QLDIn ForceAct
Queensland Building and Construction Commission Act 1991
sch.1-sec.8Definitions
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### sch.1-sec.8 Definitions
In this part—
affected licence means a document purporting to be a licence that—
was issued by the authority on or after 1 July 1992 but before the commencement day; and
was issued to an individual who did not, or a company in relation to which the company’s nominated supervisor did not, when the document was issued, have the relevant qualifications and experience required by regulation.
authority means the former Queensland Building Services Authority established under the Queensland Building Services Authority Act 1991 , section 5.
sch 1 s 8 def authority ins 2013 No. 38 s 14 sch 1
basic compliance period , for a transitional licence, see definition transitional licence .
building contract means a contract for the carrying out of building work by a person to whom an affected licence has been issued.
commencement day , for a provision of this part, means the day on which the provision in which the expression occurs commences.
compliance period , for a transitional licence, means—
the basic compliance period for the licence; or
if the authority extended or further extended the period—the period as extended.
expired licence means an affected licence to which section 9(3) applies.
relevant licensee , for an affected or transitional licence, means the person to whom the licence was issued.
transitional licence means an affected licence in relation to which the authority, in issuing the licence—
indicated to the relevant licensee that the licence was a transitional licence; and
stated a period (the basic compliance period )—
as the period for which the licence was issued; and
in relation to the licensee (for a licence issued to an individual) or the company’s nominated supervisor (for a licence issued to a company)—as the period for the licensee or supervisor to obtain stated qualifications or experience in order to have the relevant qualifications and experience required by regulation.
sch 1 s 8 ins 1997 No. 70 s 3 (5)
- (a) was issued by the authority on or after 1 July 1992 but before the commencement day; and
- (b) was issued to an individual who did not, or a company in relation to which the company’s nominated supervisor did not, when the document was issued, have the relevant qualifications and experience required by regulation.
- (a) the basic compliance period for the licence; or
- (b) if the authority extended or further extended the period—the period as extended.
- (a) indicated to the relevant licensee that the licence was a transitional licence; and
- (b) stated a period (the basic compliance period )— (i) as the period for which the licence was issued; and (ii) in relation to the licensee (for a licence issued to an individual) or the company’s nominated supervisor (for a licence issued to a company)—as the period for the licensee or supervisor to obtain stated qualifications or experience in order to have the relevant qualifications and experience required by regulation.
- (i) as the period for which the licence was issued; and
- (ii) in relation to the licensee (for a licence issued to an individual) or the company’s nominated supervisor (for a licence issued to a company)—as the period for the licensee or supervisor to obtain stated qualifications or experience in order to have the relevant qualifications and experience required by regulation.
- (i) as the period for which the licence was issued; and
- (ii) in relation to the licensee (for a licence issued to an individual) or the company’s nominated supervisor (for a licence issued to a company)—as the period for the licensee or supervisor to obtain stated qualifications or experience in order to have the relevant qualifications and experience required by regulation.