&#160;43 s&#160;75\n(sec.211-ssec.1) This section applies if a vehicle was removed from a prescribed road, and not recovered by its owner, under a regulation before the commencement.\n(sec.211-ssec.2) The vehicle is taken to have been removed from the prescribed road under chapter&#160;3, part&#160;4C.\n(sec.211-ssec.3) A notice of the kind mentioned in section&#160;51J and given under a regulation in relation to the vehicle before the commencement is taken to be a notice given under section&#160;51J.\n(sec.211-ssec.4) For applying section&#160;51L(1)(b) to the vehicle, a reference in the paragraph to a decision made under section&#160;51J(3) includes a reference to a decision of the kind mentioned in section&#160;51J(3) that was made under a regulation before the commencement.\n(sec.211-ssec.5) In this section— commencement means the commencement of section&#160;51J.","sortOrder":580},{"sectionNumber":"sec.212","sectionType":"section","heading":"Transitional provision for s&#160;57B","content":"### sec.212 Transitional provision for s&#160;57B\n\nThis section applies if a proceeding for an extended liability offence as defined in previous section&#160;57B was started but not finished before the amending provision commenced.\nDespite the Criminal Code , section&#160;11 , the proceeding may continue as if the amending provision had not been enacted.\nThe Criminal Code , section&#160;11 , deals with the effect of changes in the law.\nIn this section—\namending provision means the Transport Legislation Amendment Act 2007 , section&#160;62 .\nprevious section&#160;57B means section&#160;57B as in force immediately before the amending provision commenced.\ns&#160;212 ins 2007 No.&#160;43 s&#160;75\n(sec.212-ssec.1) This section applies if a proceeding for an extended liability offence as defined in previous section&#160;57B was started but not finished before the amending provision commenced.\n(sec.212-ssec.2) Despite the Criminal Code , section&#160;11 , the proceeding may continue as if the amending provision had not been enacted. The Criminal Code , section&#160;11 , deals with the effect of changes in the law.\n(sec.212-ssec.3) In this section— amending provision means the Transport Legislation Amendment Act 2007 , section&#160;62 . previous section&#160;57B means section&#160;57B as in force immediately before the amending provision commenced.","sortOrder":581},{"sectionNumber":"ch.7-pt.11","sectionType":"part","heading":"Validating provisions for Transport Legislation Amendment Act 2007","content":"# Validating provisions for Transport Legislation Amendment Act 2007","sortOrder":582},{"sectionNumber":"sec.213","sectionType":"section","heading":"Validation provision for section&#160;171(4)","content":"### sec.213 Validation provision for section&#160;171(4)\n\nA regulation made under section&#160;171(4) that was in force immediately before the commencement of this section, including a regulation made after the repeal of the National Road Transport Commission Act 1991 (Cwlth), is, and always has been, as effective as it would be if the National Road Transport Commission Act 1991 (Cwlth) had not been repealed.\nFrom the commencement of this section, a regulation that is effective under subsection&#160;(1) is taken to be the same as, or substantially similar to, model legislation or road transport legislation within the meaning of the National Transport Commission Act 2003 (Cwlth).\ns&#160;213 ins 2007 No.&#160;43 s&#160;86\n(sec.213-ssec.1) A regulation made under section&#160;171(4) that was in force immediately before the commencement of this section, including a regulation made after the repeal of the National Road Transport Commission Act 1991 (Cwlth), is, and always has been, as effective as it would be if the National Road Transport Commission Act 1991 (Cwlth) had not been repealed.\n(sec.213-ssec.2) From the commencement of this section, a regulation that is effective under subsection&#160;(1) is taken to be the same as, or substantially similar to, model legislation or road transport legislation within the meaning of the National Transport Commission Act 2003 (Cwlth).","sortOrder":583},{"sectionNumber":"sec.214","sectionType":"section","heading":"Validation of particular codes of practice","content":"### sec.214 Validation of particular codes of practice\n\nThe Code of Practice—Light Vehicles as originally made is, and is taken to have always been, as valid as it would be if the Code of Practice had been approved by the chief executive on 1 January 1992.\nThe Code of Practice—Commercial Motor Vehicle Modifications as originally made is, and is taken to have always been, as valid as it would be if the Code of Practice had been approved by the chief executive on 1 July 1990.\nThe National Code of Practice—Heavy Vehicle Modifications as originally made is, and is taken to have always been, as valid as it would be if the Code of Practice had been approved by the chief executive on 1 December 1993.\ns&#160;214 ins 2007 No.&#160;43 s&#160;86\n(sec.214-ssec.1) The Code of Practice—Light Vehicles as originally made is, and is taken to have always been, as valid as it would be if the Code of Practice had been approved by the chief executive on 1 January 1992.\n(sec.214-ssec.2) The Code of Practice—Commercial Motor Vehicle Modifications as originally made is, and is taken to have always been, as valid as it would be if the Code of Practice had been approved by the chief executive on 1 July 1990.\n(sec.214-ssec.3) The National Code of Practice—Heavy Vehicle Modifications as originally made is, and is taken to have always been, as valid as it would be if the Code of Practice had been approved by the chief executive on 1 December 1993.","sortOrder":584},{"sectionNumber":"sec.215","sectionType":"section","heading":"Validation of amendments of particular codes of practice","content":"### sec.215 Validation of amendments of particular codes of practice\n\nTo remove any doubt, it is declared that an amendment of a code of practice mentioned in section&#160;214 that was made after 1 July 1990 and before 26 July 2006 and was not approved by the chief executive is, and is taken to have always been, as valid as it would be if the amendment had been approved by the chief executive on the date the amendment was made.\ns&#160;215 ins 2007 No.&#160;43 s&#160;86","sortOrder":585},{"sectionNumber":"sec.216","sectionType":"section","heading":"Validation of certain acts etc.","content":"### sec.216 Validation of certain acts etc.\n\nTo remove any doubt, it is declared that all acts, matters and things done in reliance on a code of practice mentioned in section&#160;214 or an amendment of a code of practice mentioned in section&#160;215, are taken to be, and always to have been, as valid and effective as they would be if the code of practice or amendment had been approved by the chief executive on the date as mentioned in section&#160;214 or 215.\ns&#160;216 ins 2007 No.&#160;43 s&#160;86","sortOrder":586},{"sectionNumber":"ch.7-pt.12","sectionType":"part","heading":"Transitional provision for Criminal Code and Other Acts Amendment Act 2008","content":"# Transitional provision for Criminal Code and Other Acts Amendment Act 2008","sortOrder":587},{"sectionNumber":"sec.217","sectionType":"section","heading":"References to particular Criminal Code offence","content":"### sec.217 References to particular Criminal Code offence\n\nSchedule&#160;2 applies as if the reference to the Criminal Code , section&#160;323 included a reference to the Criminal Code , section&#160;323 as in force at any time before its repeal by the Criminal Code and Other Acts Amendment Act 2008 .\ns&#160;217 ins 2008 No.&#160;55 s&#160;150 sch","sortOrder":588},{"sectionNumber":"ch.7-pt.13","sectionType":"part","heading":"Transitional provisions for the Transport and Other Legislation Amendment Act 2008 , part&#160;2 , division&#160;3","content":"# Transitional provisions for the Transport and Other Legislation Amendment Act 2008 , part&#160;2 , division&#160;3","sortOrder":589},{"sectionNumber":"sec.218","sectionType":"section","heading":"Remedial action notices","content":"### sec.218 Remedial action notices\n\nThis section applies if a remedial action notice was validly given to a person under section&#160;50A before the commencement of this section and the person had not complied with the notice before the commencement.\nThe remedial action notice is taken to be an improvement notice validly given to the person under chapter&#160;5A, part&#160;5.\nThe remedial action notice that is taken to be an improvement notice is subject to the same conditions that were applicable to the remedial action notice.\ns&#160;218 ins 2008 No.&#160;67 s&#160;105\n(sec.218-ssec.1) This section applies if a remedial action notice was validly given to a person under section&#160;50A before the commencement of this section and the person had not complied with the notice before the commencement.\n(sec.218-ssec.2) The remedial action notice is taken to be an improvement notice validly given to the person under chapter&#160;5A, part&#160;5.\n(sec.218-ssec.3) The remedial action notice that is taken to be an improvement notice is subject to the same conditions that were applicable to the remedial action notice.","sortOrder":590},{"sectionNumber":"sec.219","sectionType":"section","heading":"Persons exempted before commencement","content":"### sec.219 Persons exempted before commencement\n\nThis section applies to a person who, before the commencement, was granted an exemption under section&#160;153 of this Act and the exemption was in force at the commencement (the old exemption ).\nOn the commencement, the old exemption continues in force in accordance with its terms and conditions and is taken to be an exemption granted under this Act in relation to compliance with the old regulation.\nWithout limiting subsection&#160;(2), if—\nthe old exemption was granted on condition that it has effect only while the old regulation continues in effect; and\nthe old regulation is repealed and remade by another regulation (the new regulation ); and\nthe new regulation provides that compliance with the old regulation in relation to a matter is satisfactory compliance with the matter despite the provisions about the matter in the new regulation;\nthen, despite the condition, the exemption continues to have effect for the matter.\nIf the old exemption continues to be in force on 31 December 2009, it expires on that day.\nIn this section—\ncommencement means the commencement of this section.\nold regulation means the Transport Operations (Road Use Management—Dangerous Goods) Regulation 1998 .\ns&#160;219 ins 2008 No.&#160;67 s&#160;105\n(sec.219-ssec.1) This section applies to a person who, before the commencement, was granted an exemption under section&#160;153 of this Act and the exemption was in force at the commencement (the old exemption ).\n(sec.219-ssec.2) On the commencement, the old exemption continues in force in accordance with its terms and conditions and is taken to be an exemption granted under this Act in relation to compliance with the old regulation.\n(sec.219-ssec.3) Without limiting subsection&#160;(2), if— the old exemption was granted on condition that it has effect only while the old regulation continues in effect; and the old regulation is repealed and remade by another regulation (the new regulation ); and the new regulation provides that compliance with the old regulation in relation to a matter is satisfactory compliance with the matter despite the provisions about the matter in the new regulation; then, despite the condition, the exemption continues to have effect for the matter.\n(sec.219-ssec.4) If the old exemption continues to be in force on 31 December 2009, it expires on that day.\n(sec.219-ssec.5) In this section— commencement means the commencement of this section. old regulation means the Transport Operations (Road Use Management—Dangerous Goods) Regulation 1998 .\n- (a) the old exemption was granted on condition that it has effect only while the old regulation continues in effect; and\n- (b) the old regulation is repealed and remade by another regulation (the new regulation ); and\n- (c) the new regulation provides that compliance with the old regulation in relation to a matter is satisfactory compliance with the matter despite the provisions about the matter in the new regulation;","sortOrder":591},{"sectionNumber":"ch.7-pt.14","sectionType":"part","heading":null,"content":"","sortOrder":592},{"sectionNumber":"sec.220","sectionType":"section","heading":null,"content":"### Section sec.220\n\ns&#160;220 ins 2009 No.&#160;50 s&#160;18 sch\nom 2013 No.&#160;39 s&#160;109 sch&#160;2","sortOrder":593},{"sectionNumber":"ch.7-pt.15","sectionType":"part","heading":"Transitional provisions for Transport and Other Legislation Amendment Act 2010","content":"# Transitional provisions for Transport and Other Legislation Amendment Act 2010","sortOrder":594},{"sectionNumber":"sec.221","sectionType":"section","heading":"Declaration for s&#160;66(3)(k)","content":"### sec.221 Declaration for s&#160;66(3)(k)\n\nThis section applies to—\na local law relating to the regulation of vehicle access to a public place that is a local government controlled area made before the commencement; and\nany enforcement action taken in reliance on the local law before the commencement.\nTo remove any doubt, it is declared that—\nthe local law is as valid, and is taken always to have been as valid, as if it were made after the commencement; and\nthe enforcement action is as valid, and is taken always to have been as valid, as if it were taken after the commencement.\nIn this section—\ncommencement means the commencement of section&#160;66(3)(k).\ns&#160;221 ins 2010 No.&#160;13 s&#160;129\n(sec.221-ssec.1) This section applies to— a local law relating to the regulation of vehicle access to a public place that is a local government controlled area made before the commencement; and any enforcement action taken in reliance on the local law before the commencement.\n(sec.221-ssec.2) To remove any doubt, it is declared that— the local law is as valid, and is taken always to have been as valid, as if it were made after the commencement; and the enforcement action is as valid, and is taken always to have been as valid, as if it were taken after the commencement.\n(sec.221-ssec.3) In this section— commencement means the commencement of section&#160;66(3)(k).\n- (a) a local law relating to the regulation of vehicle access to a public place that is a local government controlled area made before the commencement; and\n- (b) any enforcement action taken in reliance on the local law before the commencement.\n- (a) the local law is as valid, and is taken always to have been as valid, as if it were made after the commencement; and\n- (b) the enforcement action is as valid, and is taken always to have been as valid, as if it were taken after the commencement.","sortOrder":595},{"sectionNumber":"sec.222","sectionType":"section","heading":"Transitional provisions relating to photographic detection devices","content":"### sec.222 Transitional provisions relating to photographic detection devices\n\nSubsections&#160;(2) and (3) apply if a complaint or summons was issued for a camera-detected offence before the commencement.\nIt is immaterial whether the complaint or summons was served before or after the commencement.\nChapter&#160;5, part&#160;7, division&#160;2 and sections&#160;124 and 124A as in force before the commencement continue to apply in relation to the offence (including a proceeding for the offence) as if the Transport and Other Legislation Amendment Act 2010 , chapter&#160;2 , part&#160;5 had not commenced.\nSubsection&#160;(3) does not limit subsection&#160;(5).\nA certificate under section&#160;120(2A) has effect, as mentioned in the subsection—\neven if the certificate relates to the testing of a photographic detection device that happened before the commencement; and\nirrespective of whether—\nthe offence for which the certificate is used was allegedly committed before or after the commencement; or\nthe complaint or summons issued for the offence was issued before or after the commencement.\nIn this section—\ncamera-detected offence see section&#160;113.\ncommencement means commencement of this section.\ns&#160;222 ins 2010 No.&#160;13 s&#160;42\n(sec.222-ssec.1) Subsections&#160;(2) and (3) apply if a complaint or summons was issued for a camera-detected offence before the commencement.\n(sec.222-ssec.2) It is immaterial whether the complaint or summons was served before or after the commencement.\n(sec.222-ssec.3) Chapter&#160;5, part&#160;7, division&#160;2 and sections&#160;124 and 124A as in force before the commencement continue to apply in relation to the offence (including a proceeding for the offence) as if the Transport and Other Legislation Amendment Act 2010 , chapter&#160;2 , part&#160;5 had not commenced.\n(sec.222-ssec.4) Subsection&#160;(3) does not limit subsection&#160;(5).\n(sec.222-ssec.5) A certificate under section&#160;120(2A) has effect, as mentioned in the subsection— even if the certificate relates to the testing of a photographic detection device that happened before the commencement; and irrespective of whether— the offence for which the certificate is used was allegedly committed before or after the commencement; or the complaint or summons issued for the offence was issued before or after the commencement.\n(sec.222-ssec.6) In this section— camera-detected offence see section&#160;113. commencement means commencement of this section.\n- (a) even if the certificate relates to the testing of a photographic detection device that happened before the commencement; and\n- (b) irrespective of whether— (i) the offence for which the certificate is used was allegedly committed before or after the commencement; or (ii) the complaint or summons issued for the offence was issued before or after the commencement.\n- (i) the offence for which the certificate is used was allegedly committed before or after the commencement; or\n- (ii) the complaint or summons issued for the offence was issued before or after the commencement.\n- (i) the offence for which the certificate is used was allegedly committed before or after the commencement; or\n- (ii) the complaint or summons issued for the offence was issued before or after the commencement.","sortOrder":596},{"sectionNumber":"ch.7-pt.16","sectionType":"part","heading":null,"content":"","sortOrder":597},{"sectionNumber":"sec.223","sectionType":"section","heading":null,"content":"### Section sec.223\n\ns&#160;223 ins 2011 No.&#160;12 s&#160;113\nom 2013 No.&#160;39 s&#160;109 sch&#160;2","sortOrder":598},{"sectionNumber":"ch.7-pt.17","sectionType":"part","heading":"Transitional provisions for the Transport and Other Legislation (Heavy Vehicle National Law) Amendment Act 2013","content":"# Transitional provisions for the Transport and Other Legislation (Heavy Vehicle National Law) Amendment Act 2013","sortOrder":599},{"sectionNumber":"sec.224","sectionType":"section","heading":"Definitions for pt&#160;17","content":"### sec.224 Definitions for pt&#160;17\n\nIn this part—\namending Act means the Transport and Other Legislation (Heavy Vehicle National Law) Amendment Act 2013 .\ncommencement means the commencement of this part.\ns&#160;224 ins 2013 No.&#160;26 s&#160;102","sortOrder":600},{"sectionNumber":"sec.225","sectionType":"section","heading":"Evidence about heavy vehicle matter","content":"### sec.225 Evidence about heavy vehicle matter\n\nSection&#160;168B, as in force before the commencement, continues to apply to anything that, immediately before the commencement, was prescribed evidence under that section as if the amending Act had not commenced.\ns&#160;225 ins 2013 No.&#160;26 s&#160;102","sortOrder":601},{"sectionNumber":"sec.226","sectionType":"section","heading":"Giving information to corresponding authority about heavy vehicle matter","content":"### sec.226 Giving information to corresponding authority about heavy vehicle matter\n\nIf, immediately before the commencement, the chief executive was authorised under section&#160;168C to give information to a corresponding authority, the section continues to apply to the information after the commencement as if the amending Act had not commenced.\ns&#160;226 ins 2013 No.&#160;26 s&#160;102","sortOrder":602},{"sectionNumber":"ch.7-pt.18","sectionType":"part","heading":"Transitional provision for Transport and Other Legislation Amendment Act 2014","content":"# Transitional provision for Transport and Other Legislation Amendment Act 2014","sortOrder":603},{"sectionNumber":"sec.227","sectionType":"section","heading":"Keeping register under former s&#160;133","content":"### sec.227 Keeping register under former s&#160;133\n\nThis section applies to a person who, before the commencement of this section, kept a register under section&#160;133.\nSection&#160;133(2) and (3)(a) continue to apply to the person in relation to the keeping of the register as if the Transport and Other Legislation Amendment Act 2014 , part&#160;9 had not commenced.\ns&#160;227 ins 2014 No.&#160;43 s&#160;106\n(sec.227-ssec.1) This section applies to a person who, before the commencement of this section, kept a register under section&#160;133.\n(sec.227-ssec.2) Section&#160;133(2) and (3)(a) continue to apply to the person in relation to the keeping of the register as if the Transport and Other Legislation Amendment Act 2014 , part&#160;9 had not commenced.","sortOrder":604},{"sectionNumber":"ch.7-pt.19","sectionType":"part","heading":"Transitional provision for Holidays and Other Legislation Amendment Act 2015","content":"# Transitional provision for Holidays and Other Legislation Amendment Act 2015","sortOrder":605},{"sectionNumber":"sec.228","sectionType":"section","heading":"Digital photos and digitised signatures","content":"### sec.228 Digital photos and digitised signatures\n\nA digital photo or digitised signature of a person kept under this Act by the chief executive 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;228 ins 2015 No.&#160;14 s&#160;39","sortOrder":606},{"sectionNumber":"ch.7-pt.20","sectionType":"part","heading":"Transitional provision for Transport and Other Legislation Amendment Act 2017","content":"# Transitional provision for Transport and Other Legislation Amendment Act 2017","sortOrder":607},{"sectionNumber":"sec.229","sectionType":"section","heading":"Existing applications for particular information, replacement licence or interlock exemption","content":"### sec.229 Existing applications for particular information, replacement licence or interlock exemption\n\nThis section applies if, immediately before the commencement, an application under section&#160;77(1)(a) or (2)(b), 77A(1)(a)(ii), 79F or 91P of the pre-amended Act had been made but not decided.\nFor deciding the application, the pre-amended Act continues to apply as if the Transport and Other Legislation Amendment Act 2017 had not been enacted.\nIn this section—\npre-amended Act means this Act as in force immediately before the commencement.\ns&#160;229 ins 2017 No.&#160;25 s&#160;81\n(sec.229-ssec.1) This section applies if, immediately before the commencement, an application under section&#160;77(1)(a) or (2)(b), 77A(1)(a)(ii), 79F or 91P of the pre-amended Act had been made but not decided.\n(sec.229-ssec.2) For deciding the application, the pre-amended Act continues to apply as if the Transport and Other Legislation Amendment Act 2017 had not been enacted.\n(sec.229-ssec.3) In this section— pre-amended Act means this Act as in force immediately before the commencement.","sortOrder":608},{"sectionNumber":"ch.7-pt.21","sectionType":"part","heading":"Transitional provisions for Heavy Vehicle National Law and Other Legislation Amendment Act 2018","content":"# Transitional provisions for Heavy Vehicle National Law and Other Legislation Amendment Act 2018","sortOrder":609},{"sectionNumber":"sec.230","sectionType":"section","heading":"Transitional provision for amendment to s&#160;86","content":"### sec.230 Transitional provision for amendment to s&#160;86\n\nSection&#160;86, as in force before the commencement, applies in relation to a person convicted of an offence against the Criminal Code , section&#160;328A (4) if the offence was committed before the commencement.\ns&#160;230 ins 2018 No.&#160;10 s&#160;53","sortOrder":610},{"sectionNumber":"sec.231","sectionType":"section","heading":"Transitional provision for amendment to s&#160;92","content":"### sec.231 Transitional provision for amendment to s&#160;92\n\nSection&#160;92(2), as inserted by the Heavy Vehicle National Law and Other Legislation Amendment Act 2018 , applies in relation to a person convicted of an offence against section&#160;92(1)(a) if the offence was committed after the commencement.\ns&#160;231 ins 2018 No.&#160;10 s&#160;53","sortOrder":611},{"sectionNumber":"ch.7-pt.22","sectionType":"part","heading":"Transitional provision for Termination of Pregnancy Act 2018","content":"# Transitional provision for Termination of Pregnancy Act 2018","sortOrder":612},{"sectionNumber":"sec.232","sectionType":"section","heading":"Sch 2 applies to repealed offence","content":"### sec.232 Sch 2 applies to repealed offence\n\nSchedule&#160;2 applies as if it included a reference to the Criminal Code , section&#160;226 as in force at any time before its repeal by the Termination of Pregnancy Act 2018 .\ns&#160;232 ins 2018 No.&#160;23 s&#160;39","sortOrder":613},{"sectionNumber":"ch.7-pt.23","sectionType":"part","heading":"Transitional provisions for Transport Legislation (Road Safety and Other Matters) Amendment Act 2019","content":"# Transitional provisions for Transport Legislation (Road Safety and Other Matters) Amendment Act 2019","sortOrder":614},{"sectionNumber":"ch.7-pt.23-div.1","sectionType":"division","heading":"Provisions for amendments commencing on assent","content":"## Provisions for amendments commencing on assent","sortOrder":615},{"sectionNumber":"sec.233","sectionType":"section","heading":"Proceedings not finally decided","content":"### sec.233 Proceedings not finally decided\n\nThis section applies if, immediately before the commencement, a proceeding had been started before QCAT for a review of a licensing decision, but QCAT had not made a decision.\nThe proceeding may continue as if the amendment Act had not been enacted.\nIn this section—\namendment Act means the Transport Legislation (Road Safety and Other Matters) Amendment Act 2019 .\nlicensing decision see section&#160;131(24).\ns&#160;233 ins 2019 No.&#160;25 s&#160;47\n(sec.233-ssec.1) This section applies if, immediately before the commencement, a proceeding had been started before QCAT for a review of a licensing decision, but QCAT had not made a decision.\n(sec.233-ssec.2) The proceeding may continue as if the amendment Act had not been enacted.\n(sec.233-ssec.3) In this section— amendment Act means the Transport Legislation (Road Safety and Other Matters) Amendment Act 2019 . licensing decision see section&#160;131(24).","sortOrder":616},{"sectionNumber":"sec.234","sectionType":"section","heading":"Breath and saliva testing of persons who are not drivers","content":"### sec.234 Breath and saliva testing of persons who are not drivers\n\nSection&#160;80 applies to an offence against the Criminal Code , section&#160;328A committed by a person who is not the driver of a vehicle only if the offence is committed after the commencement.\nIn this section—\ndriver , of a vehicle, means a person who drives or is in charge of the vehicle, or attempts to put the vehicle in motion, on a road or elsewhere.\ns&#160;234 ins 2019 No.&#160;25 s&#160;47\n(sec.234-ssec.1) Section&#160;80 applies to an offence against the Criminal Code , section&#160;328A committed by a person who is not the driver of a vehicle only if the offence is committed after the commencement.\n(sec.234-ssec.2) In this section— driver , of a vehicle, means a person who drives or is in charge of the vehicle, or attempts to put the vehicle in motion, on a road or elsewhere.","sortOrder":617},{"sectionNumber":"sec.235","sectionType":"section","heading":"Evidentiary provisions about placard loads in tunnels","content":"### sec.235 Evidentiary provisions about placard loads in tunnels\n\nSection&#160;84A(3)(c) and (5) applies to a proceeding for an offence against section&#160;84A(1) only if the offence is committed after the commencement.\nSection&#160;120(7) applies to a matter mentioned in section&#160;120(7)(ca) for a proceeding for an offence against section&#160;84A(1) only if the offence is committed after the commencement.\ns&#160;235 ins 2019 No.&#160;25 s&#160;47\n(sec.235-ssec.1) Section&#160;84A(3)(c) and (5) applies to a proceeding for an offence against section&#160;84A(1) only if the offence is committed after the commencement.\n(sec.235-ssec.2) Section&#160;120(7) applies to a matter mentioned in section&#160;120(7)(ca) for a proceeding for an offence against section&#160;84A(1) only if the offence is committed after the commencement.","sortOrder":618},{"sectionNumber":"sec.236","sectionType":"section","heading":"Evidentiary provisions about speed limits","content":"### sec.236 Evidentiary provisions about speed limits\n\nSections&#160;120B and 120C apply to a proceeding for a prescribed offence only if the offence is committed after the commencement.\ns&#160;236 ins 2019 No.&#160;25 s&#160;47","sortOrder":619},{"sectionNumber":"sec.237","sectionType":"section","heading":"Application of s&#160;124AA","content":"### sec.237 Application of s&#160;124AA\n\nSection&#160;124AA applies to a proceeding for an offence against a transport Act only if the offence is committed after the commencement.\ns&#160;237 ins 2019 No.&#160;25 s&#160;47","sortOrder":620},{"sectionNumber":"ch.7-pt.23-div.2","sectionType":"division","heading":"Provisions for amendments commencing by proclamation","content":"## Provisions for amendments commencing by proclamation","sortOrder":621},{"sectionNumber":"sec.238","sectionType":"section","heading":"Transitional provision for amendment to s&#160;91I","content":"### sec.238 Transitional provision for amendment to s&#160;91I\n\nSection&#160;91I, definition drink driving offence , as in force before the commencement, applies in relation to a person convicted of an offence against section&#160;79(1F) involving a motor vehicle if the offence was committed before the commencement.\ns&#160;238 ins 2019 No.&#160;25 s&#160;110","sortOrder":622},{"sectionNumber":"sec.239","sectionType":"section","heading":"Transitional provision for ch&#160;5, pt&#160;3B","content":"### sec.239 Transitional provision for ch&#160;5, pt&#160;3B\n\nChapter&#160;5, part&#160;3B, as in force before the commencement, applies in relation to a person whose interlock period started before the commencement.\ns&#160;239 ins 2019 No.&#160;25 s&#160;110","sortOrder":623},{"sectionNumber":"sec.240","sectionType":"section","heading":"Evidentiary provisions","content":"### sec.240 Evidentiary provisions\n\nThe following sections apply to a proceeding for an offence under a transport Act only if the offence is committed after the commencement—\nsection&#160;123A(j), (k), (l), (m) and (n)\nsection&#160;123B(k), (l), (m) and (n)\nsection&#160;123E(1)(a)(ii), (iii), (iv), (v) and (vi)\nschedule&#160;1, item 14(c) and (d)\nschedule&#160;1, item 15\nschedule&#160;1, item 25\nschedule&#160;1, item 26\nschedule&#160;1, item 30\nschedule&#160;1, item 32\nschedule&#160;1, item 33\nschedule&#160;1, item 34.\ns&#160;240 ins 2019 No.&#160;25 s&#160;110\n- • section&#160;123A(j), (k), (l), (m) and (n)\n- • section&#160;123B(k), (l), (m) and (n)\n- • section&#160;123E(1)(a)(ii), (iii), (iv), (v) and (vi)\n- • schedule&#160;1, item 14(c) and (d)\n- • schedule&#160;1, item 15\n- • schedule&#160;1, item 25\n- • schedule&#160;1, item 26\n- • schedule&#160;1, item 30\n- • schedule&#160;1, item 32\n- • schedule&#160;1, item 33\n- • schedule&#160;1, item 34.","sortOrder":624},{"sectionNumber":"sec.241","sectionType":"section","heading":"Evidentiary provisions—continued application","content":"### sec.241 Evidentiary provisions—continued application\n\nThe relevant evidentiary provisions continue to apply in relation to a proceeding for an offence under a transport Act if the offence was committed before the commencement.\nIn this section—\namendment Act means the Transport Legislation (Road Safety and Other Matters) Amendment Act 2019 .\nformer , in relation to a provision, means as in force immediately before the provision was repealed by the amendment Act.\nrelevant evidentiary provisions means the following former sections—\nsection&#160;60(2)(t)(iii)\nsection&#160;124(1)(gb), (gc) and (gd)(ii), (iii), (iv), (v) and (vi).\ns&#160;241 ins 2019 No.&#160;25 s&#160;110\n(sec.241-ssec.1) The relevant evidentiary provisions continue to apply in relation to a proceeding for an offence under a transport Act if the offence was committed before the commencement.\n(sec.241-ssec.2) In this section— amendment Act means the Transport Legislation (Road Safety and Other Matters) Amendment Act 2019 . former , in relation to a provision, means as in force immediately before the provision was repealed by the amendment Act. relevant evidentiary provisions means the following former sections— section&#160;60(2)(t)(iii) section&#160;124(1)(gb), (gc) and (gd)(ii), (iii), (iv), (v) and (vi).\n- • section&#160;60(2)(t)(iii)\n- • section&#160;124(1)(gb), (gc) and (gd)(ii), (iii), (iv), (v) and (vi).","sortOrder":625},{"sectionNumber":"ch.7-pt.24","sectionType":"part","heading":"Transitional provision for Transport Legislation (Disability Parking and Other Matters) Amendment Act 2020","content":"# Transitional provision for Transport Legislation (Disability Parking and Other Matters) Amendment Act 2020","sortOrder":626},{"sectionNumber":"sec.242","sectionType":"section","heading":"Existing parking permits for people with disabilities","content":"### sec.242 Existing parking permits for people with disabilities\n\nA permit issued under former section&#160;111 that is in effect immediately before the commencement is taken to be a permit given under new section&#160;111.\nIn this section—\nformer section&#160;111 means section&#160;111 as in force from time to time before the commencement.\nnew section&#160;111 means section&#160;111 as in force from the commencement.\ns&#160;242 ins 2020 No.&#160;22 s&#160;17\n(sec.242-ssec.1) A permit issued under former section&#160;111 that is in effect immediately before the commencement is taken to be a permit given under new section&#160;111.\n(sec.242-ssec.2) In this section— former section&#160;111 means section&#160;111 as in force from time to time before the commencement. new section&#160;111 means section&#160;111 as in force from the commencement.","sortOrder":627},{"sectionNumber":"ch.7-pt.25","sectionType":"part","heading":"Transitional provisions for Transport and Other Legislation (Road Safety, Technology and Other Matters) Amendment Act 2020","content":"# Transitional provisions for Transport and Other Legislation (Road Safety, Technology and Other Matters) Amendment Act 2020","sortOrder":628},{"sectionNumber":"sec.243","sectionType":"section","heading":"Photographic detection devices","content":"### sec.243 Photographic detection devices\n\nChapter&#160;5, part&#160;7, division&#160;2 applies to a video made by a photographic detection device only in relation to an offence committed after the commencement.\nSections&#160;120D, 120E and 120F apply only in relation to an offence committed after the commencement.\ns&#160;243 ins 2020 No.&#160;21 s&#160;60\n(sec.243-ssec.1) Chapter&#160;5, part&#160;7, division&#160;2 applies to a video made by a photographic detection device only in relation to an offence committed after the commencement.\n(sec.243-ssec.2) Sections&#160;120D, 120E and 120F apply only in relation to an offence committed after the commencement.","sortOrder":629},{"sectionNumber":"ch.7-pt.26","sectionType":"part","heading":"Transitional provision for Transport Legislation (Road Safety and Other Matters) Amendment Act 2022","content":"# Transitional provision for Transport Legislation (Road Safety and Other Matters) Amendment Act 2022","sortOrder":630},{"sectionNumber":"sec.244","sectionType":"section","heading":"Evidentiary provisions","content":"### sec.244 Evidentiary provisions\n\nSections&#160;123A(o) and (p), 123B(o) and (p) and 123SA apply in relation to a proceeding for an offence under a transport Act only if the offence is committed after the commencement.\nSchedule&#160;1, item 28, as in force immediately before the commencement, continues to apply in relation to a proceeding for an offence under a transport Act if the offence was committed before the commencement.\ns&#160;244 ins 2022 No.&#160;19 s&#160;24\n(sec.244-ssec.1) Sections&#160;123A(o) and (p), 123B(o) and (p) and 123SA apply in relation to a proceeding for an offence under a transport Act only if the offence is committed after the commencement.\n(sec.244-ssec.2) Schedule&#160;1, item 28, as in force immediately before the commencement, continues to apply in relation to a proceeding for an offence under a transport Act if the offence was committed before the commencement.","sortOrder":631}],"analysis":{"summary":{"name":"Transport Operations (Road Use Management) Act 1995","slug":"transport-operations-road-use-management-act-1995","title_id":"qld:act-1995-009","version_id":29842,"analysis_type":"summary","content_quality":"ok","complexity_score":4,"scope_assessment":{"changed":false,"description":"Complete in-force Queensland Act. Core statute for Queensland road use regulation, driver licensing, vehicle registration, and traffic enforcement."},"complexity_factors":["Multiple enforcement regimes across chapters for different aspects of road use (licensing, registration, drink driving, speed)","Interlock scheme with multiple eligibility categories, exemptions, and compliance obligations","Extensive breath and blood testing procedures with specific technical and evidentiary requirements (s. 80)","Interaction with Queensland Road Rules and other transport Acts","Large number of amendments incorporating changes to penalties and procedures over time"],"plain_english_summary":"The Transport Operations (Road Use Management) Act 1995 (Qld) is Queensland's principal statute regulating the use of roads and the operation of vehicles. It establishes the legal framework for driver licensing, vehicle registration, traffic enforcement, drink and drug driving offences, speed detection, and road management, and creates the powers of authorised officers and the Queensland Police to enforce road laws.\n\nThe Act is structured across several chapters. Chapter 2 deals with road use management strategies, requiring the chief executive to develop strategies to give effect to transport coordination plans. Chapter 3 covers approvals (including vehicle registrations and driver licences), enforcement powers, the role of authorised officers, offences relating to false or misleading statements, and general administration. Chapter 5 is the most extensive chapter and deals with local government functions, official traffic signs, driving offences, drink and drug driving, alcohol ignition interlocks, road incidents, regulated parking, speed and photographic detection devices, and proceedings.\n\nKey offences include driving without a driver licence (s. 78), vehicle offences involving liquor or drugs (s. 79), driving at over the legal blood alcohol concentration (connected to s. 80 breath and saliva testing regime), and reckless driving. The Act creates the regime for roadside breath tests, breath analysing instruments, and the procedures for establishing blood alcohol concentration as evidence.\n\nChapter 5, Part 3A introduces mandatory education programs for drink drivers, and Part 3B establishes the alcohol ignition interlock scheme, requiring convicted drink drivers to use an approved interlock device. Chapter 5, Part 7 covers speed detection devices and photographic detection devices. Chapter 6 deals with court orders, and Chapter 7 contains transitional provisions."},"kimi_summary":{"_metrics":{"completionTokens":667},"content_quality":"ok","complexity_score":8,"scope_assessment":{"changed":true,"description":"The legislation has expanded significantly from its original 1995 scope. Originally focused on basic road use management and vehicle registration, it now encompasses: dangerous goods transport regulation (added 2007), heavy vehicle national law integration, alcohol interlock programs, digital identity verification for licences, advertising code enforcement for vehicle registrations (2017), and reciprocal enforcement powers with other jurisdictions. The enforcement powers in Part 3 have grown particularly complex with the addition of sections 26A-26B (dangerous goods), 33A-33D (emergency vehicle movement), and 35A-35C (prescribed dangerous goods vehicle powers)."},"complexity_factors":["Extensive cross-referencing to other Acts (Heavy Vehicle National Law, Transport Infrastructure Act, Criminal Code, etc.)","Multiple nested conditional provisions (e.g., section 79 with 12+ subsections for drink-driving offences based on different alcohol limits and prior convictions)","Heavily defined terms with multiple exceptions (e.g., 'transport Act' excludes Tow Truck Act in some sections but not others)","Complex procedural requirements for enforcement (warrants, post-entry approvals, embargo notices)","Overlapping jurisdictions between State and local government powers","Numerous amendment notes showing substantial legislative evolution since 1995","Conditional penalty structures based on prior convictions, vehicle type, and circumstances"],"plain_english_summary":"**What this legislation does:**\n\nThis is Queensland's **Transport Operations (Road Use Management) Act 1995**, a comprehensive law that governs how roads are managed, how vehicles are regulated, and how road safety is enforced in Queensland.\n\n**Key areas covered:**\n\n- **Strategic planning** — Requires the government to develop road use management strategies and implementation programs, with public consultation and parliamentary oversight\n\n- **Vehicle regulation** — Covers registration, inspections, and standards for private vehicles, heavy vehicles, and dangerous goods vehicles\n\n- **Driver licensing** — Establishes requirements for holding driver licences, including alcohol and drug limits (blood alcohol concentration limits of 0.00%, 0.05%, 0.10% and 0.15%)\n\n- **Enforcement powers** — Gives authorised officers (including police) extensive powers to stop vehicles, enter premises, inspect documents, seize evidence, and require breath, saliva or blood testing\n\n- **Offences and penalties** — Creates offences for unlicensed driving, drink/drug driving, false statements, and obstructing officers, with penalties ranging from fines to imprisonment\n\n- **Local government coordination** — Sets out what local councils can and cannot regulate regarding roads and traffic\n\n**Who it affects:**\n- All Queensland drivers and vehicle owners\n- Transport operators, especially those carrying dangerous goods or operating heavy vehicles\n- Local governments managing roads\n- Authorised officers enforcing transport laws\n\n**Why it matters:**\nThis Act is the backbone of Queensland's road safety and transport regulation system. It balances public safety with efficient transport operations, establishes clear rules for compliance, and provides enforcement mechanisms to deter dangerous behaviour on roads."}},"importantCases":[],"_links":{"self":"/api/acts/transport-operations-road-use-management-act-1995","history":"/api/acts/transport-operations-road-use-management-act-1995/history","analysis":"/api/acts/transport-operations-road-use-management-act-1995/analysis","conflicts":"/api/acts/transport-operations-road-use-management-act-1995/conflicts","importantCases":"/api/acts/transport-operations-road-use-management-act-1995/important-cases","documents":"/api/acts/transport-operations-road-use-management-act-1995/documents"}}