{"id":"nsw:act-2013-054","name":"Work Health and Safety (Mines and Petroleum Sites) Act 2013","slug":"work-health-and-safety-mines-and-petroleum-sites-act-2013","collection":"act","jurisdiction":"nsw","status":"in_force","isInForce":true,"actNumber":"54 of 2013","makingDate":null,"administeringDepartment":null,"currentVersion":{"id":29881,"registerId":"nsw-act-2013-054-current","compilationNumber":null,"startDate":"2026-04-01","status":"InForce","reasons":null,"registeredAt":null},"sections":[{"sectionNumber":"Part 1","sectionType":"part","heading":"Preliminary","content":"# Part 1 Preliminary\n\nPart 1 Preliminary","sortOrder":0},{"sectionNumber":"1","sectionType":"section","heading":"Name of Act","content":"#### 1 Name of Act\n\n1 Name of Act\n\n> This Act is the [Work Health and Safety (Mines and Petroleum Sites) Act 2013](/view/html/inforce/current/act-2013-054).\n> \n> **s 1:** Am 2015 No 43, Sch 1 \\[2\\].","sortOrder":1},{"sectionNumber":"2","sectionType":"section","heading":"Commencement","content":"#### 2 Commencement\n\n2 Commencement\n\n> This Act commences on a day or days to be appointed by proclamation.","sortOrder":2},{"sectionNumber":"3","sectionType":"section","heading":"Objects of Act","content":"#### 3 Objects of Act\n\n3 Objects of Act\n\n> The objects of this Act are as follows—\n> \n> > (a) to assist in securing the objects of the [Work Health and Safety Act 2011](/view/html/inforce/current/act-2011-010) at mines and petroleum sites, including the object of securing and promoting the health and safety of persons at work at mines, petroleum sites or related places,\n> \n> > (b) to protect workers at mines and petroleum sites and other persons against harm to their health and safety through the elimination or minimisation of risks arising from work or from specific types of substances or plant,\n> \n> > (c) to ensure that effective provisions for emergencies are developed and maintained at mines and petroleum sites,\n> \n> > (d) to establish a scheme for ensuring that persons exercising certain functions at mines and petroleum sites are competent to do so,\n> \n> > (e) to establish the Mine Safety Advisory Council,\n> \n> > (f) to provide for worker safety and health representatives in coal mines,\n> \n> > (g) to facilitate interstate regulatory co-operation,\n> \n> > (h) to establish Boards of Inquiry,\n> \n> > (i) to provide for enforcement powers that are in addition to those in the [Work Health and Safety Act 2011](/view/html/inforce/current/act-2011-010).\n> \n> **s 3:** Am 2015 No 43, Sch 1 \\[3\\]–\\[5\\].","sortOrder":3},{"sectionNumber":"4","sectionType":"section","heading":"Relationship with WHS Act","content":"#### 4 Relationship with WHS Act\n\n4 Relationship with WHS Act\n\n> > (1) This Act is to be construed with and as if it formed part of the WHS Act, and the regulations under this Act are to be construed with and as if they formed part of the WHS Regulations.\n> \n> > (2) Accordingly (and without limiting subsection (1)), the following principles apply, unless the context or subject-matter otherwise indicates or requires—\n> > \n> > > (a) words and expressions used in this Act or the regulations under this Act have the same meaning as in the WHS Act or the WHS Regulations,\n> > \n> > > (b) a reference in the WHS Act or the WHS Regulations to the WHS Act (including by use of the expression “this Act” or “the Act”) includes a reference to the [Work Health and Safety (Mines and Petroleum Sites) Act 2013](/view/html/inforce/current/act-2013-054),\n> > \n> > > (c) a reference in the WHS Regulations to those regulations (including by use of the expression “this Regulation”) includes a reference to the regulations under the [Work Health and Safety (Mines and Petroleum Sites) Act 2013](/view/html/inforce/current/act-2013-054),\n> > \n> > > (d) the WHS Act applies to and in respect of regulations under this Act as if they were regulations under the WHS Act (which will require that a reference in the WHS Act to “the regulations” includes a reference to the regulations under the [Work Health and Safety (Mines and Petroleum Sites) Act 2013](/view/html/inforce/current/act-2013-054)).\n> \n> Note—\n> \n> For example, section 191 of the WHS Act permits an inspector to issue an improvement notice in respect of a suspected contravention of the WHS Act. With the expanded meaning of “this Act” under subsection (2) above, a suspected breach of this Act (that is, the [Work Health and Safety (Mines and Petroleum Sites) Act 2013](/view/html/inforce/current/act-2013-054)) is also a matter in respect of which an improvement notice can be issued under the WHS Act.\n> \n> **s 4:** Subst 2014 No 71, Sch 1 \\[1\\]. Am 2015 No 43, Sch 1 \\[6\\].","sortOrder":4},{"sectionNumber":"5","sectionType":"section","heading":"Definitions","content":"#### 5 Definitions\n\n5 Definitions\n\n> > (1) In this Act—\n> > \n> > Board means the Mining and Petroleum Competence Board constituted under Division 2 of Part 8.\n> > \n> > coal includes oil shale and kerosene shale, but does not include peat.\n> > \n> > coal mine means a mine where mining operations are carried out with respect to coal.\n> > \n> > Department means the Department of Regional NSW.\n> > \n> > function includes a power, authority or duty, and exercise a function includes perform a duty.\n> > \n> > government official—see section 18.\n> > \n> > local site in relation to mining activities or petroleum activities means—\n> > \n> > > (a) the site at which those activities are carried out, or\n> > \n> > > (b) a site that adjoins, or is in the vicinity of, the site at which those activities are carried out.\n> > \n> > mine—see section 6.\n> > \n> > mine holder of a mine (other than a tourist mine) means—\n> > \n> > > (a) the person who is conducting a business or undertaking with control over a right or entitlement to carry out mining operations at the mine, or\n> > \n> > > (b) if there is no such person, the person conducting the business or undertaking that is carrying out mining operations at the mine.\n> > \n> > mine holder of a tourist mine means the person who is conducting the business or undertaking of the tourist mine.\n> > \n> > mine operator—see section 7A.\n> > \n> > Mine Safety Advisory Council means the Mine Safety Advisory Council established under Division 1 of Part 8.\n> > \n> > mineral means the following, but does not include water—\n> > \n> > > (a) a naturally occurring element or inorganic compound,\n> > \n> > > (b) coal, lignite or peat,\n> > \n> > > (c) rock, stone, gravel or sand.\n> > \n> > mineral exploration site means a place where activities are carried out for the purpose of exploring for minerals by mechanical means that disturb the ground.\n> > \n> > mineral extraction site means a place where activities are carried out for the purpose of extracting minerals from the ground or injecting minerals into the ground.\n> > \n> > mining activities and mining operations—see section 7.\n> > \n> > Minister means the Minister administering this Act.\n> > \n> > petroleum means—\n> > \n> > > (a) any naturally occurring hydrocarbon, whether in a gaseous, liquid or solid state, or\n> > \n> > > (b) any naturally occurring mixture of hydrocarbons, whether in a gaseous, liquid or solid state, or\n> > \n> > > (c) any naturally occurring mixture of one or more hydrocarbons, whether in a gaseous, liquid or solid state, and one or more of the following, that is to say, hydrogen sulphide, nitrogen, helium, carbon dioxide and water,\n> > \n> > and includes any substance referred to in paragraph (a), (b) or (c) that has been returned to a natural reservoir, but does not include a mineral.\n> > \n> > petroleum activities and petroleum operations—see section 7B.\n> > \n> > petroleum exploration site means a place where activities are carried out for the purpose of exploring for petroleum by mechanical means that disturb the ground.\n> > \n> > petroleum extraction site means a place where activities are carried out for the purpose of extracting petroleum from the ground or injecting petroleum into the ground.\n> > \n> > petroleum site means a workplace at which petroleum operations are carried out and includes any fixtures, fittings, plant or structures at the workplace that are used or were formerly used for petroleum operations.\n> > \n> > petroleum site holder of a petroleum site is—\n> > \n> > > (a) the person who is conducting a business or undertaking with control over a petroleum title that permits petroleum operations to be carried out at the petroleum site, or\n> > \n> > > (b) if there is no such person, the person who is conducting the business or undertaking carrying out petroleum operations at the petroleum site.\n> > \n> > petroleum site operator—see section 7C.\n> > \n> > petroleum title has the same meaning as in the [Petroleum (Onshore) Act 1991](/view/html/inforce/current/act-1991-084).\n> > \n> > provisional improvement notice means a provisional improvement notice issued under Division 7 of Part 5 of the WHS Act.\n> > \n> > regulator means the Secretary of the Department.\n> > \n> > safety and health representative means an industry safety and health representative, site safety and health representative or electrical safety and health representative under Part 5.\n> > \n> > stop work order has the same meaning as it has in section 51.\n> > \n> > tourist mine—see section 6 (2).\n> > \n> > WHS Act means the [Work Health and Safety Act 2011](/view/html/inforce/current/act-2011-010).\n> > \n> > WHS laws means this Act, the regulations, the WHS Act and the WHS Regulations.\n> > \n> > WHS Regulations means regulations under the [Work Health and Safety Act 2011](/view/html/inforce/current/act-2011-010).\n> \n> > (2) To avoid doubt, a reference in this Act to—\n> > \n> > > (a) a person conducting a business or undertaking at a mine includes a reference to the mine operator or mine holder of the mine, or\n> > \n> > > (b) a person conducting a business or undertaking at a petroleum site includes a reference to the petroleum site operator or petroleum site holder of the petroleum site.\n> \n> > (3) The regulator is to be known as the NSW Resources Regulator.\n> \n> **s 5:** Am 2014 No 71, Sch 1 \\[2\\]–\\[4\\]; 2015 No 43, Sch 1 \\[7\\]–\\[9\\]; 2017 No 22, Sch 4.53; 2022 No 24, Sch 1\\[1\\]–\\[3\\].","sortOrder":5},{"sectionNumber":"6","sectionType":"section","heading":"Meaning of “mine”","content":"#### 6 Meaning of “mine”\n\n6 Meaning of “mine”\n\n> > (1) In this Act, a mine is a place that is a workplace at which mining operations are carried out and it includes any fixtures, fittings, plant or structures at the place that are used or were formerly used for mining operations.\n> \n> > (2) In this Act, a tourist mine means a mine—\n> > \n> > > (a) at which no mining operations are carried out other than educational activities or tourist activities carried out in connection with former mining activities at the mine, and\n> > \n> > > (b) at which there is a hazard prescribed by the regulations that was present at the mine when former mining activities were carried out.\n> \n> **s 6:** Subst 2015 No 43, Sch 1 \\[10\\].","sortOrder":6},{"sectionNumber":"7","sectionType":"section","heading":"Meaning of “mining operations” and “mining activities”","content":"#### 7 Meaning of “mining operations” and “mining activities”\n\n7 Meaning of “mining operations” and “mining activities”\n\n> > (1) In this Act, mining operations means the following—\n> > \n> > > (a) activities (referred to in this Act as mining activities) carried out for the purpose of—\n> > > \n> > > > (i) extracting minerals from the ground, or\n> > > \n> > > > (ii) injecting minerals into the ground, but only where the primary purpose of the injection is to inject a mineral into the ground or to return a mineral to the ground, or\n> > > \n> > > > (iii) exploring for minerals,\n> > \n> > > (b) activities (including the handling, preparing, processing or storing of extracted materials) carried out in connection with mining activities at a local site,\n> > \n> > > (c) activities associated with constructing a site where a mining activity (or an activity referred to in paragraph (b)) is, or is to be, carried out,\n> > \n> > > (d) activities associated with decommissioning, making safe or closure of a mineral extraction site or a mineral exploration site,\n> > \n> > > (e) educational activities or tourist activities carried out in connection with—\n> > > \n> > > > (i) mining activities at a local site, or\n> > > \n> > > > (ii) former mining activities at the site at which those activities were carried out,\n> > \n> > > (f) activities prescribed by the regulations,\n> > \n> > > (g) an activity specified by the Minister, by order published in the Gazette, that is carried on at a place identified in the order.\n> \n> > (2) The regulations may declare an activity not to be mining operations for the purposes of this Act.\n> \n> > (3) The regulations may create exceptions to or otherwise limit the operation of this section.\n> \n> **s 7:** Am 2014 No 71, Sch 1 \\[5\\]. Subst 2015 No 43, Sch 1 \\[10\\].","sortOrder":7},{"sectionNumber":"7A","sectionType":"section","heading":"Meaning of “mine operator”","content":"#### 7A Meaning of “mine operator”\n\n7A Meaning of “mine operator”\n\n> > (1) In this Act—\n> > \n> > mine operator of a mine means—\n> > \n> > > (a) the mine holder, or\n> > \n> > > (b) if the mine holder has appointed, in accordance with the regulations, another person to be the mine operator, that other person.\n> \n> > (2) The regulations may provide for the appointment of more than one mine operator for a mine (so that there are different mine operators for different parts of a mine) and for that purpose—\n> > \n> > > (a) a reference in this Act or the regulations to the mine operator of a mine includes a reference to the mine operator of part of a mine, and\n> > \n> > > (b) the functions of a mine operator of a mine are, in the case of a mine operator of part of a mine, functions in respect of that part of the mine.\n> \n> > (3) The regulations may provide for the appointment of one person as the mine operator for more than one mine. In such a case all of the relevant mines are, for the purposes of this Act, to be treated as one mine.\n> \n> **s 7A:** Ins 2014 No 71, Sch 1 \\[6\\]. Am 2015 No 43, Sch 1 \\[11\\].","sortOrder":8},{"sectionNumber":"7B","sectionType":"section","heading":"Meaning of “petroleum operations” and “petroleum activities”","content":"#### 7B Meaning of “petroleum operations” and “petroleum activities”\n\n7B Meaning of “petroleum operations” and “petroleum activities”\n\n> > (1) In this Act, petroleum operations means the following—\n> > \n> > > (a) activities (referred to in this Act as petroleum activities) carried out for the purpose of—\n> > > \n> > > > (i) extracting petroleum from the ground, or\n> > > \n> > > > (ii) injecting petroleum into the ground, but only where the primary purpose of the injection is to inject petroleum into the ground or to return petroleum to the ground, or\n> > > \n> > > > (iii) exploring for petroleum,\n> > \n> > > (b) activities (including the handling, preparing, processing or storing of extracted materials) carried out in connection with petroleum activities at a local site,\n> > \n> > > (c) activities associated with constructing a site where a petroleum activity (or an activity referred to in paragraph (b)) is, or is to be, carried out,\n> > \n> > > (d) activities associated with decommissioning, making safe or closure of a petroleum extraction site or a petroleum exploration site,\n> > \n> > > (e) educational activities or tourist activities carried out in connection with petroleum activities at a local site,\n> > \n> > > (f) activities prescribed by the regulations,\n> > \n> > > (g) an activity specified by the Minister, by order published in the Gazette, that is carried on at a place identified in the order.\n> \n> > (2) The regulations may declare an activity not to be petroleum operations for the purposes of this Act.\n> \n> > (3) The regulations may create exceptions to or otherwise limit the operation of this section.\n> \n> **s 7B:** Ins 2015 No 43, Sch 1 \\[12\\].","sortOrder":9},{"sectionNumber":"7C","sectionType":"section","heading":"Meaning of “petroleum site operator”","content":"#### 7C Meaning of “petroleum site operator”\n\n7C Meaning of “petroleum site operator”\n\n> > (1) In this Act—\n> > \n> > petroleum site operator of a petroleum site means—\n> > \n> > > (a) the petroleum site holder, or\n> > \n> > > (b) if the petroleum site holder has appointed, in accordance with the regulations, another person to be the petroleum site operator, that other person.\n> \n> > (2) The regulations may provide for the appointment of more than one petroleum site operator for a petroleum site (so that there are different petroleum site operators for different parts of a petroleum site) and for that purpose—\n> > \n> > > (a) a reference in this Act or the regulations to the petroleum site operator of a petroleum site includes a reference to the petroleum site operator of part of a petroleum site, and\n> > \n> > > (b) the functions of a petroleum site operator of a petroleum site are, in the case of a petroleum site operator of part of a petroleum site, functions in respect of that part of the petroleum site.\n> \n> > (3) The regulations may provide for the appointment of one person as the petroleum site operator for more than one petroleum site. In such a case all of the relevant petroleum sites are, for the purposes of this Act, to be treated as one petroleum site.\n> \n> **s 7C:** Ins 2015 No 43, Sch 1 \\[12\\].","sortOrder":10},{"sectionNumber":"8","sectionType":"section","heading":"Geothermal energy","content":"#### 8 Geothermal energy\n\n8 Geothermal energy\n\n> This Act applies to and in respect of geothermal energy as if geothermal energy were petroleum.\n> \n> Note—\n> \n> This means exploration for geothermal energy and the extraction of geothermal energy are petroleum operations.\n> \n> **s 8:** Am 2015 No 43, Sch 1 \\[13\\] \\[14\\].","sortOrder":11},{"sectionNumber":"9","sectionType":"section","heading":"Examples and notes","content":"#### 9 Examples and notes\n\n9 Examples and notes\n\n> > (1) An example at the foot of a provision forms part of this Act.\n> \n> > (2) A note at the foot of a provision forms part of this Act.","sortOrder":12},{"sectionNumber":"Part 2","sectionType":"part","heading":"Application of Act","content":"# Part 2 Application of Act\n\nPart 2 Application of Act","sortOrder":13},{"sectionNumber":"10","sectionType":"section","heading":"Places to which Act does or does not apply","content":"#### 10 Places to which Act does or does not apply\n\n10 Places to which Act does or does not apply\n\n> > (1) This Act applies to all workplaces that are mines or petroleum sites.\n> \n> > (2) This Act does not apply to—\n> > \n> > > (a) any mine, petroleum site or place that is of a class prescribed by the regulations or in circumstances or during time periods prescribed by the regulations, or\n> > \n> > > (b) any mine, petroleum site or place specified by the Minister in a notice published in the Gazette, or\n> > \n> > > (c) a petroleum site in the adjacent area in respect of the State within the meaning of Part 10 of the [Interpretation Act 1987](/view/html/inforce/current/act-1987-015).\n> \n> > (3) The Minister is to notify the Minister administering the WHS Act if any notice under subsection (2) (b) is published in the Gazette. However, failure to notify that other Minister does not affect the validity of the notice.\n> \n> **s 10:** Am 2015 No 43, Sch 1 \\[15\\]–\\[18\\].","sortOrder":14},{"sectionNumber":"11","sectionType":"section","heading":"Activities to which Act does or does not apply","content":"#### 11 Activities to which Act does or does not apply\n\n11 Activities to which Act does or does not apply\n\n> > (1) The following activities are not mining operations or petroleum operations for the purposes of this Act—\n> > \n> > > (a) an activity carried out in relation to the extraction of minerals or petroleum on private land for the private and non-commercial use of the owner of the land,\n> > \n> > > (b) fossicking,\n> > \n> > > (c) any activity where the extraction of minerals or petroleum is incidental to the activity,\n> > > \n> > > Example—\n> > > \n> > > Civil works such as tunnelling to create a road.\n> > \n> > > (d) railway operations to which the [Rail Safety National Law (NSW)](/view/html/inforce/current/act-2012-82a) applies,\n> > \n> > > (e) any activity on a public road or classified road within the meaning of the [Roads Act 1993](/view/html/inforce/current/act-1993-033),\n> > \n> > > (f) the construction, commissioning, operation or decommissioning of the distribution system or transmission system owned or controlled by a network operator under the [Electricity Supply Act 1995](/view/html/inforce/current/act-1995-094),\n> > \n> > > (g) any activity to which the [Civil Aviation Act 1988](http://www.legislation.gov.au/) of the Commonwealth, the [Air Services Act 1995](http://www.legislation.gov.au/) of the Commonwealth or the [Transport Safety Investigation Act 2003](http://www.legislation.gov.au/) of the Commonwealth (in so far as it applies to aircraft) applies,\n> > \n> > > (h) an activity carried out in relation to the extraction of geothermal energy from a source that has a temperature of less than 70 degrees Celsius or that is situated less than one kilometre below the surface of the earth,\n> > \n> > > (i) any activity prescribed by the regulations.\n> \n> > (2) The regulations may create exceptions to or otherwise limit the operation of this section.\n> \n> **s 11:** Subst 2014 No 71, Sch 1 \\[7\\]. Am 2015 No 43, Sch 1 \\[19\\]–\\[21\\].","sortOrder":15},{"sectionNumber":"12","sectionType":"section","heading":"Decisions on jurisdictional questions","content":"#### 12 Decisions on jurisdictional questions\n\n12 Decisions on jurisdictional questions\n\n> > (1) The Minister may make a determination as to whether a particular place is or is not a place to which this Act applies. The determination may be of general application or be limited as to time or circumstances.\n> \n> > (2) The Minister’s determination is conclusive for the purposes of deciding a jurisdictional question (including a jurisdictional question arising in court proceedings).\n> \n> > (3) A jurisdictional question is a question as to whether functions of a government official under this Act or of an inspector under the WHS Act were or can be validly exercised or a question as to whether proceedings for an offence under this Act or the WHS Act were or can be validly instituted.\n> \n> > (4) A determination under this section applies in respect of functions exercised or purportedly exercised before or after the determination was made but not so as to affect court proceedings commenced before the determination was made.\n> \n> > (5) A determination under this section does not operate to result in a person committing an offence that the person would not have committed had the determination not been made.\n> \n> > (6) A certificate of the Minister certifying as to a determination made by the Minister under this section is evidence of the Minister’s determination and the date of the determination.\n> \n> > (7) The Minister is to notify the Minister administering the WHS Act of any determination made by the Minister under this section (but a failure to notify the other Minister does not affect the validity of the determination).\n> \n> > (8) As soon as practicable after making a determination, the Minister is to take reasonable steps to ensure that a copy of the determination—\n> > \n> > > (a) is served on each person conducting a business or undertaking at the place to which the determination relates, or\n> > \n> > > (b) is posted in a prominent position at the place, or\n> > \n> > > (c) is published in the Gazette.","sortOrder":16},{"sectionNumber":"12A","sectionType":"section","heading":"Exercise of functions by regulators and other officials","content":"#### 12A Exercise of functions by regulators and other officials\n\n12A Exercise of functions by regulators and other officials\n\n> > (1) An official may exercise any function of the official in relation to any workplace regardless of whether the workplace is a mine, a petroleum site or any other workplace.\n> \n> > (2) The functions of an official include—\n> > \n> > > (a) in relation to the mining and petroleum regulator, the functions of the WHS regulator, and\n> > \n> > > (b) in relation to the WHS regulator, the functions of the mining and petroleum regulator, and\n> > \n> > > (c) in relation to a government official, the functions of an inspector, and\n> > \n> > > (d) in relation to an inspector, the functions of a government official.\n> \n> > (3) Any requirement in the WHS laws that an official produce an identity card in relation to the exercise of a function is satisfied if the official produces an identity card issued (or taken to be issued) to the official under any provision of the WHS laws.\n> \n> > (4) In this section—\n> > \n> > inspector means an inspector appointed under section 156 of the WHS Act.\n> > \n> > mining and petroleum regulator means the regulator within the meaning of this Act.\n> > \n> > official means the WHS regulator, the mining and petroleum regulator, a government official or an inspector.\n> > \n> > WHS regulator means SafeWork NSW as referred to in clause 1 of Schedule 2 to the WHS Act.\n> \n> Note—\n> \n> Clause 1 of Schedule 2 to the WHS Act provides that (for the purposes of the WHS laws) a reference to the regulator in relation to a mine or petroleum site (or a workplace at which activities under the [Petroleum (Offshore) Act 1982](/view/html/inforce/current/act-1982-023) are carried out) means the mining and petroleum regulator and a reference to the regulator in relation to any other workplace means the WHS regulator. However, that clause does not limit this section which permits either regulator to exercise any function of either regulator in relation to any workplace.\n> \n> **s 12A:** Ins 2015 No 43, Sch 1 \\[22\\].","sortOrder":17},{"sectionNumber":"13","sectionType":"section","heading":"Act binds the Crown","content":"#### 13 Act binds the Crown\n\n13 Act binds the Crown\n\n> > (1) This Act binds the Crown in right of this jurisdiction and, in so far as the legislative power of the Parliament of this jurisdiction permits, the Crown in all its other capacities.\n> \n> > (2) The Crown is liable for an offence against this Act.","sortOrder":18},{"sectionNumber":"Part 3","sectionType":"part","heading":"Incident notification","content":"# Part 3 Incident notification\n\nPart 3 Incident notification","sortOrder":19},{"sectionNumber":"14","sectionType":"section","heading":"What is a “notifiable incident”","content":"#### 14 What is a “notifiable incident”\n\n14 What is a “notifiable incident”\n\n> In this Act, notifiable incident means—\n> \n> > (a) the death of a person, or\n> \n> > (b) a serious injury or illness of a person that is prescribed by the regulations, or\n> \n> > (c) a dangerous incident prescribed by the regulations.","sortOrder":20},{"sectionNumber":"15","sectionType":"section","heading":"Duty to notify of notifiable incidents","content":"#### 15 Duty to notify of notifiable incidents\n\n15 Duty to notify of notifiable incidents\n\n> > (1) A mine operator of a mine must ensure that the regulator is notified immediately after becoming aware that a notifiable incident arising out of the conduct of any business or undertaking at the mine has occurred.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—100 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> > (1A) A petroleum site operator of a petroleum site must ensure that the regulator is notified immediately after becoming aware that a notifiable incident arising out of the conduct of any business or undertaking at the petroleum site has occurred.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—100 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> > (2) A person conducting a business or undertaking at a mine or petroleum site must ensure that the regulator is notified immediately after becoming aware that a notifiable incident arising out of the conduct of the business or undertaking at the mine or petroleum site has occurred.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—100 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> > (3) Notice under this section must be given in accordance with this section and by the fastest possible means.\n> \n> > (4) The notice must be given—\n> > \n> > > (a) by telephone, or\n> > \n> > > (b) in writing.\n> > \n> > Example—\n> > \n> > The written notice can be given by facsimile, email or other electronic means.\n> \n> > (5) A person giving notice by telephone must—\n> > \n> > > (a) give the details of the incident requested by the regulator, and\n> > \n> > > (b) give a written notice of the incident within 48 hours of giving the notice by telephone.\n> \n> > (6) A written notice must be in a form, or contain the details, approved by the regulator.\n> \n> **s 15:** Am 2015 No 43, Sch 1 \\[23\\]–\\[25\\]; 2022 No 24, Sch 1\\[4\\] \\[5\\].","sortOrder":21},{"sectionNumber":"16","sectionType":"section","heading":"Notifiable incident at coal mine","content":"#### 16 Notifiable incident at coal mine\n\n16 Notifiable incident at coal mine\n\n> > (1) A person who is required to ensure that the regulator is notified of a notifiable incident at a coal mine to which Part 5 applies must also ensure that an industry safety and health representative is given notice of the incident in accordance with this section.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—100 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> > (2) Notice is to be given in the same manner and form as notice is given to the regulator and is to contain the same details as those required by the regulator in respect of telephone notice or written notice, as the case may be.\n> \n> **s 16:** Am 2022 No 24, Sch 1\\[4\\] \\[5\\].","sortOrder":22},{"sectionNumber":"17","sectionType":"section","heading":"Duty to preserve incident sites","content":"#### 17 Duty to preserve incident sites\n\n17 Duty to preserve incident sites\n\n> > (1) When a notifiable incident has occurred at a mine or petroleum site each of the following persons must ensure, so far as is reasonably practicable, that the incident site is not disturbed until an inspector arrives at the incident site or any earlier time that a government official directs—\n> > \n> > > (a) any person who is required to ensure that the regulator is notified of the notifiable incident,\n> > \n> > > (b) each person with management or control of the incident site.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—100 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> > (2) (Repealed)\n> \n> > (3) Subsection (1) does not prevent any action—\n> > \n> > > (a) to assist an injured person, or\n> > \n> > > (b) to remove a deceased person, or\n> > \n> > > (c) that is essential to make the incident site safe or to minimise the risk of a further notifiable incident, or\n> > \n> > > (d) that is associated with a police investigation, or\n> > \n> > > (e) for which an inspector or the regulator has given permission.\n> \n> > (4) A government official must not direct an earlier time under subsection (1) in the case of a notifiable incident at a coal mine to which Part 5 applies unless the government official has consulted with an industry safety and health representative.\n> \n> > (5) In this section—\n> > \n> > incident site means the workplace (or part of the workplace) at which the notifiable incident occurred and includes any plant, substance, structure or thing associated with the notifiable incident.\n> \n> **s 17:** Am 2015 No 43, Sch 1 \\[26\\]–\\[34\\]; 2016 No 27, Sch 2.60; 2022 No 24, Sch 1\\[4\\] \\[5\\].","sortOrder":23},{"sectionNumber":"Part 4","sectionType":"part","heading":"Oversight of mines by government officials","content":"# Part 4 Oversight of mines by government officials\n\nPart 4 Oversight of mines by government officials","sortOrder":24},{"sectionNumber":"Division 1","sectionType":"division","heading":"Appointment of government officials","content":"## Division 1 Appointment of government officials\n\nDivision 1 Appointment of government officials\n\n**pt 4, div 1, note:** Rep 2019 No 14, Sch 2.25.","sortOrder":25},{"sectionNumber":"18","sectionType":"section","heading":"Appointment by regulator","content":"#### 18 Appointment by regulator\n\n18 Appointment by regulator\n\n> > (1) In this Act, government official means a person appointed under this section.\n> \n> > (2) The regulator may appoint a person as—\n> > \n> > > (a) an inspector, or\n> > \n> > > (b) a mine safety officer, or\n> > \n> > > (c) an investigator.\n> \n> > (3) A person is not eligible for appointment under subsection (2) unless the person is—\n> > \n> > > (a) an officer or employee of a public authority, or\n> > \n> > > (b) the holder of a statutory office, or\n> > \n> > > (c) a person who is appointed as an inspector under a corresponding WHS law, or\n> > \n> > > (d) a person who is a member of a prescribed class of persons.\n> \n> > (4) The regulator may also appoint a person as a government official if the person is a consultant engaged by a public authority.\n> \n> > (5) The regulator may appoint one or more inspectors as chief inspectors.\n> \n> > (6) An instrument appointing a person under this section may limit the functions that the person has as a government official under this Act or as an inspector under the WHS Act.\n> \n> > (7) A person’s appointment under this section ends when the person ceases to be eligible for appointment.\n> \n> > (8) A person who is a government official is deemed to be an inspector for the purposes of the WHS Act.\n> \n> Note—\n> \n> Section 47 of the [Interpretation Act 1987](/view/html/inforce/current/act-1987-015) provides incidental powers with respect to appointments including providing a power to suspend or revoke any such appointment.\n> \n> **s 18:** Am 2015 No 43, Sch 1 \\[35\\] \\[36\\].","sortOrder":26},{"sectionNumber":"19","sectionType":"section","heading":"Qualifications of inspectors","content":"#### 19 Qualifications of inspectors\n\n19 Qualifications of inspectors\n\n> A person may be appointed as an inspector only if the regulator is satisfied that the person has—\n> \n> > (a) appropriate knowledge and skills, and adequate experience, in mining operations or petroleum operations to effectively exercise the functions of an inspector, and\n> \n> > (b) if qualifications are prescribed by the regulations for the purposes of this section, those qualifications or qualifications that the regulator determines to be equivalent to those qualifications.\n> \n> **s 19:** Am 2015 No 43, Sch 1 \\[37\\].","sortOrder":27},{"sectionNumber":"20","sectionType":"section","heading":"Accountability of government officials","content":"#### 20 Accountability of government officials\n\n20 Accountability of government officials\n\n> > (1) A government official must give written notice to the regulator of all interests, pecuniary or otherwise, that the government official has, or acquires, that conflict or could conflict with the proper exercise of the government official’s functions.\n> \n> > (2) The regulator must give a direction to a government official not to deal, or to no longer deal, with a matter if the regulator becomes aware that the government official has a potential conflict of interest in relation to a matter and the regulator considers that the government official should not deal, or should no longer deal, with the matter.","sortOrder":28},{"sectionNumber":"21","sectionType":"section","heading":"Identity cards","content":"#### 21 Identity cards\n\n21 Identity cards\n\n> > (1) The regulator must give each government official an identity card that states the person’s name and the office to which the person has been appointed and includes any other matter prescribed by the regulations.\n> > \n> > Note—\n> > \n> > Section 157 of the WHS Act requires a government official to produce his or her identity card on request when exercising compliance powers.\n> \n> > (2) If a person to whom an identity card has been issued ceases to be a government official, the person must return the identity card to the regulator as soon as practicable.\n> \n> > (3) A copy of the instrument of appointment of a person as a government official under section 18 (4) is taken to be the government official’s identity card for the purposes of the WHS laws.\n> \n> **s 21:** Am 2015 No 43, Sch 1 \\[38\\].","sortOrder":29},{"sectionNumber":"Division 2","sectionType":"division","heading":"Functions of government officials","content":"## Division 2 Functions of government officials\n\nDivision 2 Functions of government officials","sortOrder":30},{"sectionNumber":"22","sectionType":"section","heading":"Functions of government officials","content":"#### 22 Functions of government officials\n\n22 Functions of government officials\n\n> The functions of a government official are any functions conferred on the government official by this Act or the regulations.","sortOrder":31},{"sectionNumber":"23","sectionType":"section","heading":"Notifying mine operator or petroleum site operator of concerns","content":"#### 23 Notifying mine operator or petroleum site operator of concerns\n\n23 Notifying mine operator or petroleum site operator of concerns\n\n> A government official (other than an investigator) must give written notice to a mine operator or petroleum site operator of the following matters if the government official becomes aware of the matter in the exercise of his or her functions at the mine or petroleum site—\n> \n> > (a) any matter that the government official considers to be relevant to the continued safe operation of the mine or petroleum site,\n> \n> > (b) any matter that the government official considers to be relevant to the health and safety of workers at the mine or petroleum site.\n> \n> **s 23:** Am 2015 No 43, Sch 1 \\[39\\] \\[40\\].","sortOrder":32},{"sectionNumber":"24","sectionType":"section","heading":"Consideration and investigation of complaints","content":"#### 24 Consideration and investigation of complaints\n\n24 Consideration and investigation of complaints\n\n> > (1) The regulator is to ensure that if a complaint is made to the regulator or a government official by a safety and health representative concerning the health and safety of workers at a coal mine—\n> > \n> > > (a) the complaint is considered and, if the regulator considers it necessary, investigated, and\n> > \n> > > (b) the results of that consideration and any investigation are reported back to the safety and health representative.\n> \n> > (2) Nothing in this section prevents a safety and health representative from raising matters directly with the mine operator of a mine.","sortOrder":33},{"sectionNumber":"25","sectionType":"section","heading":"Offence of failing to comply with requirement of government official","content":"#### 25 Offence of failing to comply with requirement of government official\n\n25 Offence of failing to comply with requirement of government official\n\n> A person must not, without reasonable excuse, refuse or fail to comply with a requirement made by a government official in accordance with this Act.\n> \n> Maximum penalty—\n> \n> > (a) in the case of an individual—60 penalty units, or\n> \n> > (b) in the case of a body corporate—360 penalty units.\n> \n> Note—\n> \n> The WHS Act also makes it an offence to hinder, impersonate or threaten a government official. See Division 6 of Part 9, which applies to government officials because they are inspectors under the WHS Act and the functions that they exercise under this Act are compliance powers under the WHS Act.\n> \n> **s 25:** Am 2022 No 24, Sch 1\\[6\\] \\[7\\].","sortOrder":34},{"sectionNumber":"26","sectionType":"section","heading":"Government officials subject to regulator’s direction","content":"#### 26 Government officials subject to regulator’s direction\n\n26 Government officials subject to regulator’s direction\n\n> > (1) A government official is subject to the regulator’s directions in the exercise of the government official’s compliance powers.\n> \n> > (2) A direction under subsection (1) may be of a general nature or may relate to a specified matter or specified class of matter.","sortOrder":35},{"sectionNumber":"Part 5","sectionType":"part","heading":"Safety and health representatives for coal mines","content":"# Part 5 Safety and health representatives for coal mines\n\nPart 5 Safety and health representatives for coal mines","sortOrder":36},{"sectionNumber":"27","sectionType":"section","heading":"Part applies only to coal mines","content":"#### 27 Part applies only to coal mines\n\n27 Part applies only to coal mines\n\n> > (1) This Part applies only to coal mines.\n> \n> > (2) This Part does not apply to a coal mine if the only mining operation being carried out at the coal mine is exploring for coal.\n> \n> > (3) The regulations may exclude parts of a coal mine from the application of this Part or from specific provisions of this Part.","sortOrder":38},{"sectionNumber":"28","sectionType":"section","heading":"Appointment of industry safety and health representatives","content":"#### 28 Appointment of industry safety and health representatives\n\n28 Appointment of industry safety and health representatives\n\n> > (1) In this section—\n> > \n> > eligible person means a person who—\n> > \n> > > (a) is a WHS entry permit holder, and\n> > \n> > > (b) has the qualifications (if any) prescribed by the regulations.\n> \n> > (2) The Minister may appoint a person as an industry safety and health representative if—\n> > \n> > > (a) the person is an eligible person, and\n> > \n> > > (b) the person is nominated by the Mining and Energy Union, and\n> > \n> > > (c) the person is, in the Minister’s opinion, a suitable person to be appointed as an industry safety and health representative.\n> \n> > (2AA) For the purpose of determining under subclause (2)(c) whether a person is suitable to be appointed as an industry safety and health representative, the Minister may make enquiries about the person the Minister considers appropriate, including—\n> > \n> > > (a) a nationwide criminal record check, and\n> > \n> > > (b) other relevant probity checks relating to the person’s previous employment or other activities.\n> \n> > (2A) The Minister must appoint a person under subsection (2) if there are fewer than 4 persons currently appointed as industry safety and health representatives.\n> \n> > (3) An appointment of an industry safety and health representative must be in writing.\n> \n> > (4) A person’s appointment as an industry safety and health representative is revoked if the person ceases to be an eligible person.\n> \n> > (5) The regulations may prescribe circumstances in which the Minister must suspend or revoke, or may not suspend or revoke, an appointment under this section.\n> > \n> > Note—\n> > \n> > Section 47 of the [Interpretation Act 1987](/view/html/inforce/current/act-1987-015) provides incidental powers with respect to appointments including providing a power to suspend or revoke any such appointment.\n> \n> > (6) A person whose appointment is suspended or revoked by the Minister may apply for an external review under section 229 of the WHS Act as if the person were an eligible person and the decision of the Minister to suspend or revoke the appointment were a reviewable decision. For the purposes of the review any reference in that section to the regulator is taken to include a reference to the Minister.\n> \n> **s 28:** Am 2016 No 55, Sch 1.34; 2019 No 1, Sch 2.44; 2022 No 24, Sch 1\\[8\\] \\[9\\]; 2023 No 40, Sch 4\\[1\\].","sortOrder":40},{"sectionNumber":"29","sectionType":"section","heading":"Functions of industry safety and health representatives","content":"#### 29 Functions of industry safety and health representatives\n\n29 Functions of industry safety and health representatives\n\n> > (1) An industry safety and health representative has the functions of a health and safety representative under the WHS Act for a work group, as if the work group comprised all workers at all coal mines.\n> \n> > (2) An industry safety and health representative has the following additional functions—\n> > \n> > > (a) to review the content and implementation of any safety management system required by the regulations in respect of a coal mine,\n> > \n> > > (b) to participate in investigations of events, occurrences or notifiable incidents at coal mines,\n> > \n> > > (c) to assist in the training of site safety and health representatives and electrical safety and health representatives.\n> \n> > (3) For the purposes of exercising a function, an industry safety and health representative—\n> > \n> > > (a) may enter and inspect a workplace or any part of a workplace at a coal mine at any time—\n> > > \n> > > > (i) after giving reasonable notice to the mine operator of the coal mine, or\n> > > \n> > > > (ii) without notice in the event of an incident or any situation involving a serious risk to the health or safety of a person emanating from an immediate or imminent exposure to a hazard, and\n> > \n> > > (b) may accompany a government official when the government official is carrying out an inspection of a workplace or part of a workplace at a coal mine.","sortOrder":41},{"sectionNumber":"30","sectionType":"section","heading":"Suspending operations","content":"#### 30 Suspending operations\n\n30 Suspending operations\n\n> > (1) An industry safety and health representative may give a direction to the mine operator of a coal mine to suspend mining operations at the coal mine if the industry safety and health representative is of the opinion that—\n> > \n> > > (a) there has been a failure at the coal mine to comply with the WHS laws or with any safety management system required by the regulations in respect of the coal mine, and\n> > \n> > > (b) because of that failure there is a danger to the health or safety of workers at the coal mine.\n> \n> > (2) A direction under this section must—\n> > \n> > > (a) be in the form (if any) approved by the regulator, and\n> > \n> > > (b) state that the industry safety and health representative is of the opinion referred to in subsection (1), and\n> > \n> > > (c) give particulars of the industry safety and health representative’s reasons for being of that opinion, and\n> > \n> > > (d) identify the mining operations that are to be suspended, and\n> > \n> > > (e) give particulars of any action that, in the industry safety and health representative’s opinion, could be taken to remove the danger.\n> \n> > (3) A mine operator who is given a direction must immediately—\n> > \n> > > (a) comply with the direction, and\n> > \n> > > (b) notify the regulator of the giving of the direction.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—100 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> > (4) An industry safety and health representative must take all reasonable steps to notify the regulator that the industry safety and health representative proposes to give a direction to a mine operator before the direction is given.\n> \n> > (5) An industry safety and health representative may instead notify the regulator as soon as practicable after giving a direction if the direction is given in relation to any situation involving a serious risk to the health or safety of a person emanating from an immediate or imminent exposure to a hazard.\n> \n> > (6) Failure to notify the regulator does not affect the validity of a direction.\n> \n> > (7) An industry safety and health representative must, as soon as practicable after giving a direction to a mine operator, give a copy of the direction to the regulator.\n> \n> > (8) A direction ceases to have effect at such time as an inspector attends and assesses the matters to which the direction relates.\n> \n> > (9) A direction also ceases to have effect if it is withdrawn by the industry safety and health representative by giving notice in writing to the mine operator.\n> \n> > (10) A direction under this section does not prevent the carrying out of work for the purpose of preventing or mitigating any danger to which the direction relates.\n> \n> **s 30:** Am 2022 No 24, Sch 1\\[4\\] \\[5\\].","sortOrder":42},{"sectionNumber":"31","sectionType":"section","heading":"Issue of provisional improvement notices","content":"#### 31 Issue of provisional improvement notices\n\n31 Issue of provisional improvement notices\n\n> > (1) An industry safety and health representative, in the exercise of the functions of a health and safety representative under the WHS Act, cannot issue a provisional improvement notice in relation to a matter if the regulator has already issued (or decided not to issue) a stop work order in relation to the same matter.\n> > \n> > Note—\n> > \n> > Section 90 (5) of the WHS Act prevents an industry safety and health representative issuing a provisional improvement notice if a government official has already issued (or decided not to issue) an improvement notice or prohibition notice in relation to the same matter.\n> \n> > (2) An industry safety and health representative must, as soon as practicable after issuing a provisional improvement notice and within the time (if any) prescribed by the regulations, give a copy of the notice to the regulator along with such other information in relation to the giving of the notice as may be prescribed by the regulations.","sortOrder":43},{"sectionNumber":"32","sectionType":"section","heading":"Delegation of functions to site safety and health representative","content":"#### 32 Delegation of functions to site safety and health representative\n\n32 Delegation of functions to site safety and health representative\n\n> > (1) An industry safety and health representative may delegate his or her functions under section 30 (Suspending operations) to a site safety and health representative.\n> \n> > (2) A delegation must be in writing and a copy must be given to the site safety and health representative, the mine operator of the relevant coal mine and the regulator.\n> \n> > (3) A site safety and health representative may only exercise delegated functions under this section if—\n> > \n> > > (a) the site safety and health representative has received any required training prescribed by the regulations, and\n> > \n> > > (b) the industry safety and health representative is not available or it is not practicable for him or her to attend at short notice.","sortOrder":44},{"sectionNumber":"33","sectionType":"section","heading":"Identification of industry safety and health representatives","content":"#### 33 Identification of industry safety and health representatives\n\n33 Identification of industry safety and health representatives\n\n> > (1) Every industry safety and health representative is to be issued with an identity card by the Minister.\n> \n> > (2) The identity card must—\n> > \n> > > (a) state that it is issued under this Act, and\n> > \n> > > (b) give the name of the person to whom it is issued, and\n> > \n> > > (c) state the date (if any) on which it expires, and\n> > \n> > > (d) include any other matter prescribed by the regulations.","sortOrder":45},{"sectionNumber":"34","sectionType":"section","heading":"Offence to hinder or obstruct","content":"#### 34 Offence to hinder or obstruct\n\n34 Offence to hinder or obstruct\n\n> A person must not intentionally hinder or obstruct an industry safety and health representative in exercising his or her functions, or induce or attempt to induce any other person to do so.\n> \n> Maximum penalty—\n> \n> > (a) in the case of an individual—100 penalty units, or\n> \n> > (b) in the case of a body corporate—500 penalty units.\n> \n> **s 34:** Am 2022 No 24, Sch 1\\[4\\] \\[5\\].","sortOrder":46},{"sectionNumber":"35","sectionType":"section","heading":"Offence to impersonate","content":"#### 35 Offence to impersonate\n\n35 Offence to impersonate\n\n> A person who is not an industry safety and health representative must not, in any way, hold himself or herself out to be an industry safety and health representative.\n> \n> Maximum penalty—100 penalty units.\n> \n> **s 35:** Am 2022 No 24, Sch 1\\[4\\].","sortOrder":47},{"sectionNumber":"36","sectionType":"section","heading":"Offence to assault, threaten or intimidate","content":"#### 36 Offence to assault, threaten or intimidate\n\n36 Offence to assault, threaten or intimidate\n\n> A person must not directly or indirectly assault, threaten or intimidate, or attempt to assault, threaten or intimidate, an industry safety and health representative or a person assisting an industry safety and health representative.\n> \n> Maximum penalty—\n> \n> > (a) in the case of an individual—500 penalty units or imprisonment for 2 years or both, or\n> \n> > (b) in the case of a body corporate—2,500 penalty units.\n> \n> **s 36:** Am 2022 No 24, Sch 1\\[5\\] \\[10\\].","sortOrder":48},{"sectionNumber":"Division 3","sectionType":"division","heading":"Mine safety and health representatives","content":"## Division 3 Mine safety and health representatives\n\nDivision 3 Mine safety and health representatives","sortOrder":49},{"sectionNumber":"37","sectionType":"section","heading":"Definition","content":"#### 37 Definition\n\n37 Definition\n\n> In this Division—\n> \n> mine safety and health representative means—\n> \n> > (a) a site safety and health representative, or\n> \n> > (b) an electrical safety and health representative.","sortOrder":50},{"sectionNumber":"38","sectionType":"section","heading":"Election of mine safety and health representatives","content":"#### 38 Election of mine safety and health representatives\n\n38 Election of mine safety and health representatives\n\n> > (1) An individual may be elected as a site safety and health representative for a coal mine if the individual has such qualifications and skills (if any) as may be prescribed by the regulations.\n> \n> > (2) An individual may be elected as an electrical safety and health representative for a coal mine if the individual has such qualifications and skills (if any) as may be prescribed by the regulations.\n> \n> > (3) More than one individual may be elected under subsection (1) or (2) if the mine operator of the mine agrees or the regulator directs.\n> \n> > (4) The person conducting an election must inform the regulator and an industry safety and health representative as soon as reasonably practicable after an individual is elected.\n> \n> > (5) The mine operator of the mine must, as soon as reasonably practicable after an individual is elected, cause one or more prominent notices to be displayed at the mine that are reasonably likely to ensure that all workers at the mine will be notified in a timely manner about the election of the individual.\n> \n> Maximum penalty—\n> \n> > (a) in the case of an individual—36 penalty units, or\n> \n> > (b) in the case of a body corporate—180 penalty units.\n> \n> **s 38:** Am 2022 No 24, Sch 1\\[11\\] \\[12\\].","sortOrder":51},{"sectionNumber":"39","sectionType":"section","heading":"Election procedure","content":"#### 39 Election procedure\n\n39 Election procedure\n\n> > (1) The election of a mine safety and health representative is to be conducted in accordance with the regulations and for that purpose the regulations may make provision for or with respect to the election of mine safety and health representatives, including the following—\n> > \n> > > (a) eligibility for election,\n> > \n> > > (b) eligibility to vote at an election,\n> > \n> > > (c) the nomination of candidates for election,\n> > \n> > > (d) the conduct of an election.\n> \n> > (2) An election of a mine safety and health representative for a coal mine must be held if one or more positions are vacant and—\n> > \n> > > (a) a worker at the coal mine requests in writing that an election be held, or\n> > \n> > > (b) the regulator directs that an election be held.\n> \n> > (3) If the number of candidates for election as a site safety and health representative or an electrical safety and health representative for a coal mine equals the number of vacancies for the particular office, the election need not be conducted and each candidate is to be taken to have been elected.","sortOrder":52},{"sectionNumber":"40","sectionType":"section","heading":"Term of office","content":"#### 40 Term of office\n\n40 Term of office\n\n> > (1) A mine safety and health representative for a coal mine holds office for 3 years.\n> \n> > (2) However, a person ceases to hold office before that time if—\n> > \n> > > (a) the person resigns that office by written notice given to the mine operator, or\n> > \n> > > (b) the person ceases to be eligible for election to that office, or\n> > \n> > > (c) the person is disqualified under this Division from acting in that office, or\n> > \n> > > (d) the person is removed from that office by a majority of the workers at the coal mine in accordance with the regulations.\n> \n> > (3) A mine safety and health representative is eligible for re-election.","sortOrder":53},{"sectionNumber":"41","sectionType":"section","heading":"Disqualification","content":"#### 41 Disqualification\n\n41 Disqualification\n\n> > (1) An application may be made to the Industrial Relations Commission to disqualify a mine safety and health representative on the ground that the representative has—\n> > \n> > > (a) exercised a function as a mine safety and health representative for an improper purpose, or\n> > \n> > > (b) used or disclosed any information he or she acquired as a mine safety and health representative for a purpose other than in connection with the role of mine safety and health representative.\n> \n> > (2) The following persons may make an application under this section—\n> > \n> > > (a) any person adversely affected by any such exercise of a function or use or disclosure of information,\n> > \n> > > (b) the regulator.\n> \n> > (3) If the Industrial Relations Commission is satisfied that a ground in subsection (1) is made out, the Commission may disqualify the mine safety and health representative for a specified period or indefinitely.","sortOrder":54},{"sectionNumber":"42","sectionType":"section","heading":"Functions of mine safety and health representatives","content":"#### 42 Functions of mine safety and health representatives\n\n42 Functions of mine safety and health representatives\n\n> > (1) A mine safety and health representative for a coal mine has all the functions of a health and safety representative under the WHS Act for a work group at the mine, as if the work group comprised all the workers at the mine.\n> > \n> > Example—\n> > \n> > The power to issue provisional improvement notices under the WHS Act.\n> \n> > (2) An electrical safety and health representative for a coal mine may only exercise his or her functions in relation to electrical installations and electrical equipment and any issues and risks arising from their use.\n> \n> > (3) A mine safety and health representative for a coal mine may observe any formal investigation conducted by or on behalf of the mine operator of an event or other occurrence at the coal mine that must be notified to the regulator.\n> \n> > (4) The fact that there may be one or more health and safety representatives under the WHS Act for workers at a coal mine does not limit the functions of a mine safety and health representative for the coal mine.","sortOrder":55},{"sectionNumber":"43","sectionType":"section","heading":"Issue of provisional improvement notices","content":"#### 43 Issue of provisional improvement notices\n\n43 Issue of provisional improvement notices\n\n> > (1) A health and safety representative under the WHS Act for a work group that comprises workers at a coal mine cannot issue a provisional improvement notice in relation to the coal mine while there is—\n> > \n> > > (a) a site safety and health representative for the coal mine, or\n> > \n> > > (b) an electrical safety and health representative for the coal mine, but only if—\n> > > \n> > > > (i) there is no site safety and health representative for the coal mine, and\n> > > \n> > > > (ii) the provisional improvement notice relates only to electrical installations and electrical equipment and any issues and risks arising from their use.\n> \n> > (2) A mine safety and health representative for a coal mine, in the exercise of the functions of a health and safety representative under the WHS Act, cannot issue a provisional improvement notice in relation to a matter if—\n> > \n> > > (a) the regulator has already issued (or decided not to issue) a stop work order in relation to the same matter, or\n> > \n> > > (b) an industry safety and health representative has already issued (or decided not to issue) a provisional improvement notice in relation to the same matter.\n> > \n> > Note—\n> > \n> > Section 90 (5) of the WHS Act prevents a mine safety and health representative from issuing a provisional improvement notice if a government official has already issued (or decided not to issue) an improvement notice or prohibition notice in relation to the same matter.\n> \n> > (3) A mine safety and health representative for a coal mine must, before issuing a provisional improvement notice, take reasonable steps to consult with a health and safety representative under the WHS Act for a work group that comprises workers at the coal mine but only if workers in that work group will be affected by the notice.\n> \n> > (4) A failure to consult under subsection (3) does not affect the validity of the provisional improvement notice.\n> \n> > (5) A mine safety and health representative for a coal mine cannot issue a provisional improvement notice unless the person has completed the course of training required by section 45.\n> \n> > (6) A mine safety and health representative must, as soon as practicable after issuing a provisional improvement notice and before the time (if any) prescribed by the regulations, give a copy of the notice to the regulator.","sortOrder":56},{"sectionNumber":"44","sectionType":"section","heading":"Government officials to consult with mine safety and health representatives","content":"#### 44 Government officials to consult with mine safety and health representatives\n\n44 Government officials to consult with mine safety and health representatives\n\n> > (1) A government official who proposes to inspect a coal mine in connection with any matter that may affect the health and safety of workers at the mine must (if it is reasonably practicable to do so)—\n> > \n> > > (a) consult regarding the proposed inspection with—\n> > > \n> > > > (i) a site safety and health representative for the coal mine, and\n> > > \n> > > > (ii) an electrical safety and health representative for the coal mine, if the matter relates to electrical installations and electrical equipment and any issues and risks arising from their use, and\n> > \n> > > (b) permit each such mine safety and health representative to accompany the government official on the inspection.\n> \n> > (2) A failure by a government official to comply with this section does not affect the exercise of any function by the government official.","sortOrder":57},{"sectionNumber":"45","sectionType":"section","heading":"Training of mine safety and health representatives","content":"#### 45 Training of mine safety and health representatives\n\n45 Training of mine safety and health representatives\n\n> > (1) A mine safety and health representative for a coal mine must undertake a course of training relating to work health and safety that is accredited by the regulator for the purposes of this section.\n> \n> > (2) The mine operator of a coal mine must ensure that a person who is elected to be a mine safety and health representative for the coal mine undertakes the course of training as soon as is reasonably practicable after the person is elected.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—100 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> > (3) The mine operator of a coal mine must ensure that a mine safety and health representative for the coal mine is permitted to take any time off work, without loss of remuneration or other entitlements, that is necessary to undertake the training.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—100 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> **s 45:** Am 2022 No 24, Sch 1\\[4\\] \\[5\\].","sortOrder":58},{"sectionNumber":"46","sectionType":"section","heading":"Reports by mine safety and health representatives","content":"#### 46 Reports by mine safety and health representatives\n\n46 Reports by mine safety and health representatives\n\n> > (1) A mine safety and health representative for a coal mine must, within 7 days after making an inspection of the coal mine or of any part of the coal mine, give the mine operator of the coal mine a report of the results of the inspection.\n> > \n> > Maximum penalty—5 penalty units.\n> \n> > (2) The mine operator of the coal mine must keep any such report at the mine for at least 12 months after it is made.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—100 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> > (3) The regulations may limit the kinds of inspection to which this section applies.\n> \n> **s 46:** Am 2022 No 24, Sch 1\\[4\\] \\[5\\] \\[13\\].","sortOrder":59},{"sectionNumber":"47","sectionType":"section","heading":"Reporting of dangers","content":"#### 47 Reporting of dangers\n\n47 Reporting of dangers\n\n> > (1) A mine safety and health representative who finds any of the following during an inspection of a coal mine must record the finding in a book or other form of record (to be kept at the coal mine by the mine operator for that purpose) on the day of the inspection and before the representative leaves the coal mine following the inspection—\n> > \n> > > (a) a danger in relation to noxious or flammable gas,\n> > \n> > > (b) a danger in relation to the existence of self-heating by coal or other material,\n> > \n> > > (c) any other condition from which danger to the coal mine or to the safety or health of persons employed at the coal mine may be apprehended.\n> \n> > (2) The mine operator of a coal mine must immediately inform the regulator of the contents of any record made as referred to in subsection (1) and must cause a copy of the record to be given to the regulator.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—100 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> > (3) The regulations may prescribe how the regulator is required to be informed under this section and what additional information (if any) must be given to the regulator.\n> \n> **s 47:** Am 2022 No 24, Sch 1\\[4\\] \\[5\\].","sortOrder":60},{"sectionNumber":"48","sectionType":"section","heading":"No obligation to exercise function","content":"#### 48 No obligation to exercise function\n\n48 No obligation to exercise function\n\n> Nothing in this Act, other than a provision creating an offence, imposes an obligation on a person to exercise any function because the person is a mine safety and health representative.","sortOrder":61},{"sectionNumber":"Part 6","sectionType":"part","heading":"Enforcement measures","content":"# Part 6 Enforcement measures\n\nPart 6 Enforcement measures","sortOrder":62},{"sectionNumber":"49","sectionType":"section","heading":"Improvement notices","content":"#### 49 Improvement notices\n\n49 Improvement notices\n\n> > (1) This section sets out additional circumstances in which an improvement notice may be given by a government official who is exercising the functions of an inspector under section 191 of the WHS Act.\n> \n> > (2) The government official may give an improvement notice under section 191 of the WHS Act if the government official reasonably believes that a person is likely to contravene a provision of the WHS laws.\n> \n> > (3) Any such improvement notice is not required to state the matters set out in section 192 (1) of the WHS Act but must instead state the following—\n> > \n> > > (a) that the person giving the notice believes that the person to whom the notice has been given is likely to contravene a provision of the WHS laws,\n> > \n> > > (b) the provision that is likely to be contravened,\n> > \n> > > (c) briefly, how the provision is likely to be contravened,\n> > \n> > > (d) the day by which the person is required to comply with the notice.","sortOrder":64},{"sectionNumber":"50","sectionType":"section","heading":"Prohibition notices","content":"#### 50 Prohibition notices\n\n50 Prohibition notices\n\n> > (1) This section sets out additional circumstances in which a direction or a prohibition notice may be given by a government official who is exercising the functions of an inspector under section 195 of the WHS Act.\n> \n> > (2) A government official may give a direction under section 195 of the WHS Act if the government official believes that—\n> > \n> > > (a) an activity is occurring at a workplace that involves a serious risk to the health or safety of a person, or\n> > \n> > > (b) an activity may occur at a workplace that, if it occurs, could involve a serious risk to the health or safety of a person, or\n> > \n> > > (c) an activity at a workplace has caused, or is causing, a contravention of a provision of the WHS laws, being a provision that is prescribed by the regulations.\n> \n> > (3) Section 196 (1) (c) of the WHS Act does not apply to a prohibition notice issued in relation to a direction referred to in subsection (2) (a) or (b).\n> \n> > (4) Section 196 (1) (b) of the WHS Act does not apply to a prohibition notice issued in relation to a direction referred to in subsection (2) (c).","sortOrder":65},{"sectionNumber":"51","sectionType":"section","heading":"Regulator may make stop work orders","content":"#### 51 Regulator may make stop work orders\n\n51 Regulator may make stop work orders\n\n> > (1) The regulator may make an order (a stop work order) requiring a person conducting a business or undertaking at a mine or petroleum site to stop any activity at any place specified in the order.\n> \n> > (2) A stop work order may also require the person conducting the business or undertaking to carry out any activity that the regulator considers to be necessary to ensure that the place to which the order relates is made safe.\n> \n> > (3) The regulator may make a stop work order only if the regulator reasonably believes that the making of the order is necessary to prevent a serious risk to the health or safety of any person.\n> \n> > (4) If a stop work order requires an activity to be carried out it must specify a time within which the activity is to be carried out.\n> \n> > (5) The regulator is not required to notify any person before making a stop work order.\n> \n> > (6) A copy of the stop work order must be given to the person conducting the business or undertaking.\n> \n> > (7) The person conducting the business or undertaking must give a copy of the stop work order to the relevant mine operator or petroleum site operator (unless that person is the mine operator or petroleum site operator).\n> \n> > (8) A stop work order takes effect when the person conducting the business or undertaking is first notified by the regulator that the order has been made (whether under subsection (6) or otherwise).\n> \n> > (9) A stop work order remains in force for the time specified in the order, being no more than 28 days.\n> \n> > (10) The regulator may revoke a stop work order if the regulator is satisfied that the order is no longer necessary to prevent a serious risk to the health or safety of any person.\n> \n> > (11) The regulator must, immediately after making a stop work order, consult with the person conducting the business or undertaking to determine whether the person seeks any modifications to the order.\n> \n> > (12) A stop work order is modified by substituting a new order made in accordance with this section.\n> \n> > (13) More than one stop work order may be made under this section in relation to the same person and the same activity even if the orders together have effect for a period of more than 28 days.\n> \n> **s 51:** Am 2015 No 43, Sch 1 \\[41\\] \\[42\\].","sortOrder":67},{"sectionNumber":"52","sectionType":"section","heading":"Stop work order prevails over other instruments","content":"#### 52 Stop work order prevails over other instruments\n\n52 Stop work order prevails over other instruments\n\n> Each of the following is inoperative to the extent, and during any period, that it is inconsistent with a stop work order regardless of whether it was made before or after the stop work order—\n> \n> > (a) a non-disturbance notice, improvement notice or prohibition notice issued under the WHS Act,\n> \n> > (b) an approval, notice, order or other instrument made or issued by or under any other Act that requires or permits an activity to which the stop work order applies.","sortOrder":68},{"sectionNumber":"53","sectionType":"section","heading":"Costs of enforcing stop work order","content":"#### 53 Costs of enforcing stop work order\n\n53 Costs of enforcing stop work order\n\n> > (1) If a person does not comply with a stop work order, the regulator may cause work to be carried out for the purposes of carrying out the requirements of the order.\n> \n> > (2) Reasonable costs and expenses incurred by or on behalf of the regulator under this section are recoverable by the regulator as a debt due to the Crown by the person.\n> \n> > (3) In any proceedings instituted for the recovery of any such debt, a certificate of the regulator specifying that an amount is the amount of the debt is evidence of that fact.\n> \n> > (4) Any such debt is recoverable whether or not a person is convicted of an offence under section 55 (Offence—failure to comply with stop work order).\n> \n> > (5) A court that finds a person guilty of an offence under that section may, on the application of the prosecutor, order the person to pay to the Crown any amount the Crown is entitled to recover from the person under this section.","sortOrder":69},{"sectionNumber":"54","sectionType":"section","heading":"Entry on land for purposes of carrying out order","content":"#### 54 Entry on land for purposes of carrying out order\n\n54 Entry on land for purposes of carrying out order\n\n> A person may enter and remain on any land and may carry out works on the land if—\n> \n> > (a) the person is carrying out the works in accordance with a stop work order, and\n> \n> > (b) the person is the subject of the order or is a person carrying out the requirements of the order on behalf of that person or on behalf of the regulator, and\n> \n> > (c) the occupier of the land has been given reasonable notice of the proposed entry to the land.","sortOrder":70},{"sectionNumber":"55","sectionType":"section","heading":"Offence—failure to comply with stop work order","content":"#### 55 Offence—failure to comply with stop work order\n\n55 Offence—failure to comply with stop work order\n\n> A person must comply with a stop work order.\n> \n> Maximum penalty—\n> \n> > (a) in the case of an individual—1,000 penalty units and in the case of a continuing offence, a further penalty not exceeding 100 penalty units for each day the offence continues, or\n> \n> > (b) in the case of a body corporate—5,000 penalty units and in the case of a continuing offence, a further penalty not exceeding 500 penalty units for each day the offence continues.\n> \n> **s 55:** Am 2022 No 24, Sch 1\\[4\\] \\[5\\] \\[14\\] \\[15\\].","sortOrder":71},{"sectionNumber":"Part 7","sectionType":"part","heading":"Inquiries","content":"# Part 7 Inquiries\n\nPart 7 Inquiries","sortOrder":72},{"sectionNumber":"56","sectionType":"section","heading":"Boards of Inquiry","content":"#### 56 Boards of Inquiry\n\n56 Boards of Inquiry\n\n> > (1) The Minister may constitute a person as a Board of Inquiry to conduct an inquiry into any of the following—\n> > \n> > > (a) a notifiable incident,\n> > \n> > > (b) any event, occurrence, practice or matter that may affect the health and safety of workers or other persons at a mine or petroleum site,\n> > \n> > > (c) anything prescribed by the regulations.\n> \n> > (2) The Minister is to provide terms of reference for the inquiry when constituting the Board of Inquiry.\n> \n> > (3) In conducting an inquiry, a Board of Inquiry—\n> > \n> > > (a) is not bound to act in a formal manner, and\n> > \n> > > (b) is not bound by the rules of evidence and may inform itself on any matter in any way that it considers appropriate.\n> \n> > (4) If the Board of Inquiry agrees, an agent (including a legal practitioner) may represent a person or body at an inquiry.\n> \n> > (5) A Board of Inquiry is to determine its own procedure, except as provided by this Act.\n> \n> > (6) A Board of Inquiry conducting an inquiry may be assisted by a legal practitioner appointed by the Minister for the purposes of the inquiry.\n> \n> > (7) A court (which for the purposes of this subsection includes a person conducting coronial proceedings within the meaning of the [Coroners Act 2009](/view/html/inforce/current/act-2009-041)) may by order suspend an inquiry if the court is of the opinion that the inquiry may prejudice a matter before the court. An inquiry is suspended for the time specified in the order.\n> \n> **s 56:** Am 2015 No 43, Sch 1 \\[43\\].","sortOrder":73},{"sectionNumber":"57","sectionType":"section","heading":"Assessors","content":"#### 57 Assessors\n\n57 Assessors\n\n> > (1) A Board of Inquiry, when conducting and making a determination in respect of an inquiry, is to sit with one or more assessors appointed by the Minister for the purposes of the inquiry.\n> \n> > (2) An assessor sitting with a Board of Inquiry has the power to advise the Board of Inquiry but not to adjudicate on any matter before the Board of Inquiry.\n> \n> > (3) A Board of Inquiry has the right to consult, either collectively or individually and either in public or in private, with assessors sitting with it.","sortOrder":74},{"sectionNumber":"58","sectionType":"section","heading":"Witnesses and evidence at inquiries","content":"#### 58 Witnesses and evidence at inquiries\n\n58 Witnesses and evidence at inquiries\n\n> > (1) A Board of Inquiry may by summons require a person to appear at an inquiry conducted by the Board to give evidence and to produce any documents that are specified in the summons.\n> \n> > (2) A Board of Inquiry may require a person appearing at an inquiry to do any one or more of the following—\n> > \n> > > (a) be sworn or affirmed,\n> > \n> > > (b) produce a document,\n> > \n> > > (c) answer a question.\n> \n> > (3) A Board of Inquiry may administer an oath to, or take an affirmation from, a person appearing at an inquiry.\n> \n> > (4) A person attending as a witness before a Board of Inquiry is to be paid expenses of the amount or at the rate approved by the Minister for the purposes of this section.\n> \n> > (5) A person is not excused from a requirement under this section to answer a question on the ground that the answer might incriminate the person or make the person liable to a penalty.\n> \n> > (6) However, any answer given by a natural person in compliance with a requirement under this section is not admissible in evidence against the person in criminal proceedings (except proceedings for an offence under this section) if—\n> > \n> > > (a) the person objected at the time to answering the question on the ground that it might incriminate the person, or\n> > \n> > > (b) the person was not warned on that occasion that the person may object to answering the question on the ground that it might incriminate the person.\n> \n> > (7) Further information obtained as a result of an answer given under this section is not inadmissible on the ground that the answer had to be given or that the answer might incriminate the person.\n> \n> > (8) A person must not, without reasonable excuse, fail to comply with a requirement made of the person under this section.\n> > \n> > Maximum penalty—\n> > \n> > > (a) in the case of an individual—250 penalty units, or\n> > \n> > > (b) in the case of a body corporate—500 penalty units.\n> \n> **s 58:** Am 2022 No 24, Sch 1\\[5\\] \\[16\\].","sortOrder":75},{"sectionNumber":"59","sectionType":"section","heading":"Report by Board of Inquiry","content":"#### 59 Report by Board of Inquiry\n\n59 Report by Board of Inquiry\n\n> > (1) A Board of Inquiry must, within the period required by the Minister, prepare and provide to the Minister a report as to its findings in accordance with its terms of reference.\n> \n> > (2) A Board of Inquiry may, if it is of the opinion that it is in the public interest to do so, recommend in its report that some or all of the report should not be made public.\n> \n> > (3) The Minister is to table a report in each House of Parliament within 28 days after being provided with the report.\n> \n> > (4) Subsection (3) does not apply to a report or any part of a report that a Board of Inquiry has recommended should not be made public.","sortOrder":76},{"sectionNumber":"Part 8","sectionType":"part","heading":"Statutory bodies","content":"# Part 8 Statutory bodies\n\nPart 8 Statutory bodies","sortOrder":77},{"sectionNumber":"60","sectionType":"section","heading":"Establishment of Council","content":"#### 60 Establishment of Council\n\n60 Establishment of Council\n\n> The Minister is to establish a Mine Safety Advisory Council that includes representation from peak mine operator and mine worker organisations.","sortOrder":79},{"sectionNumber":"61","sectionType":"section","heading":"Functions of Council","content":"#### 61 Functions of Council\n\n61 Functions of Council\n\n> The Mine Safety Advisory Council has the following functions—\n> \n> > (a) to provide advice to the Minister on any policy matter relating to work health and safety in mines,\n> \n> > (b) any other advisory function relating to work health and safety in mines that is prescribed by the regulations.","sortOrder":80},{"sectionNumber":"62","sectionType":"section","heading":"Regulations","content":"#### 62 Regulations\n\n62 Regulations\n\n> The regulations may make provision for or with respect to the constitution, members and procedure of the Mine Safety Advisory Council.","sortOrder":81},{"sectionNumber":"63","sectionType":"section","heading":"Constitution of Mining and Petroleum Competence Board","content":"#### 63 Constitution of Mining and Petroleum Competence Board\n\n63 Constitution of Mining and Petroleum Competence Board\n\n> > (1) There is constituted by this Act a body corporate with the corporate name of the Mining and Petroleum Competence Board.\n> \n> > (2) The Board represents the Crown.\n> \n> **s 63:** Am 2015 No 43, Sch 1 \\[45\\].","sortOrder":83},{"sectionNumber":"64","sectionType":"section","heading":"Ministerial control of Board","content":"#### 64 Ministerial control of Board\n\n64 Ministerial control of Board\n\n> The Board is subject to the control and direction of the Minister.","sortOrder":84},{"sectionNumber":"65","sectionType":"section","heading":"Membership of Board","content":"#### 65 Membership of Board\n\n65 Membership of Board\n\n> > (1) The Board is made up of the following persons appointed by the Minister—\n> > \n> > > (a) the Chairperson of the Board,\n> > \n> > > (b) such number of persons as the Minister determines, selected in accordance with the regulations, to represent the interests of employers in the mining industry,\n> > \n> > > (b1) such number of persons as the Minister determines, selected in accordance with the regulations, to represent the interests of employers in the petroleum industry,\n> > \n> > > (c) such number of persons as the Minister determines, selected in accordance with the regulations, to represent the interests of workers in the mining industry,\n> > \n> > > (c1) such number of persons as the Minister determines, selected in accordance with the regulations, to represent the interests of workers in the petroleum industry,\n> > \n> > > (d) no more than 4 additional persons who have expertise in the development and assessment of competence of persons performing functions at mines or petroleum sites,\n> > \n> > > (e) 2 officers of the Department.\n> \n> > (2) The regulations may make provision for or with respect to the submission of representatives under this section and the appointment of members of the Board.\n> \n> > (3) The Minister may only appoint a person to be the Chairperson of the Board if the person—\n> > \n> > > (a) is not an officer of the Department, and\n> > \n> > > (b) is, in the Minister’s opinion, independent of any entities prescribed by the regulations as entities that may nominate persons to represent the interests of employers or workers for the purposes of subsection (1).\n> \n> **s 65:** Am 2015 No 43, Sch 1 \\[46\\]–\\[48\\]; 2022 No 24, Sch 1\\[17\\] \\[18\\].","sortOrder":85},{"sectionNumber":"66","sectionType":"section","heading":"Procedure of Board","content":"#### 66 Procedure of Board\n\n66 Procedure of Board\n\n> > (1) The regulations may make provision for or with respect to the procedure of the Board.\n> \n> > (2) The Board may make rules about the procedure of the Board that are not inconsistent with this Act or the regulations. Those rules are subject to any direction of the Minister.","sortOrder":86},{"sectionNumber":"67","sectionType":"section","heading":"Functions of Board","content":"#### 67 Functions of Board\n\n67 Functions of Board\n\n> > (1) The Board has the following functions—\n> > \n> > > (a) to oversee the development of competence standards for persons exercising functions at a mine or petroleum site that may impact on the health and safety of any person,\n> > \n> > > (b) to undertake initial and ongoing assessments of the competence of persons exercising any such function,\n> > \n> > > (c) to advise the Minister on matters related to the competence required of persons to exercise any such function.\n> \n> > (2) The Board also has any function conferred or imposed on it by this Act, the regulations or the Minister.\n> \n> > (3) Without limiting subsection (1), the Board may do any or all of the following for the purpose of carrying out its functions—\n> > \n> > > (a) engage consultants,\n> > \n> > > (b) develop competence standards or cause competence standards to be developed,\n> > \n> > > (c) assess a person’s competence, cause a person’s competence to be assessed or accept an assessment of a person’s competence.\n> \n> **s 67:** Am 2015 No 43, Sch 1 \\[49\\].","sortOrder":87},{"sectionNumber":"68","sectionType":"section","heading":"Annual report","content":"#### 68 Annual report\n\n68 Annual report\n\n> The Board must, within 6 months after the end of June each year, make an annual report of its activities during the preceding year to the Minister.","sortOrder":88},{"sectionNumber":"Part 9","sectionType":"part","heading":"Miscellaneous","content":"# Part 9 Miscellaneous\n\nPart 9 Miscellaneous","sortOrder":89},{"sectionNumber":"69","sectionType":"section","heading":"Service of documents","content":"#### 69 Service of documents\n\n69 Service of documents\n\n> > (1) A document that is authorised or required by this Act or the regulations to be served on any person may be served by—\n> > \n> > > (a) in the case of a natural person—\n> > > \n> > > > (i) delivering it to the person personally, or\n> > > \n> > > > (ii) sending it by post to the address specified by the person for the giving or service of documents or, if no such address is specified, the residential or business address of the person last known to the person giving or serving the document, or\n> > > \n> > > > (iii) sending it by facsimile transmission to the facsimile number of the person, or\n> > > \n> > > > (iv) sending it by email to an email address specified by the person for the giving or service of documents, or\n> > \n> > > (b) in the case of a body corporate—\n> > > \n> > > > (i) leaving it with a person apparently of or above the age of 16 years at, or by sending it by post to, the head office, a registered office or a principal office of the body corporate or to an address specified by the body corporate for the giving or service of documents, or\n> > > \n> > > > (ii) sending it by facsimile transmission to the facsimile number of the body corporate, or\n> > > \n> > > > (iii) sending it by email to an email address specified by the body corporate for the giving or service of documents.\n> \n> > (2) A document that is authorised or required by this Act or the regulations to be served on—\n> > \n> > > (a) the petroleum site operator of a petroleum site, may also be served by leaving it with a worker at the petroleum site, or\n> > \n> > > (b) the mine operator of a mine, may also be served by leaving it with a worker at the mine, or\n> > \n> > > (c) an industry safety and health representative, may also be served by sending it to any district or national office of the Mining and Energy Union or by leaving it with a person apparently of or above the age of 16 years at any such office.\n> \n> > (2A) If the regulator has specified, by order published in the Gazette, a person, place or address (including an email address) for the service of any document that is authorised or required by this Act or the regulations to be served on the regulator, the document may be served only by delivering it to that person, place or address.\n> \n> > (3) Nothing in this section affects the operation of any provision of a law or of the rules of a court authorising a document to be served on a person in any other manner.\n> \n> > (4) In this section, a reference to a document being served on a person includes a reference to any document being given to the person.\n> \n> **s 69:** Am 2015 No 43, Sch 1 \\[50\\] \\[51\\]; 2019 No 1, Sch 2.44; 2022 No 24, Sch 1\\[19\\] \\[20\\]; 2023 No 40, Sch 4\\[2\\].","sortOrder":90},{"sectionNumber":"70","sectionType":"section","heading":"Publication of information by regulator","content":"#### 70 Publication of information by regulator\n\n70 Publication of information by regulator\n\n> > (1) The regulator may publish any information concerning any of the following matters—\n> > \n> > > (a) the conviction of a person for an offence against the WHS laws,\n> > \n> > > (b) any investigation conducted under the WHS laws of a possible contravention of the WHS laws,\n> > \n> > > (c) any action taken by the regulator under the WHS laws for the purpose of enforcing compliance with or preventing a contravention of the WHS laws (including the issue of any notice or the acceptance of any undertaking for that purpose),\n> > \n> > > (d) any incident or other matter that may be of relevance to mine operators, petroleum site operators, persons conducting businesses and undertakings or workers in connection with compliance by them with duties imposed by the WHS laws,\n> > \n> > > (e) any matter prescribed by the regulations.\n> \n> > (2) No liability is incurred by the State in respect of anything done in good faith for the purpose of publishing information under this section.\n> \n> > (3) No liability is incurred by a person publishing in good faith information that has been published under this section.\n> \n> > (4) In this section—\n> > \n> > liability includes liability in defamation.\n> \n> **s 70:** Am 2015 No 43, Sch 1 \\[52\\].","sortOrder":91},{"sectionNumber":"71","sectionType":"section","heading":"Sharing of information with corresponding regulator","content":"#### 71 Sharing of information with corresponding regulator\n\n71 Sharing of information with corresponding regulator\n\n> > (1) The regulator or a member of staff of the regulator is authorised to disclose information or give access to a document to a corresponding regulator or a member of staff of a corresponding regulator if the disclosure or giving of access is for the purpose of assisting the corresponding regulator to exercise the functions of the corresponding regulator under a corresponding WHS law.\n> \n> > (2) Section 271 of the WHS Act applies to the use of information or a document that a person obtains or gains access to as a result of the disclosure of the information or the giving of access to the document as authorised by a provision of a corresponding WHS law equivalent to this section, as if the person had obtained the information or gained access to the document in exercising a function under this Act or the WHS Act.\n> \n> > (3) Section 271 of the WHS Act does not apply to the disclosure of information or giving of access to a document as authorised by this section.","sortOrder":92},{"sectionNumber":"72","sectionType":"section","heading":"Mining and petroleum codes of practice","content":"#### 72 Mining and petroleum codes of practice\n\n72 Mining and petroleum codes of practice\n\n> > (1) A reference in section 274 of the WHS Act to the Minister is taken to include a reference to the Minister administering this Act if the code of practice is to be made in respect of mines, mining operations, petroleum sites or petroleum operations.\n> \n> > (2) In developing a code of practice that relates to a particular class of mine, mining operations, petroleum site or petroleum operations, consultation is not required to take place under section 274 (2) (a) of the WHS Act with a jurisdiction if the Minister reasonably believes that the class of mine or petroleum site does not exist, or the class of mining operations or petroleum operations does not take place, in that jurisdiction.\n> \n> **s 72:** Am 2015 No 43, Sch 1 \\[53\\]–\\[56\\].","sortOrder":93},{"sectionNumber":"73","sectionType":"section","heading":"Immunity from liability","content":"#### 73 Immunity from liability\n\n73 Immunity from liability\n\n> For the avoidance of doubt, the following persons are persons engaged in the administration of this Act and the WHS Act for the purposes of section 270 of the WHS Act—\n> \n> > (a) a member of the Mine Safety Advisory Council,\n> \n> > (b) a member of the Mining and Petroleum Competence Board,\n> \n> > (c) a person who constitutes a Board of Inquiry,\n> \n> > (d) an assessor sitting with a Board of Inquiry,\n> \n> > (e) an industry safety and health representative.\n> \n> **s 73:** Am 2015 No 43, Sch 1 \\[57\\].","sortOrder":94},{"sectionNumber":"74","sectionType":"section","heading":"Functions of regulator","content":"#### 74 Functions of regulator\n\n74 Functions of regulator\n\n> The regulator, in addition to the functions set out in section 152 of the WHS Act, has the function of advising and making recommendations to the Minister and reporting on the operation and effectiveness of the WHS laws.","sortOrder":95},{"sectionNumber":"75","sectionType":"section","heading":"Delegation of functions by Minister","content":"#### 75 Delegation of functions by Minister\n\n75 Delegation of functions by Minister\n\n> The Minister may, by instrument in writing, delegate to the head of the Department any of the functions conferred or imposed on the Minister by or under this Act (other than this power of delegation).\n> \n> Note—\n> \n> The delegation of functions by the regulator is provided for by section 154 of the WHS Act.","sortOrder":96},{"sectionNumber":"76","sectionType":"section","heading":"Regulations","content":"#### 76 Regulations\n\n76 Regulations\n\n> > (1) The Governor may make regulations, not inconsistent with this Act, for or with respect to any matter that by this Act is required or permitted to be prescribed or that is necessary or convenient to be prescribed for carrying out or giving effect to this Act.\n> \n> > (2) Without limiting subsection (1), the regulations may make provision for or in relation to matters set out in Schedule 2.\n> \n> > (3) Without limiting subsection (1), the regulations under this Act may make provision for or in relation to any matter for or in relation to which regulations may be made under the WHS Act.\n> \n> > (4) Without limiting subsection (1), the regulations may be made in respect of an activity in relation to mining operations that takes place at a workplace other than a mine.\n> \n> > (4A) Without limiting subsection (1), the regulations may be made in respect of an activity in relation to petroleum operations that takes place at a workplace other than a petroleum site.\n> \n> > (5) A reference in the WHS Act to the WHS Act in or in connection with a power to make regulations under that Act is to be read as including a reference to this Act.\n> \n> > (6) The Minister is not to recommend the making of a regulation containing provisions that confer jurisdiction of the Civil and Administrative Tribunal to exercise functions unless the Minister certifies that the Minister administering the [Civil and Administrative Tribunal Act 2013](/view/html/inforce/current/act-2013-002) has agreed to the provisions.\n> \n> **s 76:** Am 2013 No 95, Sch 2.154 \\[1\\]; 2015 No 43, Sch 1 \\[58\\].","sortOrder":97},{"sectionNumber":"77","sectionType":"section","heading":"Review of Act","content":"#### 77 Review of Act\n\n77 Review of Act\n\n> > (1) The Minister is to review this Act to determine whether the policy objectives of the Act remain valid and whether the terms of the Act remain appropriate for securing those objectives.\n> \n> > (2) The review is to be undertaken as soon as possible after the period of 5 years from the commencement of this Act.\n> \n> > (3) A report on the outcome of the review is to be tabled in each House of Parliament within 12 months after the end of the period of 5 years.","sortOrder":98},{"sectionNumber":"78","sectionType":"section","heading":null,"content":"#### 78\n\n78 (Repealed)","sortOrder":99},{"sectionNumber":"Schedule 1","sectionType":"schedule","heading":"Savings, transitional and other provisions","content":"# Schedule 1 Savings, transitional and other provisions\n\nSchedule 1 Savings, transitional and other provisions\n\n**sch 1:** Am 2013 No 84, Sch 1.2; 2014 No 71, Sch 1 \\[8\\] \\[9\\]; 2015 No 43, Sch 1 \\[59\\]–\\[61\\].","sortOrder":101},{"sectionNumber":"Schedule 2","sectionType":"schedule","heading":"Regulation-making powers","content":"# Schedule 2 Regulation-making powers\n\nSchedule 2 Regulation-making powers\n\n(Section 76)\n\n**sch 2:** Am 2013 No 95, Sch 2.154 \\[2\\].","sortOrder":124},{"sectionNumber":"Schedule 3","sectionType":"schedule","heading":null,"content":"# Schedule 3\n\nSchedule 3 (Repealed)\n\n**sch 3:** Am 2014 No 71, Sch 1 \\[10\\]. Rep 1987 No 15, sec 30C.","sortOrder":128}],"analysis":{"kimi_summary":{"_metrics":{"provider":"moonshot","completionTokens":2954},"content_quality":"ok","complexity_score":7,"scope_assessment":{"changed":true,"description":"Originally enacted in 2013 to replace the *Coal Mine Health and Safety Act 2002* and *Mine Health and Safety Act 2004*, the legislation was initially focused solely on mining operations. However, amendments in 2015 (evident in sections 7B, 7C, and 15(1A)) significantly expanded its scope to include petroleum sites (oil and gas extraction) and geothermal energy (deemed to be petroleum under s.8). This transformed the Act from a pure 'Mine Safety' regime into a combined 'Mines and Petroleum Sites' safety framework."},"complexity_factors":["Heavy incorporation by reference: Section 4 requires this Act to be read as part of the *Work Health and Safety Act 2011*, forcing readers to cross-reference two separate pieces of legislation constantly.","Parallel statutory structures: The Act duplicates its entire framework for mines (ss.6, 7, 7A) and petroleum sites (ss.7B, 7C), effectively doubling the definitions, operator roles, and notification duties.","Dense definitions: Section 5 alone contains approximately 28 defined terms, with technical distinctions between 'mine holder' and 'mine operator' (or 'petroleum site holder' and 'petroleum site operator') that determine legal liability.","Nested exceptions: Sections 10 and 11 exclude certain places and activities (e.g., fossicking, railway operations), but then allow regulations to create 'exceptions to the exceptions' or further limit the operation of those exclusions.","Conditional powers with procedural steps: The stop-work powers for safety representatives (s.30) and provisional improvement notices (ss.31, 43) contain specific triggers, consultation requirements, and notification deadlines that must be followed precisely.","Complex transitional arrangements: Schedule 1 saves appointments, incidents, and orders from three repealed predecessor Acts (the *Coal Mine Health and Safety Act 2002*, *Mine Health and Safety Act 2004*, and parts of the *Mining Act 1992*), creating a legacy of overlapping legal histories."],"plain_english_summary":"This New South Wales law is a specialised safety rulebook for high-risk workplaces: mines (coal, minerals) and petroleum sites (oil, gas, and even geothermal energy). It operates as an extension of the national *Work Health and Safety Act 2011*, adding extra layers of protection specific to digging stuff out of the ground and handling flammable materials.\n\n**Who it affects**\n- **Mine and petroleum operators**: The people or companies legally responsible for running the site.\n- **Workers**: Especially those in coal mines, who get special representation powers.\n- **The NSW Resources Regulator**: The government body that polices the rules.\n\n**What it does**\n- **Immediate Reporting**: Forces operators to instantly notify the regulator of any death, serious injury, or dangerous incident (like a gas leak or cave-in).\n- **Coal Mine Safety Reps**: Creates a unique system for coal mines where elected worker representatives (and industry-wide reps) can enter sites unannounced, inspect hazards, and—crucially—order operations to stop immediately if they believe workers are in imminent danger. They can also issue \"provisional improvement notices\" (formal demands to fix safety issues).\n- **Competence Checks**: Establishes the Mining and Petroleum Competence Board to set and assess skill standards for people in critical safety roles.\n- **Emergency Shutdowns**: Gives the regulator power to issue \"stop work orders\" (immediate shutdowns) without prior warning if there is a serious risk to life.\n- **Public Inquiries**: Allows the Minister to set up Boards of Inquiry to investigate major disasters, with powers to summon witnesses and demand documents.\n- **Sorting Out Jurisdiction**: Defines exactly what counts as a \"mine\" or \"petroleum site\" and excludes low-risk activities like fossicking or amateur rock collecting, while clarifying that this Act overrides other permits if there is a safety conflict.\n\n**Why it matters**\nMining and petroleum work kills and injures more people than average office jobs. This Act creates a stricter, tailored safety net than general workplace laws. It puts trained worker representatives on the ground with the legal power to hit the emergency brake, and ensures that when things go seriously wrong, the government is notified immediately and can take control of the site."},"summary":{"complexity_score":6,"scope_assessment":{"changed":true,"description":"The Act's scope was broadened after its original enactment. It was initially called the 'Work Health and Safety (Mines) Act 2013', covering only mines. It was subsequently renamed the 'Work Health and Safety (Mines and Petroleum Sites) Act 2013', indicating that petroleum sites were added to its coverage — a meaningful expansion from the original intent."},"complexity_factors":["Sector-specific legislation that must be read alongside the general Work Health and Safety Act 2011 (NSW) and associated regulations — understanding it in isolation is insufficient","Expanded scope over time (petroleum sites added after original enactment), creating potential gaps or ambiguities in how historical and current obligations interact","Multiple amendments across 13 distinct versions since 2013, meaning obligations have changed and the applicable version depends on when conduct occurred","Operates within a broader federal/state WHS harmonisation framework, adding a layer of jurisdictional complexity","Industry-specific technical hazards (gases, explosives, ground stability) require specialised knowledge to properly interpret safety duties","Only metadata and status information is provided in the supplied text — the actual operative provisions are not visible, limiting full analysis but suggesting substantial substantive content exists","Regulatory instrument dependency: the Act is likely skeletal without its accompanying regulations, which carry the bulk of the technical rules"],"plain_english_summary":"## Work Health and Safety (Mines and Petroleum Sites) Act 2013 (NSW)\n\n**What is this law?**\nThis is a New South Wales law that sets out workplace health and safety rules specifically for **mines and petroleum sites** (oil and gas facilities). It sits alongside the general Work Health and Safety Act but adds extra, industry-specific protections for these higher-risk environments.\n\n**Who does it affect?**\n- **Mine workers** — anyone working underground, in open-cut mines, or at quarries in NSW\n- **Petroleum site workers** — people working at oil and gas extraction and processing facilities\n- **Mine and site operators/employers** — companies and individuals running these operations who must comply with safety obligations\n- **Contractors and visitors** — anyone who enters these sites\n- **Regulators** — the NSW Resources Regulator oversees compliance and enforcement\n\n**Why does it matter?**\nMining and petroleum extraction are among the most dangerous industries in Australia. This law imposes **stricter safety duties** than those that apply to ordinary workplaces, reflecting the unique hazards involved — explosions, cave-ins, toxic gases, heavy machinery, and remote locations. Operators who fail to meet their obligations can face serious penalties.\n\n**Key things to know:**\n- It was originally called the *Work Health and Safety (Mines) Act 2013* — petroleum sites were added later, expanding its reach\n- The Minister for Natural Resources is responsible for administering the law\n- It has been updated **multiple times** since 2013, meaning obligations have evolved over the years\n- The law works in conjunction with regulations (separate rules that fill in the technical detail)\n\n**Bottom line:** If you work at, operate, or visit a mine or petroleum site in NSW, this law governs the safety standards that must be met to protect your health and life."},"flash_summary":{"complexity_score":7,"scope_assessment":{"changed":false,"description":"The text of the Act sets out its scope explicitly: it applies to workplaces that are mines or petroleum sites (s 10), defines mining and petroleum operations and operators (ss 6–7C) and allows the regulations and Ministerial determinations to exclude or limit coverage in specified ways (ss 10–12, s 76). The Schedule carries forward appointments, orders and instruments from predecessor Acts (sch 1, parts 2–3) but the Act itself does not include a provision in the supplied text that purports to change its own stated objects or scope after commencement. The Act therefore establishes a scope that is adjustable by regulation or Ministerial determination but the supplied text does not show a substantive post‑enactment change to the Act’s original stated scope."},"complexity_factors":["Extensive cross-references to the WHS Act and WHS Regulations (s 4) that make interpretation dependent on another statute and subordinate instruments","Detailed, technical definitions that determine coverage (ss 5–8) and multiple ways regulations can exclude or limit coverage (ss 10–11, 7(2)–(3))","Multiple layers of decision‑making and discretion vested in the Minister and the regulator (ss 12, 18, 56, 63–67, 76)","Specialised regimes for coal mines with separate representative roles, election rules, training obligations and suspension powers (Part 5: ss 27–48)","Multiple enforcement mechanisms with different procedural and evidentiary rules (improvement/prohibition notices ss 49–50; stop work orders ss 51–55; Boards of Inquiry ss 56–59)","Reliance on regulations, accredited courses and approved forms for operational detail (ss 31, 45, 76), increasing administrative complexity","Interlocking transitional and validation provisions carrying forward appointments and instruments from former Acts (Schedule 1: sch 1, Part 2), which complicates the legal landscape during changeover","Penalty structure varies by offence and by individual vs body corporate, requiring careful compliance risk assessment (eg ss 15, 25, 55)"],"plain_english_summary":"What this law does (mechanics)\n\n- Treats mines and petroleum sites as a specialised part of the NSW Work Health and Safety (WHS) framework by making this Act read and operate “with” the WHS Act and WHS Regulations (s 4).  That means many WHS Act powers, offences and procedures apply to mines/petroleum sites but this Act also adds mine- and petroleum-specific rules.\n\n- Defines core terms and coverage so it is clear which places and activities are covered: \"mine\", \"mining operations\", \"mine operator\", \"petroleum site\", \"petroleum operations\" and related concepts (ss 5–7C).  The Act explicitly treats geothermal energy as petroleum for these purposes (s 8).\n\n- Gives the regulator (the NSW Resources Regulator) powers to appoint inspectors, mine safety officers and investigators and sets minimum qualification, identity-card and conflict-of-interest rules for those officials (ss 18–21).  Appointed government officials are treated as inspectors for the purposes of the WHS Act (s 18(8)).\n\n- Requires immediate notification of serious events (notifiable incidents) at mines and petroleum sites to the regulator, and sets penalties for failure to notify; it also requires preservation of incident scenes until an inspector or authorised government official attends (Part 3: ss 14–17, 15).  Coal mines have additional notice requirements to safety representatives (s 16).\n\n- Provides statutory arrangements for worker safety representation at coal mines.  The Act creates three tiers of representatives: industry safety and health representatives (Ministerial appointment; broad coal‑industry remit), and mine-level site and electrical safety and health representatives (elected) (Part 5: ss 27–48).  These representatives have investigatory and inspection powers, training duties, rights to accompany inspectors, and, in specified circumstances, powers to suspend operations or issue provisional improvement notices (see ss 29–33, 30, 31, 42–45).\n\n- Strengthens enforcement tools specific to mines and petroleum sites: expands when improvement and prohibition notices may be given by government officials (ss 49–50) and creates a separate stop work order power exercisable by the regulator for up to 28 days (ss 51–55).  The regulator can recover reasonable costs of enforcing a stop work order if the person fails to comply (s 53).\n\n- Enables Boards of Inquiry (Minister-appointed) to investigate notifiable incidents or other safety matters, with broad evidence-gathering powers and a duty to report to the Minister (Part 7: ss 56–59, 58).  Witnesses can be compelled to answer; answers may have limited protection against use in criminal proceedings (s 58).\n\n- Establishes two advisory/statutory bodies: a Mine Safety Advisory Council to advise the Minister (ss 60–62) and a Mining and Petroleum Competence Board to develop and assess competence standards for persons performing safety-critical functions (ss 63–68).  The Board is a body corporate subject to Ministerial direction (ss 63–66).\n\n- Provides standard administrative machinery: rules for service of documents, publication and sharing of regulator information, regulation-making powers, immunity for certain persons acting under the Act, and transitional/savings provisions to preserve appointments and instruments from predecessor Acts (ss 69–76; sch 1 & sch 2).\n\nWho is directly affected\n\n- Mine operators and petroleum site operators (defined persons who run the business or have control over titles) — they carry statutory duties (including notification and incident-preservation duties) and must comply with notices and stop work orders (ss 5, 15, 17, 51–55).\n\n- Persons conducting businesses or undertakings at mines/petroleum sites (contractors, service providers and workers) — they have notification duties and can be required to stop work or comply with government official directions (ss 15, 25, 51, 55).\n\n- Coal-mine workers and their representatives — there are detailed election, training, inspection, provisional notice and suspension powers specific to coal mines (Part 5: ss 27–48).\n\n- The NSW Resources Regulator, the Minister and Ministerially appointed boards/councils — they gain decision-making, enforcement and advisory roles (eg ss 18, 51, 56, 60, 63, 67).\n\nWhy it matters (purpose claims and tested mechanics)\n\n- The Act states its objects as supporting the WHS Act at mines/petroleum sites, protecting workers by eliminating or minimising risks, ensuring emergency preparedness, creating competence schemes, establishing advisory bodies, providing for worker representatives in coal mines, facilitating interstate cooperation, and adding enforcement powers (s 3).  Mechanically, the Act pursues those stated objects by:\n  - folding mines/petroleum sites into the WHS framework while adding mine/petroleum‑specific definitions and powers (s 4, ss 5–8);\n  - giving the regulator both boots-on-the-ground powers (inspectors, stop work orders) and administrative levers (regulations, Boards of Inquiry, advisory bodies) to influence practice (ss 18, 51, 56, 60, 63, 67, 76);\n  - creating legally enforceable worker-representation institutions at coal mines with powers that can interrupt operations (ss 28–33, 30, 31, 42–46).\n\nCosts, incentives and trade‑offs (mechanisms, not conclusions)\n\n- Compliance and direct costs: mine and petroleum operators bear compliance costs from notification, incident-preservation, record‑keeping and reporting obligations; they face fines for non-compliance (eg s 15 — penalties up to 500 penalty units for bodies corporate; s 55 — up to 5,000 penalty units for bodies corporate).  Training and time-off obligations for mine-level representatives are also placed on mine operators (s 45).\n\n- Operational interruption risk and incentives: industry and mine safety representatives have statutory authority to suspend operations at coal mines where they believe danger exists (s 30).  The regulator may also issue stop work orders (s 51).  Those powers create an incentive for operators to address identified risks promptly but also create potential short‑term disruption costs.\n\n- Regulatory discretion and decision‑making: the Minister and regulator have broad discretionary powers to (a) publish regulations that can exclude classes of mine or activities (ss 10–11, s 76), (b) determine jurisdictional coverage (s 12) and (c) appoint, direct and set terms for statutory bodies and boards (ss 18, 56, 63, 64, 65).  Those provisions concentrate decision-making authority in the Minister/regulator and create dependency on regulatory design and operational choices.\n\n- Enforcement cost recovery: the regulator may recover reasonable costs of enforcing stop work orders from non-compliant persons (s 53).  This transfers the cost of forced remediation or securing a site from the State back to the person who failed to comply.\n\n- Administrative and implementation burdens: the Act depends on the regulator’s choices about accredited training for representatives, approved forms for notices, identity card procedures and competence standards (ss 21, 31, 45, 67).  Those delegated design points create implementation risk and produce compliance variability depending on how regulations and administrative instruments are made and applied.\n\nConcentrated benefits and diffuse costs, capture and substitution effects (source-grounded observations)\n\n- Concentrated powers and benefits: appointed advisory and competence bodies (Mine Safety Advisory Council and Competence Board) are designed to concentrate expertise and influence in small, Ministerially constituted groups (ss 60–67).  The Act directs composition and Minister control (ss 60, 64–66), which mechanically gives the Minister options to shape membership and remit.\n\n- Potential substitution effects: the Act allows issuance of stop work orders and directions that override other approvals and instruments to the extent of inconsistency (s 52).  That creates a mechanical hierarchy where safety orders can displace other statutory permissions during their operation.\n\nImplementation and compliance risk\n\n- Many operational details are left to regulations, approved forms, regulator accreditation and Ministerial orders (eg ss 5(2), 7(2)–(3), 28(2AA), 31(2), 45(1)–(3), 76).  The Act therefore relies on secondary instruments and administrative practice to set the specifics of qualifications, training, notice content and procedural protections.\n\nKey sections to look at quickly\n\n- Objects and relationship to WHS Act: s 3; s 4\n- Definitions and coverage: ss 5–11\n- Notifiable incidents & preservation duties: ss 14–17; s 15 sets notification mechanics and penalties\n- Government officials / inspectors: ss 18–21; s 19 (qualifications)\n- Coal-mine representative regime and suspension powers: Part 5 (ss 27–48); see s 30 (suspension)\n- Stop work orders and enforcement: ss 51–55; cost recovery s 53\n- Boards of Inquiry and powers: ss 56–59\n- Competence Board and Council: ss 60–68\n- Regulation‑making and delegated detail: s 76\n\nPractical bottom line\n\nThis Act embeds mines and petroleum operations within the WHS legal architecture while creating mine- and coal‑specific institutions, representative powers and enforcement tools.  It shifts many implementation details to regulations and regulator practice, sets clear notification and incident-preservation duties (with penalties), and gives both worker representatives and the regulator statutory powers that can halt or require remedial work at operational sites (ss 15, 17, 30, 51)."}},"importantCases":[],"_links":{"self":"/api/acts/work-health-and-safety-mines-and-petroleum-sites-act-2013","history":"/api/acts/work-health-and-safety-mines-and-petroleum-sites-act-2013/history","analysis":"/api/acts/work-health-and-safety-mines-and-petroleum-sites-act-2013/analysis","conflicts":"/api/acts/work-health-and-safety-mines-and-petroleum-sites-act-2013/conflicts","importantCases":"/api/acts/work-health-and-safety-mines-and-petroleum-sites-act-2013/important-cases","documents":"/api/acts/work-health-and-safety-mines-and-petroleum-sites-act-2013/documents"}}