Mining and Quarrying Safety and Health Act 1999
Queensland Mining
and Quarrying Safety
and Health Act
1999 Current as at [Not applicable]
Indicative reprint note This is an
unofficial version of a
reprint of this Act that incorporates all proposed
amendments to
the Act included
in the Mines
Legislation (Resources Safety)
Amendment Bill 2018. This indicative reprint has been
prepared for information only—
it is
not an authorised reprint of the Act .
The
point-in-time date for this indicative reprint is the introduction
date for the Mines Legislation (Resources Safety)
Amendment Bill 2018—20 March 2018.
Detailed information about
indicative reprints
is available on
the Information page of the
Queensland legislation website.
©
State of Queensland 2018 This work is licensed under a Creative
Commons Attribution 4.0 International License.
Not authorised —indicative only
Queensland Mining and
Quarrying Safety and Health Act 1999 Contents
Part
1 Division 1 1
2 Division 2 3
4 5 5A
Division 3 6
7 Division 4 Subdivision
1 8
Subdivision 2 9
10 11 12
13 14 15
16 17 18
Page Preliminary Introduction Short title . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . 15 Commencement . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . .
15 Operation of Act Act binds all
persons .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 15
What does this
Act apply
to . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
16
Who
does this Act apply to
. . . . . . . . . . . . . . . . . . . . . . . . . . . . .
16
Relationship with
Rail Safety
National Law
(Queensland) . . . . . 16
Objects of
Act Objects of
Act . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
17
How
objects are to be achieved . . . . . . . . . . . . . . . . . . . . . . . . . 17
Interpretation Dictionary Definitions—the
dictionary .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . 18
Other important terms Meaning of mine . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
18
Meaning of
operations .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
19
Meaning of
quarry .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 21
Meaning of safety
and health . . . . . . . . . . . . . . . . . . . . . . . . . . .
22
Meaning of
competence . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 22
Meaning of consultation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 22
Meaning of standard work
instruction . . . . . . . . . . . . . . . . . . . . . 22
Meaning of accident . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
22
Meaning of serious accident . . . . . . . . . . . . . . . . . . . . . . . . . . . .
22
Meaning of high
potential incident . . . . . . . . . . . . . . . . . . . . . . . . 23
Mining
and Quarrying Safety and Health Act 1999 Contents
Not authorised —indicative
only 19 20
21 22 23
24 25 Part 2
Division 1 26
27 28 Division 2
29 Part 3 Division 1
30 31 32
33 34 35
Division 2 36
Division 3 37
38 39 40
41 42 42A
43 44 Page 2
Meaning of risk . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
23 Meaning of hazard . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . .
23 Meaning of operator
. .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. 23 Meaning of site senior executive . . .
. . . . . . . . . . . . . . . . . . . . . . 24
Meaning of supervisor . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . 25
Meaning of district workers’
representative . . . . . . . . . . . . . . . . . 25
Meaning of site
safety and
health representative . . . . . . . . . . . .
25
Basic concepts Control and
management of
risk What is an
acceptable level of risk
. . . . . . . . . . . . . . . . . . . . . . .
26
Risk
management . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 26
What
happens if the level of risk is unacceptable
. . . . . . . . . . . .
27
Cooperation Cooperation to
achieve objects of Act . . . . . . . . . . . . . . . . . . . . .
27
Safety and health
obligations Preliminary Obligations
for safety
and health
. . . . . . . . . . . . . . . . . . . . . . . . . 28
Discharge of
obligations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 29
Person may owe
obligations in more than 1 capacity . . . . . . . . .
30
Person not relieved of obligations
. . . . . . . . . . . . . . . . . . . . . . . .
30
How obligation
can be
discharged if
regulation or
guideline made 31
How
obligations can be discharged
if no
regulation or
guideline made 31 Generally
applicable safety and health obligations Obligations of
persons generally . . . . . . . . . . . . . . . . . . . . . . . .
. 32 Obligations of holders, operators,
site senior executives and others Obligations of
holders . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 33 Obligations of
operators . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 34
Obligations
of site
senior executive for
mine .
. . . . . . . . . . . . . . . 35
Obligations of
contractors . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
37
Obligations
of designers,
manufacturers, importers and
suppliers of
plant etc. for use at
mines . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . 38 Obligations of
erectors and installers of plant . . . . . . . . . . . . . .
. 40 Obligations of designers, constructors
and erectors of earthworks 40 Obligations of
manufacturers, importers and suppliers of substances for
use
at mines . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 41
Obligations of
service providers . . . . . . . . . . . . . . . . . . . . . . . . . 42
Division 3A 44A
Division 4 45
Part
4 Division 1 46
47 47A Division 2
48 49 50
51 52 53
54 54A 54B
Division 3 55
56 Division 4 57
58 59 60
Division 5 61
Part
5 62 63 64
Part
6 Mining and Quarrying Safety and Health Act
1999 Contents Obligations of
officers of corporations Obligation of officers of corporations
. . . . . . . . . . . . . . . . . . . . . . 44
Defences Defences for div
2, 3 or 3A . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . 45 Provisions about the operation of
mines Notices about
mines Notices by
holder . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 46
Notices by
operator . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 47
Notice about underground gasification activities . . . . . . . . . . . . .
48
Management of
mines Appointment of
operator . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 49
Appointment of
site senior
executive .
. . . . . . . . . . . . . . . . . . . . . 49
Management structure for
safe operations at
mines .
. . . . . . . . . 50
Competencies of
supervisors . . . . . . . . . . . . . . . . . . . . . . . . . . . 51
Appointment
of another
site senior
executive during temporary
absence 51
Additional requirements for management of
underground mines 51 Appointment of another underground
mine manager during temporary absence . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
52
Appointment of
ventilation officer . . . . . . . . . . . . . . . . . . . . . . . . 52
Absence of ventilation officer . . . . . . . . . . . . . . . . . . . . . . . . . . .
54
Safety and health management systems
Safety and health management system
. .
. . . . . . . . . . . . . . . . . 55
Review of safety and health management system . . . . . . . . . . .
56
Records and reporting Management
structure to
be recorded
in the
mine record . . . . .
57
Plans of mine
workings .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 57
Mine
record . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 59
Display of reports and directives
. . . . . . . . . . . . . . . . . . . . . . . . . 60
Protection
of abandoned
mines Responsibility
for protecting abandoned
mines .
. . . . . . . . . . . . . 60
Guidelines Purpose of
guidelines . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
61
Guidelines .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 61
Use of guidelines
in proceedings . . . . . . . . . . . . . . . . . . . . . . . .
62
Industry consultative arrangements Page 3
Not
authorised
—indicative only
Mining
and Quarrying Safety and Health Act 1999 Contents
Not authorised —indicative
only Division 1 65
Division 2 66
67 68 Division 3
69 70 71
71A 72 73
74 74A 75
76 77 78
79 80 81
82 Part 7 Division 1
83 Division 2 84
85 86 87
88 89 90
91 Purposes of part Purposes of pt
6 . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . 62
Mining safety and health advisory committee
and its functions Mining safety and health advisory committee
. . . . . . . . . . . . . . . 62
Functions of committee . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . 62
Annual report
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
63
Membership and
conduct of
committee proceedings Membership of
committee .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . 64
Organisations to
submit names
to Minister
. . . . . . . . . . . . . . . . . 64
Appointment of
members—persons from panels . . . . . . . . . . . . 64
Appointment of
members—inspectors . . . . . . . . . . . . . . . . . . . .
65
Duration of
appointment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 66
Conditions of appointment .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . 66
Member ceasing as
member .
. . . . . . . . . . . . . . . . . . . . . . . . . . . 66
Substitute members . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
66
Times and places of meetings of the committee . . . . . . . . . . . . .
67
Presiding at meetings of the committee
. . . . . . . . . . . . . . . . . . .
67
Quorum and voting
at meetings
of the
committee .
. . . . . . . . . . . 68
Recommendation to
Minister if
vote not
unanimous .
. . . . . . . . . 68
Taking part in
meetings by
telephone etc. . . . . . . . . . . . . . . . . . . 68
Resolutions without meetings . . . . . . . . . . . . . . . . . . . . . . . . . . . 69
Minutes by the committee . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 69
Subcommittees . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
69
Site
safety and health representatives and
committees Purpose of
part Purpose of pt
7 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
70
Site
safety and health representatives Selection or
election of
site safety
and health
representatives . .
70
How
site safety and health representatives are
selected or
elected 71 Site safety
and health representative must
obtain qualifications . 71
Site
safety and health representative must
perform functions and
exercise powers appropriately . . . . . . .
. . . . . . . . . . . . . . . . . . . . 72
Ceasing to be a site safety and health
representative . . . . . . . . 72
Removal from office by Minister
. .
. . . . . . . . . . . . . . . . . . . . . . . 72
Selection or election after removal from
office . . . . . . . . . . . . . .
72 Functions and powers for area of
representation . . . . . . . . . . . . 73
Page
4
92 93 94
95 96 97
Division 3 98
99 100 101
102 103 Division 4
104 105 106
Part
8 Division 1 107
Division 2 108
109 110 111
112 113 114
115 116 117
Mining and Quarrying Safety and Health Act
1999 Contents Functions of
site safety and health representatives . . . . . . . .
. . 73 Powers of site safety and health
representative . . . . . . . . . . . . .
74 Stopping operations by site safety and
health representatives . . 75 When operations
may be restarted . . . . . . . . . . . . . . . . . . . . . .
. 75 Site safety and health representative
not to unnecessarily impede production . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. 76 Protection of site safety and health
representatives performing functions 76
Site
safety and health committees Site safety and
health committees . . . . . . . . . . . . . . . . . . . . . . . 76
Membership of
site safety
and health
committee . . . . . . . . . . . .
77
Functions of site safety and health
committee . . . . . . . . . . . . . .
77 Times
of meetings
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
78
Proceedings
at meetings
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 78
Minutes to be made available
. . . . . . . . . . . . . . . . . . . . . . . . . . .
78
Duties of site senior executive Provision for
help to
representatives and committees
. . . . . . . . . 78
Site
senior executive to tell site safety and health representatives about certain things . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . .
79 Site senior executive to display
identity of site safety and health representatives . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
80
District workers’
representatives Purposes of
part Purposes of
pt 8
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
80
District workers’ representatives
Nomination
and appointment of
district workers’ representatives 81 Funding of district workers’ representative . . . . . . . . . . . . . . . . . 81
Termination
of appointment .
. . . . . . . . . . . . . . . . . . . . . . . . . . . .
81
Appointment after
termination .
. . . . . . . . . . . . . . . . . . . . . . . . . .
82
Filling of
temporary vacancy . . . . . . . . . . . . . . . . . . . . . . . . . . . .
82
Persons not to
pretend to
be district
workers’ representatives if
not appointed . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . 82 District workers’ representative
restricted to safety and health purposes 83
Functions of district workers’
representatives . . . . . . . . . . . . . . . 83
Powers of district workers’ representatives .
. . . . . . . . . . . . . . . .
84
District workers’ representative not
to unnecessarily impede
production 85 Page
5 Not authorised —indicative only
Mining
and Quarrying Safety and Health Act 1999 Contents
Not authorised —indicative
only 118 119
120 121 Part 9
Division 1 122
123 124 124A
125 126 Division 2
126A 126B 126C
126D 126E Division 3
127 128 129
Division 4 Subdivision
1 129A
Subdivision 2 130 Subdivision
3 131
132 133 134
135 135A Subdivision
4 Inadequate or
ineffective safety and health management systems
85 Identity cards . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . .
85 Failure to return identity card . . .
. . . . . . . . . . . . . . . . . . . . . . . . .
86 Production or display of identity
card . . . . . . . . . . . . . . . . . . . .
. 86 Inspectors and other officers and
directives Inspectors and
inspection officers Appointments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 86
Qualifications for appointment
as inspector . . . . . . . . . . . . . . . .
87
Qualifications for appointment
as inspection
officer . . . . . . . . . .
87
Appointment conditions and
limit on
powers and
functions .
. . . .
87
Functions of
inspectors and inspection
officers .
. . . . . . . . . . . . . 87
Further functions of inspectors
. . . . . . . . . . . . . . . . . . . . . . . . . . 88
Authorised officers Appointments . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 89
Qualifications for appointment
as authorised
officer .
. . . . . . . . . 89
Appointment conditions and
limit on
functions and
powers .
. . . .
89
Functions of authorised officers . . . . . . . . . . . . . . . . . . . . . . . . . 90
Information
about functions and
powers .
. . . . . . . . . . . . . . . . . .
90
Identity cards for inspectors,
inspection officers and authorised officers
Identity cards . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . .
91 Failure to return identity card . . .
. . . . . . . . . . . . . . . . . . . . . . . . .
91 Production or display of identity
card . . . . . . . . . . . . . . . . . . . .
. 91 Powers of inspectors, inspection
officers and authorised officers Preliminary Definition for
div 4
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 92
Power to enter places Entry to places . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 92
Procedure
for entry Consent to
entry . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
93
Application for
warrant .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
94
Issue of warrant . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 94
Special warrants . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 95
Warrants—procedure before entry
. . . . . . . . . . . . . . . . . . . . . . .
96
Entry to residential premises . . . . . . . . . . . . . . . . . . . . . . . . . . . . 97
General powers Page
6
Not
authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Contents 136
137 138 139
Subdivision 5 140
141 142 143
144 145 146
147 Subdivision 6 148 Subdivision
7 149
150 151 152
153 154 155
156 Subdivision 8 157
Division 5 Subdivision
1 158 159 160
Subdivision 2 161 162
General powers after entering mine or other
places . . . . . . . . . . 98 Failure to help
officer . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . 99 Failure to answer questions
. .
. . . . . . . . . . . . . . . . . . . . . . . . . .
99 Site senior executive must help
officer . . . . . . . . . . . . . . . . . . .
. 99 Power to seize evidence
Seizing evidence at mine or other place . . . . . . . . . . . . . . . . . . .
99
Securing things after seizure
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
100
Tampering with things subject
to seizure . . . . . . . . . . . . . . . . . .
100
Powers to support seizure . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 100
Receipts to
be given
on seizure . . . . . . . . . . . . . . . . . . . . . . . . . 101
Forfeiture . .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 101 Return of seized things . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 102
Access to things that have been seized
. . . . . . . . . . . . . . . . . . .
103
Power to stop and secure plant and equipment Officer may
stop and
secure plant and equipment . . . . . . . . . . . 104
Power to obtain information Power to require
name and
address .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 104 Failure to give name or address . . . . . . . . . . . . . . . . . . . . . . . . . 105
Power to require production of
documents . . . . . . . . . . . . . . . . . 105
Failure to produce document . . . . . . . . . . . . . . . . . . . . . . . . . . . . 106
Failure to
certify copy of document
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 106 Power to require attendance of
persons before an officer to answer questions . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . .
107 Failure to comply with requirement
about attendance . . . . . . . . . 107
Use
of particular evidence in proceedings . . . . . . . .
. . . . . . . . . 108 Additional powers of chief
inspector Additional powers of chief inspector
. .
. . . . . . . . . . . . . . . . . . . . 108
Directives
by inspectors, inspection officers
and district workers’ representatives Power to give
and way of giving directives Directive may be
given . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . 109 How directive is given
. .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. 109 How directive is given for ss 163, 164
and 167 . . . . . . . . . . . . . . 109
Matters for which directives may
be given Directive
to ensure worker competent
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 109 Directive to carry out test . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
110
Page 7
Mining
and Quarrying Safety and Health Act 1999 Contents
Not authorised —indicative
only 163 164
165 166 167
168 169 Subdivision
3 170 171 Subdivision
4 172
173 174 175
Division 6 176
177 178 Part 10
179 180 181
181A 182 183
184 185 Part 10A
186 187 Page 8
Directive to reduce risk . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . 110
Directive to suspend operations for
unacceptable level of risk . . 110
Directive to review safety and health
management system . . . . 111
Directive to suspend operations for
ineffective safety and health management
system . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . 111 Directive to isolate site
. .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
111 Directive about separate part of the
mine . . . . . . . . . . . . . . . . . . 112
Directive to provide independent engineering
study . . . . . . . . . . 112 Recording of
directives and other matters Records must
be kept
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 113 Directives . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
113
Review of directives Application
for review . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
114
Procedure for
review .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 115 Review of directive
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
115
Stay
of operation of directive .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 116 General
enforcement offences
False or misleading statements .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 117 False or misleading documents .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 117 Obstructing inspectors, officers or
district workers’ representatives 118 Board of examiners Purpose of pt 10 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
118
Functions of the
board of
examiners .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 118 Examiners to be qualified
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 119
Board of examiners may consider
previous suspension, cancellation or surrender of certificate of competency
or site senior executive notice 119 Obtaining certificates of competency
or site
senior executive notices
by fraud
. .
. . . .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
120
Return of certificate of competency
or site
senior executive notice 120
Effect on particular appointments of
suspension, cancellation or surrender
of certificate of
competency or site senior executive
notice 121 Register to be kept by board of examiners . . . . . . . . . . . . . . . . . 121
Suspension
and cancellation of
certificates of competency
and site senior executive notices by chief executive Grounds for
suspension or cancellation . . . . . . . . . . . . . . . . . . . 122
Notice of proposed
action . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
123
188 189 Part 11
Division 1 195
195A 196 Division 2
197 198 Part 12
Division 1 199
200 201 202
Division 2 203
204 205 206
207 208 209
210 211 212
213 214 215
Part
13 Division 1 216
216A Mining and Quarrying Safety and Health
Act 1999 Contents Submission
against taking of proposed action . . . . . . . .
. . . . . . 124 Decision to take proposed
action . . . . . . . . . . . . . . . . . . . . . .
. . 124 Accidents and incidents
Notification, information and
inspections Notice of accidents, incidents, deaths or
diseases . . . . . . . . . . . 125
Requirement to
give primary information . . . . . . . . . . . . . . . . . .
128
Place of accident must be inspected .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 130 Site of
accident or incident Site not to be interfered with
without permission .
. .
. .
. .
. .
. .
. .
130
Action to be taken in relation to
site of
accident or
incident . . . .
131
Boards of inquiry General
Minister may
establish boards of inquiry . . . . . . . . . . . . . . . . . . .
132
Role
of board of inquiry . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 132
Conditions of appointment .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 133 Chief
executive to arrange for
services of
staff and
financial matters for
board of inquiry . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
133 Conduct of inquiry Procedure
. .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . 133 Notice of inquiry . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . .
134 Inquiry to be held in public except in
special circumstances . . . . 134
Protection
of members,
legal representatives and
witnesses .
. .
134
Record of
proceedings to be kept . . . . . . . . . . . . . . . . . . . . . . . .
135
Representation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
135
Board’s powers on inquiry . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
135
Notice to witness . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 135
Inspection of documents or
things .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 136 Inquiry may continue despite
court proceedings unless
otherwise ordered
. .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . 136 Offences by witnesses
. .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
136 Contempt of board . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . .
137 Change of membership of board . . . .
. . . . . . . . . . . . . . . . . . . . . 137
Appeals Appeals against
particular decisions of
Minister, chief executive
or board of
examiners Appeals against Minister’s decisions . . . .
. . . . . . . . . . . . . . . . . . 138
Appeals against chief executive’s decisions
. . . . . . . . . . . . . . . . 138
Page 9 Not
authorised —indicative only
Mining
and Quarrying Safety and Health Act 1999 Contents
Not authorised —indicative
only 217 218
219 220 221
222 Division 2 223
224 225 226
227 228 Part 14
Division 1 228A
229 230 231
232 233 Division 2
234 235 236
237 238 239
240 242 243
244 Division 3 245
246 Appeals against board of examiners’
decision . . . . . . . . . . . . . .
138 How to start appeal . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . .
139 Stay of operation of decision . . . .
. . . . . . . . . . . . . . . . . . . . . . . . 139
Hearing procedures . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . 140
Powers of court on appeal . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . 140
Appeal to District Court on questions of
law only . . . . . . . . . . . . 141
Appeals against chief inspector’s
directives and particular decisions
Who
may appeal . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . 141 How to start appeal . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . .
141 Stay of operation of directive or
review decision . . . . . . . . . . . . . 142
Hearing procedures . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . 143
Assessors
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 143
Powers of court on appeal . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
143
Legal proceedings Evidence
Application of
div 1 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
144
Proof of appointments and authority
unnecessary . . . . . . . . . . . 144
Proof of signatures unnecessary .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
144
Evidentiary
aids .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 145 Expert
reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
146
Analyst’s certificate or report . . . . . . . . . . . . . . . . . . . . . . . . . . . .
147
Proceedings Proceedings
for offences . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
147
Recommendation to prosecute
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
148
Limitation on time for starting proceedings . . . . . . . . . . . . . . . . . 148
Court may order suspension or
cancellation of certificate
or notice 149
Forfeiture on
conviction . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
149
Dealing with forfeited things . . . . . . . . . . . . . . . . . . . . . . . . . . . . 150
Responsibility for acts or omissions
of representatives .
. .
. .
. .
. 150 Representation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
151
Costs of investigation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 151
Recovery of fees
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 151 Evidentiary provisions Service of
documents . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
152
How
document to be given to operator
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
152
Page
10
Part
14A 246A 246B 246C
246D Part 14B 246E
246F 246G 246H
246I 246J 246K
Part
15 247 248 249
Part
16 Division 1 250
250A 251 252
253 254 254A
254B Division 2 254C
255 256 Part 17
257 258 259
260 Mining and Quarrying Safety and Health
Act 1999 Contents Injunctions Applying for
injunction . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . Grounds for injunction . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . Court’s powers
for injunction . . . . . . . . . . . . . . . . . . . . . . . . . .
. . Terms of injunction . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . .
Civil
penalties Definitions for part . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Liability for civil penalties .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
Giving of notice proposing imposition of
civil penalty . . . . . . . . . Submission against proposed
imposition of civil penalty . . . . . .
Giving of
penalty notice . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Civil penalty can not be imposed after criminal
proceeding . . . .
Criminal proceeding after civil
penalty imposed . . . . . . . . . . . . . Offences Person not to
encourage refusal to answer questions . . . . . . . .
Impersonating inspectors, officers or
representatives . . . . . . . . . Protection for officers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . General General safety matters Person must
not employ
underage persons underground . . . . . Underage persons not to operate or maintain plant . . . . . . . . . . Workers may request information
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
Action where
risk is
unacceptable . . . . . . . . . . . . . . . . . . . . . . . .
Where worker
exposed to
immediate personal danger
. .
. .
. .
. .
Representations about safety
and health
matters .
. .
. .
. .
. .
. .
. Protection from
reprisal .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. Damages
entitlement for reprisal . . . . . . . . . . . . . . . . . . . . . . . .
Miscellaneous Public
statements . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Disclosure of information .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
Protection from liability . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Administration Delegations .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
Delegation of chief inspector’s
powers . . . . . . . . . . . . . . . . . . . .
Notices about industry statistics
or information .
. .
. .
. .
. .
. .
. .
. Chief executive
to keep
records . . . . . . . . . . . . . . . . . . . . . . . . . 153 153
153 154 155 155
156
156
157
158
158
159
159
159
160
160
160
160
162
162
163
164
164
165
166
166
167
167
168
Page 11 Not authorised —indicative only
Mining
and Quarrying Safety and Health Act 1999 Contents
Not authorised —indicative
only 261 Part 18
262 Part 19 Division 1
263 Division 2 264
265 266 267
268 269 270
271 272 Division 3
273 Part 20 Division 1
274 275 276
277 278 Division 2
279 Division 3 280
Division 4 281
Division 5 Page 12
Approved forms . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . 168
Regulations Regulation-making power . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . 169
Transitional and repeal provisions for Act
No. 40 of 1999 Definitions Definitions for
pt 19
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. 171 Transitional matters Existing
certificates of competency .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
172
Approvals by
inspector . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
172
Board of
examiners . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
172
Existing chief inspector to
be chief
inspector . . . . . . . . . . . . . . . 172
Existing
inspector to be inspector
. . . . . . . . . . . . . . . . . . . . . . . . 173
Existing inspection officer to be inspection
officer .
. .
. .
. .
. .
. .
. 173 Existing district workers’ representative . . . . . . . . . . . . . . . . . . . 173
Mine
record book taken to be mine record . . . . . . . . . . . . . . . . .
173
Warden may finish inquiry
into accident . . . . . . . . . . . . . . . . . . . 173
Repeal Repeal . . .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
. .
174
Other transitional and validation
provisions Transitional
provisions for Mines and Energy Legislation Amendment Act
2011 Definitions for div 1 . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . .
174 Existing certificates of competency .
. . . . . . . . . . . . . . . . . . . . . . 174
Existing decisions and assessments of the
former board . . . . . . 175 References to
mining safety and health advisory council . . . . . .
175 Continuation of
mining safety and health advisory
council and appointment of members . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . 175
Transitional provision for Mines and Energy
Legislation Amendment Act
2011 Application
of appeal
costs provision to
undecided appeals . . . . 176
Transitional and
validation provision for
Water Reform and Other Legislation Amendment Act
2014 Return of seized things . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 176
Validation
provision for Land and Other Legislation
Amendment Act 2017
Validation of particular appointments . . . . . . . . . . . . . . . . . . . . . 177
Transitional
provisions for Mines Legislation (Resources Safety) Amendment Act
2018
282 283 284
285 Schedule 2 Mining and
Quarrying Safety and Health Act 1999 Contents
Definition for division . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . 178
Appointment of site senior executives during
1-year transitional period 178 Appointment of
ventilation officers for underground mines during 3-year
transitional period . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . .
178 Continuation of exemptions for
particular opal or gem mines for 3-year transitional
period . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 178
Dictionary . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
180
Not authorised —indicative only
Page
13
Not authorised— indicative
only
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 1 Preliminary [s 1]
Mining and Quarrying Safety and Health
Act 1999 An Act
to regulate the
operation of
mines, other
than coal mines, to protect
the safety and health of persons at mines and persons
who may be
affected by
operations, and
for other purposes
Part
1 Preliminary Division 1
Introduction 1
Short
title This Act may be cited as the
Mining and
Quarrying Safety
and
Health Act 1999. 2 Commencement This Act
commences on a day to be fixed by proclamation. Division 2
Operation of Act 3
Act
binds all persons (1) This Act binds all persons, including
the State and, so far as the legislative power
of the Parliament permits,
the Commonwealth and all the other
States. Current as at [Not applicable]
Page
15
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 1 Preliminary [s 4]
(2) Nothing in this Act makes the State
liable to be prosecuted for an
offence. 4 What does this Act apply to
This Act
applies to
mines, other
than coal
mines, and
to operations. 5
Who
does this Act apply to This Act applies to—
(a) everyone who may affect the safety or
health of persons while the persons are at a mine; and
(b) everyone who may affect the safety or
health of persons as a result of operations; and
(c) a person whose safety or health may be
affected while at a mine or as a result of operations.
5A Relationship with Rail Safety National
Law (Queensland) (1) This section applies if—
(a) this Act, in the absence of this
section, would apply to a mining railway; and
(b) the Rail Safety National Law
(Queensland) also applies to the mining railway.
(2) This Act does not apply to the mining
railway to the extent that the Rail Safety National Law
(Queensland) applies. (3) In this
section— mining railway means a railway
that is in a mine other than a railway
mentioned in
the Rail Safety
National Law
(Queensland), section 7(1)(a).
Page
16 Current as at [Not applicable]
Division 3 Mining and
Quarrying Safety and Health Act 1999 Part 1
Preliminary [s 6] Objects of
Act Not authorised —indicative only
6 Objects of Act The objects of
this Act are— (a) to protect the safety and health of
persons at mines and persons who may be affected by
operations; and (b) to require that the risk of injury or
illness to any person resulting from operations is at an
acceptable level. 7 How objects are to be achieved
The
objects of this Act are to be achieved by— (a)
imposing safety and health obligations on
persons who operate mines or who may affect the safety
or health of others at mines; and (b)
providing for safety and health management
systems at mines to manage risk effectively; and
(c) making regulations and
guidelines for
the mining industry
to require and
promote risk
management and
control; and (d)
establishing a safety and health advisory
committee to allow the
mining industry
to participate in
developing strategies for
improving safety and health; and (e)
providing for
safety and
health representatives and
committees to represent the safety and
health interests of workers; and (f)
providing for
inspectors and
other officers
to monitor the
effectiveness of
risk management and
control at
mines, and to take appropriate action to
ensure adequate risk management; and (g)
providing a
way for the
competencies of
persons at
mines to be assessed and recognised;
and (h) requiring management structures so
that persons
may competently supervise the safe
operation of mines; and Current as at [Not applicable]
Page
17
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 1 Preliminary [s 8]
(i) providing for appropriate emergency
preparedness; and (j) providing for
the health assessment and
health surveillance of
persons who
are, will
be or have
been workers.
Division 4 Interpretation Subdivision
1 Dictionary 8
Definitions—the dictionary
The
dictionary in schedule 2 defines particular words used in
this
Act. Subdivision 2 Other important
terms 9 Meaning of mine
(1) A mine
is
any of the following places— (a)
a
place where operations are carried on, continuously or
from time
to time, within
the boundaries of
land the
subject of a mining tenure;
(b) a place where operations are carried
on, continuously or from time
to time, on
land adjoining, adjacent
to, or contiguous with,
the boundaries of land the subject of a mining tenure
and within which is a place mentioned in paragraph
(a); (c) a place where operations are carried
on, continuously or from time to time, unlawfully because land
at the place is not the subject of a mining
tenure; (d) a place that was a mine while works
are done to secure it after its abandonment;
Page
18 Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 1 Preliminary [s 10]
(e) a place where tourism, education or
research related to mining happens that is declared under a
regulation to be a mine; (f)
a
quarry; (g) a place that was a mine, or part of a
mine, while— (i) operations are
carried on,
continuously or
from time to time;
and (ii) an
authorisation to
enter land
under the
Mineral Resources Act
1989 , section 344A(3) is in force for
the
place. (2) A mine
includes buildings for administration,
accommodation and associated facilities at a place
mentioned in subsection (1) or adjoining,
adjacent to, or contiguous with, the place. (3)
Despite subsection
(1)(d), a place that
was a mine
is not a
mine after
its abandonment merely
because work
is being done at the
place by or for the State— (a) to ensure public
safety; or (b) to rehabilitate it; or
(c) to secure it. (4)
A mine does not include
a mine or part of a mine declared under a
regulation to be a mine or part of a mine to which this
Act
does not apply. Note— If a declaration
is made, the Work Health and Safety Act 2011
applies to the place
because schedule 1, part 2, division 1, section 2(1)(b) of
that Act would not apply. 10
Meaning of operations (1)
Operations are
activities carried
on principally for,
or in connection with,
exploring for,
winning, or
winning and
treating, minerals or hard rock and include
the following— Current as at [Not applicable]
Page
19
Mining
and Quarrying Safety and Health Act 1999 Part 1
Preliminary [s 10] Not
authorised —indicative
only (a) extracting, loading,
transporting, crushing,
concentrating, storing,
smelting, electrowinning, leaching and
processing of minerals or hard rock; (b)
disposing of
mineral or
waste products
in connection with winning,
extracting or processing minerals or hard rock;
(c) constructing, erecting,
maintaining or
demolishing of
any dam, excavation, building,
plant, machinery
or equipment that is required for
winning, or winning and treating, minerals or hard rock or the
disposal of mineral or waste products; (d)
rehabilitating of a place after
operations. (2) The following are not
operations —
(a) winning clay
for and manufacture of
bricks and
other ceramics;
(b) airborne geophysical surveys;
(c) fossicking; (d)
smelting, refining,
stockpiling and
processing operations on
land that— (i) are not adjoining, adjacent to, or
contiguous with, mines where minerals or hard rock are
excavated; or (ii) are adjoining,
adjacent to or contiguous with, but are not an
integral part of, mines where minerals or hard rock are
excavated; (e) transport to and from a mine on public
roads or public railways or within a pipeline;
(f) air transport to and from a
mine; (g) pastoral activities;
(h) underground gasification activities on
land the
subject of—
(i) a mineral development licence or
mining lease for activities relating to mineral (f);
or Page 20 Current as at
[Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 1 Preliminary [s 11]
(ii) an
exploration permit
if the chief
inspector has
made
a declaration under section 47A; (i)
an
operation exempted by regulation. Not
authorised —indicative only
11 Meaning of quarry
(1) A quarry
is a
place on land where operations are carried on, continuously or
from time to time, to produce construction or road building
material. Examples of construction or road building
material— aggregates, road base, manufactured sand,
rail ballast, armour rock, landscaping products
(2) However, a
place on
land where
operations are
carried on,
continuously or from time to time, to
produce construction or road building
material is
not a quarry
if the operations are
carried on— (a)
to produce construction or
road building
material substantially
for use at a construction site at the place, or that
adjoins, is
adjacent to,
or contiguous with,
the place; or (b)
to
excavate building foundations as part of construction
work; or (c)
to
extract, but not crush, river sand or gravel; or
(d) to redevelop
the place as
a place for
any of the
following— (i)
housing; (ii)
a
shopping complex; (iii) an industrial
estate; (iv) a recreation
area; (v) a landfill site. (3)
In
this section— construction site means a place on
land where construction work is performed. Current as at
[Not applicable] Page 21
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 1 Preliminary [s 12]
construction work see the
Work
Health and Safety Regulation 2011
. 12 Meaning of
safety and health A
person’s safety and health is the person’s
safety and health to the extent it is or may be affected by
operations or other activities at a mine. 13
Meaning of competence Competence for a task at a
mine is the demonstrated skill and knowledge
required to
carry out
the task to
a standard necessary for
the safety and health of persons. 14
Meaning of consultation Consultation with
workers is
discussion between
the site senior executive
or supervisors and affected workers about a matter with the
aim of reaching agreement about the matter. 15
Meaning of standard work
instruction A standard work instruction
at a
mine is a documented way of working at the mine to achieve an
acceptable level of risk, developed after consultation with
workers. 16 Meaning of accident
An accident at a mine is an
event, or a series of events, at the mine causing
injury to a person. 17 Meaning of serious
accident A serious accident
at a mine
is an accident
at a mine
that causes—
(a) the death of a person; or
Page
22 Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 1 Preliminary [s 18]
(b) a person to be admitted to a hospital
as an inpatient for treatment for the injury.
Not authorised —indicative only
18 Meaning of high potential
incident A high potential incident
at a
mine is an event, or a series of events, that
causes or has the potential to cause a significant
adverse effect on the safety or health of a
person. 19 Meaning of risk
(1) Risk means the risk
of injury or illness to a person arising out of a
hazard. (2) Risk is measured in terms of
consequences and likelihood. 20
Meaning of hazard
Hazard means a thing or
a situation with potential to cause injury or
illness to a person. 21 Meaning of operator
(1) An operator
for
a mine is— (a) for a mine where there is a
holder— (i) the holder; or (ii)
if another person
has been appointed
as the operator
under section
48 and the appointment is
notified to
an inspector for
the region under
section 46, the other person; or
(b) for a mine mentioned in section
9(1)(d), (f) or (g), where there is not a holder, the person in
control of the mine; or (c)
for a mine
mentioned in
section 9(1)(e), the
person in control of the mine.
(2) If— Current as at
[Not applicable] Page 23
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 1 Preliminary [s 22]
(a) another person
mentioned in
subsection (1)(a)(ii) is
appointed as the operator for a separate
part of a mine; and (b) the appointment
is notified to an inspector for the region under section
46; the person’s responsibilities and safety and
health obligations under this
Act as operator
for a mine
are limited to
the separate part of the mine.
(3) If— (a)
1 or more
persons are
appointed as
operators for
separate parts of a mine; and
(b) the appointments are
notified to
an inspector for
the region under section 46;
the
holder’s responsibilities and safety and health obligations
under this Act as an operator for the mine
are limited to the part of the mine to which the appointments
do not apply. (4) For this section, a part of a mine is
taken to be a separate part of a mine
only
if— (a) the part is geographically separated
from the rest of the mine; and (b)
there is no physical overlapping of
operations between the part and the operations in another part
of the mine; and (c) the part is
managed as a separate operation; and (d)
the
part is substantially self-contained. (5)
A
person may be appointed operator for more than 1 mine or
separate part of a mine. 22
Meaning of site senior
executive (1) The site senior
executive for a mine is the most senior officer
employed or otherwise engaged by the
operator for the mine who— (a)
is
located at or near the mine; and Page 24
Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 1 Preliminary [s 23]
(b) has responsibility for the
mine. (2) Subsection (1)(a) does
not require an
officer with
responsibility for
exploration activities under
a prospecting permit, an
exploration permit or mineral development licence
to
be located at or near the mine. (3)
If
the officer only has responsibility for a separate part of a
mine, the
officer’s responsibilities and
safety and
health obligations
under this Act as a site senior executive for a mine
are limited to
the separate part
of the mine
for which the
officer has responsibility.
23 Meaning of supervisor A
supervisor at a mine is a
worker who is authorised by the site senior
executive to give directions to other workers. 24
Meaning of district
workers’ representative A district
workers’ representative is
a person who
is appointed under
section 108 to
represent workers
on safety and
health matters
and who performs
the functions and
exercises the
powers of
a district workers’
representative mentioned in
part 8, division 2. 25 Meaning of site safety and
health representative A site
safety and
health representative ,
for a mine,
is a worker selected
or elected under section 84 by workers at the mine to perform
the functions and exercise the powers of a site
safety and
health representative mentioned
in part 7,
division 2. Current as at
[Not applicable] Page 25
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 2 Basic concepts [s 26]
Part
2 Basic concepts Division 1
Control and management of risk
26 What is an acceptable level of
risk (1) For risk to a person from operations
to be at an acceptable level
,
the operations must be carried out so that the level of
risk
from the operations is— (a) within
acceptable limits; and (b) as low as
reasonably achievable. (2) To decide
whether risk is within acceptable limits and as low
as
reasonably achievable regard must be had to— (a)
the
likelihood of injury or illness to a person arising out
of
the risk; and (b) the severity of the injury or
illness. 27 Risk management (1)
Risk
is effectively managed when all persons individually and
as
part of their respective workgroups and organisations, take
action to keep risk at an acceptable
level. (2) In particular, effective
risk management is
achieved when
persons apply risk management procedures and
practices that are appropriate for
the nature of
the risk, operation
or task being
performed. (3) Risk management is
the systematic application of
policies, procedures and
practices to— (a) identify, analyse, and assess risk;
and (b) avoid or remove unacceptable risk;
and (c) monitor levels of risk and the adverse
consequences of retained residual risk; and
Page
26 Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 2 Basic concepts [s 28]
(d) investigate and analyse the causes of
serious accidents and high potential incidents with a view to
preventing their recurrence; and (e)
review the
effectiveness of
risk control
measures, and
take
appropriate corrective and preventive action; and
(f) mitigate the
potential adverse
effects arising
from retained
residual risk. 28 What happens if the level of risk is
unacceptable (1) If there is an unacceptable level of
risk to persons at a mine, this Act requires that—
(a) persons be evacuated to a safe
location; and (b) action be taken to reduce the risk to
an acceptable level. (2) Action to reduce
the risk to an acceptable level may include stopping the use
of specified plant or substances. (3)
The
action may be taken by the operator for the mine, the site
senior executive
for the mine,
district workers’
representatives, site
safety and
health representatives, workers,
inspectors or inspection officers. Division 2
Cooperation 29
Cooperation to achieve objects of Act
(1) This Act seeks to achieve cooperation
between operators, site senior executives and
workers to achieve
the objects of
the Act. (2)
Cooperation is an important strategy in
achieving the objects of the Act and is achieved—
(a) at an industry level by—
(i) the establishment of the mining safety
and health advisory committee under part 6; and
Current as at [Not applicable]
Page
27
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 3 Safety and health obligations
[s
30] (ii) the
appointment of
district workers’
representatives under part 8; and
(b) at mine level by— (i)
the selection or
election of
site safety
and health representatives
and the establishment of site safety and health
committees under part 7; and (ii)
the process of
involving workers
in the management of
risk. Part 3 Safety and
health obligations Division 1 Preliminary 30
Obligations for safety and health
(1) Workers or other persons at mines or
persons who may affect safety and health at mines or as a
result of operations, have obligations under division 2 (
safety and health obligations
). (2) The following
persons have obligations under division 3 (also safety and
health obligations )— (a) holder;
(b) operator; (c)
site
senior executive; (d) contractor; (e)
designer, manufacturer, importer
and supplier of
plant for use at a
mine; (f) erector and installer of plant at a
mine; (g) manufacturer, importer
and supplier of
substances for
use
at a mine; (h) person who supplies a service at a
mine. Page 28 Current as at
[Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 3 Safety and health obligations
[s
31] (3) If a corporation has an obligation
under this Act, an officer of the corporation
has obligations under division 3A (also safety
and
health obligations ). Not authorised
—indicative only
31 Discharge of obligations
A
person on whom a safety and health obligation is imposed
must
discharge the obligation. Maximum penalty— (a)
if
the contravention caused multiple deaths— (i)
for
an offence committed by a corporation—30,000 penalty units;
or (ii) for
an offence committed
by an officer
of a corporation—6,000 penalty
units or
3 years imprisonment;
or (iii) otherwise—3,000 penalty
units or
3 years imprisonment;
or (b) if the
contravention caused
death or
grievous bodily
harm— (i)
for
an offence committed by a corporation—15,000 penalty units;
or (ii) for
an offence committed
by an officer
of a corporation—3,000 penalty
units or
2 years imprisonment;
or (iii) otherwise—1,500 penalty
units or
2 years imprisonment;
or (c) if the contravention caused bodily
harm— (i) for an offence committed by a
corporation—7,500 penalty units; or (ii)
for an offence
committed by
an officer of
a corporation—1,500 penalty
units or
1 year’s imprisonment;
or (iii) otherwise—750 penalty
units or
1 year’s imprisonment;
or Current as at [Not applicable]
Page
29
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 3 Safety and health obligations
[s
32] (d) if the
contravention involved
exposure to
a substance that is likely
to cause death or grievous bodily harm— (i)
for
an offence committed by a corporation—7,500 penalty units;
or (ii) for
an offence committed
by an officer
of a corporation—1,500 penalty
units or
1 year’s imprisonment;
or (iii) otherwise—750 penalty
units or
1 year’s imprisonment;
or (e) otherwise— (i)
for
an offence committed by a corporation—5,000 penalty units;
or (ii) for
an offence committed
by an officer
of a corporation—1,000 penalty
units or
6 months imprisonment;
or (iii) otherwise—500 penalty
units or
6 months imprisonment. 32
Person may owe obligations in more than 1
capacity A person on whom a safety and health
obligation is imposed may be subject to more than 1 safety
and health obligation. Example— A person may be
an operator, contractor and supplier of plant at the
same
time for a single mine and be subject to obligations in each of
the capacities. 33
Person not relieved of obligations
To
remove doubt, it is declared that nothing in this Act that
imposes a
safety and health
obligation on
a person relieves
another person
of the other
person’s safety
and health obligations
under this Act. Page 30 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 3 Safety and health obligations
[s
34] 34 How obligation can be discharged if
regulation or guideline made (1)
If a regulation prescribes a
way of achieving
an acceptable level of risk, a
person may discharge the person’s safety and health
obligation in relation to the risk only by following the
prescribed way. (2)
If a regulation prohibits
exposure to
a risk, a
person may
discharge the person’s safety and health
obligation in relation to the
risk only
by ensuring that
the prohibition is
not contravened. (3)
Subject to subsections (1) and (2), if a
guideline states a way or ways
of achieving an
acceptable level
of risk, a
person discharges the
person’s safety and health obligation in relation
to
the risk only by— (a) adopting and following a stated way;
or (b) adopting and
following another
way that achieves
a level of risk that is equal to or
better than the acceptable level. Note—
For
this section and the following section, see defences provided
for under division 4. 35
How
obligations can be discharged if no regulation or
guideline made (1)
This section
applies if
there is
no regulation or
guideline prescribing or
stating a way to discharge the person’s safety and health
obligation in relation to a risk. (2)
The
person may choose an appropriate way to discharge the
person’s safety and health obligation in
relation to the risk. (3) However, the
person discharges the person’s safety and health
obligation in
relation to
the risk only
if the person
takes reasonable precautions, and
exercises proper
diligence, to
ensure the obligation is discharged.
Current as at [Not applicable]
Page
31
Mining
and Quarrying Safety and Health Act 1999 Part 3 Safety and
health obligations [s 36] Division 2
Generally applicable safety and
health obligations Not
authorised —indicative
only 36 Obligations of
persons generally (1) A worker
or other person
at a mine
or a person
who may affect safety
and health of persons at a mine or as a result of
operations, has the following
obligations— (a) to comply with this Act, standard work
instructions, and procedures applying to the worker or person
that form part of a safety and health management
system for the mine; (b)
if
the worker or other person has information that other
persons need to know to fulfil their
obligations or duties under this Act, or to protect
themselves from the risk of injury
or illness—to give
the information to
the other persons;
(c) to take
any other reasonable and
necessary course
of action to
ensure that
persons are
not exposed to
unacceptable levels of risk.
(2) A worker
or other person
at a mine
has the following
additional obligations at the mine—
(a) to manage
the risk of
injury or
illness to
himself or
herself or
any other person
in the worker’s
or other person’s own
work and activities, so that the risk is at an acceptable
level; (b) to ensure, to the extent of the
responsibilities and duties allocated to the
worker or other person, that the risk of injury or
illness to any person is managed in the work and
activities under
the worker’s or
other person’s
control, supervision, or leadership, so that
the risk is at an acceptable level; (c)
to the extent
of the worker’s
or other person’s
involvement, to
participate in
and conform to
the risk management
practices of the operations; Page 32
Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 3 Safety and health obligations
[s
37] (d) to comply with instructions given for
safety and health of persons by the mine operator or site
senior executive for the mine or a supervisor at the
mine; (e) to work at the mine only if the worker
or other person is in a fit condition to carry out the work
without affecting the safety and health of others;
(f) not to
do anything wilfully
or recklessly that
might adversely affect
the safety and health of someone else at the mine.
Division 3 Obligations of
holders, operators, site senior executives and others
37 Obligations of holders
(1) This section applies if the holder
proposes to appoint under section 48 another person as the
operator for a mine. (2) The holder
must— (a) for a mine that is required, under
this division, to have a safety and health management
system— (i) inform the
proposed operator,
by notice, of
all relevant information available
to the holder
that may help the
proposed operator to ensure the site senior
executive for
the mine develops
and implements a
safety and
health management system for the
mine; and (ii) include
in the contract
with the
operator an
obligation on the operator to establish a
safety and health management system for the mine;
or (b) for a
mine that
is not required,
under this
division, to
have a
safety and
health management system—inform the
proposed operator,
by notice, of
all relevant information available
to the holder
about known,
or potential, hazards at the mine.
Maximum penalty—100 penalty units.
Current as at [Not applicable]
Page
33
Mining
and Quarrying Safety and Health Act 1999 Part 3 Safety and
health obligations [s 38] (3)
A
contract under subsection (2)(a)(ii) must be in writing.
Not authorised —indicative
only 38 Obligations of
operators (1) An operator for a mine has the
following obligations— (a) to ensure the
risk to workers while at the operator’s mine is at an
acceptable level, including, for example, by— (i)
providing a safe place of work and safe
plant; and (ii) maintaining
plant in a safe state; (b) to ensure the
operator’s own safety and health and the safety and
health of others is not affected by the way the operator
conducts operations; (c) to appoint a
site senior executive for the mine; (d)
to
ensure the site senior executive for the mine— (i)
develops and
implements a
safety and
health management
system for the mine; and (ii) develops,
implements and
maintains a
management structure
for the mine
that helps
ensure the safety and health of persons at
the mine; (e) to audit
and review the
effectiveness and
implementation of
the safety and
health management system to ensure
the risk to persons from operations is at an acceptable
level; (f) to provide adequate resources to
ensure the effectiveness and implementation of
the safety and
health management
system. (2) Without limiting subsection (1), an
operator has an obligation not to operate a mine without a safety
and health management system for the mine.
(3) Subsection (1)(d) to (f) and
subsection (2) do not apply to an operator
of a mine
that is
an opal or
gem mine, if
no more than 4 workers
are employed at the mine. (4) However,
a regulation may
specify an
opal or
gem mine mentioned
in subsection (3) to
be a mine
to which Page 34
Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 3 Safety and health obligations
[s
39] subsection (1)(d) to
(f) and subsection
(2) apply because
of the size, nature or complexity of the
mine’s operations. Not authorised —indicative only
39 Obligations of site senior executive
for mine (1) A site
senior executive
for a mine
has the following
obligations in relation to the safety and
health of persons who may be affected by operations—
(a) to ensure
the risk to
persons from
operations is
at an acceptable
level; (b) to ensure the risk to persons from any
plant or substance provided by
the site senior
executive for
the performance of work is at an
acceptable level; (c) to develop
and implement a
safety and
health management system
for all persons
at the mine,
including contractors and service
providers; (d) to give a contractor at the mine
information in the site senior executive’s possession about
all relevant components of
the mine’s safety and health management system, required
by the contractor to— (i) identify risks
arising in relation to any work to be undertaken by
the contractor at the mine; and (ii)
comply with section 40(1)(d);
(e) to give a service provider at the mine
information in the site senior
executive’s possession about
all relevant components of
the mine’s safety and health management system, required
by the service provider to— (i)
identify risks
arising in
relation to any service
to be provided
by the service
provider at
the mine; and
(ii) comply with
section 44(1)(f); (f) to review
safety and
health management plans
of contractors and service providers
within the meaning of section 40 or 44 and, if necessary,
require changes to be Current as at [Not applicable]
Page
35
Mining
and Quarrying Safety and Health Act 1999 Part 3 Safety and
health obligations [s 39] Not
authorised —indicative
only made to those plans to enable them to
be integrated with the mine’s safety and health management
system; (g) to develop,
implement and
maintain a
management structure for
the mine that helps ensure the safety and health of
persons at the mine; (h) to ensure no
work is undertaken by a worker at the mine until the
worker— (i) has been inducted in the mine’s safety
and health management system
to the extent
it relates to
the work to be undertaken by the worker;
and (ii) has
received training
about hazards
and risks at
the
mine to the extent they relate to the work to be
undertaken by the worker; and
(iii) has received
training so the worker is competent to perform the
worker’s duties; (i) to provide for— (i)
adequate planning,
organisation, leadership and
control of operations; and
(ii) the carrying out
of critical work at the mine that requires
particular technical competencies; and (iii)
adequate supervision and control of
operations on each shift at the mine; and
(iv) regular
monitoring and assessment of the working environment, work
procedures, equipment, and
installations at the mine; and
(v) appropriate inspection of
each workplace
at the mine
including, where
necessary, pre-shift
inspections; and (vi)
adequate supervision and
monitoring of
contractors and service providers at the
mine. (2) Subsection (1)(c)
to (f) and
(h)(i) does
not apply to
a site senior executive
of a mine that is an opal or gem mine, if no more than 4
workers are employed at the mine. Page 36
Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 3 Safety and health obligations
[s
40] (3) However, a
regulation may
specify an
opal or
gem mine mentioned
in subsection (2) to
be a mine
to which subsection
(1)(c) to (f) and (h)(i) applies because of the size,
nature or complexity of the mine’s
operations. Not authorised —indicative only
40 Obligations of contractors
(1) A contractor at a mine has the
following obligations— (a) to
ensure the
contractor complies
with this
Act to the
extent it
relates to
the work undertaken by
the contractor; (b)
to
ensure the contractor complies with the mine’s safety
and
health management system to the extent it relates to
the
work undertaken by the contractor; (c)
to ensure the
contractor’s own
safety and
health, and
the
safety and health of others, is not adversely affected
by
the way the contractor undertakes work at the mine;
(d) to ensure no work is undertaken by the
contractor until the contractor— (i)
has
given the site senior executive for the mine a safety and
health management plan; and (ii)
has
made all changes to the contractor’s safety and health
management plan required by the site senior executive to
enable the plan to be integrated with the mine’s
safety and health management system; (e)
to
ensure no work is undertaken by the contractor until
the contractor and
each worker
engaged by
the contractor— (i)
has
been inducted in the mine’s safety and health management system
to the extent
it relates to
the work to
be undertaken by
the contractor or
worker; and (ii)
has received training
about hazards
and risks at
the
mine to the extent they relate to the work to be
undertaken by the contractor or
worker. Current as at [Not applicable]
Page
37
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 3 Safety and health obligations
[s
41] (2) Subsection (1)(b), (d) and (e)(i) does
not apply if the mine is not required to have a safety and
health management system. (3) In this
section— safety and health management plan
, of
a contractor, means a plan that— (a)
identifies the work to be undertaken by the
contractor; and (b) states
how the contractor intends
to comply with
the contractor’s obligations under this
section. 41 Obligations of designers,
manufacturers, importers and suppliers of
plant etc. for use at mines (1)
A designer or
importer of
plant for
use at a
mine has
an obligation to ensure the plant is
designed so that, when used properly, the
risk to persons from the use of the plant is at an
acceptable level. (2)
A
manufacturer or importer of plant for use at a mine has an
obligation to
ensure the
plant is
constructed so
that, when
used
properly, the risk to persons from the use of the plant is
at
an acceptable level. (3) A
designer, manufacturer or
importer of
plant for
use at a
mine has
an obligation to
ensure the
plant undergoes
appropriate levels
of testing and
examination to
ensure compliance with
the obligation imposed by subsection (1) or (2).
(4) Also, a designer, manufacturer,
importer or supplier of plant for use at a
mine has the following obligations— (a)
to take all
reasonable steps
to ensure appropriate information
about the safe use of the plant is available, including
information about the maintenance necessary for the safe use
of the plant; (b) if the
designer, manufacturer, importer
or supplier becomes aware of
a hazard or defect associated with the Page 38
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1999 Part 3 Safety and health obligations
[s
41] Not authorised —indicative only
plant that
may create an
unacceptable level
of risk to
users of the plant, to inform the chief
inspector of— (i) the nature
of the hazard
or defect and
its significance; and (ii)
any modifications or
controls of
which the
designer, manufacturer, importer
or supplier is
aware that
have been
developed to
eliminate or
correct the
hazard or
defect or
manage the
risk; and
(iii) the
name of
each operator,
contractor or
service provider
the designer, manufacturer, importer
or supplier has supplied the plant to;
and (iv) the steps taken
to notify the operators, contractors and service
providers about the matters mentioned in subparagraphs
(i) and (ii); (c) to take the action the chief inspector
reasonably requires to prevent the use of unsafe plant
anywhere. Example of subsection (4)(c)—
The
chief inspector may require a designer, manufacturer, importer
or supplier of plant to recall the plant to
prevent its use. (5) For subsection
(4)(a), information is
appropriate if
the information states—
(a) the use for which the plant has been
designed and tested; and (b)
any
conditions that must be followed if the plant is to be
used safely
so that risk
to persons is
at an acceptable level.
(6) If a
supplier of
plant becomes
aware of
a hazard or
defect associated with
the plant the
supplier has
supplied to
an operator for a mine or to a contractor
for use at a mine that may create an unacceptable level of
risk to users of the plant, the supplier has
an obligation to take all reasonable steps to inform the
operator or contractor— (a) of the nature of
the hazard or defect and its significance; and
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[s
42] (b) any modifications or
controls the
supplier is
aware of
that have
been developed
to eliminate or
correct the
hazard or defect or manage the risk.
42 Obligations of erectors and installers
of plant An erector or installer of plant at a mine
has an obligation— (a) to erect or install the plant in a way
that is safe and does not expose persons at the mine to an
unacceptable level of risk; and (b)
to
ensure nothing about the way the plant was erected or
installed makes it unsafe or likely to
expose persons at the mine to
an unacceptable level
of risk when
used properly.
42A Obligations of designers, constructors
and erectors of earthworks (1)
A
designer of earthworks at a mine has an obligation to ensure
the
earthworks are designed so that, when used properly, the
risk to
persons from
the use of
the earthworks is
at an acceptable
level. Examples of earthworks— tailings dam,
berm (2) A constructor or
erector of
earthworks at
a mine has
an obligation— (a)
to
construct or erect the earthworks in a way that is safe
and
does not expose persons to an unacceptable level of
risk; and (b)
to ensure nothing
about the
way the earthworks are
constructed or erected makes the earthworks
unsafe or likely to expose persons to an unacceptable
level of risk when used properly. Page 40
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[s
43] 43 Obligations of manufacturers,
importers and suppliers of substances for use at mines
(1) A manufacturer or importer of a
substance for use at a mine has the
following obligations— (a) to
ensure the
substance is
safe so
that, when
used properly,
the risk to
persons from
the use of
the substance is at an acceptable
level; (b) to ensure the substance undergoes
appropriate levels of testing and examination to ensure
compliance with the obligation imposed by paragraph (a).
(2) Also, a manufacturer, importer or
supplier of a substance for use at a mine
has the following obligations— (a)
to ensure appropriate information about
the safe use,
storage and disposal of the substance is
provided with the substance; (b)
if
the manufacturer, importer or supplier becomes aware
of a
hazard or defect associated with the substance that
may
create an unacceptable level of risk to users of the
substance, to inform the chief inspector
of— (i) the nature
of the hazard
or defect and
its significance; and (ii)
any modifications or
controls of
which the
manufacturer, importer
or supplier is
aware that
have been
developed to
eliminate or
correct the
hazard or defect or manage the risk;
and (iii) the
name of
each operator,
contractor or
service provider
the manufacturer, importer
or supplier has supplied the
substance to; and (iv) the steps taken
to notify the operators, contractors and service
providers about the matters mentioned in subparagraphs
(i) and (ii); (c) to take the action the chief inspector
reasonably requires to prevent the use of an unsafe substance at
a mine. Current as at [Not applicable]
Page
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Act 1999 Part 3 Safety and health obligations
[s
44] Example of subsection (2)(c)—
The
chief inspector may require a manufacturer, importer or supplier
of a substance to recall the substance to
prevent its use. (3) For subsection
(2)(a), information is
appropriate if
the information clearly identifies the
substance and states— (a) the
precautions, if
any, to
be taken for
the safe use,
storage or disposal of the substance;
and (b) the risks,
if any, associated with
the use, storage
or disposal of the substance.
(4) If a supplier of a substance for use
at a mine becomes aware of a hazard or defect associated with
the substance that may create an unacceptable level of risk
to users of the substance, the supplier has an obligation to take
all reasonable steps to inform each operator, contractor or
service provider to whom the supplier has supplied the
substance of— (a) the nature of the hazard or defect and
its significance; and (b) any
modifications or
controls the
supplier is
aware of
that have
been developed
to eliminate or
correct the
hazard or defect or manage the risk.
44 Obligations of service
providers (1) A person
who provides a
service (a
service provider
) at a
mine
has the following obligations— (a)
to
ensure the service provider complies with this Act to
the
extent it relates to the service provided; (b)
to
ensure the service provider complies with the mine’s
safety and
health management system
to the extent
it relates to the service
provided; (c) to ensure
the safety and
health of
workers or
other persons
is not adversely
affected by
the service provided;
Page
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1999 Part 3 Safety and health obligations
[s
44] Not authorised —indicative only
(d) if the service provider is present at
the mine—to ensure the service provider’s own
safety and
health is
not adversely affected by the service
provided; (e) to ensure the fitness for use of plant
at the mine is not adversely affected by the service
provided; (f) to ensure
the service is
not provided until
the service provider—
(i) has identified the
risks arising
in relation to
any service to
be provided by
the service provider
at the mine; and (ii)
has either given
the site senior
executive for
the mine a
safety and
health management plan
or notified the
site senior
executive that
the service provider
wishes to
adopt the
mine’s safety
and health management system; and
(iii) if
the service provider
has given the
site senior
executive a safety and health management
plan— has made all changes to the plan required by
the site senior
executive to
enable the
plan to
be integrated with
the mine’s safety
and health management
system; (g) to ensure
the service is
not provided until
the service provider
and each worker
engaged by
the service provider—
(i) has been inducted in the mine’s safety
and health management system
to the extent
it relates to
the service to
be provided by
the service provider
or worker; and (ii)
has received training
about hazards
and risks at
the
mine to the extent they relate to the service to
be
provided by the service provider or worker. (2)
Subsection (1)(b), (f)(ii) and (iii) and
(g)(i) does not apply if the mine
is not required
to have a
safety and
health management
system. (3) In this section— Current as at
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[s
44A] safety and health management plan
, of a
service provider,
means a plan that— (a)
identifies the
service to
be provided by
the service provider;
and (b) states how the service provider
intends to comply with the service provider’s obligations
under this section. Division 3A Obligations of
officers of corporations 44A
Obligation of officers of
corporations (1) If a corporation has an obligation
under this Act, an officer of the
corporation must
exercise due
diligence to
ensure the
corporation complies with the
obligation. (2) An officer of a corporation may be
convicted or found guilty of an
offence under
this Act
relating to an
obligation of
the officer whether or not the corporation
has been convicted or found guilty
of an offence
under this
Act relating to
an obligation of the corporation.
(3) In this
section, due
diligence includes
taking reasonable steps—
(a) to acquire and keep up-to-date
knowledge of mine safety and health matters; and
(b) to gain an understanding of the nature
of operations at a mine and generally of the hazards and risks
associated with those operations; and
(c) to ensure
the corporation has
available for
use, and
uses, appropriate resources and processes to
eliminate or minimise risks to safety and health from
work carried out as part of operations; and
(d) to ensure the corporation has
appropriate processes for receiving and
considering information regarding
incidents, hazards and risks and responding
in a timely way to that information; and
Page
44 Current as at [Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 3 Safety and health obligations
[s
45] (e) to ensure
the corporation has,
and implements, processes
for complying with
any obligation of
the corporation under this Act; and
(f) to verify
the provision and
use of the
resources and
processes mentioned in paragraphs (c) to
(e). Example for paragraph (f)—
If the corporation is
the operator for
a mine, verifying
the provision and use of the resources and
processes to ensure the operator complies with the requirement
under section 38(1)(e) (including, for example, having regard
to each report given by the operator
in relation to
an audit of
the effectiveness and
implementation of
the mine’s safety
and health management system).
(4) In this section— officer
, of
a corporation, does not include a person appointed
as,
or whose position reports directly or indirectly to, the
site senior executive for a mine.
Division 4 Defences
45 Defences for div 2, 3 or 3A
(1) It is
a defence in
a proceeding against
a person for
a contravention of an obligation imposed
on the person under division 2,
3 or 3A
in relation to
a risk for
the person to
prove— (a)
if a
regulation has been made about the way to achieve
an
acceptable level of risk—the person followed the way
prescribed in the regulation to prevent the
contravention; or (b) subject to
paragraph (a), if a guideline has been made stating a way or
ways to achieve an acceptable level of a risk—
(i) that the person adopted and followed a
stated way to prevent the contravention; or
Current as at [Not applicable]
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45
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only Mining and Quarrying Safety and Health
Act 1999 Part 4 Provisions about the operation of
mines [s 46] (ii)
that
the person adopted and followed another way that achieved a
level of risk that is equal to or better than
the acceptable level
to prevent the
contravention; or (c)
if
no regulation prescribes or no guideline states a way
to
discharge the person’s safety and health obligation in
relation to
the risk—that the
person took
reasonable precautions and
exercised proper
diligence to
prevent the
contravention. (2) Also, it is a defence in a proceeding
against a person for an offence against
section 31 for
the person to
prove that
the commission of the offence was due to
causes over which the person had no control.
(3) The Criminal
Code, sections
23 and 24, do
not apply in
relation to a contravention of section
31. (4) In this section, a reference to a
guideline is a reference to the guideline in
force at the time of the contravention. Part 4
Provisions about the operation
of
mines Division 1 Notices about
mines 46 Notices by holder (1)
If a holder
appoints an
operator, the
holder must,
for each mine or part of
a mine for which the operator is appointed, give an
inspector for the region in which the mine is situated
written notice of— (a)
the
name and address of the operator; and (b)
the
name of, and a description of the land (including its
boundary) comprising, the mine or part of
the mine. Maximum penalty—40 penalty units.
Page
46 Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 4 Provisions about the operation of
mines [s 47] (2)
Notice must be given within 14 days of the
appointment. (3) The holder must not change the
operator for a mine without first giving an
inspector for the region in which the mine is situated written
notice. Maximum penalty for subsection (3)—40
penalty units. Not authorised —indicative only
47 Notices by operator
(1) The operator for a mine must give an
inspector for the region in which the mine is situated—
(a) if there is not a holder for the mine,
notice of— (i) the operator’s name and address;
and (ii) the
name of,
and a description of
the land (including its
boundary) comprising, the
mine or
part
of the mine; and (b) a facility description for the
mine— (i) if the mine is an existing mine—at
least 2 months before a significant change to the
operations of the mine unless, after the change, less than the
number of persons prescribed under a regulation are
to be employed at the mine; or (ii)
if
the mine is not an existing mine but it is intended
that operations are
to start and
more than
the number of
persons prescribed under
a regulation are to be
employed at the mine—at least 2 months before
operations start. Maximum penalty—40 penalty units.
(2) For subsection
(1)(b), the facility description must
include enough
information to decide the risk management measures
that will
be necessary for
an effective safety
and health management
system. (3) Before operations start,
the operator must
give an
inspector for the region
in which the mine is situated notice of the day operations are
to start. Current as at [Not applicable]
Page
47
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Act 1999 Part 4 Provisions about the operation of
mines [s 47A] Maximum
penalty—40 penalty units. (4) Also, the
operator must, within 7 days after the appointment,
give
an inspector for the region in which the mine is situated
notice of the following appointments
including the name and address of the person
appointed— (a) the appointment of a site senior
executive; (b) an appointment under section
52. Maximum penalty—40 penalty units.
(5) When land is added to or omitted from
a mine, the operator must, within 1 month after the
addition or omission, give to an inspector for
the region in which the mine is situated written
particulars of
the land (including its
boundary) added
or omitted. Maximum
penalty—40 penalty units. 47A Notice about
underground gasification activities (1)
This section
applies if
the site senior
executive for
a mine gives
the chief inspector
notice that
particular exploration activities at
the mine are underground gasification activities.
(2) The chief inspector may by notice
declare the activities to be underground
gasification activities, with the agreement of the
chief inspector, petroleum and gas.
(3) The chief inspector must give the site
senior executive a copy of the notice. (4)
In
this section— chief inspector, petroleum and gas
means the chief inspector
under the
Petroleum and
Gas (Production and
Safety) Act
2004 .
Page
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Division 2 Mining and
Quarrying Safety and Health Act 1999 Part 4 Provisions
about the operation of mines [s 48]
Management of mines 48
Appointment of operator (1)
The
holder for a mine may appoint a person as the operator for
the
mine or a separate part of a mine. (2)
An
appointment of a person as operator for a part of a mine
that
is not a separate part of a mine is ineffective.
49 Appointment of site senior
executive (1) An operator for a mine or for a
separate part of a mine must not appoint more
than 1 site senior executive for the mine or for the part for
which the person is operator. Maximum
penalty—500 penalty units. (2) An
operator must
not appoint a
person to
be site senior
executive for more than 1 mine.
Maximum penalty—500 penalty units.
(3) However, a
person may
be appointed to
be site senior
executive for more than 1 mine if—
(a) the mines are part of a mining
project; or (b) the mines consist only of exploration
activities under an exploration permit,
mineral development licence
or mining lease; or (c)
the mines are
adjacent and
operations for
winning, or
winning and treating, minerals or hard rock
are carried on at only 1 of the mines; or
(d) the mines
comprise mines
forming part
of a mining
project and
adjacent mines,
and the adjacent
mines consist
only of
exploration activities under
an exploration permit,
mineral development licence
or mining lease; or (e)
not
more than 10 workers are employed at each mine. Current as at
[Not applicable] Page 49
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Act 1999 Part 4 Provisions about the operation of
mines [s 50] (4)
If
more than 10 workers are employed at a mine or the mine is
prescribed by regulation to be a mine to
which this subsection applies, an operator for the mine must
not appoint a person to be site senior executive for the mine,
or a separate part of the mine, unless the person holds a site
senior executive notice. Maximum penalty—500 penalty
units. (5) A regulation may
prescribe a
mine to
be a mine
to which subsection (4)
applies because
of the size,
nature or
complexities of the mine’s
operations. (6) In this section— appoint
includes employ and purport to
appoint. 50 Management structure for safe
operations at mines (1) The site senior executive must—
(a) develop and
maintain a
management structure
for the mine
in a way
that allows
development and
implementation of
the safety and
health management system;
and (b) document the management
structure. Maximum penalty—40 penalty units.
(2) The document must— (a)
state the responsibilities of the site
senior executive; and (b) state the
responsibilities and competencies required for senior positions
in the structure; and (c) state
the names of
the persons holding
the senior positions and
their competencies; and (ca) state
the name of
the person who
is responsible for
establishing and
implementing a
system for
managing contractors and
service providers at the mine; and (d)
provide for a competent person to perform
the duties of a supervisor while the supervisor is
absent. Maximum penalty—40 penalty units.
Page
50 Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 4 Provisions about the operation of
mines [s 51] (3)
For
subsection (2)(b), an inspector may by notice given to the
site
senior executive declare a position to be a senior position.
51 Competencies of supervisors
A site senior
executive must
not assign the
tasks of
a supervisor to a person unless the
person— (a) is competent to perform the task
assigned; and (b) if there
is a safety
and health competency for
supervisors recognised by
the committee, has
the relevant competency.
Maximum penalty—100 penalty units.
52 Appointment of another site senior
executive during temporary absence (1)
If
the site senior executive is temporarily absent from duty
for more than 14 days, the operator for the mine
must appoint, in writing, a person to act as the site senior
executive during the absence. Maximum
penalty—100 penalty units. (2) The person
acting as the site senior executive is subject to all
of
the obligations of a site senior executive. 53
Additional requirements for management of
underground mines (1)
The site senior
executive must
appoint a
person to
be underground mine
manager to
control and
manage an
underground mine. Maximum
penalty—400 penalty units. (2) However,
the site senior
executive may
be appointed underground mine
manager by the operator for the mine. (3)
If
20 or more persons work underground in a mine— Current as at
[Not applicable] Page 51
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only Mining and Quarrying Safety and Health
Act 1999 Part 4 Provisions about the operation of
mines [s 54] (a)
the
site senior executive must not appoint a person as an
underground mine manager unless the person
has a first class certificate of
competency for
an underground mine; and
(b) the operator must not appoint the site
senior executive as underground mine
manager unless
the site senior
executive has a first class certificate of
competency for an underground mine. Maximum
penalty—400 penalty units. (4) The operator or
site senior executive may appoint a person as underground mine
manager for more than 1 mine at the same time only with
the written approval of the chief inspector. Maximum
penalty—200 penalty units. (5) As soon as
practicable after appointing an underground mine
manager, the operator or site senior
executive must give an inspector for
the region in
which an
underground mine
is situated notice of the
appointment. Maximum penalty—40 penalty units.
54 Appointment of another underground
mine manager during temporary absence (1)
If
the underground mine manager is temporarily absent from
duty for
more than
14 days, the
operator or
the site senior
executive for the mine must appoint, in
writing, a person to act as underground mine manager during the
absence. Maximum penalty—100 penalty units.
(2) To remove
doubt, section
53(2) to (5) applies
to an appointment
under subsection (1). (3) The person
acting as the underground mine manager is subject
to
all of the obligations of an underground mine manager.
54A Appointment of ventilation
officer (1) This section applies to an underground
mine. Page 52 Current as at
[Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 4 Provisions about the operation of
mines [s 54A] (2)
The
site senior executive for the mine must appoint a person
as
the ventilation officer for the mine. Maximum
penalty—200 penalty units. (3) The
site senior
executive must
not appoint a
person as
the ventilation officer for the mine
unless— (a) if more than 10 persons but not more
than 20 persons work underground in the mine or the mine is
prescribed by regulation to
be a mine
to which this
paragraph applies—the site
senior executive is satisfied the person is
competent to
perform the
duties of
the ventilation officer for the
mine; or (b) if more than 20 persons work
underground in the mine or the mine is prescribed by
regulation to be a mine to which this
paragraph applies—the person
has competencies recognised by
the committee as
appropriate for
the duties and
responsibilities of
the position. Maximum
penalty—200 penalty units. (4) A regulation may
prescribe an underground mine to be a mine to which
subsection (3)(a) or (b) applies because of the size,
nature or complexities of the mine’s
operations. (5) The ventilation officer for the mine
is responsible for— (a) the implementation of the mine’s
ventilation system; and (b) the
establishment of
effective standards
of ventilation for the
mine. (6) The site
senior executive
must not
appoint a
person as
ventilation officer at more than 1 mine at
the same time unless the chief inspector gives the site
senior executive notice that the chief
inspector is satisfied the person can effectively carry
out
the duties of the ventilation officer at the mines.
Maximum penalty for subsection (6)—200
penalty units. Current as at [Not applicable]
Page
53
Mining
and Quarrying Safety and Health Act 1999 Part 4 Provisions
about the operation of mines [s 54B]
Not authorised —indicative
only 54B Absence of
ventilation officer (1) This section applies if the
ventilation officer appointed under section
54A for an
underground mine
is temporarily absent
from
duty. (2) If the
absence is
for not more
than 14
days, the
duties and
responsibilities of
the ventilation officer
are taken to
be assumed by
the underground mine
manager during
the absence. (3)
Subsection (2) applies regardless of whether
the underground mine manager
satisfies any
requirements that
apply under
section 54A(3)(a)
or (b) for
appointing a
person as
the ventilation officer for the
mine. (4) An inspector may, by notice—
(a) require an
underground mine
manager assuming
the duties and
responsibilities of
the ventilation officer
to demonstrate to
the inspector’s satisfaction that
the manager can
effectively carry
out the duties
and responsibilities of both the
underground mine manager and the ventilation officer;
and (b) if the
underground mine
manager can
not satisfy the
inspector as
mentioned in
paragraph (a)—require the
site
senior executive for the mine to appoint a person to
act
as the ventilation officer during the remainder of the
absence. (5)
If the absence
is for more
than 14
days or
the site senior
executive is
given a
notice under
subsection (4)(b),
the site senior executive
for the mine must appoint a person to act as the ventilation
officer during the absence. Maximum
penalty—200 penalty units. (6) The
site senior
executive must
not appoint a
person under
subsection (5)
unless the
person satisfies
any requirements that
apply under
section 54A(3)(a)
or (b) for
appointing a
person as the ventilation officer for the
mine. Maximum penalty—200 penalty units.
Page
54 Current as at [Not applicable]
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Division 3 Mining and
Quarrying Safety and Health Act 1999 Part 4 Provisions
about the operation of mines [s 55]
Safety and health management
systems 55
Safety and health management system
(1) The safety
and health management system,
for a mine,
is a single
system that
incorporates risk
management elements
and
practices that ensure the safety and health of persons who
may
be affected by operations. (2) The safety and
health management system must be a single, auditable
documented system that— (a) forms part of an
overall management system; and (b)
includes organisational structure, planning
activities, responsibilities, practices, procedures and
resources for developing, implementing, maintaining and
reviewing a safety and health policy.
(3) The safety
and health management system
must provide
a single, comprehensive and
integrated system
for the management of
all aspects of
risks to
safety and
health in
relation to the operation of the
mine. (4) The safety and health management
system for a mine must be in place before operations start at
the mine. (5) The safety and health management
system must be effective to achieve an acceptable level of risk
by— (a) defining the operator’s safety and
health policy; and (b) containing a plan to implement the
operator’s safety and health policy; and (c)
stating how
the operator intends
to develop the
capabilities and
support mechanisms necessary
to achieve the policy; and
(d) including procedures for the operation
of the mine and standard work instructions; and
(e) containing a way of—
Current as at [Not applicable]
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55
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only Mining and Quarrying Safety and Health
Act 1999 Part 4 Provisions about the operation of
mines [s 56] (i)
measuring, monitoring and
evaluating the
performance of the safety and health
management system; and (ii)
taking the
action necessary
to prevent or
correct matters
that do
not conform with
the safety and
health management system; and
(f) containing a
plan to
regularly review
and continually improve
the safety and
health management system
so that risk to persons at the mine is at
an acceptable level; and (g)
if
there is a significant change to the mining operations
of
the mine, containing a plan to immediately review the
safety and
health management system
so that risk
to persons is at an acceptable
level. 56 Review of safety and health management
system (1) This section applies if—
(a) a safety
and health management system
has been developed for a
new mine; or (b) it is proposed to change a safety and
health management system at an existing mine.
(2) The site
senior executive
must review
the system in
consultation with— (a)
workers, to the extent they are affected by
the system; or (b) appropriate site
safety and
health representatives and
committees. Maximum
penalty—200 penalty units. (3) The review under
subsection (2) must take place— (a)
for
a new mine—as soon as practicable after the start of
operations; or (b)
for
a change at an existing mine—before the change is
effected. Page 56
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Division 4 Mining and
Quarrying Safety and Health Act 1999 Part 4 Provisions
about the operation of mines [s 57]
Records and reporting 57
Management structure to be recorded in the
mine record (1) The site senior executive must enter
in the mine record details of— (a)
the management structure
and of the
persons holding
senior positions in the structure;
and (b) changes to the management
structure. Maximum penalty—50 penalty units.
(2) The details
must be
entered within
7 days after
the establishment of, or changes to, the
management structure. 58 Plans of mine
workings (1) A site senior executive must keep at
the mine— (a) plans showing, as far as
practicable— (i) the extent
of the mine
workings and
the current position of any
part of the mine workings; and (ii)
for an underground mine,
the significant topographical features
on the surface
above the
mine; and (b)
plans showing
the extent of
mining undertaken at
or near the mine; and (c)
information likely to be required to
evaluate the effect of the mine on— (i)
the
safety of adjoining mines; and (ii)
any
potential uncontrolled flow of material into the
mine
workings; and (d) information likely to be required to
evaluate the effect of any adjoining mine on the safety of
the mine. Maximum penalty—100 penalty units.
Current as at [Not applicable]
Page
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only Mining and Quarrying Safety and Health
Act 1999 Part 4 Provisions about the operation of
mines [s 58] (2)
A
site senior executive, if asked by an inspector, inspection
officer or
district workers’
representative, must
give to
the inspector, officer or representative
plans showing the extent of the mine
workings or the current position of any part of the
mine workings
and the information mentioned
in subsection (1)(c) or (d).
Maximum penalty—100 penalty units.
(3) Within 14 days after the abandonment
of a mine, the person who was
the operator for
the mine immediately before
the abandonment must give the chief
inspector plans showing the extent of
operations undertaken at the mine. Maximum
penalty—100 penalty units. Note— The plans given
to the chief inspector form part of the database under
section 260. (4)
A
site senior executive of a mine must, as soon as reasonably
practicable, provide
information mentioned
in subsection (1)(c) or
(d) to the
site senior
executive of
an adjoining mine— (a)
if asked by
the site senior
executive of
the adjoining mine; or
(b) if the
information is
relevant to
the safety of
the adjoining mine. Maximum
penalty—100 penalty units. (5) The accuracy of
the plans mentioned in this section must be certified
by— (a) for a mine other than an underground
mine—a person having the competencies for surface mining
surveying recognised by the committee, or registered
as a surveyor or surveying associate under the
Surveyors Act 2003 ; or
(b) for an
underground mine—a
person having
the competencies for
underground mining
surveying recognised by
the committee. Page 58 Current as at
[Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 4 Provisions about the operation of
mines [s 59] (6)
A
reference in this section to plans is a reference to plans
as certified under subsection (5).
Not authorised —indicative only
59 Mine record (1)
An operator for
a mine must
keep a
mine record
that includes—
(a) all reports
of, and findings
and recommendations resulting
from, inspections, investigations and
audits carried out at a
mine under this Act; and (b) all directives
issued under this Act to the operator and the operator’s
agents or representatives; and (c)
a record of
all remedial actions
taken as
a result of
directives issued under this Act; and
(d) a record of and reports about all
serious accidents and high potential incidents that have
happened at the mine; and (e)
all
other reports or information that may be prescribed
under a regulation. Maximum
penalty—200 penalty units. (2) For subsection
(1), a matter must be kept in the mine record for 7 years
after the matter is included in the record. (3)
Subsection (2) applies whether the matter
was included under this Act or the repealed Mines Regulation
Act 1964 . (4) The
operator must
ensure the
mine record,
relating to
the previous 6 months at least, is
available at all reasonable times for inspection
by each of the following— (a) workers at the
mine; (b) the site senior executive.
Maximum penalty—200 penalty units.
(5) If a person (the former
operator ) who is the operator for a
mine
is replaced by another person (the new
operator ) as the operator for the
mine, the former operator must give the new Current as at
[Not applicable] Page 59
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only Mining and Quarrying Safety and Health
Act 1999 Part 4 Provisions about the operation of
mines [s 60] operator the
mine record for the mine as soon as practicable after being
replaced. Maximum penalty—200 penalty units.
(6) A person must not destroy, deface or
alter the mine record so that it is no longer a correct and
complete record. Maximum penalty—400 penalty units.
60 Display of reports and
directives The site senior
executive must
display a
copy of
current directives and
reports of
inspections carried
out at a
mine under this Act
in 1 or more conspicuous positions at the mine in a way likely
to come to the attention of workers at the mine affected by the
directive. Maximum penalty—100 penalty units.
Division 5 Protection of
abandoned mines 61 Responsibility for protecting
abandoned mines (1) If a mine is abandoned, the person who
was the operator for the mine immediately before the
abandonment must ensure at the time of abandonment that the
abandoned mine is safe and made secure. Maximum
penalty—800 penalty units. (2) If the operator
does not comply with subsection (1), the holder for
the mine must
ensure the
abandoned mine
is safe and
made
secure. Maximum penalty—800 penalty units.
(3) Without limiting subsection (1) or
(2), while the holder is the holder for the
mine, the holder must ensure the mine is safe and made
secure. Maximum penalty—800 penalty units.
Page
60 Current as at [Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 5 Guidelines [s 62]
(4) If an abandoned mine is not safe and
made secure, the chief executive may make it safe and secure
and recover the cost of making it safe and secure from the
person with the obligation to ensure the mine is safe and made
secure. (5) A conviction under this section with
or without penalty does not affect the chief executive’s
ability to recover the cost of making the mine
safe and secure. (6) In this section— environmental authority
see the Environmental Protection Act 1994
,
schedule 4. holder , for a mine,
includes the holder of an environmental authority to
carry out operations for land on which the mine is
located. Part 5
Guidelines 62
Purpose of guidelines A guideline may
be made for safety and health stating ways to achieve an
acceptable level of risk to persons arising out of
operations. 63
Guidelines (1)
The
Minister may make guidelines. (2)
The
Minister must notify the making of a guideline by gazette
notice. (3)
The
chief executive must keep a copy of each guideline and
any document applied,
adopted or
incorporated by
the guideline available
for inspection, without
charge, during
normal business hours at each department
office dealing with safety and health. (4)
The
chief executive, on payment by a person of a reasonable
fee decided by
the chief executive, must
give a
copy of
a guideline to the person.
Current as at [Not applicable]
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61
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Act 1999 Part 6 Industry consultative
arrangements [s 64] 64
Use
of guidelines in proceedings A guideline is
admissible in evidence in a proceeding if— (a)
the
proceeding relates to a contravention of a safety and
health obligation imposed on a person under
part 3; and (b) it is claimed that the person
contravened the obligation by failing to achieve an acceptable
level of risk; and (c) the guideline is about achieving an
acceptable level of risk. Part 6
Industry consultative arrangements Division 1
Purposes of part 65
Purposes of pt 6 The
main purposes
of this part
are to provide
for the establishment of
a mining safety
and health advisory
committee and to state its functions.
Division 2 Mining safety
and health advisory committee and its functions
66 Mining safety and health advisory
committee The mining safety
and health advisory
committee (the
committee ) is
established. 67 Functions of committee
(1) The primary function of the committee
is to give advice and make recommendations to the Minister
about promoting and protecting the safety and health of persons
at mines. Page 62 Current as at
[Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 6 Industry consultative
arrangements [s 68] (2)
Without limiting
subsection (1), the
committee must
discharge its primary function by
periodically reviewing— (a) the
effectiveness of this Act, regulations and guidelines;
and (b) the
effectiveness of
the control of
risk to
any person from
operations. (3) The committee also has the functions
of— (a) establishing, recognising and
publishing— (i) the competencies accepted
by it as
qualifying a
person to perform stated tasks; and
(ii) the
safety and
health competencies required
to perform the duties of a person under
this Act; and (b) if asked
by the Minister,
making recommendations about
individuals nominated
to be district
workers’ representatives. (4)
In
periodically reviewing effectiveness under subsection (2),
the
committee must have regard to the following— (a)
the risk management performance of
the mining industry;
(b) the appropriateness of
guidelines; (c) education, training, and standards of
competency within the mining industry; (d)
the implementation of
recommendations from
inspectors’ investigations, coroners’
inquests, boards of inquiry, and other sources;
(e) the promotion of community knowledge
and awareness of safety and health in the mining
industry; (f) any other matter referred to it by the
Minister. 68 Annual report (1)
As
soon as practicable, but within 4 months, after the end of
each
financial year, the commissioner, as chairperson of the
Current as at [Not applicable]
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63
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only Mining and Quarrying Safety and Health
Act 1999 Part 6 Industry consultative
arrangements [s 69] committee, must
prepare and give to the Minister a report on the committee’s
operations for the year. (2) The Minister
must table a copy of the report in the Legislative
Assembly within 14 sitting days after
receiving it. Division 3 Membership and
conduct of committee proceedings 69
Membership of committee (1)
The
committee is to consist of 10 members, 1 of whom is the
chairperson. (2)
The
chairperson of the committee is the commissioner.
70 Organisations to submit names to
Minister (1) The following organisations, within 1
month of being asked to do so
by the Minister,
may submit a
panel of
names of
individuals experienced in
mining operations the
organisations nominate to be members of the
committee— (a) organisations representing
operators; (b) industrial organisations representing
workers. (2) Only 1
panel may
be submitted by
all organisations representing
operators. (3) Only 1 panel may be submitted by all
industrial organisations representing workers.
(4) Each panel must include 6 or more
names. 71 Appointment of members—persons from
panels (1) The Minister must appoint 3 persons
from each panel to be members of the committee.
Page
64 Current as at [Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 6 Industry consultative
arrangements [s 71A] (2)
One of the
persons appointed
from the
panel submitted
by organisations representing operators
must represent
quarry operators. (3)
One of the
persons appointed
from the
panel submitted
by industrial organisations representing workers
must be
a member of
the industrial organisation that
represents the
majority of the workers in
Queensland. (5) The Minister may appoint a person
under subsection (1) only if the
person is
experienced in
operations or
the Minister otherwise
considers the person appropriate to be a member of
the
committee. (6) In selecting
a person for
appointment under
subsection (1), the Minister
must also consider the following in relation to the
person— (a)
breadth of experience in the mining
industry; (b) demonstrated commitment to
promoting safety
and health standards in the mining
industry; (c) practical knowledge
of the mining
industry and
of relevant legislation.
(7) If a panel of names is not submitted
to the Minister within the stated time, the Minister may appoint
3 persons the Minister considers appropriate to be members of
the committee. (8) The members
mentioned in
this section
must be
appointed under this Act
and not the Public Service Act 2008. 71A
Appointment of members—inspectors
(1) The chief inspector is a member of the
committee. (2) The Minister must appoint 2 other
inspectors to be members of the committee. Current as at
[Not applicable] Page 65
Mining
and Quarrying Safety and Health Act 1999 Part 6 Industry
consultative arrangements [s 72] 72
Duration of appointment A
member of
the committee may
be appointed, or
reappointed, by the Minister under section
71(1) for a term of not more than 3 years. Not
authorised —indicative
only 73 Conditions of
appointment (1) A member
of the committee
is not entitled
to any remuneration, other
than the
reimbursement of
reasonable expenses and
travel allowance. (2) A member holds office on the
conditions not provided by this Act that are
decided by the Governor in Council. 74
Member ceasing as member The office of a
member of the committee becomes vacant if the
member— (a) finishes a term of office and is not
reappointed; or (b) resigns by notice of resignation given
to the Minister; or (c) is absent from 3 consecutive meetings
of the committee without leave of the committee and without
reasonable excuse; or (d)
is
removed from office by the Minister for any reason or
none. 74A
Substitute members (1)
The Minister may
appoint 2
persons (
substitute members
) from each panel submitted under
section 70(1), in addition to the
persons appointed
under section
71(1), to take part
in meetings of
the committee in
place of
a member (
original member
)
appointed from the same panel. (2)
One of the
persons appointed
from the
panel submitted
by industrial organisations representing workers
must be
a member of
the industrial organisation that
represents the
majority of the workers in
Queensland. Page 66 Current as at
[Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 6 Industry consultative
arrangements [s 75] (3)
When appointing a
substitute member,
the Minister must
consider the
matters mentioned
in section 71(6)(a), (b)
and (c). (4)
A
substitute member may be appointed, or reappointed, for a
term
of not more than 3 years. (5) A person stops
being a substitute member if, for any reason or none, the
Minister gives the person written notification that
the
person is no longer a substitute member. (6)
While taking part in a meeting in place of
an original member, a substitute member is a member of the
committee and— (a) is not
entitled to
any remuneration, other
than the
reimbursement of
reasonable expenses
and travel allowance;
and (b) is subject to the conditions,
mentioned in section 73(2) and applying to the original member,
that are capable of applying to the substitute member.
75 Times and places of meetings of the
committee (1) The committee may hold its meetings at
the times and places it decides. (2)
However, the committee must meet at least
twice a year. (3) The chairperson— (a)
may
call a meeting of the committee at any time; and
(b) must call a meeting if asked by at
least 4 members. (4) Also, the Minister may call a meeting
of the committee at any time. 76
Presiding at meetings of the
committee (1) The chairperson must preside at all
meetings of the committee at which the chairperson is
present. (2) In the absence of the chairperson, an
inspector nominated by the chairperson presides.
Current as at [Not applicable]
Page
67
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only Mining and Quarrying Safety and Health
Act 1999 Part 6 Industry consultative
arrangements [s 77] 77
Quorum and voting at meetings of the
committee (1) At a meeting of the committee—
(a) 4 members constitute a quorum;
and (b) a question must be decided by a
majority of the votes of the members present and voting;
and (c) each member present has a vote on each
question to be decided and,
if the votes
are equal, the
member presiding also
has a casting vote. (2) A quorum must include—
(a) a member who represents operators;
and (b) a member who represents workers;
and (c) a member who represents
inspectors. 78 Recommendation to Minister if vote not
unanimous (1) If the committee gives advice or makes
a recommendation to the Minister about
a matter, the
committee must
advise the
Minister whether the committee’s decision
about the matter was unanimous. (2)
If
the decision was not unanimous, the committee must advise
the
Minister of the views of the minority. 79
Taking part in meetings by telephone
etc. (1) The committee
may permit members
to take part
in a particular meeting,
or all meetings,
by any technology permitting contemporaneous communication with
other committee
members. (2) A member who takes part in a meeting
of the committee under a permission under subsection (1) is
taken to be present at the meeting. Page 68
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Mining and Quarrying Safety and Health Act
1999 Part 6 Industry consultative
arrangements [s 80] 80
Resolutions without meetings
(1) If at
least 6
members of
the committee sign
a document containing a
statement that they are in favour of a resolution
stated in the document, the resolution is
taken to have been passed at a meeting of the committee held on
the day when the last of the members signing the document
signs the document. (2) However, the 6 members must
include— (a) a member who represents operators;
and (b) a member who represents workers;
and (c) a member who represents
inspectors. (3) If, a
resolution is,
under subsection
(1), taken to
have been
passed at a committee meeting, each member
must be advised immediately of the matter and be given a
copy of the terms of the resolution. (4)
For
subsection (1), 2 or more separate documents containing a
statement in identical terms, each of which
is signed by 1 or more members, are taken to be a single
document. 81 Minutes by the committee
The
committee must keep minutes of its proceedings. 82
Subcommittees The
committee may
appoint subcommittees to
advise it
on particular issues. Current as at
[Not applicable] Page 69
Mining
and Quarrying Safety and Health Act 1999 Part 7 Site safety
and health representatives and committees [s 83]
Part
7 Site safety and health representatives
and committees Not
authorised —indicative
only Division 1 Purpose of
part 83 Purpose of pt 7 The main
purposes of this part are— (a) to provide for
the selection or election of site safety and health
representatives and
to state their
functions and
powers; and (b)
to
provide for site safety and health committees and to
state their functions and powers.
Division 2 Site safety and
health representatives 84
Selection or election of site safety and
health representatives (1)
The workers at
a mine may
select or
elect up
to 2 of
their number
to be site
safety and
health representatives for
the mine for the term decided by the
workers. (2) If there
is more than
1 site senior
executive at
a mine, the
workers in
each part
of the mine
for which a
site senior
executive has responsibility may select or
elect 2 workers to be site safety and health representatives
for each part for the term decided by the workers.
(3) However, the
workers and
the site senior
executive may
decide that there are to be more than 2 site
safety and health representatives for
the mine or
part of
the mine if
they consider this is
necessary because of the size and complexity of
operations. Page 70 Current as at
[Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 7 Site safety and health representatives
and committees [s 85] (4)
The
workers and the site senior executive may also decide an
area
( area of representation ) within the
mine or part of the mine for
which 1
or more site
safety and
health representatives
are to have responsibility. (5)
A
worker does not need any qualifications to be selected or
elected as
a safety and
health representative but
must have
been
a worker for at least 2 years and must receive appropriate
training for
a safety and
health competency mentioned
in section 86. (6)
When
performing functions or exercising powers under this
part, a
site safety
and health representative is
taken to
be performing part of the worker’s duties
as a worker. 85 How site safety and health
representatives are selected or elected
(1) If workers can not agree on the
selection of site safety and health
representatives, an election by workers must be held to
choose the representatives.
(2) A site
senior executive
must, if
asked by
the workers, help
workers in the selection or election of site
safety and health representatives. Maximum penalty
for subsection (2)—40 penalty units. 86
Site
safety and health representative must obtain qualifications A person must
not continue to act as a site safety and health representative for
more than
3 months after
the representative’s selection or election
unless the person has a safety and
health competency established by
the committee for a site
safety and health representative. Maximum
penalty—40 penalty units. Current as at [Not applicable]
Page
71
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only Mining and Quarrying Safety and Health
Act 1999 Part 7 Site safety and health representatives
and committees [s 87] 87
Site
safety and health representative must perform functions and
exercise powers appropriately A
site safety
and health representative must
perform the
functions and exercise the powers of a site
safety and health representative under this Act for safety and
health purposes and for no other purpose.
Maximum penalty—40 penalty units.
88 Ceasing to be a site safety and health
representative A worker stops being a site safety and
health representative if the worker— (a)
tells the site senior executive that the
worker resigns as site safety and health representative;
or (b) stops being a worker at the mine;
or (c) is removed from office by a vote of
workers. 89 Removal from office by Minister
(1) The Minister
may remove a
site safety
and health representative
from office by notice if the Minister considers the
representative is
not performing the
representative’s functions
satisfactorily. (2) The notice must contain the Minister’s
reasons for removing the site safety and health
representative from office. 90 Selection or
election after removal from office (1)
If a site
safety and
health representative is
removed from
office by
the Minister, another
site safety
and health representative
may be selected or elected under this division. (2)
However, another person must not be selected
or elected to be a site safety and health representative
until after— (a) the time for filing an appeal under
part 13, division 1 has ended; or Page 72
Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 7 Site safety and health representatives
and committees [s 91] (b)
if an appeal
against the
Minister’s decision
has been filed—an
Industrial Magistrates Court
has confirmed the
Minister’s decision
to remove the
site safety
and health representative.
(3) The provisions of
this division
apply to
the selection or
election. Not
authorised —indicative only
91 Functions and powers for area of
representation If a site
safety and
health representative has
an area of
representation within
the mine or
part of
the mine the
representative may
exercise the
powers and
perform the
functions of a site safety and health
representative for the area of
representation only. 92 Functions of site safety and health
representatives (1) A site
safety and
health representative has
the following functions— (a)
to inspect parts
of the operations and
participate in
inspections and
investigations conducted
by the site
senior executive
or a supervisor, inspector, inspection officer or
authorised officer; (b) to review procedures in place at the
mine to control the risk to workers so that it is at an
acceptable level; (c) to review
the circumstances of
injuries, illnesses
and high potential incidents;
(d) to consult
with supervisors about
corrective and
preventive action,
and about other
safety and
health matters;
(e) to consult
with district
workers’ representatives, inspectors,
advisers and independent experts; (f)
to
help in the resolution of safety and health issues;
(g) to investigate complaints from workers
about safety and health; Current as at
[Not applicable] Page 73
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only Mining and Quarrying Safety and Health
Act 1999 Part 7 Site safety and health representatives
and committees [s 93] (h)
to
refer safety and health matters to the site safety and
health committee as appropriate.
(2) The site
senior executive
and supervisors at
the mine must
give
reasonable help to a site safety and health representative
in
carrying out the representative’s functions. Maximum
penalty—40 penalty units. (3) The
site senior
executive or
the site senior
executive’s representative may
accompany the
site safety
and health representative
during an inspection. (4) A
site safety
and health representative who
makes an
inspection of the mine must—
(a) make a written report on the
inspection; and (b) give a copy of the report to the site
senior executive; and (c) if
the inspection indicates
the existence or
possible existence of
danger, immediately— (i) notify the site
senior executive or the responsible supervisor;
and (ii) send a copy of
the report to an inspector. (5)
If a
site safety and health representative believes a safety and
health management system
is inadequate or
ineffective, the
representative must inform the site senior
executive. (6) If the site safety and health
representative is not satisfied the site senior
executive is taking the action necessary to make the
safety and health management system adequate
and effective, the representative must advise an
inspector. (7) The inspector
must investigate the
matter and
report the
results of the investigation in the mine
record. 93 Powers of site safety and health
representative A site safety
and health representative has
the following powers—
(a) subject to section 91, to enter any
part of the mine at any time to
carry out
the functions of
the site safety
and Page 74 Current as at
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Mining and Quarrying Safety and Health Act
1999 Part 7 Site safety and health representatives
and committees [s 94] health
representative, if reasonable notice is given to the
site senior
executive or
the site senior
executive’s representative; (b)
to
examine any documents relevant to safety and health
held
by the site senior executive under this Act, if the
site safety
and health representative has
reason to
believe the documents contain information
required to assess whether
procedures are
in place at
the mine to
achieve an acceptable level of risk to
workers. 94 Stopping operations by site safety and
health representatives (1)
This
section applies if a site safety and health representative
reasonably believes
operations pose
a serious danger
to the safety and
health of workers at the mine. (2)
The
site safety and health representative must first notify and
consult with
the site senior
executive or
an appropriate supervisor so
that action may be taken to remove the danger to
the
safety and health of workers. (3)
If consultation is
not possible because
immediate action
to safeguard workers is necessary or if
consultation does not lead to agreement on the action to be
taken, a site safety and health representative
may— (a) stop the operations or part of the
operations; and (b) evacuate persons to a safe
location. (4) The site safety and health
representative must give a written report to the
site senior executive about the action taken under
subsection (3) and the reasons for the
action. 95 When operations may be
restarted If action has
been taken
by the site
safety and
health representative under
section 94(3), the
site senior
executive must ensure that
the operations are not restarted until the risk to workers from
the operations is at an acceptable level. Current as at
[Not applicable] Page 75
Mining
and Quarrying Safety and Health Act 1999 Part 7 Site safety
and health representatives and committees [s 96]
Maximum penalty—200 penalty units.
Not authorised —indicative
only 96 Site safety and
health representative not to unnecessarily impede
production A site safety and health representative must
not unnecessarily impede production at
a mine when
exercising the
representative’s powers
or performing the
representative’s functions. Maximum
penalty––200 penalty units. 97 Protection of
site safety and health representatives performing
functions A mine operator,
site senior
executive, contractor or
other supervisor must
not prevent or attempt to prevent a site safety and health
representative from performing his or her functions
or
penalise a safety and health representative for performing
his
or her functions. Maximum penalty—200 penalty units.
Division 3 Site safety and
health committees 98 Site safety and health
committees (1) A site
senior executive
for a mine
or part of
a mine must
establish a safety and health committee for
the mine or part if— (a) asked by a site
safety and health representative; or (b)
directed by the chief inspector.
Maximum penalty—100 penalty units.
(2) However, the
workers and
the site senior
executive may
decide that
there is
to be more
than 1
safety and
health committee for
the mine or part of the mine if they consider this
is necessary because
of the size
and complexity of
operations. Page 76
Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 7 Site safety and health representatives
and committees [s 99] (3)
If
more than 1 committee is established, the area of the mine
or
part to be covered by each committee must be decided.
Not authorised —indicative only
99 Membership of site safety and health
committee (1) A site safety and health committee for
a mine or part of a mine consists of at least 2 members
being— (a) a site
safety and
health representative for
the mine or
part; and (b)
the
site senior executive for the mine or part or the site
senior executive’s representative.
(2) The site
safety and
health committee
may include other
members ( nominated
members ) nominated by the site senior
executive and the workers.
(3) A site safety and health committee
member must be a worker in the mine or part.
(4) At least
half the
nominated members
must be
workers nominated by
workers and must work in the area of the mine covered by the
site safety and health committee. 100
Functions of site safety and health
committee A site safety
and health committee
has the following
functions— (a)
to facilitate consultation and
cooperation between
management and workers in initiating,
developing and implementing management of risk from
operations; (b) to encourage
an active interest
in safety and
health matters at the
mine; (c) to review the circumstances of
injuries, illness and high potential incidents, and recommend
appropriate action; (d) to consider any proposed changes to
operations that may reasonably be expected to affect the control
of risk, and make appropriate recommendations;
(e) to carry out inspections;
Current as at [Not applicable]
Page
77
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 7 Site safety and health representatives
and committees [s 101] (f)
to
consider matters referred to the committee by a safety
and
health representative; (g) to help in the
resolution of safety and health issues; (h)
to
perform other functions to promote safety and health.
101 Times of meetings Meetings of a
site safety and health committee are to be held at the times it
decides, but must be held at least once every 3 months.
102 Proceedings at meetings
A
site safety and health committee must keep minutes of its
meetings, but
may otherwise conduct
its proceedings in
the way it decides. 103
Minutes to be made available
The
site senior executive must make the minutes of a meeting
of a site
safety and
health committee
available at
all reasonable times for inspection by
workers at the mine and by an inspector. Maximum
penalty—40 penalty units. Division 4 Duties of site
senior executive 104 Provision for help to representatives
and committees The site senior executive must—
(a) provide appropriate training
during working
time to
persons selected or elected to be site
safety and health representatives within 3 months of selection
or election; and Page 78 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 7 Site safety and health representatives
and committees [s 105] (b)
provide to site safety and health committees
access to appropriate facilities necessary
to perform their
functions; and (c)
ensure that
site safety
and health representatives and
committee members receive their normal pay
for time spent— (i)
in
performing their functions; or (ii)
undergoing training
for a safety
and health competency
established by the committee for a site safety and
health representative. Maximum penalty—40 penalty
units. 105 Site senior executive to tell site
safety and health representatives about certain things
(1) A site senior executive for a mine
must ensure a site safety and health
representative at
the mine is
informed of
the following things— (a)
an
injury or illness caused to a person from operations at
the site safety
and health representative’s area
of responsibility that causes an absence
from work of the person for more than 1 shift;
(b) a high potential incident happening at
the mine; (c) any proposed
changes to
the operations, or
plant or
substances used at the mine, that affect, or
may affect, the safety and health of persons at the
mine; (d) the presence of an inspector or
inspection officer at the mine if the representative is at the
mine; (e) a directive
given by
an inspector or
inspection officer
about a matter. Maximum
penalty—40 penalty units. (2) The site senior
executive must ensure each representative is informed as soon
as practicable after the thing comes to the site senior
executive’s knowledge. Current as at [Not applicable]
Page
79
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 8 District workers’
representatives [s 106] 106
Site
senior executive to display identity of site safety and
health representatives (1)
A
site senior executive for a mine must display a notice as
required by subsections (2) to (4) advising
the identity of each site safety and health representative
for the mine. Maximum penalty—40 penalty units.
(2) The site senior executive must display
the notice within 5 days after the site senior executive is
notified of the representative’s selection or
election. (3) If the mine has only 1 site safety and
health representative, the site senior
executive must
display the
notice in
1 or more
conspicuous positions at the mine in a way
likely to come to the attention of workers at the mine.
(4) If the
mine has
more than
1 site safety
and health representative,
the site senior executive must display a notice about each
representative’s identity in a conspicuous position
in
the mine or part of the mine covered by the representative
in a
way likely to come to the attention of workers in the mine
or
part. Part 8 District
workers’ representatives Division 1
Purposes of part 107
Purposes of pt 8 The
main purposes
of this part
are to provide
for the appointment of
district workers’ representatives and to state their functions
and powers. Page 80 Current as at
[Not applicable]
Division 2 Mining and
Quarrying Safety and Health Act 1999 Part 8 District
workers’ representatives [s 108] District
workers’ representatives Not authorised
—indicative only
108 Nomination and appointment of district
workers’ representatives (1)
The Minister may
appoint up
to 4 persons
to be district
workers’ representatives from nominees for
the positions. (2) The term of office of a district
workers’ representative must not be more than
4 years. (3) An industrial organisation with
members in
the mining industry
may nominate individuals to
be district workers’
representatives. (4)
The Minister is
to appoint, from
the persons nominated, persons who
satisfy the Minister they— (a) have appropriate
competencies and adequate experience to
perform the
functions of
a district workers’
representative; and (b)
are
in a position to adequately represent the safety and
health interests of a majority of
workers. (5) A district workers’ representative is
appointed under this Act and not under the Public Service
Act 2008 . 109 Funding of
district workers’ representative (1)
A district workers’
representative is
entitled to
the remuneration and allowances decided by
the Minister. (2) The representative holds office on the
conditions not provided by this Act decided by the
Minister. 110 Termination of appointment
(1) The Minister may end the appointment
of a district workers’ representative by
notice if
the Minister considers
the representative is not performing the
representative’s functions satisfactorily. Current as at
[Not applicable] Page 81
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 8 District workers’
representatives [s 111] (2)
The
notice must contain the Minister’s reasons for ending the
appointment of the district workers’
representative. 111 Appointment after termination
(1) If a person’s appointment as district
workers’ representative is ended by
the Minister, the
Minister may
appoint another
person to be district workers’
representative. (2) However, the Minister must not appoint
another person to be a district workers’ representative
unless— (a) the time for filing an appeal under
part 13, division 1 has ended; or (b)
if an appeal
against the
Minister’s decision
has been filed, an
Industrial Magistrates Court has confirmed the Minister’s
decision to end the appointment of the district workers’
representative. (3) The provisions of
this division
about nomination and
appointment apply to the appointment.
112 Filling of temporary vacancy
If a
person is temporarily unable to perform the functions of a
district workers’
representative, the
Minister may
appoint a
substitute in the way and for the term the
Minister considers appropriate. 113
Persons not to pretend to be district
workers’ representatives if not appointed
A
person not appointed as a district workers’ representative
must
not pretend to be a district workers’ representative.
Maximum penalty—40 penalty units.
Page
82 Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 8 District workers’
representatives [s 114] 114
District workers’ representative restricted
to safety and health purposes A district
workers’ representative must not perform a function
or
exercise a power of a district workers’ representative under
this
Act for a purpose other than a safety and health purpose.
Maximum penalty—40 penalty units.
Not authorised —indicative only
115 Functions of district workers’
representatives (1) A district
workers’ representative has
the following functions— (a)
to
help, represent and advise workers on matters relating
to
safety and health; (b) to inspect mines to assess whether the
level of risk to the safety and health of workers is at an
acceptable level; (c) to participate in inspections by
inspectors and inspection officers; (d)
to
participate in investigations into serious accidents and
high potential
incidents and
other matters
related to
safety or health at mines;
(e) to investigate complaints from workers
regarding safety or health at mines; (f)
to help in
relation to
initiatives to
improve safety
or health at mines. (2)
The
following persons may accompany the district workers’
representative during an inspection—
(a) the site senior executive or a person
representing the site senior executive; (b)
a site safety
and health representative or
a person representing the
site safety and health representative. (3)
A
district workers’ representative who makes an inspection of
the
mine must— (a) make a written report on the
inspection; and Current as at [Not applicable]
Page
83
Mining
and Quarrying Safety and Health Act 1999 Part 8 District
workers’ representatives [s 116] (b)
give
a copy of the report to the site senior executive and
send
a copy to an inspector; and (c)
if the inspection indicates
the existence or
possible existence of
danger, immediately notify the site senior executive or the
responsible supervisor. Not authorised
—indicative only
116 Powers of district workers’
representatives (1) A district workers’ representative has
the following powers— (a) to make
inquiries about the operations of mines relevant
to
the safety or health of workers; (b)
to
enter any part of a mine at any time to carry out the
representative’s functions, if
reasonable notice
of the proposed entry
is given to the site senior executive or the site senior
executive’s representative; (c)
to
examine any documents relevant to safety and health
held
by persons with obligations under this Act, if the
representative has
reason to
believe the
documents contain
information required
to assess whether
procedures are
in place at
a mine to
achieve an
acceptable level of risk to workers;
(d) to copy
safety and
health management system
documents, including
standard work
instructions and
training records; (e)
to
require the person in control or temporarily in control
of a
mine to give the representative reasonable help in
the
exercise of a power under paragraphs (a) to (d);
(f) to issue a directive under section
164. (2) A person
in control or
temporarily in
control of
a mine required
to help the
district workers’
representative under
subsection (1)(e) must
comply with
the requirement, unless
the
person has a reasonable excuse. Maximum
penalty—100 penalty units. (3) If
the district workers’
representative requires
access to
documents for subsection (1)(c), a person
with an obligation Page 84 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 8 District workers’
representatives [s 117] under
the Act with
access to
the documents must
produce them
as soon as
reasonably practicable after
being asked,
unless the person has a reasonable
excuse. Maximum penalty—100 penalty units.
117 District workers’ representative not
to unnecessarily impede production A
district workers’
representative must
not unnecessarily impede
production at
a mine when
exercising the
representative’s powers,
or performing the
representative’s functions. Maximum
penalty—200 penalty units. 118 Inadequate or
ineffective safety and health management systems
(1) If a
district workers’
representative believes
a safety and
health management system
is inadequate or
ineffective, the
representative must advise the site senior
executive stating the reasons for the representative’s
belief. (2) If the district workers’
representative is not satisfied the site senior
executive is
taking the
action necessary
to make the
safety and health management system adequate
and effective, the representative must advise an
inspector. (3) The inspector
must investigate the
matter and
report the
results of the investigation in the mine
record. 119 Identity cards (1)
The chief executive
must give
each district
workers’ representative
an identity card. (2) The identity card must—
(a) contain a recent photograph of the
representative; and (b) be signed by the representative;
and Current as at [Not applicable]
Page
85
Mining
and Quarrying Safety and Health Act 1999 Part 9 Inspectors
and other officers and directives [s 120]
(c) identify the person as a district
workers’ representative under this Act. Not
authorised —indicative
only 120 Failure to return
identity card A person who ceases to be a district
workers’ representative must return the person’s identity card
to the chief executive as soon as practicable, but within 21
days, after ceasing to be a district
workers’ representative, unless
the person has
a reasonable excuse. Maximum
penalty—40 penalty points. 121 Production or
display of identity card (1) A
district workers’
representative may
exercise a
power in
relation to another person only if the
representative— (a) first produces the representative’s
identity card for the other person’s inspection; or
(b) has the identity card displayed so it
is clearly visible to the other person. (2)
However, if for any reason it is not
practicable to comply with subsection (1) before
exercising the
power, the
district workers’
representative must produce the identity card for the
other person’s inspection at the first
reasonable opportunity. Part 9 Inspectors and
other officers and directives Division 1
Inspectors and inspection officers
122 Appointments (1)
The
chief executive must appoint officers or employees of the
public service as inspectors or inspection
officers. Page 86 Current as at
[Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 123] (2)
The chief executive
must appoint
an inspector to
be chief inspector of
mines. Not authorised —indicative only
123 Qualifications for appointment as
inspector The chief executive may appoint a person as
an inspector only if the chief
executive considers
the person has
appropriate competencies and
adequate experience to effectively perform an inspector’s
functions under this Act. 124 Qualifications
for appointment as inspection officer The
chief executive
may appoint a
person as
an inspection officer
only if
the chief executive
considers the
person has
appropriate competencies, or
other adequate
experience, to
effectively perform an inspection officer’s
functions under this Act. 124A
Appointment conditions and limit on powers
and functions (1)
A person who
is appointed as
an inspector or
inspection officer holds
office on any conditions stated in— (a)
the
person’s instrument of appointment; or (b)
a signed notice
given to
the person by
the chief executive. (2)
The
instrument of appointment, a notice given to the person
by
the chief executive or a regulation may limit the person’s
functions or powers under this Act for the
office. 125 Functions of inspectors and inspection
officers Inspectors and
inspection officers
have the
following functions— (a)
to
enforce this Act; (b) to monitor safety and health
performance at mines; Current as at [Not applicable]
Page
87
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 126] (c)
to
inspect and audit mines to assess whether risk is at an
acceptable level; (d)
to
help persons to achieve the purposes of this Act by
providing advice and information on how the
purposes are to be achieved; (e)
to
check that safety and health management systems and
procedures are
in place to
control risk
to persons affected by
operations; (f) to provide the advice and help that
may be required from time to
time during
emergencies at
mines that
may affect the safety or health of
persons; (g) if unsafe practices or conditions at
mines are detected, to ensure timely
corrective or
remedial action
is being taken and, if
not, require it to be taken; (h)
to investigate serious
accidents and
high potential
incidents at mines; (i)
to
investigate matters at mines that affect the successful
management of risk to persons;
(j) to investigate complaints about
matters relating to safety or health resulting from
operations. 126 Further functions of inspectors
Inspectors have the following additional
functions— (a) to advise
the chief inspector
on safety and
health at
mines; (b)
to make recommendations to
the commissioner about
prosecutions under this Act.
Page
88 Current as at [Not applicable]
Division 2 Mining and
Quarrying Safety and Health Act 1999 Part 9 Inspectors
and other officers and directives [s 126A]
Authorised officers Not
authorised —indicative only
126A Appointments The chief
executive may appoint officers or employees of the
public service as authorised
officers. 126B Qualifications for appointment as
authorised officer (1) The chief
executive may
only appoint
a person as
an authorised officer after deciding the
functions the person may perform under
this Act
having regard
to the person’s
competencies and experience.
(2) If the
chief executive
decides that
the functions the
person may perform as
an authorised officer are limited because of the
person’s competencies and
experience, the
chief executive, when
appointing the
person as
an authorised officer,
must correspondingly limit
the extent to
which the
person may perform functions or exercise
powers as provided under section 126C. 126C
Appointment conditions and limit on
functions and powers (1)
A person who
is appointed as
an authorised officer
holds office on any
conditions stated in— (a) the person’s
instrument of appointment; or (b)
a signed notice
given to
the person by
the chief executive. (2)
The
instrument of appointment, a notice given to the person
by
the chief executive or a regulation may limit the person’s
functions or powers under this Act for the
office. (3) An authorised officer is also subject
to the directions of the chief inspector in performing the
functions or exercising the powers.
(4) This section applies despite any other
provision of this Act. Current as at [Not applicable]
Page
89
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 126D] 126D
Functions of authorised officers
Subject to sections 126B and 126C,
authorised officers have the following functions—
(a) to monitor safety and health
performance at mines; (b) to inspect and
audit mines to assess whether risk is at an acceptable
level; (c) to help persons to achieve the
purposes of this Act by providing advice and information on
how the purposes are to be achieved; (d)
to
check that safety and health management systems and
procedures are
in place to
control risk
to persons affected by
operations; (e) to investigate serious
accidents and
high potential
incidents at mines; (f)
to
investigate matters at mines that affect the successful
management of risk to persons;
(g) to investigate complaints about
matters relating to safety or health resulting from
operations; (h) to investigate whether
persons required
to provide information to
the chief executive under this Act have provided the
information and whether the information is correct.
126E Information about functions and
powers (1) This section
applies if
before exercising a
power or
further exercising a
power in
relation to
a person, an
authorised officer
is asked by
the person for
information about
the authorised officer’s functions or
powers under the Act. (2) The
authorised officer
must only
exercise, or
continue to
exercise, the power in relation to the
person if the authorised officer first produces for the
person’s inspection a list of the authorised
officer’s functions and powers under the Act. Page 90
Current as at [Not applicable]
Not authorised —indicative only
Division 3 Mining and
Quarrying Safety and Health Act 1999 Part 9 Inspectors
and other officers and directives [s 127]
Identity cards for inspectors,
inspection officers and authorised
officers 127
Identity cards (1)
The chief executive
must give
each inspector, inspection officer and
authorised officer an identity card. (2)
The
identity card must— (a) contain a recent photograph of the
inspector, inspection officer or authorised officer;
and (b) be signed
by the inspector, inspection officer
or authorised officer; and
(c) identify the person as an inspector,
inspection officer or authorised officer under this
Act. 128 Failure to return identity card
A
person who ceases to be an inspector, inspection officer or
authorised officer must return the person’s
identity card to the chief executive
as soon as
practicable, but
within 21
days, after
ceasing to
be an inspector, inspection officer
or authorised officer, unless the person
has a reasonable excuse. Maximum penalty—40 penalty
points. 129 Production or display of identity
card (1) An inspector, inspection officer
or authorised officer
may exercise a
power in
relation to
another person
only if
the inspector, inspection officer or
authorised officer— (a) first produces the inspector’s or
officer’s identity card for the other person’s; or
(b) has the identity card displayed so it
is clearly visible to the other person. Current as at
[Not applicable] Page 91
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 129A] (2)
However, if for any reason it is not
practicable to comply with subsection (1) before
exercising the
power, the
inspector, inspection officer
or authorised officer
must produce
the identity card
for the other
person’s inspection at
the first reasonable
opportunity. Division 4 Powers of
inspectors, inspection officers and authorised
officers Subdivision 1 Preliminary 129A
Definition for div 4 In this
division— officer means
an inspector, an
inspection officer
or an authorised
officer. Subdivision 2 Power to enter
places 130 Entry to places (1)
An
officer may enter a place if— (a)
its
occupier consents to the entry; or (b)
it
is a public place and the entry is made when it is open
to
the public; or (c) the entry is authorised by a warrant;
or (d) it is a mine; or (e)
it is, or
the officer reasonably suspects
it is, a
workplace. (2)
For
subsection (1)(a), for the purpose of asking the occupier
of a place
for consent to
enter, an
officer may,
without the
occupier’s consent or a warrant—
Page
92 Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 131] (a)
enter land around premises at the place to
an extent that is reasonable to contact the occupier;
or (b) enter part of the place the officer
reasonably considers members of
the public ordinarily are
allowed to
enter when they wish
to contact the occupier. (3) For subsection
(1)(e), an entry may be made with, or without, the consent of
the person with management or control of the workplace. (4)
An officer who
enters a
mine or
workplace must
not unnecessarily impede
production. Subdivision 3 Procedure for
entry 131 Consent to entry (1)
This
section applies if an officer intends to ask an occupier of
a
place to consent to the officer or another officer entering
the place. (2)
Before asking
for the consent,
the officer must
tell the
occupier— (a)
the
purpose of the entry; and (b) that the
occupier is not required to consent. (3)
If
the consent is given, the officer may ask the occupier to
sign an acknowledgement of the consent.
(4) The acknowledgement must state—
(a) the occupier has been told—
(i) the purpose of the entry; and
(ii) that the
occupier is not required to consent; and (b)
the
purpose of the entry; and (c) the occupier
gives the officer or other officer consent to enter the place
and exercise powers under this part; and (d)
the
time and date the consent was given. Current as at
[Not applicable] Page 93
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 132] (5)
If the occupier
signs an
acknowledgement, the
officer must
immediately give a copy to the
occupier. (6) A court must find the occupier did not
consent to an officer entering the place under this part
if— (a) an issue arises in a proceeding before
the court whether the occupier of a place consented to the
entry; and (b) an acknowledgement is not produced in
evidence for the entry; and (c)
it
is not proved by the person relying on the lawfulness
of
the entry that the occupier consented to the entry.
132 Application for warrant
(1) An inspector
may apply to
a magistrate for
a warrant for
a place. (2)
The
application must be sworn and state the grounds on which
the
warrant is sought. (3) The magistrate may refuse to consider
the application until the inspector gives
the magistrate all
the information the
magistrate requires
about the
application in
the way the
magistrate requires. Example—
The magistrate may
require additional information supporting the
application to be given by statutory
declaration. 133 Issue of warrant (1)
The
magistrate may issue a warrant only if the magistrate is
satisfied there are reasonable grounds for
suspecting— (a) there is a particular thing or
activity (the evidence ) that
may
provide evidence of an offence against this Act; and
(b) the evidence
is at the
place, or
may be at
the place, within the next
7 days. (2) The warrant must state—
Page
94 Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 134] (a)
that a
stated inspector
may, with
necessary and
reasonable help and force—
(i) enter the place and any other place
necessary for entry; and (ii)
exercise the inspector’s powers under this
part; and (b) the offence for which the warrant is
sought; and (c) the evidence that may be seized under
the warrant; and (d) the hours
of the day
or night when
the place may
be entered; and (e)
the date, within
14 days after
the warrant’s issue,
the warrant ends. 134
Special warrants (1)
An
inspector may apply for a warrant (a special
warrant ) by phone,
fax, radio
or another form
of communication if
the inspector considers it necessary
because of— (a) urgent circumstances; or
(b) other special circumstances,
including, for example, the inspector’s
remote location. (2) Before applying for the warrant, the
inspector must prepare an application stating
the grounds on
which the
warrant is
sought. (3)
The inspector may
apply for
the warrant before
the application is sworn.
(4) After issuing
the warrant, the
magistrate must
immediately fax
a copy (
facsimile warrant
) to the
inspector if
it is reasonably
practicable to fax the copy. (5)
If it is
not reasonably practicable to
fax a copy
to the inspector— (a)
the
magistrate must tell the inspector— (i)
what
the terms of the warrant are; and (ii)
the
date and time the warrant was issued; and Current as at
[Not applicable] Page 95
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 135] (b)
the inspector must
complete a
form of
warrant (a
warrant form ) and write on
it— (i) the magistrate’s name; and
(ii) the date and
time the magistrate issued the warrant; and
(iii) the terms of the
warrant. (6) The facsimile
warrant, or
the warrant form
properly completed
by the inspector, authorises the
entry and
the exercise of the other powers stated in
the warrant issued by the magistrate. (7)
The
inspector must, at the first reasonable opportunity, send to
the
magistrate— (a) the sworn application; and
(b) if the
inspector completed
a warrant form—the
completed warrant form. (8)
On
receiving the documents, the magistrate must attach them
to
the warrant. (9) A court must find the exercise of the
power by an inspector was not authorised by a special
warrant if— (a) an issue
arises in
a court proceeding whether
the exercise of
the power was
authorised by
a special warrant;
and (b) the warrant is not produced in
evidence; and (c) it is not proved by the person relying
on the lawfulness of the entry that the occupier consented to
the entry. 135 Warrants—procedure before entry
(1) This section applies if an inspector
named in a warrant issued under this part for a place is
intending to enter the place under the
warrant. (2) Before entering
the place, the
inspector must
do or make
a reasonable attempt to do the following
things— Page 96 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 135A] (a)
identify himself
or herself to
a person present
at the place
who is an
occupier of
the place by
producing a
copy
of the inspector’s notice of appointment or other
document evidencing the appointment;
(b) give the person a copy of the warrant
or if the entry is authorised by
a facsimile warrant
or warrant form
mentioned in
section 134(6), a
copy of
the facsimile warrant or
warrant form; (c) tell the person the inspector is
permitted by the warrant to enter the place;
(d) give the
person an
opportunity to
allow the
inspector immediate entry
to the place without using force. (3)
However, the inspector need not comply with
subsection (2) if the inspector believes on reasonable grounds
that immediate entry to the place is required to ensure the
effective execution of the warrant is not frustrated.
135A Entry to residential premises
Despite anything else in this division, the
powers of an officer under this
division in
relation to
entering a
place are
not exercisable in relation to any part of
a place that is used for residential purposes other
than— (a) with the consent of the person with
the management or control of the place; or (b)
under the authority conferred by a search
warrant; or (c) for the
purpose only
of gaining access
to a suspected
workplace, but only— (i)
if the officer
reasonably believes
no reasonable alternative
access is available; and (ii) at a reasonable
time having regard to the times at which the
officer believes work is being carried out at the place to
which access is sought; or (d) if the place is
a mine. Current as at [Not applicable]
Page
97
Mining
and Quarrying Safety and Health Act 1999 Part 9 Inspectors
and other officers and directives [s 136]
Subdivision 4 General
powers Not authorised —indicative
only 136 General powers
after entering mine or other places (1)
This
section applies to an officer who enters a mine or other
place. (2)
However, if
an officer enters
a place to
get the occupier’s consent to enter
premises, this section applies to the officer only
if the consent
is given or
the entry is
otherwise authorised. (3)
For
monitoring and enforcing compliance with this Act, or for
conducting an investigation under this Act,
the officer may— (a) search any part of the mine or other
place; or (b) inspect, measure, test, photograph or
film any part of the mine or
other place
or anything at
the mine or
other place; or
(c) take a thing, or a sample of or from a
thing, at the mine or other place for analysis or testing;
or (d) copy a document at the mine or other
place; or (e) take into or onto the mine or other
place any persons, equipment and materials the officer
reasonably requires for exercising a power under this division;
or (f) require a person at the mine or other
place, to give the officer reasonable help to exercise the
officer’s powers under paragraphs (a) to (e); or
(g) require a person at the mine or other
place, to answer questions by
the officer to
help the
officer ascertain
whether this Act is being or has been
complied with, or for the purpose of conducting an
investigation under this Act. (4)
When
making a requirement mentioned in subsection (3)(f) or
(g),
the officer must warn the person it is an offence to fail to
comply with
the requirement, unless
the person has
a reasonable excuse. Page 98
Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 137] 137
Failure to help officer A
person required
to give reasonable help
under section
136(3)(f) must comply
with the
requirement, unless
the
person has a reasonable excuse. Maximum
penalty—100 penalty units. Not authorised
—indicative only
138 Failure to answer questions
(1) A person
of whom a
requirement is
made under
section 136(3)(g) must not, unless the
person has a reasonable excuse, fail
to comply with
a requirement to
answer a
question. Maximum
penalty—40 penalty units. (2) It is a
reasonable excuse for an individual not to comply with
the
requirement if complying with the requirement might tend
to
incriminate the individual or make the individual liable to
a penalty. (3)
However, subsection
(2) does not
apply if
the requirement relates to a
serious accident or high potential incident. 139
Site
senior executive must help officer (1)
An officer may
require a
site senior
executive to
help the
officer in the performance of the officer’s
functions. (2) A site
senior executive
required to
help an
officer must
comply with the requirement, unless the site
senior executive has a reasonable excuse. Maximum
penalty—100 penalty units. Subdivision 5 Power to seize
evidence 140 Seizing evidence at mine or other
place An officer who enters a mine or other place
under this part may seize a
thing at
the mine or
other place
if the officer
Current as at [Not applicable]
Page
99
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 141] reasonably
believes the thing is evidence of an offence against
this
Act. 141 Securing things after seizure
Having seized a thing, an officer
may— (a) move the thing from the place where it
was seized (the place of seizure ); or
(b) leave the
thing at
the place of
seizure, but
take reasonable
action to restrict access to it. Examples of
restricting access to a thing— 1
sealing a
thing and
marking it
to show access
to it is
restricted 2
sealing the entrance to a room where the
thing is situated and marking it to show access to it is
restricted 142 Tampering with things subject to
seizure If an officer restricts access to a thing
seized, a person must not tamper, or attempt to tamper, with
the thing, or something restricting access to the thing,
without an officer’s approval. Maximum
penalty—100 penalty units. 143 Powers to support
seizure (1) To enable
a thing to
be seized, an
officer may
require the
person in control of it— (a)
to take it
to a stated
reasonable place
by a stated
reasonable time; and (b)
if
necessary, to remain in control of it at the stated place
for
a reasonable time. (2) The requirement— (a)
must
be made by notice; or Page 100 Current as at
[Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 144] (b)
if
for any reason it is not practicable to give notice, may
be made orally
and confirmed by
notice as
soon as
practicable. (3)
A
person of whom the requirement is made must comply with
the
requirement, at the person’s expense, unless the person has
a
reasonable excuse. Maximum penalty—100 penalty units.
(4) A further requirement may be made
under this section about the same thing if it is necessary and
reasonable to make the further requirement.
144 Receipts to be given on seizure
(1) As soon
as practicable after
an officer seizes
a thing, the
officer must give a receipt for it to the
person from whom it was seized. (2)
However, if for any reason it is not
practicable to comply with subsection (1), the officer must leave
the receipt at the place of seizure
in a conspicuous position
and in a
reasonably secure
way. (3) The receipt must describe generally
each thing seized and its condition. (4)
This
section does not apply to a thing if it is impracticable or
would be unreasonable to give the receipt,
given the thing’s nature, condition and value.
145 Forfeiture (1)
A
thing that has been seized under this subdivision is
forfeited to the State if the officer who seized the
thing— (a) can not
find its
owner, after
making reasonable inquiries;
or (b) can not return it to its owner, after
making reasonable efforts. (2)
In
applying subsection (1)— Current as at [Not applicable]
Page
101
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 146] (a)
subsection (1)(a) does
not require the
officer to
make inquiries
if it would
be unreasonable in
the particular circumstances to
make inquiries to find the owner; and (b)
subsection (1)(b) does
not require the
officer to
make efforts
if it would
be unreasonable in
the particular circumstances to
make efforts to return the thing to its owner.
(3) Regard must be had to a thing’s
nature, condition and value in deciding—
(a) whether it is reasonable to make
inquiries or efforts; and (b) if making
inquiries or efforts—what inquiries or efforts, including
the period over
which they
are made, are
reasonable. 146
Return of seized things (1)
This
section applies if a seized thing has some intrinsic value
and
is not forfeited. (2) If the thing is not returned to its
owner within 1 year after it was seized, the
owner may apply to the chief inspector for its return.
(3) Within 30
days after
receiving the
application, the
chief inspector
must— (a) if the
chief inspector
is satisfied there
are reasonable grounds for
retaining the thing and decides to retain it— give the owner
written notice of the decision, including the grounds for
retaining the thing; or (b) otherwise—return
the thing to the owner. (4) If, at any time
after the thing was seized, the chief inspector stops
being satisfied
there are
reasonable grounds
for retaining it, the chief inspector must
return it to its owner. (5) Without limiting
subsections (2) and (3), there are reasonable grounds for
retaining the thing if— (a) the thing is
being, or is likely to be, examined; or Page 102
Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 147] (b)
the
thing is needed, or may be needed, for the purposes
of— (i) an
investigation, board
of inquiry, coroner’s
inquest or
proceeding for
an offence against
this Act that is
likely to be started; or (ii) an
investigation, board
of inquiry, coroner’s
inquest or
proceeding for
an offence against
this Act that has
been started but not completed; or (iii)
an
appeal from a decision in a proceeding for an offence against
this Act; or (c) it is not lawful for the owner to
possess the thing. (6) In this section— examine
includes analyse, test, measure, weigh,
grade, gauge and identify. owner
, of a
seized thing,
includes a
person who
would be
entitled to possession of the thing had it
not been seized. 147 Access to things that have been
seized (1) Until a thing that has been seized is
forfeited or returned, an officer must
allow its
owner to
inspect it
and, if
it is a
document, to copy it. (2)
Subsection (1) does not apply if it is
impracticable or would be unreasonable to allow the
inspection or copying. (3) For this
section, if an officer has required a person to take a
thing to
a stated place
by a stated
reasonable time
under section
143 the officer may
require the
person to
return the
thing to the place from which it was
taken. (4) The person must return the thing at
the person’s expense. Current as at [Not applicable]
Page
103
Mining
and Quarrying Safety and Health Act 1999 Part 9 Inspectors
and other officers and directives [s 148]
Subdivision 6 Power to stop
and secure plant and equipment Not
authorised —indicative
only 148 Officer may stop
and secure plant and equipment (1)
If
an officer believes plant or equipment at a mine is likely
to cause serious bodily injury or create an
immediate threat to health, the
officer may
stop the
operation of
the plant or
equipment and prevent it from being further
operated. (2) If an officer has taken action under
subsection (1), the officer must confirm the
action by entry in the mine record. (3)
The site senior
executive must
ensure that
the plant or
equipment is not returned to operation until
the risk to persons from the plant or equipment is at an
acceptable level. Maximum penalty for subsection (3)—200
penalty units. Subdivision 7 Power to obtain
information 149 Power to require name and
address (1) This section applies if—
(a) an officer finds a person committing
an offence against this Act; or (b)
an
officer finds a person in circumstances that lead, or
has information that
leads, the
officer reasonably to
suspect the person has just committed an
offence against this Act. (2)
The
officer may require the person to state the person’s name
and
residential address. (3) When
making the
requirement, the
officer must
warn the
person it is an offence to fail to state the
person’s name or residential address, unless the person has a
reasonable excuse. (4) The officer
may require the
person to
give evidence
of the correctness of
the stated name
or residential address
if the Page 104
Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 150] officer
reasonably suspects the stated name or address to be
false. (5)
A requirement under
subsection (2) or
(4) is a
personal details
requirement . Not authorised
—indicative only
150 Failure to give name or address
(1) A person
of whom a
personal details
requirement is
made must
comply with
the requirement, unless
the person has
a reasonable excuse. Maximum
penalty—40 penalty units. (2) A person does
not commit an offence against subsection (1) if—
(a) the person was required to state the
person’s name and residential address
by an officer
who suspected the
person had committed an offence against this
Act; and (b) the person is not proved to have
committed the offence. 151 Power to require
production of documents (1) An officer may
require a person who has a safety and health obligation under
this Act to make available, or produce, for inspection by
the officer, at
a reasonable time
and place nominated by the
officer, a document to which the person has access
that relates
or is related
to the person’s
obligations under this
Act. (2) The officer may keep the document to
copy it. (3) If the
officer copies
the document, or
an entry in
the document, the officer may require the
person responsible for keeping the document to certify the
copy as a true copy of the document or entry. (4)
The
officer must return the document to the person as soon as
practicable after copying it.
(5) However, if
a requirement (
document certification requirement )
is made of
a person under
subsection (3), the
Current as at [Not applicable]
Page
105
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 152] officer may keep
the document until the person complies with the
requirement. (6) Also, the officer may keep the
document if the officer believes it is required
for the investigation of a serious accident or high
potential incident. (6A)
If an officer
keeps a
document under
subsection (6), the
officer must
give a
copy of
the document to
the person responsible for
keeping the document. (7) A requirement
under subsection (1) is a document production
requirement .
(8) When making
a document production requirement or
document certification requirement, an
officer must warn the person of whom the requirement is made
that it is an offence to fail to comply with the requirement
unless the person has a reasonable excuse. 152
Failure to produce document
(1) A person
of whom a
document production requirement is
made must
comply with
the requirement, unless
the person has a reasonable
excuse. Maximum penalty—200 penalty units.
(2) It is not a reasonable excuse to fail
to produce the document that producing the document might
incriminate the person or make the person liable to a
penalty. 153 Failure to certify copy of
document A person of
whom a
document certification requirement is
made must
comply with
the requirement, unless
the person has a reasonable
excuse. Maximum penalty—100 penalty units.
Page
106 Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 154] 154
Power
to require attendance of persons before an officer
to
answer questions (1) An officer may require a person to
attend before the officer and to answer questions—
(a) relevant to
the discharge of
the person’s safety
and health obligations under this Act;
or (b) on safety and health matters relevant
to operations; or (c) to ascertain whether this Act is being
complied with; or (d) relevant to any action carried out by
the officer under this Act. (2)
A
requirement made of a person under this section to attend
before an officer must— (a)
be
made by notice given to the person; and (b)
state a
reasonable time
and place for
the person’s attendance. (3)
When making
a requirement under
this section,
the officer must warn the
person it is an offence to fail to comply with the
requirement, unless the person has a
reasonable excuse. 155 Failure to comply with requirement
about attendance (1) A person of whom a requirement is made
under section 154 must not, unless the person has a reasonable
excuse— (a) fail to
attend before
the officer at
the time and
place stated in the
relevant notice; or (b) when attending before the officer fail
to comply with a requirement to answer a question.
Maximum penalty—40 penalty units.
(2) It is a reasonable excuse for an
individual not to comply with a
requirement to
answer a
question if
complying with
the requirement might tend to incriminate
the individual or make the individual liable to a
penalty. Current as at [Not applicable]
Page
107
Mining
and Quarrying Safety and Health Act 1999 Part 9 Inspectors
and other officers and directives [s 156]
(3) However, subsection
(2) does not
apply if
the requirement relates to a
serious accident or high potential incident. Not
authorised —indicative
only 156 Use of particular
evidence in proceedings (1) Subsection (2)
applies in relation to any answer given by an individual in
response to
a requirement under
section 136(3)(g) or 154(1).
(2) Neither the
answer nor
any information, document
or other thing obtained
as a direct or indirect result of the answer is admissible in
any proceeding against
the individual, other
than
a proceeding in which the falsity or misleading nature of
the
answer is relevant. (3) If a
document, produced
under a
document production requirement, is
the personal property
of an individual of
whom the
requirement is
made and
the document might
incriminate the individual or make the
individual liable to a penalty— (a)
the
document is admissible in a proceeding against the
individual for an offence under this Act;
but (b) neither the document nor anything
obtained as a direct or indirect
result of
the individual producing
the document is admissible in any other
proceeding against the individual for an offence.
Subdivision 8 Additional
powers of chief inspector 157 Additional powers
of chief inspector The chief inspector
has the powers
of an inspector
and the following
additional powers— (a) to give a directive under section
169; (b) to review,
and confirm, vary
or set aside,
directives given
by inspectors, inspection officers
or district workers’
representatives. Page 108 Current as at
[Not applicable]
Not authorised —indicative only
Division 5 Mining and
Quarrying Safety and Health Act 1999 Part 9 Inspectors
and other officers and directives [s 158]
Directives by inspectors, inspection
officers and district workers’
representatives Subdivision
1 Power to give and way of giving
directives 158
Directive may be given A
directive may
be given by
a person, and
for a matter,
mentioned in subdivision 2.
159 How directive is given
(1) Other than for sections 163, 164 and
167, the directive must be given in writing to the operator
for the mine to which the directive relates. (2)
The person giving
the directive must
give a
copy of
the directive to the site senior executive
for the mine. (3) Failure to
comply with
subsection (2) does
not affect the
validity of the directive.
160 How directive is given for ss 163, 164
and 167 For sections 163, 164 and 167, a directive
is to be given in the way stated in the sections.
Subdivision 2 Matters for
which directives may be given 161
Directive to ensure worker competent
If
an inspector believes that a particular task at a mine
should be performed only by persons with a
particular competency, Current as at [Not applicable]
Page
109
Mining
and Quarrying Safety and Health Act 1999 Part 9 Inspectors
and other officers and directives [s 162]
the
inspector may give a directive that the task be performed
only
by a person with the competency. Not
authorised —indicative
only 162 Directive to
carry out test If an inspector reasonably suspects a risk
from operations is not at an acceptable level, the inspector
may give a directive to carry out stated tests to decide
whether risk is at an acceptable level.
163 Directive to reduce risk
(1) If an inspector or inspection officer
reasonably believes a risk from operations may
reach an
unacceptable level,
the inspector or officer may give a
directive to any person to take stated
corrective or
preventative action
to prevent the
risk reaching an
unacceptable level. (2) The directive may be given orally or
by notice. (3) If the directive is given orally, the
person giving the directive must confirm the
directive by notice to the person in control of the mine or part
of the mine affected by the directive and to the relevant
site senior executive. (4) Failure
to comply with
subsection (3) does
not affect the
validity of the directive.
164 Directive to suspend operations for
unacceptable level of risk (1)
If an inspector, inspection officer
or district workers’
representative believes
risk from
operations is
not at an
acceptable level, the inspector, officer or
representative may give a directive to any person to suspend
operations in all or part of the mine. (2)
The
directive may be given orally or by notice. (3)
If
the directive is given orally, the person giving the
directive must confirm the directive by notice to the
person in control of Page 110 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 165] the mine or part
of the mine affected by the directive and to the relevant
site senior executive. (4) Failure
to comply with
subsection (3) does
not affect the
validity of the directive.
165 Directive to review safety and health
management system If
an inspector believes
the safety and
health management system
for a mine
is ineffective, the
inspector may
give a
directive to review the safety and health
management system and make it effective. 166
Directive to suspend operations for
ineffective safety and health management system
If an inspector
believes there
is not an
effective safety
and health management system for a mine or
part of a mine, the inspector may give a directive suspending
operations in all or part of the mine. 167
Directive to isolate site
(1) If an inspector or inspection officer
believes it is necessary to preserve
evidence after
a serious accident
or high potential
incident, the
inspector or
inspection officer
may give a
directive to any person to isolate and
protect the accident or incident site. (2)
The
directive may be given orally or by notice. (3)
If the directive
is given orally,
the inspector or
inspection officer must
confirm the directive by notice to the person in
control of
the mine or
part of
the mine affected
by the directive and to
the relevant site senior executive. (4)
Failure to
comply with
subsection (3) does
not affect the
validity of the directive.
Current as at [Not applicable]
Page
111
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 168] 168
Directive about separate part of the
mine (1) This section applies if part of a mine
taken to be a separate part of a mine under section 21(4) is
operated in a way so that it is no longer a separate part of a
mine under section 21(4). (2) An inspector may
give a directive to a person to operate the part of the mine
so that it is a separate part of a mine under section
21(4). (3) If the directive is not complied with,
an inspector may give a further directive suspending
operations in the part of the mine. 169
Directive to provide independent engineering
study (1) The chief
inspector may
give a
directive to
provide an
independent engineering study about—
(a) risks arising out of operations;
or (b) the safety of part or all of any
plant, building or structure at the mine;
or (c) a serious accident or high potential
incident at the mine. (2) The directive
must state— (a) the reasons for and objectives of the
study; and (b) that the
person who
undertakes the
study must
be a person approved
by the chief inspector. (3) For
subsection (2)(b), the
chief inspector
may approve a
person only if the person—
(a) has relevant professional
qualifications and experience for the study;
and (b) is not an employee of the operator for
the mine or of a contractor at the mine. Page 112
Current as at [Not applicable]
Subdivision 3 Mining and
Quarrying Safety and Health Act 1999 Part 9 Inspectors
and other officers and directives [s 170]
Recording of directives and other
matters Not
authorised —indicative only
170 Records must be kept
(1) An inspector, inspection officer
or district workers’
representative must keep an accurate record
of all reports and directives given
by the inspector, officer
or representative under this
Act. (1A) An
authorised officer
must keep
an accurate record
of all reports given by
the authorised officer under this Act. (2)
An
inspector, inspection officer, authorised officer or
district workers’ representative must make a written
report of every inspection of
a mine made
by the inspector, officer
or representative under this Act.
(3) An inspector, inspection officer,
authorised officer or district workers’
representative must
give the
operator and
the site senior executive
of the mine a copy of the report as soon as practicable
after making it. 171 Directives (1)
If an inspector, inspection officer
or district workers’
representative has given a directive, the
inspector, officer or representative— (a)
must
enter it in the mine record as soon as reasonably
practicable after giving it; and
(b) must state the reason for the
directive in the mine record. (2)
A
person to whom a directive is given must comply with the
directive as soon as reasonably
practicable. Maximum penalty—800 penalty
units or
2 years imprisonment. (3)
The
site senior executive must enter in the mine
record the action taken
to comply with
the directive as
soon as
practicable after the action is
taken. Current as at [Not applicable]
Page
113
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 172] Maximum
penalty—40 penalty units. (4) The
site senior
executive must
make copies
of directives available for
inspection by workers. Maximum penalty—40 penalty
units. (5) A directive remains effective
until— (a) for a directive by a district workers’
representative—it is withdrawn in
writing by
the representative or
an inspector; or (b)
for
a directive by the chief inspector—it is withdrawn in
writing by the chief inspector; or
(c) for a
directive by
an inspector other
than the
chief inspector—it is
withdrawn in writing by the inspector or another
inspector; or (d) for a directive of an inspection
officer—it is withdrawn in writing by the inspection officer
or an inspector; or (e) for a directive by a district workers’
representative, an inspection officer
or an inspector
and not otherwise
withdrawn—the chief inspector varies or sets
aside the directive after reviewing it under
subdivision 4; or (f) the Industrial Court
stays, varies
or sets aside
the directive. Subdivision
4 Review of directives 172
Application for review A
person who
has received a
directive from
an inspector (other than the
chief inspector), inspection officer or district
workers’ representative may apply under this
division for the directive to be reviewed.
Note— A
district workers’
representative may
give a
directive under
section 116. Page 114
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Mining and Quarrying Safety and Health Act
1999 Part 9 Inspectors and other officers and
directives [s 173] 173
Procedure for review (1)
The
application must— (a) be made in writing to the chief
inspector; and (b) be supported by enough information to
allow the chief inspector to decide the application.
(2) The application must be made to the
chief inspector within— (a) 7 days after the
day on which the person received the directive;
or (b) the longer
period, within
2 months after
the day, the
chief inspector in special circumstances
allows. (3) The chief
inspector must
consider the
application within
7 days after receiving it and
immediately advise the applicant in writing whether
the chief inspector considers the applicant has complied with
subsection (1). (4) If the
chief inspector
does not
consider the
application is
supported by enough information to allow the
chief inspector to decide the application, the chief
inspector must advise the applicant what
further information the
chief inspector
requires. (5)
When the
chief inspector
is satisfied the
applicant has
complied with
subsection (1), the
chief inspector
must immediately
advise the applicant in writing of that fact. 174
Review of directive (1)
The chief inspector
must, within
14 days after
giving the
advice mentioned in section 173(5), review
the directive and make a decision (the review
decision )— (a) to confirm the
directive appealed against; or (b)
to
vary or set aside the directive appealed against.
(2) The chief inspector may give a
directive in substitution for a directive the
chief inspector decides to set aside. (3)
Within 7
days after
making the
review decision,
the chief inspector must
give notice of the decision to the applicant. Current as at
[Not applicable] Page 115
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 9 Inspectors and other officers and
directives [s 175] (4)
The
notice must— (a) include the reasons for the review
decision; and (b) if the
notice does
not set aside
the directive, tell
the applicant of the applicant’s right of
appeal against the decision. (5)
If
the chief inspector does not— (a)
review the
directive within
the time allowed
under subsection (1);
or (b) having reviewed
the directive, advise
the applicant of
the review decision
within the
time allowed
under subsection
(3); the applicant may appeal against the
directive under part 13. 175 Stay of operation
of directive (1) If a
person applies
under this
division for
a directive to
be reviewed, the person may immediately
apply to the Industrial Court for a stay of the
directive. (2) The court may stay the directive to
secure the effectiveness of the review and
any later appeal to the court. (3)
A
stay— (a) may be
given on
conditions the
court considers
appropriate; and (b)
operates for the period fixed by the court;
and (c) may be revoked or amended by the
court. (4) The period of a stay must not extend
past the time when the chief inspector reviews the directive
and any later period the court allows the person to enable the
person to appeal against the decision. (5)
An application made
for a review
of a directive
affects the
directive, or
the carrying out
of the directive, only
if the directive is
stayed. (6) However, a directive under section 164
must not be stayed. Page 116 Current as at
[Not applicable]
Not authorised —indicative only
Division 6 Mining and
Quarrying Safety and Health Act 1999 Part 9 Inspectors
and other officers and directives [s 176]
General enforcement offences
176 False or misleading statements
(1) A person must not state anything to an
inspector, inspection officer, authorised officer or
district workers’ representative the
person knows
is false or
misleading in
a material particular. Maximum
penalty—100 penalty units. (2) It
is enough for
a complaint for
an offence against
subsection (1) to allege and prove that the
statement made was ‘false or
misleading’ to
the person’s knowledge, without
specifying which. 177
False
or misleading documents (1) A
person must
not give an
inspector, inspection officer,
authorised officer
or district workers’
representative a
document containing information the person
knows is false or misleading in a material particular.
Maximum penalty—100 penalty units.
(2) Subsection (1) does not apply to a
person if the person, when giving the document—
(a) tells the inspector, inspection
officer, authorised officer or
district workers’
representative, to
the best of
the person’s ability, how it is false or
misleading; and (b) if the person has, or can reasonably
obtain, the correct information—gives the correct
information. (3) Also, a person must not make an entry
in a document required or permitted to be made or kept under
this Act knowing the entry to be false or misleading in a
material particular. Maximum penalty—100 penalty
units. (4) It is
enough for
a complaint for
an offence against
subsection (1) or (3) to allege and prove
that the document or Current as at [Not applicable]
Page
117
Mining
and Quarrying Safety and Health Act 1999 Part 10 Board of
examiners [s 178] entry
was ‘false or
misleading to
the person’s knowledge’, without
specifying which. Not authorised —indicative
only 178 Obstructing
inspectors, officers or district workers’ representatives (1)
A
person must not obstruct an inspector, inspection officer,
authorised officer
or district workers’
representative in
the exercise of
a power, unless
the person has
a reasonable excuse.
Maximum penalty—100 penalty units.
(2) If a
person has
obstructed an
inspector, inspection officer,
authorised officer or district workers’
representative and the inspector, officer or representative
decides to proceed with the exercise of the
power, the inspector, officer or representative must warn the
person that— (a) it is
an offence to
obstruct the
inspector, officer
or representative, unless
the person has
a reasonable excuse;
and (b) the inspector, officer
or representative considers
the person’s conduct an
obstruction. Part 10 Board of
examiners 179 Purpose of pt 10 The main purpose
of this part is to state the functions under this Act of the
board of examiners established under the Coal
Mining Safety and Health Act 1999
. 180 Functions of the
board of examiners The board of examiners has the following
functions— (a) to decide
the competencies necessary
for holders of
certificates of competency;
Page
118 Current as at [Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 10 Board of examiners
[s
181] (b) to assess
applicants, or
have applicants assessed,
for certificates of competency;
(c) to grant certificates of competency to
persons who have demonstrated to the board’s satisfaction the
appropriate competencies necessary to hold the
certificates; (d) to ensure the competencies under this
Act are consistent with the competencies required by other
States for the holders of certificates of
competency; (e) to issue
notices (
site senior
executive notices
) to persons
who have demonstrated to
the board’s satisfaction the
safety and
health competencies, recognised by
the committee under section 67, required to
perform the
duties of
a site senior
executive for
a mine; (f)
to
perform any other function conferred on the board of
examiners under this Act.
181 Examiners to be qualified
A person must
not assess an
applicant for
a certificate of
competency unless the person has appropriate
qualifications and experience to assess the
applicant. Maximum penalty—100 penalty units.
181A Board of examiners may consider
previous suspension, cancellation or surrender of
certificate of competency or site senior
executive notice (1) This section applies if—
(a) a person
has applied for
the grant of
a certificate of
competency or site senior executive notice;
and (b) a certificate of
competency or
site senior
executive notice
previously held
by the person
was suspended, cancelled or
surrendered under this Act. Current as at
[Not applicable] Page 119
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 10 Board of examiners [s 182]
(2) The board
of examiners may
have regard
to the previous
suspension, cancellation or
surrender in
deciding the
application. (3)
Subsection (2) does not limit the matters to
which the board of examiners may have regard in deciding the
application. 182 Obtaining certificates of competency
or site senior executive notices by fraud
(1) A person must not become, or attempt
to become, the holder of a certificate of competency or site
senior executive notice by giving false information to the
board of examiners. Maximum penalty—400 penalty units.
(2) The board
of examiners may
cancel a
certificate of
competency or
site senior
executive notice
by notice to
the holder if
the board is
satisfied that
the holder obtained
the certificate of
competency or
site senior
executive notice
by giving false information to the
board. (3) If the
board of
examiners decides
to cancel a
certificate of
competency or
site senior
executive notice,
the board must
give notice
of the decision
to the following
persons, to
the extent the persons are known to the
board— (a) for a decision relating to a
certificate of competency— the site
senior executive
for each mine
at which the
holder works; (b)
for
a decision relating to a site senior executive notice—
the
operator for each mine at which the holder works.
183 Return of certificate of competency or
site senior executive notice The
holder of
a certificate of
competency or
site senior
executive notice
must, unless
the holder has
a reasonable excuse,
immediately return
the certificate or
notice to
the board of examiners if—
Page
120 Current as at [Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 10 Board of examiners
[s
184] (a) the board
has given the
holder notice
under section 182(2);
or (b) an industrial magistrate suspends
or cancels the
certificate or notice under section 237;
or (c) the chief executive suspends or
cancels the certificate or notice under part 10A; or
(d) the holder surrenders the certificate
or notice. Maximum penalty—400 penalty units.
184 Effect on particular appointments of
suspension, cancellation or surrender of certificate of
competency or site senior executive notice
(1) This section applies if—
(a) a certificate of
competency or
site senior
executive notice
held by
a person is
suspended, cancelled
or surrendered under this Act; and
(b) immediately before
the suspension, cancellation or
surrender took
effect, the
person held
an appointment under this Act;
and (c) this Act
requires a
person to
hold the
certificate of
competency or
site senior
executive notice
to be appointed to the
position. (2) The person’s
appointment to
the position ends
on the suspension, cancellation or
surrender of
the person’s certificate of
competency or site senior executive notice. 185
Register to be kept by board of
examiners (1) The board of examiners must keep a
register of— (a) certificates of competency granted by
the board; and (b) site senior executive notices issued
by the board; and (c) notices of
registration given
by the board
under a
mutual recognition Act. Current as at
[Not applicable] Page 121
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 10A Suspension and cancellation of
certificates of competency and site senior executive notices
by chief executive [s 186] (2)
The
register must include the following information—
(a) for a certificate of competency or
site senior executive notice— (i)
the name and
contact details
of the holder
of the certificate or
notice; and (ii) details of the
certificate or notice; and (iii) the status of
the certificate or notice, including, if it has
been suspended, cancelled
or surrendered under
this Act,
details of
the suspension, cancellation or
surrender; (b) for a
notice mentioned
in subsection (1)(c)—the name
and
contact details of the person to whom the notice was
given; (c)
any
other information prescribed by regulation. (3)
The board of
examiners may
disclose information in
the register, other than the contact
details of an individual, to any person or
agency. (4) In this section— mutual
recognition Act means— (a)
the
Mutual Recognition Act 1992 (Cwlth); or (b)
the Trans-Tasman Mutual
Recognition Act
1997 (Cwlth).
Part
10A Suspension and cancellation of
certificates of competency and
site
senior executive notices by chief
executive 186 Grounds for suspension or
cancellation (1) Each of the following is a ground for
suspending or cancelling a person’s certificate of competency
under this part— Page 122 Current as at
[Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 10A Suspension and cancellation of
certificates of competency and site senior executive notices
by chief executive [s 187] (a)
the person has
contravened a
safety and
health obligation; (b)
the person has
committed an
offence against
a law of
Queensland or
another State
(a corresponding law
) relating to mining safety;
(c) a certificate, equivalent to a
certificate of competency, that was issued to the person under a
corresponding law of another State has been suspended or
cancelled. (2) Each of the following is a ground for
suspending or cancelling a person’s site senior executive
notice under this part— (a) the
person has
contravened a
safety and
health obligation; (b)
the person has
committed an
offence against
a corresponding law. 187
Notice of proposed action
(1) This section applies if the chief
executive considers there is a ground
to suspend or
cancel a
person’s certificate of
competency or
site senior
executive notice
(the proposed
action ).
(2) Before taking
the proposed action,
the chief executive
must give
the person a
notice (a
proposed action
notice )
stating each of the
following matters— (a) the proposed action;
(b) the ground for the proposed
action; (c) an outline
of the facts
and circumstances forming
the basis for the ground;
(d) if the
proposed action
is to suspend
the certificate of
competency or
site senior
executive notice—the proposed period
of the suspension; (e) that the
person may
make a
written submission to
the chief executive, within
a stated period
of at least
28 Current as at [Not applicable]
Page
123
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 10A Suspension and cancellation of
certificates of competency and site senior executive notices
by chief executive [s 188] days,
to show why
the proposed action
should not
be taken. 188
Submission against taking of proposed
action The person may,
within the
period stated
in the proposed
action notice
under section
187(2)(e), make
a written submission to
the chief executive
to show why
the proposed action should
not be taken. 189 Decision to take proposed
action (1) This section applies if—
(a) the period
stated in
the proposed action
notice under
section 187(2)(e) has ended; and
(b) the chief
executive has
considered any
written submission made
by the person under section 188; and (c)
the
chief executive still considers a ground exists to take
the
proposed action. (2) The chief executive may decide—
(a) if the proposed action was to suspend
the certificate of competency or site senior executive
notice—to suspend the certificate or notice for no longer than
the proposed period of
the suspension stated in
the proposed action notice;
or (b) if the
proposed action
was to cancel
the certificate of
competency or
site senior
executive notice—to
cancel the certificate
or notice or suspend it for a period. (3)
The chief executive
must give
the person notice
of the decision.
(4) The notice must state each of the
following matters— (a) the chief executive’s decision;
(b) the reasons for the decision;
Page
124 Current as at [Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 11 Accidents and incidents
[s
195] (c) that the person may appeal against the
decision within 28 days; (d)
how
the person may appeal; (e) that the person
may apply for a stay of the decision if the person appeals
against it. (5) The decision takes effect on the day
the notice is given to the person. (6)
The
chief executive must give notice of the decision to—
(a) the following
persons, to
the extent the
persons are
known to the chief executive—
(i) for a
decision relating
to a certificate of
competency—the site
senior executive
for each mine at which
the person works; (ii) for
a decision relating
to a site
senior executive
notice—the operator
for each mine
at which the
person works; and (b)
the
board of examiners. Part 11 Accidents and
incidents Division 1 Notification,
information and inspections 195
Notice of accidents, incidents, deaths or
diseases (1) Subject to subsections (2) and (3), as
soon as practicable after becoming aware of a serious accident,
high potential incident or a
death at
a mine, the
site senior
executive for
the mine must notify an
inspector and a district workers’ representative
about the accident, incident or death either
orally or by notice. Maximum penalty—40 penalty
units. (2) Subsection (3) applies to—
Current as at [Not applicable]
Page
125
Mining
and Quarrying Safety and Health Act 1999 Part 11 Accidents
and incidents [s 195] Not
authorised —indicative
only (a) a
serious accident
at a mine
resulting in
a person receiving— (i)
a
bodily injury endangering, or likely to endanger,
the
person’s life; or (ii) an injury
causing, or likely to cause, a permanent injury to the
person’s health; or (b) a high potential incident at a mine of
a type prescribed under a regulation; or (c)
a
death at a mine, whether or not caused by an accident
at
the mine. (3) The site
senior executive
must, as
soon as
possible after
becoming aware of the accident, incident or
death, by notice or orally notify
an inspector and
a district workers’
representative about the accident, incident
or death in terms that include the information (the
primary information ) stated
in
subsection (3A). Maximum penalty—40 penalty units.
(3A) For
subsection (3), the
primary information is
all of the
following— (a)
the precise location
where the
accident, incident
or death happened; (b)
when
the accident, incident or death happened; (c)
the
number of persons involved in the accident, incident
or
death; (d) if the notification is about a death,
whether or not caused by an accident—the name of the person
who died; (e) if the
notification is
about a
serious accident
or high potential
incident— (i) the name of any person who saw the
accident or incident, or who was present when the
accident or incident happened; and (ii)
the
name of any person who was injured as a result of the accident
or incident; Page 126 Current as at
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Mining and Quarrying Safety and Health Act
1999 Part 11 Accidents and incidents
[s
195] (f) if no-one
was present when
the person mentioned
in paragraph (d) died or the person
mentioned in paragraph (e)(ii) was injured—the name of the
person who found the deceased or injured person;
(g) a brief description of how the
accident, incident or death happened.
Examples of
types of
descriptions that
may be given
under paragraph
(g)— • ‘A light
vehicle fell
into the
pit after the
light vehicle
collided with a truck on a ramp leading into
the pit.’ • ‘A worker fell from the top of a
storage bin into the wash plant.’ (3B)
If the site
senior executive
does not
know the
primary information at
the time the
notification is
made under
subsection (3), the site senior executive
must— (a) take all
reasonable steps
to find out
the primary information as
soon as possible; and (b) as
soon as
possible after
the primary information becomes
known to
the site senior
executive, give
the primary information to the inspector
and representative. Maximum penalty—40 penalty units.
(3C) It
is not a
defence in
a proceeding under
subsection (3) or
(3B)
that the giving of the primary information might tend to
incriminate the site senior
executive. (3D) The primary
information is not admissible in evidence against
the
site senior executive in any criminal proceeding.
(3E) Subsection
(3D) does not
prevent the
primary information being admitted
in evidence in criminal proceedings about the falsity or
misleading nature of the primary information. (4)
If the site
senior executive
makes an
oral report
under subsection (1)
or (3), the executive must confirm the report by
notice within 48 hours. Maximum
penalty—40 penalty units. Current as at [Not applicable]
Page
127
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 11 Accidents and incidents
[s
195A] (5) However, if the oral report relates to
a death, the site senior executive must
confirm the
oral report
by notice within
24 hours. Maximum
penalty—80 penalty units. (6) As soon as
practicable after receiving a report of a reportable
disease at a mine or as a result of
operations, the site senior executive
must give
an inspector and
a district workers’
representative notice about the
disease. Maximum penalty—40 penalty units.
(7) A person prescribed by regulation who
becomes aware that a worker has
been diagnosed
with a
reportable disease
must give notice of
the diagnosis to the chief inspector. Maximum
penalty—40 penalty units. (8) In this
section— reportable disease means a disease
prescribed by regulation to be a disease that must be reported
under this section. 195A Requirement to give primary
information (1) For conducting an investigation into a
serious accident, high potential incident or death at a mine,
an officer may require a person to
give the
officer any
of the following
information (
primary information ) about the
accident, incident or death— (a)
the precise location
where the
accident, incident
or death happened; (b)
when
the accident, incident or death happened; (c)
the
number of persons involved in the accident, incident
or
death; (d) if the notification is about a death,
whether or not caused by an accident—the name of the person
who died; (e) if the
notification is
about a
serious accident
or high potential
incident— Page 128 Current as at
[Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 11 Accidents and incidents
[s
195A] Not authorised —indicative only
(i) the name of any person who saw the
accident or incident, or who was present when the
accident or incident happened; and (ii)
the
name of any person who was injured as a result of the accident
or incident; (f) if no-one
was present when
the person mentioned
in paragraph (d) died or the person
mentioned in paragraph (e)(ii) was injured—the name of the
person who found the deceased or injured person;
(g) a brief description of how the
accident, incident or death happened.
Examples of
types of
descriptions that
may be given
under paragraph
(g)— • ‘A light
vehicle fell
into the
pit after the
light vehicle
collided with a truck on a ramp leading into
the pit.’ • ‘A worker fell from the top of a
storage bin into the wash plant.’ (2)
When
making a requirement mentioned in subsection (1), the
officer must warn the person it is an
offence to fail to comply with the requirement.
(3) A person
required to
give primary
information under
subsection (1) must comply with the
requirement. Maximum penalty—40 penalty units.
(4) If the officer requires the person to
give the officer primary information, it
is not a
defence in
a proceeding under
subsection (3) that
the giving of
the primary information might tend to
incriminate the person, unless, in relation to an
accident or incident— (a)
the
person is an involved person; and (b)
the
primary information is the information mentioned in
subsection (1)(g). (5)
Primary information given
under subsection
(1) is not admissible in
evidence against
the person in
any criminal proceeding. Current as at
[Not applicable] Page 129
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 11 Accidents and incidents
[s
196] (6) Subsection (5) does not prevent the
primary information being admitted in evidence in criminal
proceedings about the falsity or misleading
nature of the primary information. (7)
In
this section— involved person
, for an
accident or
incident, means
an individual who
was directly involved
in the accident
or incident. Example
of an individual who
is directly involved
in an accident
or incident— •
a
member of the crew of the deceased or injured person, who
was present at the accident or incident
• an individual who was operating plant
involved in the accident or incident
officer means an
inspector, inspection officer or an authorised officer.
196 Place of accident must be
inspected As soon as
practicable after
receiving a
report of
a serious accident causing
death at a mine, an inspector must inspect the place of the
accident, investigate the accident to determine its
nature and
cause, and
report the
findings of
the investigation to the chief
inspector. Division 2 Site of accident
or incident 197 Site not to be interfered with without
permission (1) A person must not interfere with a
place at a mine that is the site of a
serious accident or high potential incident of a type
prescribed by
regulation, without
the permission of
an inspector. Maximum
penalty—200 penalty units. (2) Permission under
subsection (1) must
not be unreasonably withheld.
Page
130 Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 11 Accidents and incidents
[s
198] (3) For this division, action taken to
save life or prevent further injury at a
place is not interference with the place. Not
authorised —indicative only
198 Action to be taken in relation to site
of accident or incident (1)
If
there is a serious accident or a high potential incident at
a mine, the site senior executive must—
(a) carry out
an investigation to
decide the
causes of
the accident or incident; and
(b) prepare a
report about
the accident or
incident that
includes recommendations to
prevent the
accident or
incident happening again; and
(c) if the
accident or
incident is
a type prescribed by
regulation, forward the report to an
inspector within 1 month after the accident or incident.
Maximum penalty—100 penalty units.
(2) The site
senior executive
must ensure
that the
place of
the accident or incident is not interfered
with until— (a) all relevant details about the
accident or incident have been recorded and, if possible,
photographed; and (b) sufficient measurements have
been taken
to allow the
development of an accurate plan of the site;
and (c) a list of witnesses to the accident or
incident has been compiled. Maximum
penalty—100 penalty units. (3) It is not a
defence to a proceeding under subsection (1) that
the
carrying out of an investigation, preparation of a report or
forwarding of
the report might
tend to
incriminate the
site senior executive
or make the executive liable to a penalty. (4)
A
report prepared or forwarded by the site senior executive
under subsection (1) is not admissible in
evidence against the site senior
executive, or
any other worker
mentioned in
the report, in
any criminal proceeding other
than proceedings about the
falsity or misleading nature of the report. Current as at
[Not applicable] Page 131
Mining
and Quarrying Safety and Health Act 1999 Part 12 Boards of
inquiry [s 199] Part 12
Boards of inquiry Not
authorised —indicative
only Division 1 General
199 Minister may establish boards of
inquiry (1) The Minister may establish a board of
inquiry about a serious accident or high potential incident by
gazette notice. (2) The notice,
or a later
gazette notice,
may specify issues
relevant to
the inquiry including, for
example, the
membership of the board, who is the
chairperson of the board, and its terms of reference.
(3) The Minister
may exercise powers
under this
section for
a serious accident or high potential
incident— (a) whether or
not the accident
or incident has
been investigated by
an inspector; and (b) whether or
not a board
of inquiry had
previously inquired into
the accident or incident. 200 Role of board of
inquiry (1) The board of inquiry must—
(a) inquire into
the circumstances and
probable causes
of the relevant serious accident or high
potential incident; and (b) give the
Minister a written report of the board’s findings.
(2) The report
may contain the
recommendations the
board considers
appropriate and other relevant matters. (3)
The
Minister must table a copy of the report in the Legislative
Assembly within 14 days after receiving the
report. (4) However, if the board gives the
Minister a separate report of issues that the
board considers should not be made public, the Minister need
not table the separate report in the Legislative
Assembly. Page 132
Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 12 Boards of inquiry [s 201]
201 Conditions of appointment
(1) A member of the board of inquiry is
entitled to be paid the fees and allowances decided by the
Governor in Council. (2) A member holds
office on conditions not provided by this Act that are decided
by the Minister. 202 Chief executive to arrange for
services of staff and financial matters for board of
inquiry As soon as
practicable after
the board of
inquiry is
established, the
chief executive
must consult
with the
chairperson of the board and arrange—
(a) for the
services of
officers and
employees of
the department and
other persons
to be made
available to
the
board for the conduct of the inquiry; and (b)
for
financial matters relevant to the board. Division 2
Conduct of inquiry 203
Procedure (1)
When
conducting its inquiry, the board of inquiry— (a)
must
observe natural justice; and (b)
must act
as quickly, and
with as
little formality
and technicality, as
is consistent with
a fair and
proper consideration of
the issues. (2) In conducting the inquiry, the
board— (a) is not bound by the rules of evidence;
and (b) may inform itself in any way it
considers appropriate, including by holding hearings;
and (c) may decide
the procedures to
be followed for
the inquiry; and Current as at
[Not applicable] Page 133
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 12 Boards of inquiry [s 204]
(d) must give a person involved in the
serious accident or high potential incident the opportunity of
defending all claims made against the person.
(3) However, the board must comply with
this division and any procedural rules prescribed under a
regulation. (4) The chairperson of the board presides
at the inquiry. 204 Notice of inquiry The chairperson
of the board of inquiry must give at least 14 days notice of
the time and place of the inquiry to— (a)
any
person the chairperson considers may be concerned
in the serious
accident or
high potential
incident the
subject of the inquiry; and
(b) any other
person the
chairperson reasonably believes
should be given the opportunity to appear at
the inquiry. 205 Inquiry to be held in public except in
special circumstances (1)
The
inquiry must be held in public. (2)
However, the
board may,
of its own
initiative or
on the application of a
person represented at the inquiry, direct that the inquiry, or
a part of the inquiry, be held in private, and give
directions about the persons who may be
present. (3) The board may give a direction under
subsection (2) only if it is satisfied
it is proper
to make the
direction in
the special circumstances of
the case. 206 Protection of members, legal
representatives and witnesses (1)
A
member of the board of inquiry has, in the performance of
the
member’s duties, the same protection and immunity as a
Supreme Court judge performing the functions
of a judge. Page 134 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 12 Boards of inquiry [s 207]
(2) A lawyer
or other person
appearing before
the inquiry for
someone has the same protection and immunity
as a lawyer appearing for a party in a proceeding in the
Supreme Court. (3) A person summoned to attend or
appearing before the inquiry as
a witness has
the same protection as
a witness in
a proceeding in the Supreme
Court. 207 Record of proceedings to be
kept The board of inquiry must keep a record of
its proceedings. 208 Representation A person may be
represented before the inquiry by a lawyer or agent.
209 Board’s powers on inquiry
(1) In conducting the inquiry, the board
may— (a) act in the absence of any person who
has been given a notice under
section 204 or
some other
reasonable notice;
and (b) receive evidence on oath or by
statutory declaration; and (c) adjourn the
inquiry; and (d) disregard any defect, error, omission
or insufficiency in a document. (2)
A
member of the board may administer an oath to a person
appearing as a witness before the
inquiry. 210 Notice to witness (1)
The chairperson of
the board of
inquiry may,
by notice (
attendance notice ) given to a
person, require the person to attend at the
inquiry at a stated time and place to give evidence
or
produce stated documents or things. Current as at
[Not applicable] Page 135
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 12 Boards of inquiry [s 211]
(2) A person required to appear as a
witness before the inquiry is entitled to the
witness fees prescribed under a regulation or, if
no witness fees
are prescribed, the
reasonable witness
fees decided by the
chairperson. 211 Inspection of documents or
things (1) If a document or thing is produced to
the board at the inquiry, the board may— (a)
inspect the document or thing; and
(b) copy or
photograph the
document or
thing if
it is relevant to the
inquiry. (2) The board may also take possession of
the document or thing, and keep it while it is necessary for
the inquiry. (3) While it keeps a document or thing,
the board must permit a person otherwise entitled to
possession of it to inspect, copy or
photograph the
document or
thing, at
a reasonable place
and
time the board decides. 212 Inquiry may
continue despite court proceedings unless otherwise
ordered The inquiry may
start or
continue, and
a report may
be prepared or given, despite a
proceeding before any court or tribunal,
unless a
court or
tribunal with
the necessary jurisdiction
orders otherwise. 213 Offences by witnesses
(1) A person
given an
attendance notice
must not
fail, without
reasonable excuse to— (a)
attend as required by the notice; or
(b) continue to attend as required by the
chairperson of the board of inquiry until excused from further
attendance. Maximum penalty—30 penalty units.
Page
136 Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 12 Boards of inquiry [s 214]
(2) A person appearing as a witness at the
inquiry must take an oath when required by the chairperson
of the board. Maximum penalty—30 penalty units.
(3) Also, a person appearing as a witness
at the inquiry must not fail, without reasonable
excuse— (a) to answer a question the person is
required to answer by a member of the board; or
(b) to produce a document or thing the
person is required to produce under an attendance
notice. Maximum penalty—30 penalty units.
(4) It is a reasonable excuse for an
individual to refuse to answer a question or
produce a document or thing on the ground that the answer or
production of the document or thing might tend to incriminate
the individual or make the individual liable to a
penalty. 214
Contempt of board A person must
not— (a) deliberately interrupt a board of
inquiry; or (b) create or continue, or join in
creating or continuing, a disturbance in
or near a
place where
the board is
conducting its inquiry; or
(c) do anything that would be contempt of
court if the board were a judge acting judicially.
Maximum penalty—30 penalty units.
215 Change of membership of board
The
inquiry of a board of inquiry is not affected by a change
in
its membership. Current as at [Not applicable]
Page
137
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 13 Appeals [s 216]
Part
13 Appeals Division 1
Appeals against particular
decisions of Minister, chief
executive or board of examiners
216 Appeals against Minister’s
decisions The following persons
may appeal against
the Minister’s decision
under the
following provisions to
an Industrial Magistrates
Court under this division— (a) a person who is
removed from office as site safety and health
representative—section 89; (b) a
person whose
appointment as
district workers’
representative has been terminated—section
110. 216A Appeals against chief executive’s
decisions The following persons
may appeal against
the chief executive’s decision
under the
following provisions to
an Industrial Magistrates Court under
this division— (a) a person whose certificate of
competency or site senior executive notice is suspended or
cancelled by the chief executive—section 189;
(b) a corporation on
which a
civil penalty
is imposed— section
246I. 217 Appeals against board of examiners’
decision A person whose certificate of competency has
been cancelled by the board
of examiners under
section 182 may
appeal against the
board’s decision to an Industrial Magistrates Court
under this division. Page 138
Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 13 Appeals [s 218]
218 How to start appeal
(1) An appeal is started by the
appellant— (a) filing a notice of appeal with an
Industrial Magistrates Court; and (b)
serving a copy of the notice on—
(i) if the appeal is against the
Minister’s decision—the Minister; or (ii)
if the appeal
is against the
chief executive’s decision—the
chief executive; or (iii) if
the appeal is
against the
board of
examiners’ decision—the
board of examiners. (2) The notice of appeal must be filed
within 28 days after the appellant receives notice of the
decision appealed against. (3) The
court may
at any time
extend the
period for
filing the
notice of appeal. (4)
The
notice of appeal must state the grounds of the appeal.
219 Stay of operation of decision
(1) An Industrial Magistrates Court may
stay a decision appealed against to secure the effectiveness of
the appeal. (2) A stay— (a)
may be given
on conditions the
court considers
appropriate; and (b)
has
effect for the period stated by the court; and (c)
may
be revoked or amended by the court. (3)
The
period of a stay given by the court must not extend past
the
time when the court decides the appeal. (4)
An
appeal against a decision does not affect the operation or
carrying out of the decision unless the
decision is stayed. Current as at [Not applicable]
Page
139
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 13 Appeals [s 220]
220 Hearing procedures (1)
Unless this
division otherwise
provides, the
practice and
procedure for the appeal are to be in
accordance with the rules of court
or, if the
rules make
no provision or
insufficient provision, in
accordance with the directions of the court. (2)
An appeal must
be by way
of rehearing, unaffected by
the original decision-maker’s
decision. (3) However, for
deciding an
appeal against
a decision of
the chief executive under section 246I to
impose a civil penalty on a corporation, information that was
not available to the chief executive in
making the
decision must
not be taken
into account.
(4) In deciding an appeal, an Industrial
Magistrates Court— (a) is not bound by the rules of evidence;
and (b) must observe natural justice.
(5) In this section— original
decision-maker means the Minister, chief executive
or
the board of examiners. 221 Powers of court
on appeal (1) In deciding an appeal, an Industrial
Magistrates Court may— (a) confirm the
decision appealed against; or (b)
set
aside the decision and substitute another decision; or
(c) set aside
the decision and
return the
matter to
the original decision-maker with
directions that
the court considers
appropriate. (2) In substituting another
decision, the
court has
the same powers as the
original decision-maker. (3) If
the court substitutes another
decision, the
substituted decision
is taken to
be the decision
of the original
decision-maker. Page 140
Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 13 Appeals [s 222]
(4) The court
may make an
order for
costs it
considers appropriate. (5)
In
this section— original decision-maker means the
Minister or the board of examiners. Not
authorised —indicative only
222 Appeal to District Court on questions
of law only (1) An appellant may appeal against the
decision of an Industrial Magistrates Court to the District
Court, but only on a question of law.
(2) On hearing the appeal, the court may
make any order for costs it considers appropriate.
Division 2 Appeals against
chief inspector’s directives and particular decisions
223 Who may appeal A person whose
interests are affected by the following may appeal to the
Industrial Court— (a) a decision of the chief inspector
under section 146(3)(a) to retain a seized thing;
(b) a directive given by the chief
inspector; (c) a review
decision of
the chief inspector
under part
9, division 5, subdivision 4.
224 How to start appeal
(1) An appeal is started by—
(a) filing a
notice of
appeal with
the registrar of
the Industrial Court; and
(b) complying with
any rules of
court applying
to the appeal.
Current as at [Not applicable]
Page
141
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 13 Appeals [s 225]
(2) The notice of appeal must be filed
within 30 days after— (a) if the appeal is
from a decision under section 146(3)(a) to retain a
seized thing—the day the appellant receives the notice of
the decision; or (b) if the appeal is from a directive—the
day the appellant receives the directive; or
(c) if the
appeal is
from a
review decision—the day
the appellant receives reasons for the
review decision. (3) The court
may at any
time extend
the period for
filing the
notice of appeal. (4)
The
notice of appeal must state fully the grounds of the appeal
and
the facts relied on. 225 Stay of operation of directive or
review decision (1) The Industrial Court may grant a stay
of a directive or review decision appealed
against to
secure the
effectiveness of
the appeal. (2)
A
stay— (a) may be
given on
the conditions the
court considers
appropriate; and (b)
operates for the period fixed by the court;
and (c) may be revoked or amended by the
court. (3) The period of a stay must not extend
past the time when the court decides the appeal.
(4) An appeal against a directive or
review decision affects the directive or
decision, or the carrying out of the directive or
decision, only if the directive or decision
is stayed. (5) However, the following must not be
stayed— (a) a directive by the chief inspector
under section 164; (b) a review
decision about
a directive given
by another person under
section 164. Page 142 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 13 Appeals [s 226]
226 Hearing procedures (1)
The
procedure for an appeal is to be in accordance with the
rules of court applying to the appeal or, if
the rules make no provision or
insufficient provision, in
accordance with
directions of the Industrial Court.
(2) An appeal
is by way
of rehearing, unaffected by
the chief inspector’s
directive or decision. 227 Assessors
If
the Industrial Court is satisfied the appeal involves an
issue of special knowledge
and skill, the
court may
appoint 1
or more assessors to help it in deciding
the appeal. 228 Powers of court on appeal
(1) In deciding an appeal, the Industrial
Court may— (a) confirm the directive or decision
appealed against; or (b) vary the
directive or decision appealed against; or (c)
set
aside the directive or decision appealed against and
make a
directive or
decision in
substitution for
the directive or decision set aside;
or (d) set aside the directive or decision
appealed against and return the issue to the chief
inspector with directions the court considers
appropriate. (2) If on appeal the court acts under
subsection (1)(b) or (c), the directive
or decision is
taken, for
this Act
(other than
this part), to be
that of the chief inspector. (3)
The court may
make an
order for
costs it
considers appropriate. Current as at
[Not applicable] Page 143
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 14 Legal proceedings [s 228A]
Part
14 Legal proceedings Division 1
Evidence 228A
Application of div 1 This division
applies to a proceeding under this Act. 229
Proof
of appointments and authority unnecessary (1)
It
is not necessary to prove— (a) the
appointment of
the commissioner, the
chief executive, the
chief inspector, an
inspector, an
inspection officer,
an authorised officer,
a district workers’
representative or
a site safety
and health representative;
or (b) the authority of the commissioner, the
chief executive, the chief inspector, an inspector, an
inspection officer, an authorised officer, a district workers’
representative or a site safety and health representative
to do anything under this Act. (2)
Subsection (1) does not apply if reasonable
notice is given to the party relying
on the appointment or
authority that
the appointment or authority is to be
challenged. 230 Proof of signatures unnecessary
A signature purporting to
be the signature
of the commissioner, the
chief executive, the
chief inspector, an
inspector, an inspection officer, an
authorised officer, a district workers’
representative or
a site safety
and health representative
is evidence of the signature it purports to be. Page 144
Current as at [Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 14 Legal proceedings [s 231]
Not authorised —indicative only
231 Evidentiary aids (1)
A
certificate stating any of the following matters is evidence
of
the matter— (a) a stated document is—
(i) an appointment or a copy of an
appointment; or (ii) a directive or a
copy of a directive given under this Act; or
(iii) a decision, or a
copy of a decision, given or made under this Act;
or (iv) a
record or
document, a
copy of
a record or
document, or
an extract from
a record or
document, kept under this Act;
(b) on a
stated day,
or during a
stated period,
a stated certificate,
notice, approval or appointment was, or was not, in force
for a stated person or thing; (c)
on a stated
day, or
during a
stated period,
a standard issued
or published by
National Occupational Health
and Safety Commission or
Standards Australia
or something in the standard was, or was
not, in force; (d) on a
stated day
a stated person
was given a
stated directive, direction, requirement or
notice under
this Act;
(e) a stated
amount is
payable under
this Act
by a stated
person and has not been paid;
(f) a stated location is within the
boundaries of land that is the subject of a stated mining
tenure. (2) A document
purporting to
be published by
or under the
authority of
National Occupational Health
and Safety Commission or
Standards Australia is, on its production in a proceeding,
evidence of the matters appearing on and in the document.
(3) In a
complaint starting
a proceeding, a
statement that
the matter of the complaint came to the
complainant’s knowledge on a stated day is evidence of the
matter. Current as at [Not applicable]
Page
145
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 14 Legal proceedings [s 232]
(4) Any instrument, equipment
or installation used
by an inspector,
inspection officer, an authorised officer or analyst in
accordance with
any conditions prescribed under
a relevant document for its
use is taken to be accurate and precise in the absence of
evidence to the contrary. (5) In this
section— certificate means a
certificate purporting to be signed by the commissioner, the
chief executive, the
chief inspector, an
inspector, an inspection officer, an
authorised officer, a district workers’
representative or
a site safety
and health representative. 232
Expert reports (1)
An expert report
is admissible in
evidence in
a proceeding under this Act,
whether or not the person making the report (the
expert ) attends to
give oral evidence in the proceeding. (2)
However, if the expert does not attend to
give oral evidence in the proceeding, the report is
admissible only with the court’s leave.
(3) In deciding whether to grant leave,
the court must have regard to the following— (a)
the
contents of the report; (b) why the expert
does not intend to give oral evidence; (c)
the risk that
its admission or
exclusion from
evidence will result in
unfairness to a party, in particular having regard to a
party’s ability to dispute the contents of the report if the
expert does not give oral evidence; (d)
any
other relevant circumstance. (4)
An expert report
when admitted
is evidence of
any fact or
opinion of which the expert could have given
oral evidence. (5) In this section— expert
report means
a report made
by a person
that deals
entirely or mainly with issues on which the
person is qualified Page 146 Current as at
[Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 14 Legal proceedings [s 233]
to give expert
evidence, but
does not
include an
analyst’s report.
Not authorised —indicative only
233 Analyst’s certificate or report
The production by
the prosecutor or
the defendant in
a prosecution of
a signed analyst’s
report stating
any of the
following is evidence of them—
(a) the analyst’s qualifications;
(b) the analyst took, or received from a
stated person, the sample mentioned in the report;
(c) the analyst
analysed the
sample on
a stated day,
or during a stated period, and at a
stated place; (d) the results of the analysis.
Division 2 Proceedings 234
Proceedings for offences (1)
A prosecution for
an offence against
this Act
is by way
of summary proceedings before an
industrial magistrate. (2) More than 1
contravention of a safety and health obligation under section 31
may be charged as a single charge if the acts or
omissions giving
rise to
the claimed contravention happened within
the same period and in relation to the same mine.
(3) A person
dissatisfied with
a decision of
an industrial magistrate in
proceedings brought under subsection (1) who wants to appeal
must appeal to the Industrial Court. (4)
The Industrial Relations
Act 2016 applies,
with necessary
changes, to
a proceeding before
an industrial magistrate brought under
subsection (1) and to a proceeding on appeal before the
Industrial Court brought under subsection (3). (5)
Proceedings for an offence against this Act
may only be taken by— Current as at [Not applicable]
Page
147
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Act 1999 Part 14 Legal proceedings [s 235]
(a) the commissioner; or
(b) the chief executive; or
(c) another appropriately qualified
person, with the written authorisation of the chief executive,
either generally or in a particular case. (6)
An authorisation under
subsection (5)(c) is
sufficient authority to
continue proceedings in any case where the court
amends the charge, warrant or
summons. (7) In this section— person
dissatisfied with a decision in a proceeding
means— (a) a party to the proceeding; or
(b) a person bound by the decision.
235 Recommendation to prosecute
(1) The following persons may recommend to
the commissioner that there be a prosecution for an offence
against this Act— (a) an inspector; (b)
a
district workers’ representative; (c)
a
site senior executive. (2) Subsection
(1) does not
limit the
commissioner’s power
to prosecute. 236
Limitation on time for starting
proceedings A proceeding for an offence against this Act
must start within the latest of the following periods to
end— (a) 1 year after the commission of the
offence; (b) 6 months after the offence comes to
the complainant’s knowledge but
3 years after
the commission of
the offence; (c)
if
the offence involves a breach of an obligation causing
death and the death is investigated by a
coroner under Page 148 Current as at
[Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 14 Legal proceedings [s 237]
the Coroners Act 2003 —2 years after
the coroner makes a finding in relation to the death.
Not authorised —indicative only
237 Court may order suspension or
cancellation of certificate or notice
(1) This section
applies if
a person convicted
of an offence
against this Act is the holder of a
certificate of competency or site senior
executive notice. (2) The industrial magistrate, on
application by the complainant during the
proceedings for the offence, may suspend or cancel
the
certificate of competency or site senior executive notice of
the
person convicted. (3) A person dissatisfied with the
industrial magistrate’s decision to suspend or
cancel the person’s certificate of competency or
site
senior executive notice who wants to appeal the decision,
must
appeal to the Industrial Court. (4)
The
industrial magistrate must give notice of the decision to
suspend or
cancel the
person’s certificate of
competency or
site
senior executive notice to— (a)
the following persons,
to the extent
the persons are
known to the industrial magistrate—
(i) for a
decision relating
to a certificate of
competency—the site
senior executive
for each mine at which
the person works; (ii) for
a decision relating
to a site
senior executive
notice—the operator
for each mine
at which the
person works; and (b)
the
board of examiners. 238 Forfeiture on conviction
(1) On conviction of a person for an
offence against this Act, an Industrial Magistrates Court
may order the
forfeiture to
the State of— (a)
anything used to commit the offence;
or Current as at [Not applicable]
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149
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Act 1999 Part 14 Legal proceedings [s 239]
(b) anything else the subject of the
offence. (2) The court may make the order—
(a) whether or not the thing has been
seized; and (b) if the thing has been seized, whether
or not the thing has been returned to its owner.
(3) The court
may make any
order to
enforce the
forfeiture it
considers appropriate. (4)
This section
does not
limit the
court’s powers
under the
Penalties and Sentences Act 1992
or
another law. 239 Dealing with forfeited things
(1) On the forfeiture of a thing to the
State, the thing becomes the State’s property
and may be dealt with by the chief executive as the chief
executive considers appropriate. (2)
Without limiting
subsection (1), the
chief executive
may destroy the thing. 240
Responsibility for acts or omissions of
representatives (1) Subsections (2) and (3) apply in a
proceeding for an offence against this Act. (2)
If it is
relevant to
prove a
person’s state
of mind about
a particular act or omission, it is
enough to show— (a) the act
was done or
omitted to
be done by
a representative of
the person within
the scope of
the representative’s actual or apparent
authority; and (b) the representative had the state of
mind. (3) An act
done or
omitted to
be done for
a person by
a representative of
the person within
the scope of
the representative’s actual or apparent
authority is taken to have been done or omitted to be done also
by the person, unless the person proves
the person could
not, by
the exercise of
reasonable precautions and proper diligence,
have prevented the act or omission. Page 150
Current as at [Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 14 Legal proceedings [s 242]
(4) In this section— representative means—
(a) of a corporation—an officer, employee
or agent of the corporation; or (b)
of an individual—an employee
or agent of
the individual. state of
mind of a person includes— (a)
the person’s knowledge, intention, opinion,
belief or
purpose; and (b)
the
person’s reasons for the intention, opinion, belief or
purpose. 242
Representation A party to a
proceeding under this Act may be represented by the party’s
lawyer or agent. 243 Costs of investigation
(1) If a court convicts a person of an
offence against this Act, the court may order
the person to pay the department’s reasonable costs of
investigating the offence, including reasonable costs
of
preparing for the prosecution of the offence. (2)
This
section does not limit the orders for costs the court may
make. 244
Recovery of fees (1)
A
fee payable under this Act and not paid may be recovered
by
the chief executive— (a) in summary
proceedings under the Justices Act 1886 ; or
(b) by action for a debt in a court of
competent jurisdiction. (2) A fee may also
be recovered in a proceeding for an offence against this
Act. Current as at [Not applicable]
Page
151
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only Mining and Quarrying Safety and Health
Act 1999 Part 14 Legal proceedings [s 245]
(3) An order made under subsection (2) is
enforceable under the Justices Act 1886 as an order for
payment of money made by a magistrate under that Act.
(4) If an order is made under subsection
(2)— (a) the order may be filed in the registry
of a Magistrates Court; and (b)
on being filed,
is taken to
be an order
made by
a Magistrates Court and may be enforced
accordingly. Division 3 Evidentiary
provisions 245 Service of documents
(1) If a document is required or permitted
under this Act to be given to a person, the document may be
given to the person by facsimile transmission directed and
sent to— (a) the last transmission number given to
the giver of the document by
the person as
the facsimile transmission number for
service of documents on the person; or (b)
the
facsimile transmission number operated— (i)
at
the address of the person last known to the giver
of
the document; or (ii) if
the person is
a company, at
the company’s registered
office. (2) A document given in accordance with
subsection (1) is taken to have been given on the day the copy
is transmitted. (3) This section
does not
limit any
other means
of giving documents
authorised or
permitted by
law including, for
example, under the Acts
Interpretation Act 1954 , part 10. 246
How
document to be given to operator A document to be
given to an operator for a mine, is taken to have been given
to the operator if it is— Page 152 Current as at
[Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 14A Injunctions [s 246A]
(a) addressed to the operator; and
(b) given to the site senior executive at
the mine. Not authorised —indicative only
Part
14A Injunctions 246A
Applying for injunction (1)
The
commissioner or chief inspector may apply to the District
Court for an injunction under this
part. (2) An injunction under this part may be
granted by the District Court against a person at any
time. 246B Grounds for injunction
The District Court
may grant an
injunction if
the court is
satisfied a person has engaged, or is
proposing to engage, in conduct that constitutes or would
constitute— (a) a contravention of this Act; or
(b) attempting to contravene this Act;
or (c) aiding, abetting,
counselling or
procuring a
person to
contravene this Act; or (d)
inducing or
attempting to
induce, whether
by threats, promises or
otherwise, a person to contravene this Act; or
(e) being in
any way, directly
or indirectly, knowingly
concerned in, or party to, the contravention
of this Act by a person; or (f)
conspiring with others to contravene this
Act. 246C Court’s powers for injunction
(1) The power
of the District
Court to
grant an
injunction restraining a
person from
engaging in
conduct may
be exercised— Current as at
[Not applicable] Page 153
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 14A Injunctions [s 246D]
(a) whether or
not it appears
to the court
that the
person intends
to engage again,
or to continue
to engage, in
conduct of that kind; and
(b) whether or
not the person
has previously engaged
in conduct of that kind.
(2) The power
of the court
to grant an
injunction requiring
a person to do an act or thing may be
exercised— (a) whether or
not it appears
to the court
that the
person intends to fail
again, or to continue to fail, to do the act or thing;
and (b) whether or not the person has
previously failed to do the act or
thing. (3) An interim injunction may be granted
under this part until the application is finally decided.
(4) The court may rescind or vary an
injunction at any time. 246D Terms of
injunction (1) The District Court may grant an
injunction in the terms the court considers
appropriate. (2) Without limiting
the court’s power
under subsection
(1), an injunction may be granted restraining
a person from carrying on particular activities—
(a) for a stated period; or
(b) except on stated terms and
conditions. (3) Also, the court may grant an
injunction requiring a person to take
stated action,
including action
to disclose or
publish information, to
remedy any
adverse consequences of
the person’s contravention of this
Act. Page 154 Current as at
[Not applicable]
Part
14B Mining and Quarrying Safety and Health Act
1999 Part 14B Civil penalties [s 246E]
Civil penalties Not
authorised —indicative only
246E Definitions for part
In
this part— civil penalty obligation means a safety
and health obligation, or another obligation under this Act,
prescribed by regulation to be a civil penalty
obligation. corresponding offence
, in relation
to a contravention of
a civil penalty
obligation, means
an offence constituted by
conduct that
is substantially the
same as
the conduct constituting the
contravention. penalty notice see section
246I(3). proposed penalty notice see section
246G(2). relevant corporation means an
operator or contractor that is a
corporation. 246F Liability for civil penalties
(1) A relevant corporation is liable to
pay the State a civil penalty if—
(a) the relevant
corporation contravenes a
civil penalty
obligation; or (b)
a
representative of the relevant corporation contravenes
a
civil penalty obligation. (2) A civil penalty
may be imposed on the relevant corporation by a
penalty notice
given to
the corporation by
the chief executive. (3)
The
amount of the penalty is— (a) if
the civil penalty
obligation is
a category 1
obligation—1,000 penalty units; or
(b) if the
civil penalty
obligation is
a category 2
obligation—750 penalty units; or
Current as at [Not applicable]
Page
155
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 14B Civil penalties [s 246G]
(c) if the
civil penalty
obligation is
a category 3
obligation—500 penalty units.
(4) For subsection (3), the category of a
civil penalty obligation is the category
prescribed by regulation for the obligation. (5)
In
this section— representative ,
of a relevant
corporation, means
an officer, employee or
agent of the corporation. 246G Giving of notice
proposing imposition of civil penalty (1)
This
section applies if the chief executive reasonably believes
a
relevant corporation is liable to pay a civil penalty on the
grounds of a contravention of a civil
penalty obligation. (2) The chief
executive may
give the
corporation a
notice (a
proposed penalty notice ) proposing to
impose a civil penalty on the corporation on the grounds of
the contravention. (3) The proposed penalty notice must state
each of the following matters— (a)
that the
chief executive
proposes to
impose a
civil penalty on the
corporation; (b) the grounds for imposing the
penalty; (c) the facts
and circumstances forming
the basis for
the grounds; (d)
that
the corporation may make a written submission to
the
chief executive, within a stated period of at least 14
days
after the corporation is given the notice, to show
why
the civil penalty should not be imposed; (e)
the
way in which the submission may be made. 246H
Submission against proposed imposition of
civil penalty The relevant corporation may, within the
period stated in the proposed penalty notice under section
246G(3)(d) and in the way stated
in the notice,
make a
written submission to
the Page 156 Current as at
[Not applicable]
Mining and Quarrying Safety and Health Act
1999 Part 14B Civil penalties [s 246I]
chief executive
to show why
the civil penalty
should not
be imposed. Not
authorised —indicative only
246I Giving of penalty notice
(1) This section applies if—
(a) the period stated in the proposed
penalty notice under section 246G(3)(d) has ended;
and (b) the chief executive has considered any
submission made under section 246H; and (c)
the
chief executive is satisfied— (i)
the civil penalty
obligation mentioned
in the proposed
penalty notice
has been contravened; and
(ii) the relevant
corporation is liable to a civil penalty on the grounds
of the contravention. (2) The chief
executive may decide to impose a civil penalty on
the
corporation on the grounds of the contravention.
(3) If the chief executive makes a
decision under subsection (2), the
chief executive
must give
the corporation a
notice (a
penalty notice ) stating each
of the following matters— (a) the chief
executive has decided to impose a civil penalty on the
corporation; (b) the reasons for the decision;
(c) the amount of the penalty and the day
by which it must be paid; (d)
that the
corporation may
appeal to
an Industrial Magistrates Court
against the
decision within
28 days after the
corporation is given the penalty notice; (e)
how
to appeal. (4) The day for payment stated under
subsection (3)(c) must not be less
than 28
days after
the penalty notice
is given to
the corporation. Current as at
[Not applicable] Page 157
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 14B Civil penalties [s 246J]
(5) The State may recover the penalty from
the corporation as a debt. 246J
Civil penalty can not be imposed after
criminal proceeding (1)
A
civil penalty must not be imposed on a relevant corporation
on
the grounds of a contravention of a civil penalty obligation
if the corporation has
been convicted
or found guilty
of a corresponding
offence. (2) Subsection (3) applies if—
(a) the chief
executive has
given a
relevant corporation a
proposed penalty notice in relation to a
contravention of a civil penalty obligation; and
(b) before the
chief executive
makes a
decision under
section 246I,
a criminal proceeding is
started against
the
corporation for a corresponding offence. (3)
A
civil penalty must not be imposed on the corporation on the
grounds of the contravention unless the
criminal proceeding ends without the corporation being convicted
or found guilty of a corresponding offence.
(4) This section applies despite any other
provision of this part. 246K Criminal
proceeding after civil penalty imposed A
criminal proceeding may
be started against
a relevant corporation for
a corresponding offence for a contravention of
a civil penalty
obligation regardless of
whether a
civil penalty
has been imposed
on the corporation for
the contravention. Page 158
Current as at [Not applicable]
Part
15 Mining and Quarrying Safety and Health Act
1999 Part 15 Offences [s 247]
Offences Not
authorised —indicative only
247 Person not to encourage refusal to
answer questions (1) A person
must not
encourage or
influence, or
attempt to
encourage or
influence, by
general direction, promise
of advantage, threat of dismissal or
otherwise, a worker to refuse to
answer questions
put to the
worker by
an inspector, inspection officer,
authorised officer
or district workers’
representative. Maximum
penalty—40 penalty units. (2) To
remove any
doubt, subsection
(1) does not
apply to
the provision of legal advice to a worker
by a lawyer. 248 Impersonating inspectors, officers or
representatives A person must
not pretend to
be an inspector, inspection officer,
authorised officer, site safety and health representative
or
district workers’ representative. Maximum
penalty—40 penalty units. 249 Protection for
officers (1) A person must not disadvantage an
officer for exercising the officer’s powers under this
Act. Maximum penalty—500 penalty units.
(2) In this section— officer
means— (a)
an
inspector; or (b) an inspection officer; or
(c) an authorised officer; or
(d) a district workers’ representative;
or (e) a site safety and health
representative. Current as at [Not applicable]
Page
159
Mining
and Quarrying Safety and Health Act 1999 Part 16
General [s 250] Part 16
General Not
authorised —indicative
only Division 1 General safety
matters 250 Person must not employ underage
persons underground A person must not employ a person under the
age of 16 as an underground worker. Maximum
penalty—100 penalty units. 250A Underage persons
not to operate or maintain plant The site senior
executive for a mine must not allow a person under the age of
16 to operate or maintain plant at the mine. Maximum
penalty—100 penalty units. 251 Workers may
request information The site senior executive must make
available for inspection, by workers employed at the mine, a
copy of the safety and health management system.
Maximum penalty—100 penalty units.
252 Action where risk is
unacceptable (1) If the level of risk from a hazard at
a mine or an area within a mine is not within acceptable limits,
a worker, if competent and able to eliminate the danger from
the hazard, must take the action necessary to eliminate the
danger. Maximum penalty—100 penalty units.
(2) If the worker is not competent or able
to eliminate the danger, the worker— (a)
if
the hazard is equipment, substances or operations—
must stop
the use of
the equipment, substances or
operations; or Page 160
Current as at [Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 16 General [s 252]
(b) if stopping
the use of
equipment, substances or
operations does not bring risk within
acceptable limits or the risk
is not caused
by the use
of equipment, substances or
operations—must withdraw from the mine or the area
within the mine. Maximum penalty—100 penalty units.
(3) Also, if the worker is not competent
or able to eliminate the danger, the worker must—
(a) take measures
to prevent immediate
danger to
other workers that the
worker is able reasonably to take; and (b)
immediately report
the situation to
the worker’s supervisor. Maximum
penalty—100 penalty units. (4) If
subsection (2)(b) applies,
a supervisor of
workers must
ensure that the workers are withdrawn from
the mine or the area within the mine. Maximum
penalty—100 penalty units. (5) If
action has
been taken
under subsection
(2)(a), a person must
not use the
equipment or
substances or
resume operations until
the risk— (a) has been assessed by a competent
person; and (b) has been
treated as
necessary to
reduce the
risk to
an acceptable level. Maximum
penalty—100 penalty units. (6) If
action has
been taken
under subsection
(2)(b), a person must not
re-enter the mine or the area within the mine until the
risk— (a)
has
been assessed by a competent person; and (b)
has been treated
as necessary to
reduce the
risk to
an acceptable level. Maximum penalty
for subsection (6)—100 penalty units. Current as at
[Not applicable] Page 161
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 16 General [s 253]
253 Where worker exposed to immediate
personal danger (1) Subject to
section 252(1) and
(2), if
a worker (the
original worker
)
reasonably believes that there is serious danger to the
original worker’s safety or health, the
original worker has the right— (a)
to
remove himself or herself to a position of safety; and
(b) to refuse
to undertake a
task allocated
to the original
worker that may place the worker in serious
danger. (2) The operator
or the operator’s representative must
not disadvantage the original worker for
exercising the worker’s rights under subsection (1).
Maximum penalty—200 penalty units.
(3) Subsection (4) applies
if the operator
or the operator’s representative subsequently asks
or directs another
worker (the
subsequent worker
) to place
himself or
herself in
the position from which the original
worker has removed himself or herself, or to undertake a task
that the original worker has refused to
undertake. (4) The operator or the operator’s
representative must advise the subsequent worker
that the
original worker
exercised rights
under subsection (1) because the original
worker believed that there was a serious danger to the
original worker’s safety or health.
Maximum penalty for subsection (4)—200
penalty units. 254 Representations about safety and
health matters (1) This section applies to a person who
is— (a) a worker; or (b)
another person with obligations under this
Act; or (c) an employee of a person mentioned in
paragraph (b). (2) The person
may make, either
personally or
by a representative,
a representation to an inspector or inspection officer
about— Page 162 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 16 General [s 254A]
(a) an alleged contravention of this Act;
or (b) a thing or practice at the mine that
is, or is likely to be, dangerous. (3)
The
inspector or inspection officer must investigate the matter
and
make a written report of the investigation to the worker or
the
worker’s representative. (4) A
public service
officer must
not disclose the
name of
the person making the
representation— (a) except for a prosecution under
subsection (5); or (b) unless the person consents to the
disclosure. (5) The person must not make a false or
frivolous representation. Maximum penalty for subsection (5)—40
penalty units. 254A Protection from reprisal
(1) A person
must not
cause, or
attempt or
conspire to
cause, detriment to
another person because, or in the belief that, the
other person— (a)
has
made a complaint, or in any other way has raised, a
mine
safety issue; or (b) has contacted or given help to an
official in relation to a mine safety issue. Maximum
penalty—40 penalty units. (2) An attempt to
cause detriment includes an attempt to induce a person to cause
detriment. (3) A contravention of subsection (1) is a
reprisal or the taking of a reprisal. (4)
A ground mentioned
in subsection (1) as
the ground for
a reprisal is the unlawful ground for
the reprisal. (5) For the contravention to happen, it is
sufficient if the unlawful ground is a substantial ground for the
act or omission that is the reprisal,
even if
there is
another ground
for the act
or omission. Current as at
[Not applicable] Page 163
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 16 General [s 254B]
(6) This section does not limit or
otherwise affect the operation of the
Public Interest Disclosure Act 2010
,
chapter 4, part 1 in relation to reprisals.
(7) In this section— mine safety
issue means an issue about the safety or health
of a person or persons while at a mine or as a
result of mining operations. 254B
Damages entitlement for reprisal
(1) A reprisal is a tort and a person who
takes a reprisal is liable in damages to
anyone who suffers detriment as a result. (2)
Any
appropriate remedy that may be granted by a court for a
tort
may be granted by a court for the taking of a reprisal.
(3) If the claim for the damages goes to
trial in the Supreme Court or the
District Court,
it must be
decided by
a judge sitting
without a jury. Division 2
Miscellaneous 254C
Public statements (1)
The Minister, chief
executive, commissioner or
chief inspector may
make or issue a public statement identifying, and giving
information about, the following— (a)
the
commission of offences against this Act and persons
who
commit the offences; (b) investigations
conducted under this Act about accidents or high
potential incidents at a mine; (c)
action taken
by inspectors, inspection officers,
authorised officers or the chief executive
to enforce the Act; (d)
the cancellation or
suspension of
a certificate of
competency or site senior executive notice
under section 182(2) or part 10A; Page 164
Current as at [Not applicable]
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Mining and Quarrying Safety and Health Act
1999 Part 16 General [s 255]
(e) any incident
or other matter
that may
be relevant to
persons seeking to comply with their safety
and health obligations. (2)
The
public statement may identify particular information and
persons. (3)
The Minister, chief
executive, commissioner or
chief inspector must
not issue a public statement under this section unless satisfied
that it is in the public interest to do so. (4)
Despite section 256(2), no liability is
incurred by the State for the issue of, or for anything done for
the purpose of issuing, a public statement under this section in
good faith. (5) No liability
is incurred by
a person for
publishing, in
good faith,
information that has been included in a public statement
under this section. (6)
In
this section— liability includes
liability in defamation. 255 Disclosure of
information (1) A person
must not
disclose information concerning the
personal affairs
of a person
or commercially sensitive
information obtained
by the person
in the administration of
this
Act, unless the disclosure is made— (a)
with the
consent of
the person from
whom the
information was obtained; or
(b) in the administration of this Act;
or (c) in a
proceeding under
this Act
or a report
of the proceeding;
or (d) in a proceeding before a court in
which the information is relevant to the issue before the
court; or (e) in a
public statement
made or
issued under
section 254C. Maximum
penalty—100 penalty units. Current as at [Not applicable]
Page
165
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 17 Administration [s 256]
(2) However, the chief inspector may
communicate anything that comes to the chief inspector’s
knowledge under this Act to an officer
or authority responsible for
administering a
law of Queensland, the
Commonwealth or another State about safety and health in
mining. (3) Despite subsection (1), the chief
inspector or chief executive may
disclose to
the Regulator or
WorkCover, under
the Workers’ Compensation and
Rehabilitation Act
2003, any
information the
chief inspector
or chief executive
has that relates to any
matter under that Act. (4) This section
does not limit the Right to Information Act 2009
or
the Information Privacy Act 2009
,
chapter 3. 256 Protection from liability
(1) An official
does not
incur civil
liability for
an act done,
or omission made,
honestly and
without negligence under
this Act.
Example of an act done— giving
information or advice (2) If
subsection (1) prevents
a civil liability
attaching to
an official, the liability attaches
instead to the State. Part 17 Administration 257
Delegations (1)
The Minister or
chief executive
may delegate his
or her powers
under this
Act to an
appropriately qualified
public service
employee. (2) In this section— appropriately qualified
includes having
the qualifications, experience or
standing appropriate to exercise the power. Example of
standing— a person’s classification level in the
public service Page 166 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 17 Administration [s 258]
258 Delegation of chief inspector’s
powers (1) The chief inspector may delegate any
of the chief inspector’s powers to an inspector.
(2) However, the
chief inspector
may delegate a
power to
an inspector only if the chief inspector
is satisfied the inspector has the
expertise and
experience to
properly exercise
the power. (3)
Also, the chief inspector must not delegate
to an inspector the power to review an inspector’s directive
under section 174. 259 Notices about industry statistics or
information (1) The chief executive may, by notice,
require a person to keep and give the chief executive
statistics or other information in the person’s
custody, possession or power about the mining industry.
Examples of matters the notice may
require— 1 the keeping and giving of records of
production, disposal, sales and employment
numbers 2 the compilation and
giving of
statistics, returns
and other information,
including about attendance and absenteeism for work
at
mines 3 that the records, statistics, returns
or other information must be in an approved
form (2) The chief executive may, by notice,
amend a notice. (3) The person
must comply
with the
notice, unless
the person has a reasonable
excuse for not complying. Maximum penalty—40 penalty
units. (4) The chief executive may—
(a) use the information to produce
statistics and other data; and (b)
publish the
statistics and
other data
produced under
paragraph (a). Current as at
[Not applicable] Page 167
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 17 Administration [s 260]
260 Chief executive to keep records
(1) The chief
executive must
keep and
maintain records
that include—
(a) a database of information
about— (i) hazards associated with operations and
methods of controlling the hazards; and
(ii) lost time
injuries and high potential incidents; and (b)
plans showing
the extent of
operations undertaken at
abandoned mines; and (c)
current guidelines. (2)
Information about lost time injuries must
include the number of days the injured person was unable to
work, regardless of the number of
hours that
would have
been worked
by the person each
day. (3) However, the number of days to be
recorded does not include the day of the injury.
(4) The chief executive, on payment by a
person of a reasonable fee decided by the chief executive,
must give a person access to the records. (5)
In
this section— lost time
injuries means
an injury resulting
in the injured
person being unable to work the next day or
a longer period, whether they are rostered to work or
not. 261 Approved forms The chief
inspector may approve forms for use under this Act.
Page
168 Current as at [Not applicable]
Part
18 Mining and Quarrying Safety and Health Act
1999 Part 18 Regulations [s 262]
Regulations Not
authorised —indicative only
262 Regulation-making power
(1) The Governor
in Council may
make regulations under
this Act.
(2) Without limiting
subsection (1), a
regulation may
be made about the
following— (a) risk management practices including
criteria to be used in assessing whether risk is at an
acceptable level; (b) safety and health management
systems; (c) conditions in
the work and
local environments, the
monitoring of
those environments, and
the use of
personal protective equipment
where limits
are exceeded; (d)
processes and methods of operation;
(e) design and layout of
facilities; (f) the use, production and disposal of
material; (g) the design, use and maintenance of
plant, equipment and tools; (h)
procedures and standard work
instructions; (i) the competency, fitness and monitoring
of persons and the monitoring of their work, including
requirements for holders of
certificates of
competency or
site senior
executive notices
to undertake continuing professional development
decided by the board of examiners; (j)
the
monitoring, reporting, recording and investigation of
injuries, illnesses and other effects on
persons, and other incidents and
situations with
the potential to
cause harm;
(k) provisions for handling
emergencies; (l) the gathering, recording, analysis,
flow, and
use of safety and
health data and information; Current as at
[Not applicable] Page 169
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 18 Regulations [s 262]
(m) the health
of persons who
are, will
be or have
been employed as
workers, including about— (i) the
appointment, qualifications and
removal of
doctors and
other health
practitioners for
mines; and
(ii) pre-employment and
periodic medical
examinations and
health assessments to
decide a
person’s fitness
for work at
a mine and
for the purpose of
health surveillance; and (iii) the ownership,
storage, confidentiality and release of the results
of medical examinations and health assessments;
and (iv) reciprocal arrangements between
operations for
the
exchange of information or the recognition of medical
examinations or health assessments. (3)
Without limiting
subsection (1), a
regulation may
specify requirements for
the following— (a) notifications, returns,
and other information to
be provided by the site senior executive
to the inspectorate; (b) protection of
confidentiality of
personally and
commercially sensitive information;
(c) the methods of keeping records and
their availability; (d) proceedings of the committee;
(e) the qualifications and
experience of
inspectors, inspection officers,
authorised officers,
site safety
and health representatives and
district workers’
representatives. (4)
Without limiting
subsection (1), a
regulation may
set fees payable under
this Act. (5) Without limiting
subsection (1) or
(4), a
regulation may
be made about assessing, charging and
recovering fees payable to cover the cost of the department’s
activities carried out for the purposes of safety and health for
operations. Page 170 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 19 Transitional and repeal provisions
for Act No. 40 of 1999 [s 263] (6)
Without limiting subsection (5), a
regulation may provide for any of the following—
(a) the types of activities for which fees
may be charged and recovered; (b)
the
fees to be charged; (c) the way the fees are calculated
including, for the first time the fees are charged, prescribing
the way based on criteria in
place before
the commencement of
the regulation; (d)
who
must pay the fees; (e) how, when, where, and to whom, the
fees must be paid; (f) the calculation of interest payable on
unpaid fees; (g) the information that
must be
provided to
the chief executive by the
persons who must pay the fees; (h)
how,
when, where, and to whom, the information is to be
provided; (i) investigations by authorised officers
to obtain and check the information. (7)
A
regulation may create offences and prescribe penalties of
not more than
400 penalty units
for offences against
the regulation. Part 19
Transitional and repeal provisions for
Act No. 40 of 1999 Division 1
Definitions 263
Definitions for pt 19 In this
part— commencement means the
commencement of this section. Current as at
[Not applicable] Page 171
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 19 Transitional and repeal provisions for
Act No. 40 of 1999 [s 264] former
Act means the Mines Regulation
Act 1964 . Division 2 Transitional
matters 264 Existing certificates of
competency If a certificate of
competency issued
by the board
of examiners under
the former Act
and in force
at the commencement is
mentioned in this Act, it is taken to be a certificate of
competency granted under this Act. 265
Approvals by inspector If
an approval of
the chief inspector
or an inspector
for a stated use for
stated plant is in force under the former Act at
the
commencement, and a certificate by a testing authority is
required under this Act for the stated use
for the stated plant, the approval of the chief inspector or
inspector is taken to be a certificate given under this
Act. 266 Board of examiners (1)
The
board of examiners established under the former Act is
taken to be the board of examiners under
this Act for 6 months after the commencement.
(2) A person who immediately before the
commencement was a member of the board of examiners continues
to be a member for 6 months after the commencement.
(3) To remove
doubt, for
this Act,
the board of
examiners has
only
the functions and powers set out in this Act. 267
Existing chief inspector to be chief
inspector A person who, immediately before the
commencement, was the chief inspector of mines under the
former Act, is taken to be appointed as the chief inspector
under this Act. Page 172 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 19 Transitional and repeal provisions
for Act No. 40 of 1999 [s 268] 268
Existing inspector to be inspector
A
person who, immediately before the commencement, was
an
inspector under the former Act is taken to be appointed as
an
inspector under this Act. 269 Existing
inspection officer to be inspection officer A person who,
immediately before the commencement, was an
inspection officer
under the
former Act
is taken to
be appointed as an inspection officer
under this Act. 270 Existing district workers’
representative A person who, immediately before the
commencement, held an appointment as a district workers’
representative under the former Act
is taken to
be appointed as
a district workers’
representative under
this Act
until the
day the person’s
appointment under the former Act would have
ended. 271 Mine record book taken to be mine
record The mine record book under the former Act is
taken to be the mine record under this Act.
272 Warden may finish inquiry into
accident (1) If a warden has started an inquiry
into an accident under the former Act
and the inquiry
has not been
finished at
the commencement, the warden may finish
the inquiry under the former Act as if it had not been
repealed. (2) In this section— warden
means a
warden under
the Mineral Resources
Act 1989 .
Current as at [Not applicable]
Page
173
Mining
and Quarrying Safety and Health Act 1999 Part 20 Other
transitional and validation provisions [s 273]
Division 3 Repeal
Not authorised —indicative
only 273 Repeal
The Mines Regulation Act 1964
is
repealed. Part 20 Other
transitional and validation provisions Division 1
Transitional provisions for Mines
and
Energy Legislation Amendment Act 2011
274 Definitions for div 1
In
this division— commencement means the day
this section commences. former board means the board
of examiners established under previous section
181. mining safety
and health advisory
committee means
the mining safety
and health advisory
committee under
section 66. mining safety
and health advisory council means the
mining safety and health advisory council
established under previous section 66. previous
, in relation
to a stated
provision that
includes a
number, means the provision as in force
immediately before the commencement. 275
Existing certificates of competency
A certificate of
competency granted
by the former
board under previous
section 182 and in force at the commencement Page 174
Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 20 Other transitional and validation
provisions [s 276] is taken to be a
certificate of competency granted by the board of
examiners. 276 Existing decisions and assessments of
the former board A decision or assessment made by the former
board, and in force or
effect immediately before
the commencement, is
taken to
be a decision
or assessment made
by the board
of examiners. 277
References to mining safety and health
advisory council From the commencement, a reference in an Act
or document to the mining
safety and
health advisory
council is,
if the context permits,
taken to be a reference to the mining safety and health
advisory committee. 278 Continuation of mining safety and
health advisory council and appointment of members
(1) On the commencement, the mining safety
and health advisory council continues
as the mining
safety and
health advisory
committee. (2)
Subsection (3) applies
to a person
who, immediately before
the commencement, is
a member of
the mining safety
and health advisory council.
(3) On the commencement, the person is
taken to be a member of the mining safety and health advisory
committee. Current as at [Not applicable]
Page
175
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Part 20 Other transitional and validation
provisions [s 279] Division 2
Transitional provision for Mines and
Energy Legislation Amendment Act
2011 279 Application of
appeal costs provision to undecided appeals
(1) The appeal costs provision applies to
any appeal under part 13 started, but
not decided, before
the commencement of
this section.
(2) In this section— appeal
costs provision
means section
228(3) as amended under
the Mines and
Energy Legislation Amendment
Act 2011 .
Division 3 Transitional and
validation provision for Water Reform and
Other Legislation Amendment Act
2014 280 Return of seized
things (1) New section
146 applies in
relation to
a thing seized
under part 9 before
the commencement that, on the commencement, is still
seized. (2) If, at any time before the
commencement, a thing seized under part 9 was not
returned to its owner within the time required under old
section 146— (a) the retention of the thing is taken to
have been as lawful as it would
have been
apart from
the non-compliance with old section
146; and (b) the State is not liable to pay
compensation, and does not incur any other liability, for the
retention of the thing in contravention of old section
146. Page 176 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 20 Other transitional and validation
provisions [s 281] (3)
Subsection (2) applies
for all purposes
including a
legal proceeding
started before the commencement. (4)
In
this section— new section 146 means
section 146 as
in force from
the commencement. old
section 146 means
section 146 as
in force from
time to
time
before the commencement. Division 4 Validation
provision for Land and Other Legislation Amendment Act
2017 281 Validation of
particular appointments (1) This section
applies if, before the commencement, an officer or employee of
the public service was purportedly appointed to any of the
following offices (each a relevant office )—
(a) an inspector or inspection officer
under section 122(1); (b) for
an inspector—the chief
inspector of
mines under
section 122(2); (c)
an
authorised officer under section 126A. (2)
The
person is declared to always have been validly appointed
to
the relevant office. (3) Anything done or
omitted to be done by the person that would have been valid
and lawful under this Act had the person been validly
appointed to
the relevant office
is taken to
be, and always to have
been, valid and lawful. (4) Without limiting
subsection (3), it is declared that evidence obtained by the
person in the purported exercise of a power under
this Act
is taken to
be, and always
to have been,
lawfully obtained. Current as at
[Not applicable] Page 177
Mining
and Quarrying Safety and Health Act 1999 Part 20 Other
transitional and validation provisions [s 282]
Division 5 Transitional
provisions for Mines Legislation (Resources Safety)
Amendment Act 2018 Not
authorised —indicative
only 282 Definition for
division In this division— amended
, in relation
to a provision
of this Act,
means the
provision as
amended or
inserted by
the Mines Legislation (Resources
Safety) Amendment Act 2018. 283
Appointment of site senior executives during
1-year transitional period (1)
This section
applies to
the appointment of
the site senior
executive for a mine. (2)
During the period starting on the
commencement and ending 1 year after the commencement, amended
section 49(4) does not apply to the appointment.
(3) The chief inspector may extend the
1-year period mentioned in subsection (2)
in relation to
the appointment for
a stated mine for a
further period of not more than 1 year if satisfied
there are exceptional circumstances.
284 Appointment of ventilation officers
for underground mines during 3-year transitional
period (1) This section
applies to
the appointment of
the ventilation officer, or
acting ventilation officer, for an underground mine.
(2) During the period starting on the
commencement and ending 3 years after the commencement,
amended section 54A(3) or 54B(6) does not apply to the
appointment. 285 Continuation of exemptions for
particular opal or gem mines for 3-year transitional
period (1) This section applies to an opal or gem
mine if— Page 178 Current as at
[Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Part 20 Other transitional and validation
provisions [s 285] (a)
more than
4, but not
more than
10, workers are
employed at the mine; and
(b) immediately before
the commencement, the
mine was
not required to
have a
safety and
health management system.
(2) During the period starting on the
commencement and ending 3 years after the commencement—
(a) pre-amended sections 38(3) and 39(2)
and (3) continue to apply in relation to the mine; and
(b) amended section 40(1)(b), (d) and
(e)(i) does not apply to a contractor at the mine if the
mine is not required to have a safety and health management
system; and (c) amended section 44(1)(b), (f)(ii) and
(iii) and (g)(i) does not apply to a service provider at the
mine if the mine is not required to
have a
safety and
health management system.
(3) For subsection (2)(a),
pre-amended section
39(2) and
(3) applies as if the reference to section
39(1)(c) were a reference to section 39(1)(c) to (f) and
(h)(i). (4) In this section— pre-amended , in relation to
a provision of this Act, means the provision as in
force immediately before the commencement. Current as at
[Not applicable] Page 179
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Schedule 2 Schedule 2
Dictionary section 8
acceptable level
, of risk
to a person
from operations, see
section 26. accident
see
section 16. area of representation , of a safety
and health representative, see section 84(4). attendance
notice see section 210. authorised
officer means a person appointed as an
authorised officer under this Act. board of
examiners means the board of examiners
established under the Coal Mining
Safety and Health Act 1999 . bodily
harm see Criminal Code, section 1.
certificate of competency
means a certificate of competency
granted by the board of examiners.
chief executive means the chief
executive of the department in which this Act
is administered. Note— This is also the
law under the Acts Interpretation Act 1954
,
section 36 but, because of the particular nature of
this Act, is included here to avoid confusion
with the chief executive of, for example, a mining
company. chief
inspector means the chief inspector of mines.
civil penalty obligation , for part 14B,
see section 246E. commissioner means the
Commissioner for Mine Safety and Health under
the Coal Mining Safety and Health Act
1999 . committee see section
66. competence , for a task at
a mine, see section 13. consultation , with workers,
see section 14. Page 180 Current as at
[Not applicable]
Mining and Quarrying Safety and Health Act
1999 Schedule 2 Not
authorised —indicative only
conviction includes a plea
of guilty or a finding of guilt by a court even
though a conviction is not recorded. corresponding offence
, in relation
to a contravention of
a civil penalty obligation, for part
14B, see section 246E. district workers’
representative see section 24. document
certification requirement see section 151(5).
document production requirement
see
section 151(7). exploration permit
has the meaning
given in
the Mineral Resources Act
1989 . facility description
,
for a mine, means a written document that shows or
describes— (a) the processes
used and
materials handled
at the mine;
and (b) the layout of
operations at the mine; and (c)
the
major items of plant and equipment at the mine. fossick
has
the meaning given in the Fossicking Act 1994
. grievous bodily harm
see
Criminal Code, section 1. guideline see part
5. hard rock means rock that
must be broken to enable it to be excavated. hazard
see
section 20. high potential incident see section
18. holder means
the holder under
the Mineral Resources
Act 1989 of
a prospecting permit,
exploration permit,
mineral development
licence, mining lease or mining claim. industrial organisation means
an association of
employees registered under
the Industrial Relations
Act 2016 as
an employee organisation.
inspection officer
means a
person appointed
an inspection officer under
this Act. inspector means a person
appointed as an inspector under this Act.
Current as at [Not applicable]
Page
181
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Schedule 2 mine
see
section 9. mineral has the meaning
given in the Mineral Resources Act 1989
,
but does not include coal. mineral development licence
has the meaning
given in
the Mineral Resources Act 1989
. mineral (f)
see the Mineral
Resources Act
1989 ,
section 6(2)(f). mine
record see section 59. mining
claim has the meaning given in the
Mineral Resources Act 1989
. mining lease has the meaning
given in the Mineral Resources Act 1989
. mining project
means mining
carried on
under 2
or more mining leases as
a single integrated undertaking. mining
tenure ,
for land, means
a prospecting permit,
exploration permit,
mineral development licence,
mining lease
or mining claim
for the land
under the
Mineral Resources Act
1989 . notice means signed
written notice. obstruct includes hinder,
resist and attempt to obstruct. officer
— (a) of a
corporation, means an officer within the meaning of
the
Corporations Act, section 9, other than a partner in
a
partnership; or (b) for part 9, division 4, see section
129A. official means—
(a) the Minister; or (b)
the
chief executive; or (c) the commissioner; or
(d) the chief inspector; or
(e) an inspector; or Page 182
Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Schedule 2 (f)
an
inspection officer; or (g) an authorised
officer; or (h) a person
acting under
the direction of
or helping an
inspector, inspection officer or authorised
officer; or (i) a member or a substitute member of the
committee; or (j) a district
workers’ representative or
a site safety
and health representative.
oil shale is
any shale or
other rock
(other than
coal) from
which a gasification or retorting product
may be extracted or produced. opal
or gem mine
means a
mine at
which operations are
carried out
for opal, gemstones
or other semiprecious minerals.
operations see section
10. operator see section
21. penalty notice , for part 14B,
see section 246I(3). personal details requirement
see
section 149(5). place of seizure see section
141(a). plant includes—
(a) machinery, equipment, appliance, pressure
vessel, implement and
tool; and (b) personal protective equipment;
and (c) a component
of plant and
a fitting, connection, accessory or
adjunct to plant. product includes
as mined material,
waste material,
treated and semi-treated
material. proposed action , for part 10A,
see section 187(1). proposed action notice , for part 10A,
see section 187(2). proposed penalty notice , for part 14B,
see section 246G(2). prospecting permit
has the meaning
given in
the Mineral Resources Act
1989 . Current as at [Not applicable]
Page
183
Not authorised —indicative
only Mining and Quarrying Safety and Health
Act 1999 Schedule 2 region
means an
administrative region
established by
the chief executive for the administration
of this Act. relevant corporation , for part 14B,
see section 246E. reprisal see section
254A. residual risk means the
remaining level of risk after measures to control risk
have been taken under this Act. review
decision see section 174(1). risk
see
section 19. risk management see section
27. safety and health see section
12. safety and health management system
,
for a mine, means a single safety
and health management system
that complies
with
section 55. safety and health obligations
see
section 30. separate part of a mine see section
21(4). serious accident see section
17. service provider see section
44(1). site safety and health representative
see
section 25. site senior executive , for a mine,
see section 22. site senior executive notices
see
section 180(e). standard work instruction
see
section 15. substitute member see section
74A(1). supervisor see section
23. supplier ,
of plant, equipment, substances or
other goods,
means a person who contracts to supply the
plant, equipment, substances or
other goods
to an operator,
contractor or
service provider. treatment
means any
process that
takes place
on land the
subject of a prospecting permit, exploration
permit, mineral development licence,
mining lease
or mining claim
that is
Page
184 Current as at [Not applicable]
Not authorised —indicative only
Mining and Quarrying Safety and Health Act
1999 Schedule 2 carried
out with the
objective of
preparing material
won in operations for
its end purpose. unacceptable level
of risk means
risk that
is not at
an acceptable level. underground
gasification activity means an activity relating
to— (a) the exploration
for, and testing of, oil shale to be used for the
production of mineral (f); or (b)
the production, processing, refining,
storage or
transportation of mineral (f).
underground mine
means a
mine where
workers normally
work
beneath the surface of the earth, and includes structures,
apparatus and
equipment that
extend continuously from
the surface into
an underground mine,
but does not
include the
surface operations of the mine.
worker is an individual
who carries out work at a mine and includes—
(a) an employee of the operator;
and (b) a contractor or employee of a
contractor; and (c) a service provider or employee of a
service provider. workplace means a
workplace to which the Work Health and Safety Act 2011
applies. Current as at [Not applicable]
Page
185