An Act relating to workplace relations, and for other purposes
Part 1—Preliminary
1
Short title [see
Note 1]
This Act may be cited as the Workplace
Relations Act 1996.
2
Commencement [see
Note 1]
This Act commences on a day or days to
be fixed by Proclamation.
3
Principal object
The principal object of this Act is to
provide a framework for cooperative workplace relations which promotes the
economic prosperity and welfare of the people of Australia by:
(a) encouraging the pursuit of high
employment, improved living standards, low inflation and international
competitiveness through higher productivity and a flexible and fair labour
market; and
(b) establishing and maintaining a
simplified national system of workplace relations; and
(c) providing an economically
sustainable safety net of minimum wages and conditions for those whose
employment is regulated by this Act; and
(d) ensuring that, as far as possible,
the primary responsibility for determining matters affecting the employment
relationship rests with the employer and employees at the workplace or
enterprise level; and
(e) enabling employers and employees
to choose the most appropriate form of agreement for their particular
circumstances; and
(f) ensuring compliance with minimum
standards, industrial instruments and bargaining processes by providing
effective means for the investigation and enforcement of:
(i) employee entitlements;
and
(ii) the rights and
obligations of employers and employees, and their organisations; and
(g) ensuring that awards provide
minimum safety net entitlements for award‑reliant employees which are
consistent with Australian Fair Pay Commission decisions and which avoid
creating disincentives to bargain at the workplace level; and
(ga) establishing a process for making
modern awards; and
(h) supporting harmonious and
productive workplace relations by providing flexible mechanisms for the
voluntary settlement of disputes; and
(i) balancing the right to take
industrial action for the purposes of collective bargaining at the workplace
level with the need to protect the public interest and appropriately deal with
illegitimate and unprotected industrial action; and
(j) ensuring freedom of association,
including the rights of employees and employers to join an organisation or
association of their choice, or not to join an organisation or association; and
(k) protecting the competitive
position of young people in the labour market, promoting youth employment,
youth skills and community standards and assisting in reducing youth
unemployment; and
(l) assisting employees to balance
their work and family responsibilities effectively through the development of
mutually beneficial work practices with employers; and
(m) respecting and valuing the
diversity of the work force by helping to prevent and eliminate discrimination
on the basis of race, colour, sex, sexual preference, age, physical or mental
disability, marital status, family responsibilities, pregnancy, religion,
political opinion, national extraction or social origin; and
(n) assisting in giving effect to Australia’s
international obligations in relation to labour standards.
4
Definitions
(1) In this Act, unless the contrary
intention appears:
A.C.T. Consequential Provisions Act means the
A.C.T. Self‑Government (Consequential Provisions) Act 1988.
AFPC has the meaning given by section 19.
allowable award matters means the matters
referred to in subsection 513(1).
Note: The matters referred to in subsection 513(1)
have a meaning that is affected by section 515.
alternative dispute resolution process has
the meaning given by section 698.
Anti‑Discrimination Conventions means:
(a) the Equal Remuneration Convention;
and
(b) the Convention on the Elimination
of all Forms of Discrimination against Women, a copy of the English text of
which is set out in the Schedule to the Sex Discrimination Act 1984; and
(c) the Convention concerning
Discrimination in respect of Employment and Occupation, a copy of the English
text of which is set out in Schedule 1 to the Human Rights and Equal
Opportunity Commission Act 1986; and
(d) Articles 3 and 7 of the
International Covenant on Economic, Social and Cultural Rights.
APCS has the meaning given by section 178.
applies to employment generally: a law of a
State or Territory applies to employment generally if it applies
(subject to constitutional limitations) to:
(a) all employers and employees in the
State or Territory; or
(b) all employers and employees in the
State or Territory except those identified (by reference to a class or
otherwise) by a law of the State or Territory.
For this purpose, it does not matter whether or not the
law also applies to other persons, or whether or not an exercise of a power
under the law affects all the persons to whom the law applies.
arbitration powers means the powers of the
Commission in relation to arbitration.
Australian‑based
employee means:
(a) an employee whose primary place of
work is in Australia, in Australia’s exclusive economic zone or in, on, or over
Australia’s continental shelf; or
(b) an employee who is employed by the
Commonwealth or a Commonwealth authority, except an employee engaged outside
Australia and the external Territories to perform duties outside Australia and
the external Territories; or
(c) an employee who is prescribed by
the regulations for the purposes of this definition.
Note: Subsection 5(1) defines employee.
Australian Capital Territory Government Service
means the service established by the Public Sector Management Act 1994 of
the Australian Capital Territory.
Australian employer means:
(a) an employer that is a trading
corporation formed within the limits of the Commonwealth (within the meaning of
paragraph 51(xx) of the Constitution); or
(b) an employer that is a financial
corporation formed within the limits of the Commonwealth (within the meaning of
paragraph 51(xx) of the Constitution); or
(c) an employer that is the
Commonwealth; or
(d) an employer that is a Commonwealth
authority; or
(e) an employer that is a body
corporate incorporated in a Territory; or
(f) an employer that carries on in
Australia, in Australia’s exclusive economic zone or in, on, or over
Australia’s continental shelf an activity (whether of a commercial,
governmental or other nature) whose central management and control is in
Australia; or
(g) an employer that is prescribed by
the regulations for the purposes of this definition.
Note: Subsection 6(1) defines employer.
Australian Fair Pay and Conditions Standard
has the meaning given by subsection 171(3).
Australia’s continental shelf
means the continental shelf (as defined in the Seas and Submerged Lands Act
1973) of Australia.
Australia’s exclusive economic zone
means the exclusive economic zone (as defined in the Seas and Submerged
Lands Act 1973) of Australia.
authorised stand down means a stand down of
an employee that is authorised as mentioned in subsection 691B(1).
award means a pre‑reform award.
award modernisation process means a process
of award modernisation carried out by the Commission in accordance with an
award modernisation request.
award modernisation request has the meaning
given by subsection 576C(1).
award‑related order means an order
varying, revoking or suspending an award.
bargaining agent means:
(a) in relation to an ITEA—a person
who has been duly appointed as a bargaining agent in relation to the ITEA in
accordance with section 334; or
(b) in relation to an employee
collective agreement—a person who has been requested to be a bargaining agent
in relation to the agreement in accordance with section 335.
BCII Act means the Building and
Construction Industry Improvement Act 2005.
breach includes non‑observance.
Chief Justice means the Chief Justice of the
Court.
civil remedy provision has the meaning given
by section 727.
collective agreement means:
(a) an employee collective agreement;
or
(b) a union collective agreement; or
(c) an employer greenfields agreement;
or
(d) a union greenfields agreement; or
(e) a multiple‑business
agreement.
Commission means the Australian Industrial
Relations Commission.
Commissioner means a Commissioner of the
Commission.
committee of management, in relation to an
organisation, association or branch of an organisation or association, means
the group or body of persons (however described) that manages the affairs of
the organisation, association or branch.
Commonwealth authority means:
(a) a body corporate established for a
public purpose by or under a law of the Commonwealth; or
(b) a body corporate:
(i) incorporated under a
law of the Commonwealth or a State or Territory; and
(ii) in which the
Commonwealth has a controlling interest.
Commonwealth workplace relations legislation
means:
(a) this Act; or
(b) the Independent Contractors Act
2006; or
(c) regulations made under the Independent
Contractors Act 2006.
Note: The definition of Commonwealth workplace
relations legislation does not cover the Registration and
Accountability of Organisations Schedule or regulations made under that
Schedule, because the definition of this Act excludes them both
(although it includes other regulations made under the Act).
conciliation powers means the powers of the
Commission in relation to conciliation.
constitutional corporation means a corporation
to which paragraph 51(xx) of the Constitution applies.
constitutional trade
or commerce means trade or commerce:
(a) between Australia and a place
outside Australia; or
(b) among the States; or
(c) between a State and a Territory;
or
(d) between 2 Territories; or
(e) within a Territory.
contingency fee agreement means an agreement
between a legal practitioner and a person under which:
(a) the legal practitioner agrees to
provide legal services; and
(b) the payment of all, or a
substantial proportion, of the legal practitioner’s costs is contingent on the
outcome of the matter in which the practitioner provides the legal services for
the person.
Court means the Federal Court of Australia.
Note: For the purposes of various provisions of this
Act, Court means the Federal Court of Australia or the Federal
Magistrates Court. This is indicated by definitions that apply for the purposes
of those provisions.
demarcation dispute
includes:
(a) a
dispute arising between 2 or more organisations, or within an organisation, as
to the rights, status or functions of members of the organisations or
organisation in relation to the employment of those members; or
(b) a dispute arising between
employers and employees, or between members of different organisations, as to
the demarcation of functions of employees or classes of employees; or
(c) a dispute about the representation
under this Act, or the Registration and Accountability of Organisations
Schedule, of the industrial interests of employees by an organisation of
employees.
Deputy President means a Deputy President of
the Commission.
employee has a meaning affected by section 5.
employee collective agreement has the meaning
given by section 327.
employer has a meaning affected by section 6.
employer greenfields agreement has the
meaning given by section 330.
employing authority, in relation to a class
of employees, means the person or body, or each of the persons or bodies,
prescribed as the employing authority in relation to the class of employees.
employment has a meaning affected by section 7.
Equal Remuneration Convention means the Equal
Remuneration Convention, 1951.
Family Responsibilities Convention means the
Workers with Family Responsibilities Convention, 1981, a copy of the English
text of which is set out in Schedule 5.
flight crew officer has the meaning given by
clause 1 of Schedule 2.
Full Bench means a Full Bench of the
Commission.
Full Court means a Full Court of the Court.
greenfields agreement means a union
greenfields agreement or an employer greenfields agreement.
individual transitional employment agreement or
ITEA has the meaning given by section 326.
industrial action has the meaning given by
section 420.
Industrial Registrar means the Industrial
Registrar appointed under section 133.
Industrial Registry means the Australian
Industrial Registry.
industry includes:
(a) any business, trade, manufacture,
undertaking or calling of employers; and
(b) any calling, service, employment,
handicraft, industrial occupation or vocation of employees; and
(c) a branch of an industry and a
group of industries.
inspector means a workplace inspector.
ITEA: see individual transitional employment
agreement.
Judge means:
(a) in the case of a reference to the
Court or a Judge—a Judge (including the Chief Justice) sitting in Chambers; or
(b) otherwise—a Judge of the Court
(including the Chief Justice).
judgment means a judgment, decree or order,
whether final or interlocutory, or a sentence.
legal practitioner means a legal practitioner
(however described) of the High Court or of a Supreme Court of a State or
Territory.
magistrate’s court means:
(a) a court constituted by a police,
stipendiary or special magistrate; or
(b) a court constituted by an
industrial magistrate who is also a police, stipendiary or special magistrate.
maritime employee has the meaning given by
clause 1 of Schedule 2.
member of the Office of the Workplace
Ombudsman means a person covered by subsection 166P(2).
member of the Workplace Authority means a
person covered by subsection 153B(2).
model dispute resolution process means the
process set out in Division 2 of Part 13.
modern award means an award made by the
Commission under section 576G.
multiple‑business agreement has the
meaning given by section 331.
new APCS has the meaning given by section 178.
nominal expiry date of a workplace agreement
has the meaning given by section 352.
Northern Territory authority
means:
(a) a body corporate established for a
public purpose by or under a law of the Northern Territory; or
(b) a body corporate:
(i) incorporated under a
law of the Northern Territory; and
(ii) in which the Northern
Territory has a controlling interest;
other than a prescribed body.
notional agreement preserving State awards
has the meaning given by clause 1 of Schedule 8.
occupier, in relation to premises, includes a
person in charge of the premises.
office, in relation to an organisation or a
branch of an organisation, has the same meaning as in the Registration and
Accountability of Organisations Schedule.
officer, in relation to an organisation or a
branch of an organisation, means a person who holds an office in the
organisation or branch.
organisation means an organisation registered
under the Registration and Accountability of Organisations Schedule.
Note: An organisation that was registered under the Workplace
Relations Act 1996 immediately before the commencement of item 1 of
Schedule 2 to the Workplace Relations Legislation Amendment
(Registration and Accountability of Organisations) (Consequential Provisions)
Act 2002 (the Consequential Provisions Act) is taken to have
been registered under the Registration and Accountability of Organisations
Schedule (see item 15 of Schedule 1 to the Consequential Provisions
Act).
panel means a panel to which an industry has
been assigned under section 95.
peak council means a national or State
council or federation that is effectively representative of a significant
number of organisations representing employers or employees in a range of
industries.
penalty unit has the meaning given by section 4AA
of the Crimes Act 1914.
person includes an organisation.
pilot has the meaning given by clause 1
of Schedule 2.
premises includes any land, building,
structure, mine, mine working, ship, aircraft, vessel, vehicle or place.
pre‑reform AWA has the meaning given by
clause 1 of Schedule 7.
pre‑reform award means an instrument
that has effect after the reform commencement under item 4 of Schedule 4
to the Workplace Relations Amendment (Work Choices) Act 2005.
prescribed includes prescribed by Rules of
the Commission made under section 124.
preserved APCS has the meaning given by
subsection 208(1).
preserved award entitlement, in relation to
an employee, has the meaning given by section 529.
preserved award term has the meaning given by
section 527.
preserved State agreement has the meaning
given by clause 1 of Schedule 8.
President means the President of the
Commission.
Presidential Member means the President, a
Vice President, a Senior Deputy President or a Deputy President.
previous Act means the Conciliation and
Arbitration Act 1904, and includes any other Act so far as the other Act
affects the operation of that Act.
proceeding includes a proceeding relating to
an award modernisation process.
protected action has the meaning given by
section 435.
protected action ballot means a ballot
under Division 4 of Part 9.
public sector employment means employment of,
or service by, a person in any capacity (whether permanently or temporarily and
whether full‑time or part‑time):
(a) under the Public Service Act
1999 or the Parliamentary Service Act 1999; or
(b) by or in the service of a
Commonwealth authority; or
(c) under a law of the Australian
Capital Territory relating to employment by that Territory, including a law
relating to the Australian Capital Territory Government Service; or
(d) by or in the service of:
(i) an enactment authority
as defined by section 3 of the A.C.T. Consequential Provisions Act; or
(ii) a body corporate
incorporated under a law of the Australian Capital Territory and in which the Australian
Capital Territory has a controlling interest;
other than a prescribed
authority or body; or
(e) under a law of the Northern
Territory relating to the Public Service of the Northern Territory; or
(f) by or in the service of a Northern
Territory authority; or
(g) by
or in the service of a prescribed person or under a prescribed law;
but, other than in section 116, does not include:
(h) employment of, or service by, a
person included in a prescribed class of persons; or
(i) employment or service under a
prescribed law.
reform commencement means the commencement of
Schedule 1 to the Workplace Relations Amendment (Work Choices) Act 2005.
Registrar means the Industrial Registrar or a
Deputy Industrial Registrar.
Registration and Accountability of Organisations
Schedule means Schedule 1.
registry means the Principal Registry or
another registry established under section 130.
regular part‑time employee means an
employee who:
(a) works less than full‑time
ordinary hours; and
(b) has reasonably predictable hours
of work; and
(c) receives, on a pro‑rata
basis, equivalent pay and conditions to those specified in an award or awards
for full‑time employees who do the same kind of work.
secondary office, in relation to a person who
holds an office of member of the Commission and an office of member of a
prescribed State industrial authority, means the office to which the person was
most recently appointed.
Senior Deputy President means a Senior Deputy
President of the Commission.
ship has the meaning given by clause 1
of Schedule 2.
single business has the meaning given by
section 322.
special magistrate means a magistrate
appointed as a special magistrate under a law of a State or Territory.
State award means an award, order, decision
or determination of a State industrial authority.
State employment agreement means an
agreement:
(a) between an employer and one or
more of the following:
(i) an employee of the
employer;
(ii) a trade union; and
(b) that regulates wages and
conditions of employment of one or more of the employees; and
(c) that is in force under a State or
Territory industrial law; and
(d) that prevails over an inconsistent
State award.
State industrial authority means:
(a) a board or court of conciliation
or arbitration, or tribunal, body or persons, having authority under a State
Act to exercise any power of conciliation or arbitration in relation to
industrial disputes within the limits of the State; or
(b) a special board constituted under
a State Act relating to factories; or
(c) any other State board, court,
tribunal, body or official prescribed for the purposes of this definition.
State or Territory industrial law means:
(a) any of the following State Acts:
(i) the Industrial
Relations Act 1996 of New South Wales;
(ii) the Industrial
Relations Act 1999 of Queensland;
(iii) the Industrial
Relations Act 1979 of Western Australia;
(iv) the Fair Work Act
1994 of South Australia;
(v) the Industrial
Relations Act 1984 of Tasmania; or
(b) an Act of a State or Territory that
applies to employment generally and has one or more of the following as its
main purpose or one or more of its main purposes:
(i) regulating workplace
relations (including industrial matters, industrial disputes and industrial
action, within the ordinary meaning of those expressions);
(ii) providing for the
determination of terms and conditions of employment;
(iii) providing for the
making and enforcement of agreements determining terms and conditions of
employment;
(iv) providing for rights
and remedies connected with the termination of employment;
(v) prohibiting conduct
that relates to the fact that a person either is, or is not, a member of an
industrial association (as defined in section 779); or
(c) an instrument made under an Act
described in paragraph (a) or (b), so far as the instrument is of a
legislative character; or
(d) a law that:
(i) is a law of a State or
Territory; and
(ii) is prescribed by
regulations for the purposes of this paragraph.
State or Territory training authority means a
body authorised by a law or award of a State or Territory for the purpose of
overseeing arrangements for the training of employees.
stevedoring operations has the meaning given
by clause 1 of Schedule 2.
Termination of Employment Convention means
the Termination of Employment Convention, 1982, a copy of the English text of
which is set out in Schedule 4.
this Act includes the regulations but does
not include Schedule 1 or regulations made under that Schedule.
trade union means:
(a) an organisation of employees; or
(b) an association of employees that
is registered or recognised as a trade union (however described) under the law
of a State or Territory; or
(c) an association of employees a
principal purpose of which is the protection and promotion of the employees’
interests in matters concerning their employment.
training arrangement means a combination of
work and training that is subject to a training agreement or a training
contract between the employee and employer that is registered:
(a) with the relevant State or
Territory training authority; or
(b) under a law of a State or
Territory relating to the training of employees.
union collective agreement has the meaning
given by section 328.
union greenfields agreement has the meaning
given by section 329.
Vice President means a Vice President of the
Commission.
vocational placement means a placement that
is:
(a) undertaken with an employer for
which a person is not entitled to be paid any remuneration; and
(b) undertaken as a requirement of an
education or training course; and
(c) authorised under a law or an
administrative arrangement of the Commonwealth, a State or a Territory.
waterside worker has the meaning given by
clause 1 of Schedule 2.
wharf has the meaning given by clause 1
of Schedule 2.
working day means a day that is not a
Saturday, a Sunday or a public holiday.
workplace agreement means:
(a) an ITEA; or
(b) a collective agreement;
and includes a document that the Court has ordered under
section 412A is to have effect as a workplace agreement.
Note 1: Section 324 affects the meaning of workplace
agreement.
Note 2: Under section 324A, some other documents
are taken to be workplace agreements for certain limited purposes.
Note 3: An order by the Court under paragraph
412A(1)(a) enables a document to which section 324A applies to have effect
as a workplace agreement.
workplace agreement official means:
(a) the Workplace Authority Director;
or
(b) a Workplace Authority Deputy
Director; or
(c) a member of the staff assisting
the Workplace Authority Director; or
(d) a delegate of the Workplace
Authority Director.
Workplace Authority Deputy Director means a
Workplace Authority Deputy Director holding office under Part 5.
Workplace Authority Director means the
Workplace Authority Director holding office under Part 5.
workplace determination means a determination
under Division 8 of Part 9.
workplace inspector means a person who is a
workplace inspector under section 167.
Workplace Ombudsman means the Workplace
Ombudsman holding office under Part 5A.
(2) To avoid doubt, it is declared that a
reference in this Act (except in Parts 10 and 16, and in regulations made
for the purposes of paragraph 356(1)(f)) to an independent contractor is
confined to a natural person.
(3) In this Act, a reference to:
(a) a person who is eligible to become
a member of an organisation; or
(b) a person who is eligible for
membership of an organisation;
includes a reference to a person who is eligible merely
because of an agreement made under rules of the organisation made under
subsection 151(1) of the Registration and Accountability of Organisations
Schedule.
(4) In this Act, a reference to a person
making a statement that is to the person’s knowledge false or misleading in a
material particular includes a reference to a person making a statement where
the person is reckless as to whether the statement is false or misleading in a
material particular.
(5) In this Act, a reference to engaging in
conduct includes a reference to being, whether directly or indirectly, a party
to or concerned in the conduct.
(6) A reference in this Act to a term of an
award includes a reference to a provision of an award.
Note: Section 69B of the Australian Federal
Police Act 1979 provides that this Act does not apply to certain matters
relating to AFP employees.
5
Employee
Basic definition
(1) In this Act, unless the contrary
intention appears:
employee means an individual so far as he or
she is employed, or usually employed, as described in the definition of employer
in subsection 6(1), by an employer, except on a vocational placement.
Note: See also Part 21 (employees and employers
in Victoria).
References to employee with ordinary meaning
(2) However, a reference to employee has its
ordinary meaning (subject to subsections (3) and (4)) if the reference is
listed in clause 2 of Schedule 2. This does not limit the
circumstances in which a contrary intention may appear for the purposes of subsection (1).
Note: The regulations may amend clause 2 of Schedule 2.
See clause 5 of Schedule 2.
(3) In this Act, unless the contrary
intention appears, a reference to employee with its ordinary meaning includes a
reference to an individual who is usually an employee with that meaning.
(4) In this Act, unless the contrary
intention appears, a reference to employee with its ordinary meaning does not
include a reference to an individual on a vocational placement.
6
Employer
Basic definition
(1) In this Act, unless the contrary
intention appears:
employer means:
(a) a constitutional corporation, so
far as it employs, or usually employs, an individual; or
(b) the Commonwealth, so far as it
employs, or usually employs, an individual; or
(c) a Commonwealth authority, so far
as it employs, or usually employs, an individual; or
(d) a person or entity (which may be
an unincorporated club) so far as the person or entity, in connection with
constitutional trade or commerce, employs, or usually employs, an individual
as:
(i) a flight crew officer;
or
(ii) a maritime employee;
or
(iii) a waterside worker; or
(e) a body corporate incorporated in a
Territory, so far as the body employs, or usually employs, an individual; or
(f) a person or entity (which may be
an unincorporated club) that carries on an activity (whether of a commercial,
governmental or other nature) in a Territory in Australia, so far as the person
or entity employs, or usually employs, an individual in connection with the
activity carried on in the Territory.
Note 1: In this context, Australia
includes the Territory of Christmas Island and the Territory of Cocos (Keeling)
Islands. See paragraph 17(a) of the Acts Interpretation Act 1901.
Note 2: See also Part 21 (employees and employers
in Victoria).
References to employer with ordinary meaning
(2) However, a reference to employer has its
ordinary meaning (subject to subsection (3)) if the reference is listed in
clause 3 of Schedule 2. This does not limit the circumstances in
which a contrary intention may appear for the purposes of subsection (1).
Note: The regulations may amend clause 3 of Schedule 2.
See clause 5 of Schedule 2.
(3) In this Act, unless the contrary
intention appears, a reference to employer with its ordinary meaning includes a
reference to a person or entity that is usually an employer with that meaning.
7
Employment
(1) In this Act, unless the contrary
intention appears:
employment means the employment of an
employee by an employer.
Note: Subsections 5(1) and 6(1) define employee
and employer.
References to employment with ordinary meaning
(2) However, a reference to employment has
its ordinary meaning if the reference is listed in clause 4 of Schedule 2.
This does not limit the circumstances in which a contrary intention may appear
for the purposes of subsection (1).
Note: The regulations may amend clause 4 of Schedule 2.
See clause 5 of Schedule 2.
8
Schedules 1, 6, 7, 7A, 7B, 8, and 9 have effect
Schedules 1, 6, 7, 7A, 7B, 8 and 9
have effect.
Note 1: Schedule 1 is about registration and
accountability of organisations.
Note 2: Schedule 6 is about transitional arrangements
for parties bound by federal awards.
Note 3: Schedule 7 is about transitional
arrangements for existing pre‑reform certified agreements.
Note 4: Schedule 7A is about transitional
arrangements for existing AWAs.
Note 5: Schedule 7B is about transitional
arrangements for existing collective agreements.
Note 6: Schedule 8 is about transitional treatment
of State employment agreements and State awards.
Note 7: Schedule 9 is about transitional
instruments and transmission of business.
9 Schedule 10
has effect
Schedule 10 has effect.
Note: Schedule 10 is about transitionally
registered associations.
10 Act
binds Crown
(1) This Act binds the Crown in each of its
capacities.
(2) However, this Act does not make the Crown
liable to be prosecuted for an offence.
11
Modifications for Christmas Island and Cocos (Keeling) Islands
(1) If the regulations prescribe
modifications of this Act for its application in relation to the Territory of Christmas
Island, this Act has effect as modified in relation to the Territory.
(2) If the regulations prescribe
modifications of this Act for its application in relation to the Territory of Cocos
(Keeling) Islands, this Act has effect as modified in relation to the
Territory.
(3) In this section:
modifications includes additions, omissions
and substitutions.
12
Exclusion of persons insufficiently connected with Australia
(1) A provision of this Act prescribed by the
regulations does not apply to a person or entity in Australia prescribed by the
regulations as a person to whom, or an entity to which, the provision does not
apply.
Note 1: In this context, Australia
includes the Territory of Christmas Island, the Territory of Cocos (Keeling) Islands
and the coastal sea. See section 15B and paragraph 17(a) of the Acts
Interpretation Act 1901.
Note 2: The regulations may prescribe the person or
entity by reference to a class. See subsection 13(3) of the Legislative
Instruments Act 2003.
(2) Before the Governor‑General makes
regulations for the purposes of subsection (1) prescribing either or both
of the following:
(a) a provision of this Act that is
not to apply to a person or entity;
(b) a person to whom, or an entity to
which, a provision of this Act is not to apply;
the Minister must be satisfied that the provision should
not apply to the person or entity in Australia because there is not a
sufficient connection between the person or entity and Australia.
(3) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
13
Extraterritorial application
(1) Each Part or Division listed in the
table, and the rest of this Act so far as it relates to the Part or Division,
extends to persons, acts, omissions, matters and things outside Australia as
described in the relevant section listed in the table.
|
Extraterritorial
application
|
|
Item
|
This Part or Division:
|
Which is about this
topic:
|
Extends to persons,
acts, omissions, matters and things outside Australia as
described in this section:
|
|
|
1
|
Part 7
|
The Australian Fair Pay and Conditions Standard
|
Section 174
|
|
|
2
|
Part 8
|
Workplace agreements
|
Section 325
|
|
|
3
|
Part 10
|
Awards
|
Section 512
|
|
|
4
|
Division 1 of Part 12
|
Meal breaks
|
Section 610
|
|
|
4A
|
Division 2 of Part 12
|
Public holidays
|
Section 619
|
|
|
5
|
Division 3 of Part 12
|
Equal remuneration for work of equal value
|
Section 634
|
|
|
6
|
Division 4 of Part 12
|
Termination of employment
|
Section 641
|
|
|
6A
|
Division 7 of Part 12
|
Stand downs
|
Section 691C
|
|
|
7
|
Part 15
|
Right of entry
|
Section 739
|
|
|
8
|
Part 16
|
Freedom of association
|
Section 788
|
|
Note 1: In this context, Australia
includes the Territory of Christmas Island, the Territory of Cocos (Keeling) Islands
and the coastal sea. See section 15B and paragraph 17(a) of the Acts
Interpretation Act 1901.
Note 2: Provisions of section 169 giving
inspectors power to enter certain premises and places and do certain things
there also extend to some premises and places outside Australia, subject to Australia’s
international obligations relating to foreign‑flagged ships and foreign‑registered
aircraft.
Note 3: Part 9 (Industrial action) and related
provisions of this Act may extend in relation to Australia’s exclusive economic
zone, and in relation to Australia’s continental shelf, as prescribed by the
regulations. See section 422.
Modified application in Australia’s exclusive economic
zone
(2) If the regulations prescribe
modifications of this Act for its operation in relation to all or part of Australia’s
exclusive economic zone, then, so far as this Act extends to the zone or part
apart from this subsection, it has effect as modified in relation to the zone
or part.
(3) For the purposes of subsection (2),
the regulations may prescribe different modifications in relation to different
parts of Australia’s exclusive economic zone.
Modified application in relation to Australia’s
continental shelf
(4) If the regulations prescribe
modifications of this Act for its operation in relation to all or part of Australia’s
continental shelf, then, so far as this Act extends in relation to the
continental shelf or part apart from this subsection, it has effect as modified
in relation to the continental shelf or part.
(5) For the purposes of subsection (4),
the regulations may prescribe different modifications in relation to different
parts of Australia’s continental shelf.
Definitions
(6) In this section:
modifications includes additions, omissions
and substitutions.
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
14 Act
not to apply so as to exceed Commonwealth power
(1) Unless the contrary intention appears, if
a provision of this Act:
(a) would, apart from this section,
have an invalid application; but
(b) also has at least one valid
application;
it is the Parliament’s intention that the provision is not
to have the invalid application, but is to have every valid application.
(2) Despite subsection (1), the
provision is not to have a particular valid application if:
(a) apart from this section, it is
clear, taking into account the provision’s context and the purpose or object
underlying this Act, that the provision was intended to have that valid
application only if every invalid application, or a particular invalid
application, of the provision had also been within the Commonwealth’s
legislative power; or
(b) the provision’s operation in
relation to that valid application would be different in a substantial respect
from what would have been its operation in relation to that valid application
if every invalid application of the provision had been within the
Commonwealth’s legislative power.
(3) Subsection (2) does not limit the
cases where a contrary intention may be taken to appear for the purposes of subsection (1).
(4) This section applies to a provision of
this Act, whether enacted before, at or after the commencement of this section.
(5) In this section:
application means an application in relation
to:
(a) one or more particular persons,
things, matters, places, circumstances or cases; or
(b) one or more classes (however
defined or determined) of persons, things, matters, places, circumstances or
cases.
invalid application, in relation to a
provision, means an application because of which the provision exceeds the
Commonwealth’s legislative power.
valid application, in relation to a
provision, means an application that, if it were the provision’s only
application, would be within the Commonwealth’s legislative power.
15
Application of Criminal Code
(1) Chapter 2 of the Criminal Code (except
Part 2.5) applies to all offences against this Act.
Note 1: Chapter 2 of the Criminal Code sets
out the general principles of criminal responsibility.
Note 2: For the purposes of this Act, corporate
criminal responsibility is dealt with by section 826, rather than by Part 2.5
of the Criminal Code.
(2) However, so far as Part 2.7 of the Criminal
Code is relevant to this Act, it has effect subject to the following
sections of this Act:
(a) section 13;
(b) the sections mentioned in section 13;
(c) section 169;
(d) section 422.
Note: Part 2.7 of the Criminal Code is
about geographical jurisdiction in connection with offences. Section 13,
the sections mentioned there and sections 169 and 422 deal with
extraterritorial operation of this Act.
16 Act
excludes some State and Territory laws
(1) This Act is intended to apply to the
exclusion of all the following laws of a State or Territory so far as they
would otherwise apply in relation to an employee or employer:
(a) a State or Territory industrial
law;
(b) a law that applies to employment
generally and deals with leave other than long service leave;
(c) a law providing for a court or
tribunal constituted by a law of the State or Territory to make an order in
relation to equal remuneration for work of equal value (as defined in section 623);
(d) a law providing for the variation
or setting aside of rights and obligations arising under a contract of
employment, or another arrangement for employment, that a court or tribunal
finds is unfair;
(e) a law that entitles a
representative of a trade union to enter premises.
Note: Subsection 4(1) defines applies to
employment generally.
State and Territory laws that are not excluded
(2) However, subsection (1) does not
apply to a law of a State or Territory so far as:
(a) the law deals with the prevention
of discrimination, the promotion of EEO or both, and is neither a State or
Territory industrial law nor contained in such a law; or
(b) the law is prescribed by the
regulations as a law to which subsection (1) does not apply; or
(c) the law deals with any of the
matters (the non‑excluded matters) described in subsection (3).
(3) The non‑excluded matters are as
follows:
(a) superannuation;
(b) workers compensation;
(c) occupational health and safety
(including entry of a representative of a trade union to premises for a purpose
connected with occupational health and safety);
(d) matters relating to outworkers
(including entry of a representative of a trade union to premises for a purpose
connected with outworkers);
(e) child labour;
(f) long service leave;
(g) the observance of a public
holiday, except the rate of payment of an employee for the public holiday;
(h) the method of payment of wages or
salaries;
(i) the frequency of payment of wages
or salaries;
(j) deductions from wages or
salaries;
(k) industrial action (within the
ordinary meaning of the expression) affecting essential services;
(l) attendance for service on a jury;
(m) regulation of any of the following:
(i) associations of
employees;
(ii) associations of
employers;
(iii) members of associations
of employees or of associations of employers.
Note: Part 15 (Right of entry) sets
prerequisites for a trade union representative to enter certain premises under
a right given by a prescribed law of a State or Territory. The prerequisites
apply even though the law deals with such entry for a purpose connected with
occupational health and safety and paragraph (2)(c) says this Act is not
to apply to the exclusion of a law dealing with that.
This Act excludes prescribed State and Territory laws
(4) This Act is intended to apply to the
exclusion of a law of a State or Territory that is prescribed by the
regulations for the purposes of this subsection.
(5) To avoid doubt, subsection (4) has
effect even if the law is covered by subsection (2) (so that subsection (1)
does not apply to the law). This subsection does not limit subsection (4).
Definition
(6) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
17
Awards, agreements and Commission orders prevail over State and Territory law
etc.
(1) An award or workplace agreement prevails
over a law of a State or Territory, a State award or a State employment
agreement, to the extent of any inconsistency.
(2) However, a term of an award or workplace
agreement dealing with any of the following matters has effect subject to a law
of a State or Territory dealing with the matter, except a law that is
prescribed by the regulations as a law to which awards and workplace agreements
are not subject:
(a) occupational health and safety;
(b) workers compensation;
(c) training arrangements;
(d) a matter prescribed by the
regulations for the purposes of this paragraph.
(3) An order of the Commission under Part 12
prevails over a law of a State or Territory, a State award or a State
employment agreement, to the extent of any inconsistency.
Note: Part 12 is about minimum entitlements of
employees.
18 Act
may exclude State and Territory laws in other cases
(1) Sections 16 and 17 are not a
complete statement of the circumstances in which this Act and instruments made
under it are intended to apply to the exclusion of, or prevail over, laws of
the States and Territories or instruments made under those laws.
Note: Other provisions of this Act deal with its
relationship with laws of the States and Territories. For example, see clause 87
of Schedule 6, which is about not excluding or limiting Victorian law that
can operate concurrently with certain provisions of that Schedule.
(2) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
Part 2—Australian Fair Pay Commission
Division 1—Preliminary
19
Definitions
In this Part:
AFPC means the Australian Fair Pay Commission
established by section 20.
AFPC Chair means the AFPC Chair appointed
under section 29.
AFPC Commissioner means an AFPC Commissioner
appointed under section 38.
AFPC Secretariat means the AFPC Secretariat
established under section 46.
Director of the Secretariat means the
Director of the Secretariat appointed under section 50.
wage review means a review conducted by the
AFPC to determine whether it should exercise any of its wage‑setting
powers.
wage‑setting decision means a decision
made by the AFPC in the exercise of its wage‑setting powers.
wage‑setting function has the meaning
given by subsection 22(1).
wage‑setting powers means the powers of
the AFPC under Division 2 of Part 7.
Division 2—Australian Fair Pay Commission
Subdivision A—Establishment and functions
20 Establishment
(1) The Australian Fair Pay Commission is
established by this section.
(2) The AFPC is to consist of:
(a) the AFPC Chair; and
(b) 4 AFPC Commissioners.
21
Functions of the AFPC
The functions of the AFPC are as
follows:
(a) its wage‑setting function as
set out in subsection 22(1);
(b) any other functions conferred on
the AFPC under this Act or any other Act;
(c) any other functions conferred on
the AFPC by regulations made under this Act or any other Act;
(d) to undertake activities to promote
public understanding of matters relevant to its wage‑setting and other
functions.
Subdivision B—AFPC’s wage‑setting function
22
AFPC’s wage‑setting function
The AFPC’s wage‑setting function
(1) The AFPC’s wage‑setting
function is to:
(a) conduct wage reviews; and
(b) exercise its wage‑setting
powers as necessary depending on the outcomes of wage reviews.
Note: The main wage‑setting powers of the AFPC
cover the following matters (within the meaning of Division 2 of Part 7):
(a) adjusting the standard FMW (short for Federal
Minimum Wage);
(b) adjusting special FMWs for employees with a
disability;
(c) adjusting basic periodic rates of pay and basic
piece rates of pay payable to employees or employees of particular
classifications.
(2) During the period (the interim
period) from the commencement of this Part to the commencement of
Division 2 of Part 7, the AFPC has the function of gathering
information (including by undertaking or commissioning research, or consulting
with any person or body) for the purpose of assisting it to perform its wage‑setting
function after that Division has commenced. When performing its wage‑setting
function, the AFPC may have regard to any information so gathered during the
interim period.
23
AFPC’s wage‑setting parameters
The objective of the AFPC in performing
its wage‑setting function is to promote the economic prosperity of the
people of Australia having regard to the following:
(a) the capacity for the unemployed
and low paid to obtain and remain in employment;
(b) employment and competitiveness
across the economy;
(c) providing a safety net for the low
paid;
(d) providing minimum wages for junior
employees, employees to whom training arrangements apply and employees with
disabilities that ensure those employees are competitive in the labour market.
24
Wage reviews and wage‑setting decisions
(1) The AFPC may determine the following:
(a) the timing and frequency of wage
reviews;
(b) the scope of particular wage
reviews;
(c) the manner in which wage reviews
are to be conducted;
(d) when wage‑setting decisions
are to come into effect.
(2) For the purposes of performing its wage‑setting
function, the AFPC may inform itself in any way it thinks appropriate,
including by:
(a) undertaking or commissioning research;
or
(b) consulting with any other person,
body or organisation; or
(c) monitoring and evaluating the
impact of its wage‑setting decisions.
(3) Subsections (1) and (2) have effect
subject to this Act and any regulations made under this Act.
(4) The AFPC’s wage‑setting decisions
must:
(a) be in writing; and
(b) be expressed as decisions of the
AFPC as a body; and
(c) include reasons for the decisions,
expressed as reasons of the AFPC as a body.
A wage‑setting decision is not a legislative
instrument.
25
Constitution of the AFPC for wage‑setting powers
(1) For the purposes of exercising its wage‑setting
powers, the AFPC must be constituted by:
(a) the AFPC Chair; and
(b) the 4 AFPC Commissioners.
(2) However, if the AFPC Chair considers it
necessary in circumstances where AFPC Commissioners are unavailable, the AFPC
Chair may determine that, for the purposes of exercising its wage‑setting
powers in those circumstances, the AFPC is to be constituted by:
(a) the AFPC Chair; and
(b) no fewer than 2 AFPC
Commissioners.
26
Publishing wage‑setting decisions etc.
(1) The AFPC must publish its wage‑setting
decisions.
(2) The AFPC may, as it thinks appropriate,
publish other information about wages or its wage‑setting function.
(3) Publishing under subsection (1) or
(2) may be done in any way the AFPC thinks appropriate.
Subdivision C—Operation of the AFPC
27
AFPC to determine its own procedures
(1) The AFPC may determine the procedures it
will use in performing its functions.
(2) Subsection (1) has effect subject to
Subdivision B and any regulations made under subsection (3).
(3) The regulations may prescribe procedures
to be used by the AFPC for all or for specified purposes.
28
Annual report
The AFPC must, as soon as practicable
after the end of each financial year, give to the Minister a report on the
operation of the AFPC for presentation to the Parliament.
Subdivision D—AFPC Chair
29
Appointment
(1) The AFPC Chair is to be appointed by the
Governor‑General by written instrument.
(2) The AFPC Chair may be appointed on a full‑time
or part‑time basis and holds office for the period specified in his or
her instrument of appointment. The period must not exceed 5 years.
(3) To be appointed as AFPC Chair, a person
must have a high level of skills and experience in business or economics.
30
Remuneration
(1) The AFPC Chair is to be paid the
remuneration that is determined by the Remuneration Tribunal. If no
determination of that remuneration by the Tribunal is in operation, the AFPC
Chair is to be paid the remuneration that is prescribed.
(2) The AFPC Chair is to be paid the
allowances that are prescribed.
(3) This section has effect subject to the Remuneration
Tribunal Act 1973.
31
Leave of absence
(1) If the AFPC Chair is appointed on a full‑time
basis:
(a) the AFPC Chair has the recreation
leave entitlements that are determined by the Remuneration Tribunal; and
(b) the Minister may grant the AFPC
Chair leave of absence, other than recreation leave, on the terms and
conditions as to remuneration or otherwise that the Minister determines.
(2) If the AFPC Chair is appointed on a part‑time
basis, the Minister may grant leave of absence to the AFPC Chair on the terms
and conditions that the Minister determines.
32
Engaging in other paid employment
If the AFPC Chair is appointed on a full‑time
basis, the AFPC Chair must not engage in paid employment outside the duties of
his or her office without the Minister’s approval.
33
Disclosure of interests
The AFPC Chair must give written notice
to the Minister of all interests (financial or otherwise) that the AFPC Chair
has or acquires and that could conflict with the proper performance of his or
her duties.
34
Resignation
(1) The AFPC Chair may resign his or her
appointment by giving the Governor‑General a written resignation.
(2) The resignation takes effect on the day
it is received by the Governor‑General or, if a later day is specified in
the resignation, on that later day.
35
Termination of appointment
(1) The Governor‑General may terminate
the appointment of the AFPC Chair if:
(a) the AFPC Chair:
(i) becomes bankrupt; or
(ii) applies to take the
benefit of any law for the relief of bankrupt or insolvent debtors; or
(iii) compounds with his or
her creditors; or
(iv) makes an assignment of
his or her remuneration for the benefit of his or her creditors; or
(b) the AFPC Chair fails, without
reasonable excuse, to comply with section 33; or
(c) the AFPC Chair has or acquires
interests (including by being an employer or employee) that the Minister
considers conflict unacceptably with the proper performance of the AFPC Chair’s
duties; or
(d) if the AFPC Chair is appointed on
a full‑time basis:
(i) the AFPC Chair
engages, except with the Minister’s approval, in paid employment outside the
duties of his or her office; or
(ii) the AFPC Chair is
absent, except on leave of absence, for 14 consecutive days or for 28 days in
any 12 months; or
(e) if the AFPC Chair is appointed on
a part‑time basis—the AFPC Chair is absent, except on leave of absence,
to an extent that the Minister considers excessive.
(2) Subject to subsections (3), (4) and
(5), the Governor‑General may terminate the appointment of the AFPC Chair
for misbehaviour or physical or mental incapacity.
(3) If the AFPC Chair:
(a) is an eligible employee for the
purposes of the Superannuation Act 1976; and
(b) has not reached his or her maximum
retiring age within the meaning of that Act;
his or her appointment cannot be terminated for physical
or mental incapacity unless the Board (within the meaning of that Act) has
given a certificate under section 54C of that Act.
(4) If the AFPC Chair:
(a) is a member of the superannuation
scheme established by deed under the Superannuation Act 1990; and
(b) is under 60 years of age;
his or her appointment cannot be terminated for physical
or mental incapacity unless the Board (within the meaning of that Act) has
given a certificate under section 13 of that Act.
(5) If the AFPC Chair:
(a) is an ordinary employer‑sponsored
member of PSSAP, within the meaning of the Superannuation Act 2005; and
(b) is under 60 years of age;
his or her appointment cannot be terminated on the ground
of physical or mental incapacity unless the Board (within the meaning of that
Act) has given an approval and certificate under section 43 of that Act.
36
Other terms and conditions
The AFPC Chair holds office on the terms
and conditions (if any) in relation to matters not covered by this Act that are
determined by the Minister.
37
Acting AFPC Chair
(1) The Minister may appoint a person who
meets the requirements set out in subsection 29(3) to act as the AFPC Chair:
(a) during a vacancy in the office of
the AFPC Chair (whether or not an appointment has previously been made to the
office); or
(b) during any period, or during all
periods, when the AFPC Chair is absent from duty or from Australia, or is, for
any reason, unable to perform the duties of the office.
(2) Anything done by or in relation to a
person purporting to act under an appointment is not invalid merely because:
(a) the occasion for the appointment
had not arisen; or
(b) there was a defect or irregularity
in connection with the appointment; or
(c) the appointment had ceased to have
effect; or
(d) the occasion to act had not arisen
or had ceased.
Subdivision E—AFPC Commissioners
38
Appointment
(1) An AFPC Commissioner is to be appointed
by the Governor‑General by written instrument.
(2) An AFPC Commissioner holds office on a
part‑time basis for the period specified in his or her instrument of appointment.
The period must not exceed 4 years.
(3) To be appointed as an AFPC Commissioner,
a person must have experience in one or more of the following areas:
(a) business;
(b) economics;
(c) community organisations;
(d) workplace relations.
39 Remuneration
(1) An AFPC Commissioner is to be paid the
remuneration that is determined by the Remuneration Tribunal. If no
determination of that remuneration by the Tribunal is in operation, an AFPC
Commissioner is to be paid the remuneration that is prescribed.
(2) An AFPC Commissioner is to be paid the
allowances that are prescribed.
(3) This section has effect subject to the Remuneration
Tribunal Act 1973.
40
Leave of absence
The AFPC Chair may grant leave of
absence to an AFPC Commissioner on the terms and conditions that the AFPC Chair
determines.
41
Disclosure of interests
An AFPC Commissioner must give written
notice to the Minister of all interests (financial or otherwise) that the AFPC
Commissioner has or acquires and that could conflict with the proper
performance of his or her duties.
42
Resignation
(1) An AFPC Commissioner may resign his or
her appointment by giving the Governor‑General a written resignation.
(2) The resignation takes effect on the day
it is received by the Governor‑General or, if a later day is specified in
the resignation, on that later day.
43
Termination of appointment
(1) The Governor‑General may terminate
the appointment of an AFPC Commissioner if:
(a) the AFPC Commissioner:
(i) becomes bankrupt; or
(ii) applies to take the
benefit of any law for the relief of bankrupt or insolvent debtors; or
(iii) compounds with his or
her creditors; or
(iv) makes an assignment of
his or her remuneration for the benefit of his or her creditors; or
(b) the AFPC Commissioner fails,
without reasonable excuse, to comply with section 41; or
(c) the AFPC Commissioner has or
acquires interests (including by being an employer or employee) that the
Minister considers conflict unacceptably with the proper performance of the
AFPC Commissioner’s duties; or
(d) the AFPC Commissioner is absent,
except on leave of absence, to an extent that the Minister considers excessive.
(2) Subject to subsections (3), (4) and
(5), the Governor‑General may terminate the appointment of an AFPC
Commissioner for misbehaviour or physical or mental incapacity.
(3) If an AFPC Commissioner:
(a) is an eligible employee for the
purposes of the Superannuation Act 1976; and
(b) has not reached his or her maximum
retiring age within the meaning of that Act;
his or her appointment cannot be terminated for physical
or mental incapacity unless the Board (within the meaning of that Act) has
given a certificate under section 54C of that Act.
(4) If an AFPC Commissioner:
(a) is a member of the superannuation
scheme established by deed under the Superannuation Act 1990; and
(b) is under 60 years of age;
his or her appointment cannot be terminated for physical
or mental incapacity unless the Board (within the meaning of that Act) has
given a certificate under section 13 of that Act.
(5) If an AFPC Commissioner:
(a) is an ordinary employer‑sponsored
member of PSSAP, within the meaning of the Superannuation Act 2005; and
(b) is under 60 years of age;
his or her appointment cannot be terminated on the ground
of physical or mental incapacity unless the Board (within the meaning of that
Act) has given an approval and certificate under section 43 of that Act.
44
Other terms and conditions
An AFPC Commissioner holds office on the
terms and conditions (if any) in relation to matters not covered by this Act
that are determined by the Minister.
45
Acting AFPC Commissioners
(1) The Minister may appoint a person who
meets the requirement set out in subsection 38(3) to act as an AFPC
Commissioner:
(a) during a vacancy in the office of
an AFPC Commissioner (whether or not an appointment has previously been made to
the office); or
(b) during any period, or during all
periods, when an AFPC Commissioner is acting as AFPC Chair, is absent from duty
or from Australia, or is, for any reason, unable to perform the duties of the
office.
(2) Anything done by or in relation to a
person purporting to act under an appointment is not invalid merely because:
(a) the occasion for the appointment
had not arisen; or
(b) there was a defect or irregularity
in connection with the appointment; or
(c) the appointment had ceased to have
effect; or
(d) the occasion to act had not arisen
or had ceased.
Division 3—AFPC Secretariat
Subdivision A—Establishment and function
46
Establishment
(1) The AFPC Secretariat is established by
this section.
(2) The AFPC Secretariat is to consist of:
(a) the Director of the Secretariat;
and
(b) the staff of the Secretariat.
47
Function
The function of the AFPC Secretariat is
to assist the AFPC in the performance of the AFPC’s functions.
Subdivision B—Operation of the AFPC Secretariat
48
AFPC Chair may give directions
(1) The AFPC Chair may give directions to the
Director of the Secretariat about the performance of the function of the AFPC
Secretariat.
(2) The Director of the Secretariat must
ensure that a direction given under subsection (1) is complied with.
(3) To avoid doubt, the AFPC Chair must not
give directions under subsection (1) in relation to the performance of
functions, or exercise of powers, under the Financial Management and
Accountability Act 1997 or the Public Service Act 1999.
49
Annual report
The Director of the Secretariat must, as
soon as practicable after the end of each financial year, give to the Minister
a report on the operation of the AFPC Secretariat for presentation to the
Parliament.
Subdivision C—The Director of the Secretariat
50
Appointment
(1) The Director of the Secretariat is to be
appointed by the Minister by written instrument.
(2) The Director of the Secretariat holds
office on a full‑time basis for the period specified in his or her
instrument of appointment. The period must not exceed 5 years.
51
Remuneration
(1) The Director of the Secretariat is to be
paid the remuneration that is determined by the Remuneration Tribunal. If no
determination of that remuneration by the Tribunal is in operation, the
Director of the Secretariat is to be paid the remuneration that is prescribed.
(2) The Director of the Secretariat is to be
paid the allowances that are prescribed.
(3) This section has effect subject to the Remuneration
Tribunal Act 1973.
52
Leave of absence
(1) The Director of the Secretariat has the
recreation leave entitlements that are determined by the Remuneration Tribunal.
(2) The Minister may grant the Director of
the Secretariat leave of absence, other than recreation leave, on the terms and
conditions as to remuneration or otherwise that the Minister determines.
53
Engaging in other paid employment
The Director of the Secretariat must not
engage in paid employment outside the duties of his or her office without the
Minister’s approval.
54
Disclosure of interests
The Director of the Secretariat must
give written notice to the Minister of all interests (financial or otherwise)
that the Director of the Secretariat has or acquires and that could conflict
with the proper performance of his or her duties.
55
Resignation
(1) The Director of the Secretariat may
resign his or her appointment by giving the Minister a written resignation.
(2) The resignation takes effect on the day
it is received by the Minister or, if a later day is specified in the
resignation, on that later day.
56
Termination of appointment
(1) The Minister may terminate the
appointment of the Director of the Secretariat if:
(a) the Director of the Secretariat:
(i) becomes bankrupt; or
(ii) applies to take the
benefit of any law for the relief of bankrupt or insolvent debtors; or
(iii) compounds with his or
her creditors; or
(iv) makes an assignment of
his or her remuneration for the benefit of his or her creditors; or
(b) the Director of the Secretariat
fails, without reasonable excuse, to comply with section 54; or
(c) the Director of the Secretariat
has or acquires interests that the Minister considers conflict unacceptably
with the proper performance of the Director of the Secretariat’s duties; or
(d) the Director of the Secretariat
engages, except with the Minister’s approval, in paid employment outside the
duties of his or her office; or
(e) the Director of the Secretariat is
absent, except on leave of absence, for 14 consecutive days or for 28 days in
any 12 months.
(2) The Minister must terminate the
appointment of the Director of the Secretariat if the Minister is of the
opinion that the performance of the Director of the Secretariat has been
unsatisfactory for a significant period of time.
(3) Subject to subsections (4), (5) and
(6), the Minister may terminate the appointment of the Director of the
Secretariat for misbehaviour or physical or mental incapacity.
(4) If the Director of the Secretariat:
(a) is an eligible employee for the
purposes of the Superannuation Act 1976; and
(b) has not reached his or her maximum
retiring age within the meaning of that Act;
his or her appointment cannot be terminated for physical
or mental incapacity unless the Board (within the meaning of that Act) has
given a certificate under section 54C of that Act.
(5) If the Director of the Secretariat:
(a) is a member of the superannuation
scheme established by deed under the Superannuation Act 1990; and
(b) is under 60 years of age;
his or her appointment cannot be terminated for physical
or mental incapacity unless the Board (within the meaning of that Act) has
given a certificate under section 13 of that Act.
(6) If the Director of the Secretariat:
(a) is an ordinary employer‑sponsored
member of PSSAP, within the meaning of the Superannuation Act 2005; and
(b) is under 60 years of age;
his or her appointment cannot be terminated on the ground
of physical or mental incapacity unless the Board (within the meaning of that
Act) has given an approval and certificate under section 43 of that Act.
57
Other terms and conditions
The Director of the Secretariat holds
office on the terms and conditions (if any) in relation to matters not covered
by this Act that are determined by the Minister.
58
Acting Director of the Secretariat
(1) The Minister may appoint a person to act
as the Director of the Secretariat:
(a) during a vacancy in the office of
the Director of the Secretariat (whether or not an appointment has previously
been made to the office); or
(b) during any period, or during all
periods, when the Director of the Secretariat is absent from duty or from Australia,
or is, for any reason, unable to perform the duties of the office.
(2) Anything done by or in relation to a
person purporting to act under an appointment is not invalid merely because:
(a) the occasion for the appointment
had not arisen; or
(b) there was a defect or irregularity
in connection with the appointment; or
(c) the appointment had ceased to have
effect; or
(d) the occasion to act had not arisen
or had ceased.
Subdivision D—Staff and consultants
59
Staff
(1) The staff of the AFPC Secretariat are to
be persons engaged under the Public Service Act 1999.
(2) For the purposes of the Public Service
Act 1999:
(a) the Director of the Secretariat
and the staff of the AFPC Secretariat together constitute a Statutory Agency;
and
(b) the Director of the Secretariat is
the Head of that Statutory Agency.
60
Consultants
The Director of the Secretariat may, on
behalf of the Commonwealth, engage persons having suitable qualifications and
experience as consultants to the AFPC or the AFPC Secretariat. The terms and
conditions of the engagement of a person are those determined by the Director
of the Secretariat in writing.
Part 3—Australian Industrial Relations Commission
Division 1—Establishment of Commission
61
Establishment of Commission
(1) There is established a commission by the
name of the Australian Industrial Relations Commission.
(2) The Commission consists of:
(a) a President;
(b) 2 Vice Presidents;
(c) such number of Senior Deputy
Presidents as, from time to time, hold office under this Act;
(d) such number of Deputy Presidents
as, from time to time, hold office under this Act; and
(e) such number of Commissioners as,
from time to time, hold office under this Act.
62
Functions of Commission
The functions of the Commission are the
functions conferred on the Commission by this Act, the Registration and
Accountability of Organisations Schedule or otherwise.
63
Appointment of Commission members etc.
(1) The President, Vice Presidents, Senior
Deputy Presidents, Deputy Presidents and Commissioners shall be appointed by
the Governor‑General by commission and hold office as provided by this
Act.
(2) Each Presidential Member has the same
rank, status and precedence as a Judge of the Court.
(3) A Presidential Member or former
Presidential Member is entitled to be styled “The Honourable”.
(4) A person is not entitled to be styled
“The Honourable” merely because the person is acting, or has acted, as a
Presidential Member.
64
Qualifications for appointment
(1) The Governor‑General may only
appoint a person as the President if:
(a) the person:
(i) is or has been a Judge
of a court created by the Parliament; or
(ii) has been a Judge of a
court of a State or Territory; or
(iii) has been enrolled as a
legal practitioner of the High Court, or the Supreme Court of a State or
Territory, for at least 5 years; and
(b) in the opinion of the Governor‑General,
the person is, because of skills and experience in the field of industrial
relations, a suitable person to be appointed as President.
(2) The Governor‑General may only
appoint a person as a Vice President, a Senior Deputy President or a Deputy
President if:
(a) the person has been a Judge of a
court created by the Parliament or a court of a State or Territory, or has been
enrolled as a legal practitioner of the High Court, or the Supreme Court of a
State or Territory, for at least 5 years;
(b) the person has had experience at a
high level in industry or commerce or in the service of:
(i) a peak council or
another association representing the interests of employers or employees; or
(ii) a government or an authority
of a government; or
(c) the person has, at least 5 years
previously, obtained a degree of a university or an educational qualification
of a similar standard after studies in the field of law, economics or
industrial relations, or some other field of study considered by the Governor‑General
to have substantial relevance to the duties of a Vice President, a Senior
Deputy President or a Deputy President;
and, in the opinion of the Governor‑General, the
person is, because of skills and experience in the field of industrial
relations, a suitable person to be appointed as a Vice President, a Senior
Deputy President or a Deputy President (as the case may be).
(3) The Governor‑General may only
appoint a person as a Commissioner if the person has, in the opinion of the
Governor‑General, appropriate skills and experience in the field of
industrial relations.
65
Seniority
The members of the Commission have
seniority according to the following order of precedence:
(a) the President;
(b) the Vice Presidents, according to
the days on which their commissions took effect, or, if their commissions took
effect on the same day, according to the precedence assigned to them by their
commissions;
(c) the Senior Deputy Presidents,
according to the days on which their commissions took effect, or, where the
commissions of 2 or more of them took effect on the same day, according to the
precedence assigned to them by their commissions;
(d) the Deputy Presidents, according
to the days on which their commissions took effect, or, where the commissions
of 2 or more of them took effect on the same day, according to the precedence
assigned to them by their commissions;
(e) the Commissioners, according to
the days on which their commissions took effect, or, where the commissions of 2
or more of them took effect on the same day, according to the precedence
assigned to them by their commissions.
66
Performance of duties on part‑time basis
(1) A member of the Commission may, with the
consent of the President, perform his or her duties on a part‑time basis.
(2) If the President consents to a member
performing his or her duties on a part‑time basis, the President and the
member are to enter into an agreement specifying the proportion of full‑time
duties to be worked by the member from and including a specified date.
(3) The proportion may be varied by an
agreement entered into between the President and the member.
(4) The proportion in force in relation to a
particular period is in this section called the agreed proportion.
(5) If the President consents to a member
performing his or her duties on a part‑time basis, the member is to be
paid:
(a) salary at an annual rate equal to
the agreed proportion of the annual rate of salary that would be payable to the
member if the member were performing his or her duties on a full‑time
basis instead of on a part‑time basis; and
(b) such travelling allowances as are
determined from time to time by the Remuneration Tribunal for travel within
Australia; and
(c) such other allowances as are prescribed
by the regulations.
(6) If the annual rate of salary of a member
mentioned in subsection (5) is not an amount of whole dollars, it is to be
rounded to the nearest dollar (with 50 cents being rounded up).
(7) If, assuming that a member or former
member mentioned in subsection (5) had performed his or her duties on a
full‑time basis instead of on a part‑time basis, the member or
former member would be entitled to a payment under subsection 79(9), (10) or
(11) or 81(3), the member or former member is to be paid an amount equal to the
agreed proportion of that payment.
(8) If there are different agreed proportions
applicable to different periods, paragraph (5)(a) and subsection (7)
apply separately to each of those periods.
(9) In this section:
member of the Commission does not include:
(a) the President; or
(b) a person who also holds office as
a member of a prescribed State industrial authority.
67
Dual federal and State appointments
A person who is a member of the
Commission may be appointed as a member of a prescribed State industrial
authority, and a person who is a member of a prescribed State industrial
authority may, subject to section 64, be appointed as a member of the
Commission, and, subject to any law of the State, a person so appointed may, at
the same time, hold the offices of member of the Commission and member of the
prescribed State industrial authority.
68
Performance of duties by dual federal and State appointees
As agreed from time to time by the
President and the head of the prescribed State industrial authority, a person
who holds an office of member of the Commission and an office of member of a
prescribed State industrial authority:
(a) may perform the duties of the
secondary office; and
(b) may exercise, in relation to a
particular matter:
(i) any powers that the
person has in relation to the matter as a member of the Commission; and
(ii) any powers that the
person has in relation to the matter as a member of the State industrial
authority.
69
Dual federal appointments
(1) Nothing in this Act prevents a person who
holds office as a member of the Commission from holding at the same time:
(a) an office as member of a
prescribed Commonwealth tribunal or prescribed Territory tribunal; or
(b) an office under a Commonwealth or
Territory law that provides for the office to be held by a member of the
Commission.
(2) A person who is a member of the
Commission may, in accordance with and subject to the directions of the
President, perform functions as a member of a prescribed Territory tribunal.
(3) In this section:
tribunal does not include a court created by
the Parliament.
70
Appointment of a Judge as President not to affect tenure etc.
(1) The appointment of a Judge of a court
created by the Parliament as the President, or service by such a Judge as
President, does not affect:
(a) the Judge’s tenure of office as a
Judge; or
(b) the Judge’s rank, title, status,
precedence, salary, annual or other allowances or other rights or privileges as
the holder of his or her office as a Judge.
(2) For all purposes, the Judge’s service as
the President is taken to be service as a Judge.
71
Tenure of Commission members
(1) A member of the Commission holds office
until the member resigns, is removed from office or attains the age of 65
years.
(2) The first President of the Commission
appointed after the commencement of this subsection may be appointed for a
fixed term and, in that case, the person holds office as President until:
(a) the term ends; or
(b) the person dies, resigns or is
removed from office;
whichever first happens.
(3) The appointment of a person who is a
member of a prescribed State industrial authority as a member of the Commission
may be for a fixed term and, in that case, the person holds office as a member
of the Commission until:
(a) the term ends;
(b) the person ceases to be a member
of the prescribed State industrial authority; or
(c) the person resigns or is removed
from office;
whichever first happens.
72
Acting President
(1) During any period when:
(a) the President is absent from duty
or from Australia, or is for any other reason unable to perform the duties of
the office of President; or
(b) there is a vacancy in the office
of President (whether or not an appointment has previously been made to the
office);
the Governor‑General may appoint a person who is
qualified to be appointed as the President to act in that office.
(2) Anything done by or in relation to a
person purporting to act under subsection (1) is not invalid because:
(a) the occasion for the appointment
had not arisen;
(b) there was a defect or irregularity
in connection with the appointment;
(c) the appointment had ceased to have
effect; or
(d) the occasion for the person to act
had not arisen or had ceased.
(3) For the purpose of subsection (1)
only, a person is not disqualified from appointment as the President merely
because the person has reached the age of 65.
73
Acting Vice President
(1) The Governor‑General may appoint a
person who is qualified to be appointed as a Vice President to act in an office
of Vice President:
(a) during a vacancy in the office
(whether or not an appointment has previously been made to the office); or
(b) during any period, or during all
periods, when the holder of the office is absent from duty or from Australia or
is, for any other reason, unable to perform the duties of the office.
(2) Anything done by or in relation to a
person purporting to act under subsection (1) is not invalid merely
because:
(a) the occasion for the appointment
had not arisen; or
(b) there was a defect or irregularity
in connection with the appointment; or
(c) the appointment had ceased to have
effect; or
(d) the occasion for the person to act
had not arisen or had ceased.
(3) For the purpose of subsection (1)
only, a person is not disqualified from appointment as a Vice President merely
because the person has reached the age of 65.
74
Acting Senior Deputy President
(1) The Governor‑General may appoint a
person qualified to be appointed as a Senior Deputy President to act as Senior
Deputy President for a specified period (including a period that exceeds 12 months)
if the Governor‑General is satisfied that the appointment is necessary to
enable the Commission to perform its functions effectively.
(2) Anything done by or in relation to a
person purporting to act under subsection (1) is not invalid merely
because:
(a) the occasion for the appointment
had not arisen; or
(b) there was a defect or irregularity
in connection with the appointment; or
(c) the appointment had ceased to have
effect; or
(d) the occasion for the person to act
had not arisen or had ceased.
(3) For the purpose of subsection (1)
only, a person is not disqualified from appointment as a Senior Deputy
President merely because the person has reached 65.
75
Acting Deputy Presidents
(1) The Governor‑General may appoint a
person qualified to be appointed as a Deputy President to act as Deputy
President for a specified period (including a period that exceeds 12 months) if
the Governor‑General is satisfied that the appointment is necessary to
enable the Commission to perform its functions effectively.
(2) Anything done by or in relation to a
person purporting to act under subsection (1) is not invalid because:
(a) the occasion for the appointment
had not arisen;
(b) there was a defect or irregularity
in connection with the appointment;
(c) the appointment had ceased to have
effect; or
(d) the occasion for the person to act
had not arisen or had ceased.
(3) For the purposes of subsection (1)
only, a person is not disqualified from appointment as a Deputy President
merely because the person has attained the age of 65.
76
Oath or affirmation of office
A member of the Commission shall, before
proceeding to discharge the duties of the office, take before the Governor‑General,
a Justice of the High Court, a Judge of the Court or a Judge of the Supreme
Court of a State or Territory an oath or affirmation in accordance with the
form in Schedule 3.
77
Discharge of Commission’s business
The President is to be assisted by the
Vice President in ensuring the orderly and quick discharge of the business of
the Commission.
78
Duty of Commission members
Each member of the Commission shall keep
acquainted with industrial affairs and conditions.
79
Remuneration and allowances of Presidential Members etc.
(1) The President is to be paid:
(a) salary at an annual rate equal to
the annual rate of salary payable to the Chief Justice of the Court; and
(b) such travelling allowances as are
determined from time to time by the Remuneration Tribunal for travel within
Australia; and
(c) such other allowances as are
prescribed by the regulations.
(2) If a person holds office as the President
and as a Judge of a court created by the Parliament, he or she is not to be paid
remuneration as President except as provided by subsection (3).
(3) If the salary payable to the person as a
Judge is less than the salary that would be payable to the President under subsection (1),
the person is to be paid an allowance equal to the difference between the
Judge’s salary and the salary that would be payable to the President.
(4) A Vice President is to be paid:
(a) salary at an annual rate equal to
103% of the annual rate of salary payable to a Judge of the Court; and
(b) such travelling allowances as are
determined from time to time by the Remuneration Tribunal for travel within
Australia; and
(c) such other allowances as are
prescribed by the regulations.
(5) A Senior Deputy President is to be paid:
(a) salary at an annual rate equal to
the annual rate of salary payable to a Judge of the Court; and
(b) such travelling allowances as are
determined from time to time by the Remuneration Tribunal for travel within
Australia; and
(c) such other allowances as are
prescribed by the regulations.
(6) A Deputy President is to be paid:
(a) salary at an annual rate equal to
95% of the annual rate of salary payable to a Judge of the Court; and
(b) such travelling allowances as are
determined from time to time by the Remuneration Tribunal for travel within
Australia; and
(c) such other allowances as are
prescribed by the regulations.
(7) If the annual rate of salary of a
Presidential Member is not an amount of whole dollars, it is to be rounded to
the nearest dollar (with 50 cents being rounded up).
(8) If, assuming that the President or a
former President had held the office of Chief Justice of the Court instead of
the office of President, the President or former President would be entitled to
a payment under subsection 7(5E) of the Remuneration Tribunal Act 1973,
the President or former President is to be paid an amount equal to that
payment.
(9) If, assuming that a Vice President or
former Vice President had held an office of Judge of the Court instead of an
office of Vice President, the Vice President or former Vice President would be
entitled to a payment under subsection 7(5E) of the Remuneration Tribunal
Act 1973, the Vice President or former Vice President is to be paid an
amount equal to 103% of that payment.
(10) If, assuming that a Senior Deputy
President or former Senior Deputy President had held an office of Judge of the
Court instead of the office of Senior Deputy President, the Senior Deputy
President or former Senior Deputy President would be entitled to a payment
under subsection 7(5E) of the Remuneration Tribunal Act 1973, the Senior
Deputy President or former Senior Deputy President is to be paid an amount
equal to that payment.
(11) If, assuming that a Deputy President or
former Deputy President had held an office of Judge of the Court instead of the
office of Deputy President, the Deputy President or former Deputy President
would be entitled to a payment under subsection 7(5E) of the Remuneration
Tribunal Act 1973, the Deputy President or former Deputy President is to be
paid an amount equal to 95% of that payment.
(12) The salary of the Presidential Members
accrue from day to day and are payable monthly.
(13) Where a person who is a member of a
prescribed State industrial authority is appointed as a member of the Commission,
the person shall not be remunerated in relation to the office of member of the
Commission, but the person may be paid, in relation to expenses in travelling
to discharge the duties of the office, such sums (if any) as the Governor‑General
considers reasonable.
(14) A person who, at the same time, holds the
offices of member of the Commission and member of a prescribed Commonwealth
tribunal or prescribed Territory tribunal as permitted by section 69:
(a) shall be remunerated in relation
to the office of member of the tribunal only in accordance with another law of
the Commonwealth or Territory relating to the remuneration of persons holding
at the same time offices of member of the Commission and member of the
tribunal; but
(b) may be paid, in relation to
expenses in travelling to discharge the duties of the office of member of the
tribunal, such sums (if any) as the Governor‑General considers
reasonable.
(15) This section has effect subject to:
(a) section 66; and
(b) any Commonwealth or Territory law
making provision as mentioned in paragraph 69(1)(b).
(16) In this section:
Judge does not include the Chief Justice of
the Court.
80
Application of Judges’ Pensions Act
(1) The Judges’ Pensions Act 1968 does
not apply in relation to a Presidential Member if:
(a) immediately before being appointed
as a Presidential Member, he or she was:
(i) an eligible employee
for the purposes of the Superannuation Act 1976; or
(ii) a member of the
superannuation scheme established by deed under the Superannuation Act 1990;
or
(iii) an ordinary employer‑sponsored
member of PSSAP, within the meaning of the Superannuation Act 2005; and
(b) he or she does not make an
election under subsection (2).
(2) A Presidential Member may elect to cease
to be:
(a) an eligible employee for the
purposes of the Superannuation Act 1976; or
(b) a member of the superannuation
scheme established by deed under the Superannuation Act 1990; or
(c) an ordinary employer‑sponsored
member of PSSAP, within the meaning of the Superannuation Act 2005.
(3) The election must be made:
(a) within 3 months of the
Presidential Member’s appointment; and
(b) by notice in writing to the
Minister.
(4) If a Presidential Member makes the
election:
(a) the Judges’ Pensions Act 1968 applies
in relation to him or her and is taken to have so applied immediately after he
or she was appointed as a Presidential Member; and
(b) he or she is taken to have ceased
to be:
(i) an eligible employee
for the purposes of the Superannuation Act 1976; or
(ii) a member of the
superannuation scheme established by deed under the Superannuation Act 1990;
or
(iii) an ordinary employer‑sponsored
member of PSSAP, within the meaning of the Superannuation Act 2005;
immediately before being
appointed as a Presidential Member.
81
Remuneration and allowances of Commissioners
(1) A Commissioner is to be paid:
(a) salary at an annual rate equal to
70% of the annual rate of salary payable to a Deputy President; and
(b) such travelling allowances as are
determined from time to time by the Remuneration Tribunal for travel within
Australia; and
(c) such other allowances as are
prescribed by the regulations.
(2) If the annual rate of salary of a
Commissioner is not an amount of whole dollars, it is to be rounded to the
nearest dollar (with 50 cents being rounded up).
(3) If, assuming that a Commissioner or
former Commissioner had held an office of Deputy President instead of the
office of Commissioner, the Commissioner or former Commissioner would be
entitled to a payment under subsection 79(11), the Commissioner or former
Commissioner is to be paid an amount equal to 70% of that payment.
(4) This section has effect subject to
section 66.
82
Removal of Presidential Member from office
The Governor‑General may remove a
Presidential Member from office on an address praying for removal on the
grounds of proved misbehaviour or incapacity being presented to the Governor‑General
by both Houses of the Parliament in the same session.
83
Outside employment of Commissioner
(1) Subject to subsection (2), a
Commissioner shall not, except with the consent of the Minister, engage in paid
employment outside the duties of the office.
(2) Subsection (1) does not apply in
relation to the holding by a member of an office or appointment in the Defence
Force.
84
Leave of absence of Commissioner
(1) A Commissioner has such recreation leave
entitlements as are determined by the Remuneration Tribunal.
(2) The President may grant a Commissioner
leave of absence, other than recreation leave, on such terms and conditions as
to Remuneration or otherwise as the President determines.
(3) In determining the recreation leave
entitlements of a Commissioner under the Remuneration Tribunal Act 1973,
the Remuneration Tribunal must have regard to:
(a) any past employment of the
Commissioner in the service of a State or an authority of a State; or
(b) any past service of the
Commissioner as a member of an authority of a State.
(4) In determining the terms and conditions
on which leave of absence is granted to a Commissioner under subsection (2),
the President must have regard to:
(a) any past employment of the
Commissioner in the service of a State or an authority of a State; or
(b) any past service of the
Commissioner as a member of an authority of a State.
85
Disclosure of interest by Commission members
(1) Where, for the purposes of a proceeding,
the Commission is constituted by, or includes, a member of the Commission who
has or acquires any interest, pecuniary or otherwise, that could conflict with
the proper performance of the member’s functions in relation to the proceeding:
(a) the member shall disclose the
interest to the parties to the proceeding; and
(b) unless all the parties consent—the
member shall not take part in the proceeding or exercise any powers in relation
to the proceeding.
(2) Where the President becomes aware that,
for the purposes of a proceeding, the Commission is constituted by, or
includes, a member of the Commission who has or acquires any interest,
pecuniary or otherwise, that could conflict with the proper performance of the
member’s functions in relation to the proceeding:
(a) if the President considers that
the member should not take part, or should not continue to take part, in the
proceeding—the President shall give a direction to the member accordingly; or
(b) in any other case—the President
shall cause the interest of the member to be disclosed to the parties to the
proceeding and the member shall not take part in the proceeding or exercise any
powers in relation to the proceeding unless all the parties to the proceeding
consent.
(3) In this section:
proceeding includes a proceeding under the
Registration and Accountability of Organisations Schedule.
86
Termination of appointment of Commissioner
(1) The Governor‑General may remove a
Commissioner from office on an address praying for removal on the grounds of
proved misbehaviour or incapacity being presented to the Governor‑General
by both Houses of the Parliament in the same session.
(2) The Governor‑General shall
terminate the appointment of a Commissioner who:
(a) becomes
bankrupt, applies to take the benefit of a law for the relief of bankrupt or
insolvent debtors, compounds with creditors or makes an assignment of
remuneration for their benefit;
(b) is absent from duty, except on
leave of absence, for 14 consecutive days or for 28 days in any 12 months;
or
(c) engages in paid employment outside
the duties of the office in contravention of section 83.
87
Resignation by Commission member
A member of the Commission may resign by
signed instrument delivered to the Governor‑General.
Division 2—Organisation of Commission
88
Manner in which Commission may be constituted
(1) Subject to this Act and the Registration
and Accountability of Organisations Schedule, the Commission may be constituted
by:
(a) a single member, or 2 or more
members, of the Commission; or
(b) a Full Bench.
(2) A Full Bench consists of at least 3
members of the Commission, including at least 2 Presidential Members,
established by the President as a Full Bench for the purposes of a proceeding.
(3) The Commission constituted by a member or
members of the Commission may exercise its powers (whether under this Act, the
Registration and Accountability of Organisations Schedule or otherwise) even
though the Commission constituted by another member or other members of the
Commission is at the same time exercising the powers of the Commission (whether
under this Act, the Registration and Accountability of Organisations Schedule
or otherwise).
89
Powers exercisable by single member of Commission
Subject to this Act and the Registration
and Accountability of Organisations Schedule, a function or power of the
Commission may be performed or exercised by a single member of the Commission.
90
Functions and powers conferred on members
A function or power conferred by this
Act or the Registration and Accountability of Organisations Schedule on a
member or members of the Commission, however described, shall, where the
context admits, be taken to be a function or power conferred on the Commission
to be performed or exercised by the member or members.
91
Exercise of Commission powers
(1) The Commission may perform a function or
exercise a power on its own initiative.
(2) Despite subsection (1), the Commission
must not perform a function or exercise a power under a provision of this Act
on its own initiative if:
(a) the function is to be performed,
or the power exercised, on application by a specified person or class of
persons; and
(b) the function is not also expressed
to be able to be performed, or the power exercised, on the Commission’s own
initiative.
92
Continuation of hearing by Commission
(1) Where:
(a) the hearing of a matter has been
commenced before the Commission constituted by a single member; and
(b) before the matter has been
determined, the member becomes unavailable;
the President shall appoint another member of the
Commission to constitute the Commission for the purposes of the matter.
(2) Where the hearing of a matter has been commenced
before the Commission constituted by 2 or more members and, before the matter
has been determined, one of the members becomes unavailable, the President:
(a) shall if it is necessary for the
purpose of establishing a Full Bench of the Commission under section 88;
and
(b) may in any other case;
appoint a member to participate as a member of the
Commission for the purposes of the matter.
(3) A member of the Commission becomes
unavailable where the member is unable to continue dealing with a matter,
whether because the member has ceased to be a member of the Commission or is
prevented from taking part in the proceeding by section 85 or for any
other reason.
(4) Where the Commission is reconstituted
under this section for the purposes of a matter, the Commission as
reconstituted shall have regard to the evidence given, the arguments adduced
and any award, order or determination made in relation to the matter before the
Commission was reconstituted.
93
Commission divided in opinion
If the persons constituting the
Commission for the purposes of any proceeding are divided in opinion as to the
decision to be given, the decision shall be given, if there is a majority,
according to the opinion of the majority, but, if the members are equally
divided in opinion, the opinion that shall prevail is:
(a) where the President is a
member—the opinion of the President; and
(b) where the President is not a
member and the Vice President is a member—the opinion of the Vice President;
and
(c) where neither the President nor
the Vice President is a member and only one Senior Deputy President is a
member—the opinion of the Senior Deputy President; and
(d) where neither the President nor
the Vice President is a member and 2 or more Senior Deputy Presidents are
members—the opinion of the Senior Deputy President who has seniority under
section 65; and
(e) where the President, the Vice
President and any Senior Deputy President are not members, and only one Deputy
President is a member—the opinion of the Deputy President; and
(f) where the President, Vice
President and any Senior Deputy President are not members and 2 or more Deputy
Presidents are members—the opinion of the Deputy President who has seniority
under section 65; and
(g) in any other case—the opinion of
the Commissioner who is a member and who has seniority under section 65.
94
Arrangement of business of Commission
(1) The President shall direct the business
of the Commission.
(2) When exercising powers under this section
and section 95, the President must have regard to the improved:
(a) efficiency of the Commission; and
(b) cooperation between the Commission
and State industrial authorities;
that may be achieved by the Commission’s powers and
functions being exercised and performed, in relation to a particular matter, by
members of State industrial authorities who hold secondary offices as members
of the Commission.
95
Panels of Commission for particular industries
(1) The President may assign an industry or
group of industries to a panel of members of the Commission consisting of at
least one Presidential Member and at least one Commissioner and, subject to
this Act and any direction of the President, the powers of the Commission in
relation to that industry (other than powers exercisable by a Full Bench)
shall, as far as practicable, be exercised by a member or members of the panel.
(2) Even though an industry has been assigned
to a panel, the President may direct that the powers of the Commission in
relation to a particular matter relating to that industry are to be exercised
by:
(a) a member of the Commission who is
not a member of that panel; or
(b) members of the Commission, some or
all of whom are not members of that panel.
(3) If more than one Presidential Member is
assigned to a panel, the President must nominate one of the Presidential
Members to organise and allocate the work of the panel.
(4) A member of the Commission may be a
member of more than one panel mentioned in subsection (1).
(5) A member of the Commission may be a
member of the panel established under section 14 of the Registration and
Accountability of Organisations Schedule.
96
Delegation by President
(1) The President may, by signed instrument,
delegate to a Vice President all or any of the President’s powers under this Act
or the Registration and Accountability of Organisations Schedule.
(2) If the President delegates a power to
only one of the Vice Presidents, he or she may, in addition, delegate that
power to a Senior Deputy President to be exercised when that Vice President is
unable, for any reason, to exercise that power personally.
(3) If the President delegates the same power
to both Vice Presidents, he or she may, in addition, delegate that power to a
Senior Deputy President to be exercised when, for any reason, neither Vice
President is able to exercise that power personally.
97
Protection of Commission members
A member of the Commission has, in the
performance of functions as a member of the Commission, the same protection and
immunity as a Judge of the Court.
98 Co‑operation
with the States by President
The President may invite the heads of
State industrial authorities to meet with the President to exchange information
and discuss matters of mutual interest in relation to workplace relations.
99 Co‑operation
with the States by Registrar
The Industrial Registrar may invite the
principal registrars of State industrial authorities to meet with the
Industrial Registrar to exchange information and discuss matters of mutual
interest in relation to workplace relations.
Division 3—Representation and intervention
100
Representation of parties before Commission
(1) A party to a proceeding before the
Commission may appear in person.
(2) Subject to this and any other Act, a
party to a proceeding before the Commission may be represented only as provided
by this section.
(3) A party (including an employing
authority) may be represented by counsel, solicitor or agent if:
(a) all parties have given express
consent to that representation; and
(b) the Commission grants leave for
the party to be so represented.
(4) A party (including an employing
authority) may be represented by counsel, solicitor or agent if:
(a) the party applies to the
Commission to be so represented; and
(b) the Commission grants leave for
the party to be so represented.
(5) In deciding whether or not to grant leave
under subsection (3), the Commission must have regard to the following
matters:
(a) whether being represented by
counsel, solicitor or agent would assist the party concerned to bring the best
case possible;
(b) the capacity of the particular
counsel, solicitor or agent to represent the party concerned;
(c) the capacity of the particular
counsel, solicitor or agent to assist the Commission in performing the
Commission’s functions under this Act.
(6) In deciding whether or not to grant leave
under subsection (4), the Commission must have regard to the following
matters:
(a) the matters referred to in paragraphs (5)(a),
(b) and (c);
(b) the complexity of the factual and
legal issues relating to the proceeding;
(c) whether there are special
circumstances that make it desirable that the party concerned be represented by
counsel, solicitor or agent;
(d) if the party applies to be
represented by an agent—whether the agent is a person or body, or an officer or
employee of a person or body, that is able to represent the interests of the
party under a State or Territory industrial relations law.
(7) An appeal to a Full Bench under section 120 may
not be made in relation to a decision under subsection (3) or (4) to grant
leave or not to grant leave.
(8) A party that is an organisation may be
represented by:
(a) a member, officer or employee of
the organisation; or
(b) an officer or employee of a peak
council to which the organisation is affiliated.
(9) An employing authority may be represented
by a prescribed person.
(10) Regulations made for the purposes of subsection (9)
may prescribe different classes of persons in relation to different classes of
proceedings.
(11) A party other than an organisation or
employing authority may be represented by:
(a) an officer or employee of the
party; or
(b) a member, officer or employee of
an organisation of which the party is a member; or
(c) an officer or employee of a peak
council to which the party is affiliated; or
(d) an officer or employee of a peak
council to which an organisation or association of which the party is a member
is affiliated; or
(e) a bargaining agent.
(12) Where the Minister is a party (other than
in the capacity of employing authority), the Minister may be represented by
counsel or solicitor or by another person authorised for the purpose by the
Minister.
(13) Where the Minister is a party (other than
in the capacity of employing authority), another party (including an employing
authority) may, with the leave of the Commission, be represented by counsel,
solicitor or agent.
(14) In this section (other than paragraph (3)(a)):
party includes an intervener.
101
Intervention generally
Where the Commission is of the opinion
that an organisation, a person (including the Minister) or a body should be
heard in a matter before the Commission, the Commission may grant leave to the
organisation, person or body to intervene in the matter.
102
Particular rights of intervention of Minister
(1) The Minister may, on behalf of the
Commonwealth, by giving written notice to the Industrial Registrar, intervene
in the public interest in a matter before a Full Bench.
(2) The Minister may, on behalf of the
Commonwealth, by giving written notice to the Industrial Registrar, intervene
in the public interest in a matter before the Commission so far as the matter
involves public sector employment.
Division 4—General matters relating to the powers and procedures of the
Commission
Subdivision A—General matters Commission to take into account
103
Commission to take into account the public interest
(1) In the performance of its functions, the
Commission must take into account the public interest, and for that purpose
must have regard to:
(a) the objects of this Act; and
(b) the state of the national economy
and the likely effects on the national economy of any order that the Commission
is considering, or is proposing to make, with special reference to likely
effects on the level of employment and on inflation.
(2) To the extent that the Commission is
performing its functions in relation to matters arising under the Registration
and Accountability of Organisations Schedule, the Commission must take into
account the public interest, and for that purpose must have regard to:
(a) Parliament’s intention in enacting
that Schedule; and
(b) the state of the national economy
and the likely effects on the national economy of any order that the Commission
is considering, or is proposing to make, with special reference to likely
effects on the level of employment and on inflation.
(3) This section does not apply to the
performance of a function under Part 9 or Part 10.
104
Commission to take into account discrimination issues
In the performance of its functions, the
Commission must take into account the following:
(a) the need to apply the principle of
equal pay for work of equal value;
(b) the need to prevent and eliminate
discrimination because of, or for reasons including, race, colour, sex, sexual
preference, age, physical or mental disability, marital status, family
responsibilities, pregnancy, religion, political opinion, national extraction
or social origin.
105
Commission to take account of Racial Discrimination Act, Sex Discrimination
Act, Disability Discrimination Act and Age Discrimination Act
In the performance of its functions, the
Commission must take account of the principles embodied in the Racial
Discrimination Act 1975, the Sex Discrimination Act 1984, the Disability
Discrimination Act 1992 and the Age Discrimination Act 2004 relating
to discrimination in relation to employment.
106
Commission to take account of Family Responsibilities Convention
(1) In performing its functions, the
Commission must take account of the principles embodied in the Family
Responsibilities Convention, in particular those relating to:
(a) preventing discrimination against
workers who have family responsibilities; and
(b) helping workers to reconcile their
employment and family responsibilities.
(2) This section does not apply to the
performance of a function under Part 9.
107 Safety, health and
welfare of employees
(1) In performing its functions, the
Commission must take into account the provisions of any law of a State or
Territory relating to the safety, health and welfare of employees in relation
to their employment.
(2) This section does not apply to the
performance of a function under Division 3 of Part 12.
108
Commission to act quickly
The Commission must perform its
functions as quickly as practicable.
109
Commission to avoid technicalities and facilitate fair conduct of proceedings
The Commission must perform its
functions in a way that avoids unnecessary technicalities and facilitates the
fair and practical conduct of any proceedings under this Act or the
Registration and Accountability of Organisations Schedule.
Subdivision B—Particular powers and procedures of the Commission
110
Procedure of Commission
(1) In a proceeding under this Act or the
Registration and Accountability of Organisations Schedule:
(a) the procedure of the Commission
is, subject to this Act, the Registration and Accountability of Organisations
Schedule and the Rules of the Commission, within the discretion of the
Commission; and
(b) the Commission is not bound to act
in a formal manner and is not bound by any rules of evidence, but may inform
itself on any matter in such manner as it considers just; and
(c) the Commission must act according
to equity, good conscience and the substantial merits of the case, without
regard to technicalities and legal forms.
(2) The Commission may determine the periods
that are reasonably necessary for the fair and adequate presentation of the
respective cases of the parties to the proceeding and require that the cases be
presented within the respective periods.
(3) The Commission may require evidence or
argument to be presented in writing, and may decide the matters on which it
will hear oral evidence or argument.
111
Particular powers of Commission
(1) The Commission may do any of the
following in relation to a proceeding under this Act or the Registration and
Accountability of Organisations Schedule:
(a) inform itself in any manner that
it thinks appropriate;
(b) take evidence on oath or
affirmation;
(c) give directions orally or in
writing in the course of, or for the purposes of, procedural matters relating
to the proceeding;
(d) vary or revoke an order, direction
or decision of the Commission;
(e) dismiss a matter or part of a
matter on the ground:
(i) that the matter, or
the part of the matter, is trivial; or
(ii) that further
proceedings in relation to the matter are not necessary or desirable in the
public interest;
(f) determine the proceeding in the
absence of a person who has been summoned or served with a notice to appear;
(g) sit at any place;
(h) conduct the proceeding, or any
part of the proceeding, in private;
(i) adjourn the proceeding to any
time and place;
(j) refer any matter to an expert and
accept the expert’s report as evidence;
(k) direct a member of the Commission
to consider a particular matter that is before the Full Bench and prepare a
report for the Full Bench on that matter;
(l) allow the amendment, on any terms
that it thinks appropriate, of any application or other document relating to the
proceeding;
(m) correct, amend or waive any error,
defect or irregularity whether in substance or form;
(n) summon before it any persons whose
presence the Commission considers would assist in relation to the proceeding;
(o) compel the production before it of
documents and other things for the purpose of reference to such entries or
matters as relate to the proceeding;
(p) make interim decisions;
(q) make a final decision in respect of the
matter to which the proceeding relates.
(2) The Commission may, in writing, authorise
a person (including a member of the Commission) to take evidence on its behalf,
with any limitations as the Commission directs, in relation to the proceeding,
and the person has all the powers of the Commission to secure:
(a) the attendance of witnesses; and
(b) the production of documents and
things; and
(c) the taking of evidence on oath or
affirmation.
(3) The following provisions do not apply to
the performance of a function under Part 9:
(a) paragraph (1)(e);
(b) paragraph (1)(j);
(c) paragraph (1)(k).
(4) The following provisions do not apply to
the performance of a function under Division 3, 4 or 5 of Part 12:
(a) paragraph (1)(a);
(b) paragraph (1)(e);
(c) paragraph (1)(k);
(d) paragraph (1)(p);
(e) paragraph (1)(q);
(f) subsection (2).
(5) Paragraph (1)(j) does not apply to
the performance of a function under Division 4 of Part 12.
(6) If a provision of this Act specifies a
time or a period in respect of any matter or thing, the Commission must not
extend the time or the period specified unless this Act expressly permits the
Commission to do so.
(7) If a provision of the Registration and
Accountability of Organisations Schedule specifies a time or a period in
respect of any matter or thing, the Commission must not extend the time or the
period specified unless the Registration and Accountability of Organisations
Schedule expressly permits the Commission to do so.
(8) For the purposes of paragraph (1)(d),
order does not include an award or an award‑related order.
112
Reference of proceedings to Full Bench
(1) If a proceeding is before a member of the
Commission, a party to the proceeding or the Minister may apply to the member
to have the proceeding dealt with by a Full Bench because the subject matter of
the proceeding is of such importance that, in the public interest, the
proceeding should be dealt with by a Full Bench.
(2) If an application is made under subsection (1)
to a member of the Commission other than the President:
(a) the member must refer the application
to the President to be dealt with; and
(b) the President must confer with the
member about whether the application should be granted.
(3) If the President is of the opinion that
the subject matter of the proceeding is of such importance that, in the public
interest, the proceeding should be dealt with by a Full Bench, the President
must grant the application.
(4) If the President grants an application
under subsection (1), the Full Bench must (subject to subsection (5))
hear and determine the proceeding to which the application relates.
(5) If the President grants an application
under subsection (1), the Full Bench may do either or both of the
following:
(a) have regard to any evidence given,
and any arguments adduced, in the proceeding before the Full Bench began to
deal with it;
(b) refer a part of the proceeding to
a member of the Commission to hear and determine.
(6) The President may, before a Full Bench
has been established for the purpose of dealing with a proceeding under this
section, authorise a member of the Commission to take evidence for the purposes
of the proceeding, and the Full Bench must have regard to the evidence.
(7) The President or a Full Bench may, in
relation to the exercise of powers under this section, direct a member of the
Commission to provide a report in relation to a specified matter.
(8) The member must, after making such
investigation (if any) as is necessary, provide a report to the President or
the Full Bench, as required.
(9) In this section:
proceeding includes a part of a proceeding.
113
President may deal with certain proceedings
(1) The President may, whether or not another
member of the Commission has begun to deal with a particular proceeding, decide
to deal with the proceeding.
(2) If the President decides to deal with the
proceeding, the President must:
(a) hear and determine the proceeding;
or
(b) refer the proceeding to a Full
Bench.
(3) If the President refers an application to
a Full Bench, the Full Bench must (subject to subsection (4)) hear and
determine the proceeding.
(4) If the President refers the proceeding to
a Full Bench, the Full Bench may refer a part of the proceeding to a member of
the Commission to hear and determine.
(5) The President or the Full Bench may, in
dealing with the proceeding, have regard to any evidence given, and any
arguments adduced, in the proceeding before the President or the Full Bench, as
the case may be, began to deal with it.
(6) The President or a Full Bench may, in
relation to the exercise of powers under this section, direct a member of the
Commission to provide a report in relation to a specified matter.
(7) The member must, after making such
investigation (if any) as is necessary, provide a report to the President or a
Full Bench, as the case may be.
(8) In this section:
proceeding includes a part of a proceeding.
114 Review on application
by Minister
(1) The Minister may apply to the President
for a review by a Full Bench of an award or order, or a decision relating to
the making of an award or order, made by a member of the Commission (whether
under this Act, the Registration and Accountability of Organisations Schedule
or otherwise) if it appears to the Minister that the award, order or decision
is contrary to the public interest.
(2) If an application is made to the
President under subsection (1), the President must establish a Full Bench
to hear and determine the application.
(3) The Full Bench must, if in its opinion
the matter is of such importance that, in the public interest, the award, order
or decision should be reviewed, make such review of the award, order or
decision as appears to it to be desirable having regard to the matters referred
to in the application.
(4) Subject to subsection (5) of this
section, subsections 120(4) to (8) apply in relation to a review under this
section in the same manner as they apply in relation to an appeal under section 120.
(5) Subsections 121(4) to (8) apply in
relation to a review under this section in relation to a matter arising under
the Registration and Accountability of Organisations Schedule in the same
manner as they apply in relation to an appeal under section 121.
(6) In a review under this section:
(a) the Commission must take such
steps as it thinks appropriate to ensure that each person and organisation
bound by the award or otherwise with an interest in the review is made aware of
the review; and
(b) the Minister may intervene in the
proceeding.
(7) Each provision of this Act relating to
the performance of the Commission’s functions in relation to awards extends to
a review under this section.
(8) Nothing in this section affects any right
of appeal or any power of a Full Bench under section 120, and an appeal
under that section and a review under this section may, if the Full Bench
thinks appropriate, be dealt with together.
(9) Nothing in this section affects any right
of appeal or any power of a Full Bench under section 121, and an appeal
under that section and a review under this section may, if the Full Bench
thinks appropriate, be dealt with together.
115
Compulsory conferences
(1) For the purpose of the performance of a
function, or the exercise of a power, of the Commission under this Act or the
Registration and Accountability of Organisations Schedule, a member of
the Commission may, on the initiative of the member or on application made by a
party to, or intervener in, the proceeding, direct a person to attend, at a
specified time and place, a conference to be presided over by a member of the
Commission or another person nominated by the President.
Note: Contravening a direction may be an offence
under section 815.
(2) A direction may be given to anyone whose
presence at the conference the member considers would help in the performance
of a function under this Act or the Registration and Accountability of
Organisations Schedule.
(3) The conference must be held in private
except to the extent that the person presiding over the conference directs that
it be held in public.
(4) This section does not apply to the
performance of a function under Part 9.
116
Power to override certain laws affecting public sector employment
(1) In so far as the performance of its
functions under this Act or the Registration and Accountability of
Organisations Schedule involves public sector employment, the Commission may,
where it considers it proper to do so, make an award or order that is not, or
in its opinion may not be, consistent with a relevant law of the Commonwealth
or of an internal Territory.
(2) In this section:
enactment means an ordinance made under the Northern
Territory (Administration) Act 1910 and continued in force by the Northern
Territory (Self‑Government) Act 1978.
relevant law means a law of the Commonwealth
or an internal Territory relating to matters pertaining to the relationship
between employers and employees in public sector employment, other than:
(a) the Safety, Rehabilitation and
Compensation Act 1988, the Long Service Leave (Commonwealth Employees)
Act 1976, the Superannuation Act 1976, the Superannuation Act 1990
or the Superannuation Act 2005; or
(b) a prescribed Act or enactment, or
prescribed provisions of an Act or enactment.
(3) This section does not apply to the
performance of a function under Part 12.
117 State
authorities may be restrained from dealing with matter that is before the
Commission
(1) If it appears to a Full Bench that a
State industrial authority is dealing or is about to deal with a matter that is
the subject of a proceeding before the Commission under this Act or the
Registration and Accountability of Organisations Schedule, the Full Bench may
make an order restraining the State industrial authority from dealing with the
matter.
(2) The State industrial authority must, in
accordance with the order, cease dealing or not deal, as the case may be, with
the matter.
(3) An order, award, decision or
determination of a State industrial authority made in contravention of the
order of a Full Bench under this section is, to the extent of the
contravention, void.
118
Joint sessions of Commission
If:
(a) the President considers that a
question is common to 2 or more proceedings before the Commission; and
(b) the Commission is not constituted
by the same person or persons for the purposes of each proceeding;
the President may direct that the Commission constituted
by all the persons who constitute the Commission for the purposes of the
proceedings may take evidence or hear argument, or take evidence and hear
argument, as to the question for the purposes of both or all of the
proceedings.
119
Revocation and suspension of awards and orders
(1) An organisation, a person interested or
the Minister may apply to the President, and a member of the Commission or a
Registrar may refer a matter to the President, for action by a Full Bench under
this section.
(2) If an application is made to the
President under subsection (1), the President must establish a Full Bench
to hear and determine the application.
(3) If a matter is referred to the President
under subsection (1), the President may establish a Full Bench to hear and
determine the matter.
(4) If it appears to the Full Bench:
(a) that an organisation has
contravened this Act, the Registration and Accountability of Organisations
Schedule or an award or order of the Commission; or
(b) that a substantial number of the
members of an organisation refuse to accept employment either at all or in
accordance with existing awards or orders; or
(c) that for any other reason an award
or order should be suspended or revoked in whole or part;
the Full Bench may, subject to such conditions as it
thinks appropriate, make an order revoking, or suspending for such period as it
thinks appropriate, the award or order or any of the terms of the award or an
order.
(5) The Full Bench may also make such other
orders as it thinks appropriate in relation to the operation of:
(a) if the Full Bench revokes or
suspends an award or order on a ground referred to in paragraph (4)(a) or
(b)—any other award or order that binds the organisation; or
(b) in any other case—any other award
or order that applies in relation to the employment of:
(i) members of an
organisation that is bound by the revoked or suspended award or order; or
(ii) persons eligible to be
members of such an organisation.
(6) The revocation or suspension of all or
any of the terms of an award or order may be expressed to apply only in
relation to:
(a) a particular organisation or
person bound by the award or order; or
(b) a particular branch of an
organisation; or
(c) a particular class of members of
an organisation; or
(d) a particular locality.
Division 5—Appeals to Full Bench and references to Court
120
Appeals to Full Bench relating to matters arising other than under the
Registration and Accountability of Organisations Schedule
(1) Subject to this Act, an appeal lies to a
Full Bench, with the leave of the Full Bench, against:
(a) an award or order made by a member
of the Commission; and
(b) a decision of a member of the
Commission not to make an award or order; and
(c) a decision of a member of the
Commission under paragraph 111(1)(e); and
(d) a decision of a member of the
Commission to vary, or not to vary, an award under section 812; and
(e) a decision of the Commission to
vary, or not to vary, an award or workplace agreement that has been referred to
the Commission under section 46PW of the Human Rights and Equal
Opportunity Commission Act 1986; and
(f) a decision of a member of the
Commission that the member has jurisdiction, or a refusal or failure of a
member of the Commission to exercise jurisdiction, in a matter arising under
this Act.
(2) A Full Bench shall grant leave to appeal
under subsection (1) if, in its opinion, the matter is of such importance
that, in the public interest, leave should be granted.
(3) An appeal under subsection (1) may
be instituted:
(a) in the case of an appeal under paragraph (1)(a)
that is not covered by paragraph (b) or (c) of this subsection—by an
organisation or person bound by the award or order;
(b) in the case of an appeal under paragraph (1)(a)
against an order under Part 12—by a person entitled under section 685
to institute the appeal; and
(c) in the case of an appeal under paragraph (1)(a)
against an order that was made under subsection 590(1) or subclause 14(1) or
23(1) of Schedule 9—by the person who applied for the order or any person
who made submissions to the Commission on whether the order should be made; and
(d) in the case of an appeal under paragraph (1)(b)
against a decision not to make an order under subsection 590(1) or subclause
14(1) or 23(1) of Schedule 9—by the person who applied for the order;
(e) in the case of an appeal under
paragraph (1)(d) in relation to an award—by:
(i) an employer, employee
or organisation bound by the award; or
(ii) the Workplace
Authority Director; and
(f) in the case of an appeal under paragraph (1)(e)—by
a party to the review of the award or workplace agreement; and
(g) in any other case—by an
organisation or person aggrieved by the decision or act concerned.
(4) Where an appeal has been instituted under
this section, a Full Bench or Presidential Member may, on such terms and
conditions as the Full Bench or Presidential Member considers appropriate,
order that the operation of the whole or a part of the decision or act
concerned be stayed pending the determination of the appeal or until further
order of a Full Bench or Presidential Member.
(5) A Full Bench may direct that 2 or more
appeals be heard together, but an organisation or person who has a right to be
heard in relation to one of the appeals may be heard in relation to a matter
raised in another of the appeals only with the leave of the Full Bench.
(6) For the purposes of an appeal under this
section, a Full Bench:
(a) may admit further evidence; and
(b) may direct a member of the
Commission to provide a report in relation to a specified matter.
(7) On the hearing of the appeal, the Full
Bench may do one or more of the following:
(a) confirm, quash or vary the
decision or act concerned;
(b) make an award, order or decision
dealing with the subject‑matter of the decision or act concerned;
(c) direct the member of the
Commission whose decision or act is under appeal, or another member of the
Commission, to take further action to deal with the subject‑matter of the
decision or act in accordance with the directions of the Full Bench;
(d) in the case of an appeal under paragraph (1)(c)—take
any action (including making an award or order) that could have been taken if
the decision under paragraph 111(1)(e) had not been made.
(8) Where, under paragraph (6)(b), a
Full Bench directs a member of the Commission to provide a report, the member
shall, after making such investigation (if any) as is necessary, provide the
report to the Full Bench.
121
Appeals to Full Bench relating to matters arising under the Registration and
Accountability of Organisations Schedule etc.
(1) Subject to the Registration and
Accountability of Organisations Schedule and this Act, an appeal lies to a Full
Bench, with the leave of the Full Bench, against:
(a) a decision of a member of the
Commission by way of a finding in relation to a matter arising under the
Registration and Accountability of Organisations Schedule; and
(b) an order made by a member of the
Commission in proceedings under that Schedule, other than an order made by
consent of the parties to the proceeding; and
(c) a decision of a member of the
Commission under that Schedule not to make an order; and
(d) a decision of a member of the
Commission under paragraph 111(1)(e) of this Act; and
(e) a decision of a member of the
Commission that the member has jurisdiction, or a refusal or failure of a
member of the Commission to exercise jurisdiction, in a matter arising under
the Registration and Accountability of Organisations Schedule.
(2) A Full Bench must grant leave to appeal
under subsection (1) if, in its opinion, the matter is of such importance
that, in the public interest, leave should be granted.
(3) An appeal under subsection (1) may
be instituted by:
(a) a party to the proceeding; or
(b) a person bound by an order; or
(c) a person aggrieved by the
decision.
(4) Where an appeal has been instituted under
this section, a Full Bench or Presidential Member may, on such terms and
conditions as the Full Bench or Presidential Member considers appropriate,
order that the operation of the whole or a part of the decision or act
concerned be stayed pending the determination of the appeal or until further
order of a Full Bench or Presidential Member.
(5) A Full Bench may direct that 2 or more
appeals be heard together, but an organisation or person who has a right to be
heard in relation to one of the appeals may be heard in relation to a matter
raised in another of the appeals only with the leave of the Full Bench.
(6) For the purposes of an appeal under this
section, a Full Bench:
(a) may admit further evidence; and
(b) may direct a member of the
Commission to provide a report in relation to a specified matter.
(7) On the hearing of the appeal, the Full
Bench may do one or more of the following:
(a) confirm, quash or vary the
decision or act concerned;
(b) make an order or decision dealing
with the subject‑matter of the decision or act concerned;
(c) direct the member of the
Commission whose decision or act is under appeal, or another member of the
Commission, to take further action to deal with the subject‑matter of the
decision or act in accordance with the directions of the Full Bench;
(d) in the case of an appeal under paragraph (1)(d)—take
any action (including making an order) that could have been taken if the
decision under paragraph 111(1)(e) had not been made.
(8) If, under paragraph (6)(b), a Full
Bench directs a member of the Commission to provide a report, the member must,
after making such investigation (if any) as is necessary, provide the report to
the Full Bench.
(9) Each provision of this Act and the
Registration and Accountability of Organisations Schedule relating to the
hearing or determination of a matter mentioned in subsection (1) of this
section extends to the hearing or determination of an appeal under this
section.
122
References to Court by Commission on question of law
(1) The Commission may refer a question of
law arising in a matter before the Commission for the opinion of the Court.
(2) If the question referred to the Court is
not whether the Commission may exercise powers in relation to the matter, the
Commission may, in spite of the reference, make an award, order or decision in
the matter.
(3) On the determination of the question by
the Court:
(a) if the Commission has not made an
award, order or decision in the matter—the Commission may make an award, order
or decision not inconsistent with the opinion of the Court; or
(b) if the Commission has made an
award, order or decision in the matter—the Commission shall vary the award,
order or decision in such a way as will make it consistent with the opinion of
the Court.
Division 6—Miscellaneous
123
Seals of Commission
(1) The Commission shall have a seal on which
are inscribed the words “The Seal of the Australian Industrial Relations
Commission”.
(2) A duplicate of the seal shall be kept at
each registry.
(3) Such other seals as are required for the
business of the Commission shall be kept and used at each registry, and shall
be in such form and kept in such custody, as the President directs.
(4) A document, or a copy of a document,
purporting to be sealed with the seal of the Commission or a duplicate of the
seal, or with a seal referred to in subsection (3), is receivable in
evidence without further proof of the seal.
124
Rules of Commission
(1) The President, after consultation with
members of the Commission, may, by signed instrument, make rules, not
inconsistent with this Act or the Registration and Accountability of
Organisations Schedule, with respect to:
(a) the practice and procedure to be
followed in the Commission; or
(b) the conduct of business in the
Commission;
and, in particular:
(c) the manner in which, and the time
within which, applications, submissions and objections may be made to the
Commission; and
(d) the manner in which applications,
submissions and objections may be dealt with by the Commission; and
(e) the furnishing of security for the
payment of costs in respect of an application made under section 643.
(2) A Rule of the Commission:
(a) is a disallowable instrument for
the purposes of section 46A of the Acts Interpretation Act 1901;
and
(b) is a statutory rule within the
meaning of the Statutory Rules Publication Act 1903.
(3) If Rules of the Commission have not been
made under this section with respect to the practice and procedure of the
Commission, and the regulations do not make provision with respect to the
matter, the regulations made under the previous Act (as in force immediately
before the commencement of this section) apply, so far as practicable and with
all necessary modifications, with respect to the practice and procedure of the
Commission in the same manner as they applied immediately before that
commencement to the practice and procedure of the Australian Conciliation and
Arbitration Commission.
125
President must provide certain information etc. to the Minister
(1) The President must provide to the
Minister information, and copies of documents, of the kinds that are prescribed
by the regulations, being:
(a) information that is publicly
available, or derived from information that is publicly available, relating to:
(i) the Commission’s
orders, decisions or actions under this Act; or
(ii) notifications or
applications made or given to the Commission under this Act; or
(b) copies of such orders, decisions,
notifications or applications.
(2) The President must provide the
information or the copies by the time, and in the form, prescribed by the
regulations.
126
Annual report of Commission
(1) The President shall, as soon as
practicable after the end of each financial year, prepare and provide to the
Minister a report of the operations of the Commission during that year.
(2) The Minister shall cause a copy of the
report to be laid before each House of the Parliament within 15 sitting days of
that House after its receipt by the Minister.
Part 4—Australian Industrial Registry
Division 1—Interpretation
127
Definition of State industrial body
In this Part:
State industrial body means a court,
tribunal, board, authority or other body of a State.
Division 2—Establishment and functions of Australian Industrial Registry
128
Australian Industrial Registry
(1) There is established a registry to be
known as the Australian Industrial Registry.
(2) There shall be an Industrial Registrar,
and such Deputy Industrial Registrars as are necessary from time to time.
(3) The Industrial Registry shall consist of
the Industrial Registrar, the Deputy Industrial Registrars and the other staff
referred to in section 149.
(4) The Industrial Registrar shall direct the
business of the Industrial Registry.
129
Functions of the Industrial Registry
(1) The functions of the Industrial Registry
are:
(a) to act as the registry for the
Commission and to provide administrative support to the Commission;
(b) to provide advice and assistance
to organisations in relation to their rights and obligations under this Act;
and
(c) such other functions as are
conferred on the Industrial Registry by this Act, the BCII Act or the
Registration and Accountability of Organisations Schedule.
(2) If an agreement made by the Minister,
after consulting the President, with an appropriate authority of a State:
(a) provides for the Industrial
Registrar or a Deputy Industrial Registrar to be appointed under an Act of the
State to be the Registrar of a State industrial body; or
(b) provides for the Industrial
Registrar or a Deputy Industrial Registrar to perform or exercise any
functions, duties or powers of the Registrar of a State industrial body;
subsections (3) and (4) apply subject to the
agreement.
(3) The
Industrial Registry has the following functions:
(a) acting as the registry for the
State industrial body;
(b) providing administrative support
to the State industrial body.
(4) If:
(a) either of the following
subparagraphs applies:
(i) the Industrial
Registrar or the Deputy Industrial Registrar is appointed under an Act of the
State to be the Registrar of another State industrial body that has replaced
the State industrial body referred to in the agreement;
(ii) an Act of the State,
or the agreement, authorises the Industrial Registrar or the Deputy Industrial
Registrar to perform or exercise any functions, duties or powers of another
State industrial body that has replaced the State industrial body referred to
in the agreement; and
(b) the Minister, after consulting the
President, has agreed to the Industrial Registry having the following
functions:
(i) acting as the registry
for the other State industrial body;
(ii) providing
administrative support to the other State industrial body;
the Industrial Registry has those functions.
(5) If, after consulting the President, the
Minister has made an agreement with an appropriate authority of a State for the
Industrial Registry to perform the functions (State Registry functions)
of acting as the registry for, and providing administrative support to, a State
industrial body referred to in the agreement and:
(a) State Registry functions in
relation to the State industrial body referred to in the agreement are
expressed to be conferred on the Industrial Registry by or under an Act of the
State or the agreement; or
(b) State Registry functions in
relation to another State industrial body that has replaced the State
industrial body referred to in the agreement are expressed to be conferred on
the Industrial Registry by or under an Act of the State or the agreement and
the Minister, after consulting the President, has agreed to the Industrial
Registry performing those functions in relation to the other State industrial
body;
then, subject to the agreement, the Industrial Registry
has the State Registry functions in relation to the State industrial body
referred to in the agreement or the other State industrial body, as the case
may be.
130
Registries
(1) The Governor‑General shall cause a
Principal Registry of the Industrial Registry to be established.
(2) The Governor‑General may cause
other registries of the Industrial Registry to be established, but shall cause
at least one registry to be established in each State, the Australian Capital
Territory and the Northern Territory.
131
Seals of the Registry
(1) The Industrial Registry shall have a seal
on which are inscribed the words “The Seal of the Australian Industrial
Registry”.
(2) A duplicate of the seal shall be kept at
each registry.
(3) Such other seals as are required for the
business of the Industrial Registry shall be kept and used at each registry,
and shall be in such form and kept in such custody, as the Industrial Registrar
directs.
(4) A document, or a copy of a document,
purporting to be sealed with the seal of the Industrial Registry or a duplicate
of that seal, or with a seal referred to in subsection (3), is receivable
in evidence without further proof of the seal.
132
Annual report of Industrial Registry
(1) The Industrial Registrar shall, as soon
as practicable after the end of each financial year, prepare and provide to the
Minister a report of the operations of the Industrial Registry under this Act,
the BCII Act and the Registration and Accountability of Organisations Schedule
during that year.
(2) The Minister shall cause a copy of the
report to be laid before each House of the Parliament within 15 sitting days of
that House after its receipt by the Minister.
Division 3—Registrars
133
Industrial Registrar
(1) The Governor‑General shall appoint
a person to be the Industrial Registrar.
(2) The Industrial Registrar:
(a) has the powers and functions
conferred on the Industrial Registrar, or on a Registrar, by or under this Act,
the BCII Act, the Registration and Accountability of Organisations Schedule or
an award; and
(b) shall perform the functions
conferred on the Industrial Registry by this Act, the BCII Act or the
Registration and Accountability of Organisations Schedule, and has such powers
as are necessary for the performance of those functions.
(3) If an agreement is made between the
Minister and the appropriate authority of a State as mentioned in subsection 129(2),
then, subject to the agreement:
(a) if the Industrial Registrar is
appointed under an Act of the State to be the Registrar of a State industrial
body referred to in the agreement, or to be the Registrar of another State
industrial body as mentioned in subparagraph 129(4)(a)(i)—the Industrial
Registrar has, and must perform, any functions or duties, and may exercise any
powers, of the Registrar of the body concerned, whether the functions, duties
or powers are conferred by or under that Act or another Act of the State; or
(b) if an Act of the State, or the
agreement, is expressed to authorise the Industrial Registrar to perform or
exercise any functions, duties or powers of the Registrar of a State industrial
body referred to in the agreement or any functions, duties or powers of the
Registrar of another State industrial body as mentioned in subparagraph 129(4)(a)(ii)—the
Industrial Registrar has, and must perform, those functions or duties, or may
exercise those powers, as the case may be.
(4) If:
(a) under
subsection 129(5) the Industrial Registry has the functions of acting as the
registry for, and providing administrative support to, a State industrial body;
and
(b) a
law of the State is expressed to authorise the Industrial Registrar, or a
Registrar, to perform or exercise any functions, duties or powers relevant to
the performance of the functions referred to in paragraph (a);
then, subject to the agreement referred to in subsection 129(5),
the Industrial Registrar has, and must perform, those functions or duties, or
may exercise those powers, as the case may be.
(5) The Principal Registry shall be directly
controlled by the Industrial Registrar.
(6) In exercising the powers and performing
the functions of his or her office in relation to the Commission, the
Industrial Registrar shall comply with any directions given by the President.
(7) In performing or exercising any
functions, duties or powers in relation to a State industrial body as mentioned
in subsection (3) or (4), the Industrial Registrar must comply with any
directions lawfully given by the body.
(8) In allocating and managing the resources
of the Industrial Registry, the Industrial Registrar shall have regard to the
needs of the Commission and the needs of any State industrial body in respect
of which the Industrial Registrar or a Deputy Industrial Registrar performs or
exercises functions, duties or powers.
134
Tenure of office of Industrial Registrar
(1) Subject to this Part, the Industrial
Registrar holds office for such term (not exceeding 7 years) as is specified in
the instrument of appointment, but is eligible for re‑appointment.
(2) The Industrial Registrar holds office on
such terms and conditions (if any) in relation to matters not provided for by
this Act as are determined by the Governor‑General.
135
Remuneration and allowances of Industrial Registrar
Subject to the Remuneration Tribunal
Act 1973, the Industrial Registrar shall be paid:
(a) such remuneration as is determined
by the Remuneration Tribunal; and
(b) such allowances as are prescribed.
136
Outside employment of Industrial Registrar
(1) Subject to subsection (2), the
Industrial Registrar shall not, except with the consent of the Minister, engage
in paid employment outside the duties of the office.
(2) Subsection (1) does not apply in
relation to the holding by the Industrial Registrar of an office or appointment
in the Defence Force.
137
Disclosure of interests by Industrial Registrar
(1) The Industrial Registrar shall give
written notice to the Minister of all direct or indirect pecuniary interests
that the Industrial Registrar has or acquires in any business or in any body
corporate carrying on any business.
(2) Where the Industrial Registrar has or
acquires any interest (whether pecuniary or otherwise) that could conflict with
the proper exercise of a power, or the proper performance of a function, in
relation to a proceeding before the Industrial Registrar:
(a) the Industrial Registrar shall
disclose the interest to the parties to the proceeding; and
(b) unless all the parties consent to
the Industrial Registrar exercising the power or performing the function in
relation to the proceeding—the Industrial Registrar shall nominate a Deputy
Industrial Registrar to exercise the power or perform the function.
138
Leave of absence of Industrial Registrar
(1) The Industrial Registrar has such
recreation leave entitlements as are determined by the Remuneration Tribunal.
(2) The Minister may grant the Industrial
Registrar leave of absence, other than recreation leave, on such terms and
conditions as to remuneration or otherwise as the Minister determines.
139
Resignation by Industrial Registrar
The Industrial Registrar may resign by
signed instrument delivered to the Governor‑General.
140
Termination of appointment of Industrial Registrar
(1) The Governor‑General may terminate
the appointment of the Industrial Registrar for misbehaviour or physical or
mental incapacity.
(2) The Governor‑General shall
terminate the appointment of the Industrial Registrar if the Industrial
Registrar:
(a) becomes bankrupt, applies to take
the benefit of any law for the relief of bankrupt or insolvent debtors,
compounds with creditors or makes an assignment of remuneration for their
benefit;
(b) is absent from duty, except on
leave of absence, for 14 consecutive days or for 28 days in any 12 months;
(c) engages in paid employment outside
the duties of the office in contravention of section 136; or
(d) fails, without reasonable excuse,
to comply with section 137.
141
Deputy Industrial Registrars
(1) The Governor‑General shall appoint
such number of persons to be Deputy Industrial Registrars as are necessary from
time to time.
(2) Each Deputy Industrial Registrar:
(a) has the powers and functions
conferred on a Registrar by or under this Act, the BCII Act, the Registration
and Accountability of Organisations Schedule or an award; and
(b) subject to the directions of the
Industrial Registrar, shall perform the functions conferred on the Industrial
Registry by this Act or the Registration and Accountability of Organisations
Schedule, and has such powers as are necessary for the performance of those
functions.
(3) If an agreement is made between the
Minister and the appropriate authority of a State as mentioned in subsection 129(2),
then, subject to the agreement:
(a) if a Deputy Industrial Registrar
is appointed under an Act of the State to be the Registrar or a Deputy
Registrar of a State industrial body referred to in the agreement, or to be the
Registrar or a Deputy Registrar of another State industrial body as mentioned
in subparagraph 129(4)(a)(i)—the Deputy Industrial Registrar has, and must
perform, any functions or duties, and may exercise any powers, of the Registrar
or Deputy Registrar, as the case may be, of the body concerned, whether the
functions, duties or powers are conferred by or under that Act or another Act
of the State; or
(b) if an Act of the State, or the
agreement, is expressed to authorise a Deputy Industrial Registrar or a Deputy
Registrar to perform or exercise any functions, duties or powers of the
Registrar or a Deputy Registrar of a State industrial body referred to in the
agreement or any functions, duties or powers of the Registrar or a Deputy
Registrar of another State industrial body as mentioned in subparagraph 129(4)(a)(ii)—the
Deputy Industrial Registrar has, and must perform, those functions or duties,
or may exercise those powers, as the case may be.
(4) If:
(a) under subsection 129(5) the
Industrial Registry has the functions of acting as the registry for, and
providing administrative support to, a State industrial body; and
(b) a
law of the State is expressed to authorise the Industrial Registrar, or a
Registrar, to perform or exercise any functions, duties or powers relevant to
the performance of the functions referred to in paragraph (a);
then, subject to the agreement referred to in subsection 129(5),
each Deputy Industrial Registrar:
(c) has the functions, duties or
powers referred to in paragraph (b); and
(d) must perform those functions or
duties or may exercise those powers, as the case may be, subject to the
directions of the Industrial Registrar.
142
Acting Industrial Registrar
(1) The Minister may appoint a person to act
in the office of Industrial Registrar:
(a) during any vacancy in the office
(whether or not an appointment has previously been made to the office); or
(b) during any period, or during all
periods, when the Industrial Registrar is absent from duty or from Australia or
is, for any other reason, unable to perform the functions of the office.
(2) Anything done by or in relation to a
person purporting to act under subsection (1) is not invalid because:
(a) the occasion for the appointment
had not arisen;
(b) there was a defect or irregularity
in connection with the appointment;
(c) the
appointment had ceased to have effect; or
(d) the occasion for the person to act
had not arisen or had ceased.
143
Acting Deputy Industrial Registrars
(1) The Industrial Registrar may appoint a
person to act in the office of a Deputy Industrial Registrar:
(a) during a vacancy in the office
(whether or not an appointment has previously been made to the office); or
(b) during any period, or during all
periods, when the Deputy Industrial Registrar is absent from duty or from Australia
or is, for any other reason, unable to perform the duties of the office.
(2) Anything done by or in relation to a
person purporting to act under subsection (1) is not invalid because:
(a) the occasion for the appointment
had not arisen;
(b) there was a defect or irregularity
in connection with the appointment;
(c) the appointment had ceased to have
effect; or
(d) the occasion for the person to act
had not arisen or had ceased.
144 Oath
or affirmation of office of Registrar
A Registrar shall, before proceeding to
discharge the duties of the office, take before the Governor‑General, a
Justice of the High Court, a Judge of the Court or a Judge of the Supreme Court
of a State or Territory an oath or affirmation in accordance with the form in Schedule 3.
Division 4—References and appeals
145
References by Registrar to Commission
(1) A Registrar may refer a matter, or a
question (other than a question of law) arising in a matter, before the
Registrar to the President for decision by the Commission.
(2) The Commission may:
(a) hear and determine the matter or
question; or
(b) refer the matter or question back
to the Registrar, with such directions or suggestions as the Commission
considers appropriate.
(3) The powers of the Commission under this
section are exercisable by:
(a) the President;
(b) a Presidential Member assigned by
the President for the purposes of the matter or question concerned; or
(c) if the President directs—a Full
Bench.
146
Removal of matters before Registrar
(1) Where a matter is before a Registrar, the
President may order that the matter be heard and determined by the Commission.
(2) The powers of the Commission under this
section are exercisable by:
(a) the President;
(b) a Presidential Member assigned by
the President for the purposes of the matter concerned; or
(c) if the President directs—a Full
Bench.
147
Appeals from Registrar to Commission
(1) Subject to this and any other Act, an
appeal lies to the Commission, with the leave of the Commission, against:
(a) the making of any decision, or the
doing of any act, by a Registrar in a matter arising under this Act, the
Registration and Accountability of Organisations Schedule (to the extent
permitted by that Schedule) or any other Act; or
(b) the refusal or failure of a
Registrar to make any decision or do any act in a matter arising under this
Act, the Registration and Accountability of Organisations Schedule (to the
extent permitted by that Schedule) or any other Act.
(2) Where an appeal has been instituted under
this section, the Commission may, on such terms and conditions as it considers
appropriate, order that the operation of the whole or part of the decision or
act concerned be stayed pending the determination of the appeal or until
further order of the Commission.
(3) For the purposes of the appeal, the
Commission may take evidence.
(4) On the hearing of the appeal, the
Commission may do one or more of the following:
(a) confirm, quash or vary the
decision or act concerned;
(b) make a decision dealing with the
subject‑matter of the decision or act concerned;
(c) direct the Registrar whose
decision or act is under appeal, or another Registrar, to take further action
to deal with the subject‑matter of the decision or act in accordance with
the directions of the Commission.
(5) The powers of the Commission under this
section are exercisable by:
(a) the President;
(b) a Presidential Member assigned by
the President for the purposes of the appeal concerned; or
(c) if the President directs—a Full
Bench.
(6) An appeal does not lie to a Full Bench
against a decision under this section.
148
References to Court by Registrar on question of law
(1) A Registrar may refer a question of law
arising in a matter before the Registrar under this Act or the Registration and
Accountability of Organisations Schedule for the opinion of the Court.
(2) On the determination of the question by
the Court, the Registrar shall not give a decision or do anything in the matter
that is inconsistent with the opinion of the Court.
Division 5—Staff
149
Staff
(1) The staff of the Industrial Registry,
including the Deputy Industrial Registrars, shall be persons engaged under the Public
Service Act 1999.
(2) For the purposes of the Public Service
Act 1999:
(a) the Industrial Registrar and the
APS employees assisting the Industrial Registrar together constitute a
Statutory Agency; and
(b) the Industrial Registrar is the
Head of that Statutory Agency.
Part 5—Workplace Authority Director
Division 1—Workplace Authority Director
Subdivision A—Establishment and functions
150A
Workplace Authority Director
There is to be a Workplace Authority
Director.
150B
Functions of Workplace Authority Director
(1) The functions of the Workplace Authority
Director are as follows:
(a) to promote an understanding of
Commonwealth workplace relations legislation, including by making available to
the public general information and guidance about the operation of the
legislation;
(b) to provide education, assistance
and advice to employees, employers and organisations in relation to their
rights and obligations under Commonwealth workplace relations legislation;
(c) to promote the making of workplace
agreements;
(d) to provide education, assistance
and advice to employees, employers (especially employers in small business) and
organisations in relation to workplace agreements;
(e) to accept lodgment of:
(i) workplace agreements;
and
(ii) notices about
transmission of instruments;
(f) to decide under Division 5A
of Part 8 whether workplace agreements pass the no‑disadvantage test;
(g) to authorise multiple‑business
agreements in accordance with the regulations;
(h) to analyse workplace agreements;
(i) to refer matters to the Workplace
Ombudsman and workplace inspectors;
(j) to perform any other function
conferred on the Workplace Authority Director by Commonwealth workplace
relations legislation, the Registration and Accountability of Organisations
Schedule or another Act.
(2) In performing his or her functions
relating to workplace agreements, the Workplace Authority Director must have
particular regard to:
(a) the needs of workers in
disadvantaged bargaining positions, including, for example, women, people from
a non‑English speaking background, young people, apprentices, trainees
and outworkers; and
(b) encouraging parties to agreement‑making
to take account of those needs; and
(c) assisting workers to balance work
and family responsibilities; and
(d) the need to prevent and eliminate
discrimination because of, or for reasons including, race, colour, sex, sexual
preference, age, physical or mental disability, marital status, family
responsibilities, pregnancy, religion, political opinion, national extraction
or social origin.
150C
Minister may give directions to Workplace Authority Director
(1) The Minister may, by legislative
instrument, give written directions to the Workplace Authority Director about
the performance of his or her functions.
(2) Directions given by the Minister under
subsection (1) must be of a general nature only, and cannot relate to a
particular case.
(3) The Minister must not direct the
Workplace Authority Director in relation to the Workplace Authority Director’s
performance of functions, or exercise of powers, as an Agency Head under the Public
Service Act 1999.
(4) The Workplace Authority Director must
comply with any direction given by the Minister under subsection (1).
(5) Section 42 (Disallowance of
legislative instruments) of the Legislative Instruments Act 2003 applies
to a direction given under subsection (1) of this section, despite
section 44 of that Act.
Subdivision B—Appointment and terms and conditions
151A
Appointment of Workplace Authority Director
(1) The Workplace Authority Director is to be
appointed by the Governor‑General by written instrument.
(2) The Governor‑General must not
appoint a person as the Workplace Authority Director unless the Minister is
satisfied that the person:
(a) has suitable qualifications or
experience; and
(b) is of good character.
(3) The Workplace Authority Director holds
office for the period specified in the instrument of appointment. The period
must not exceed 5 years.
(4) The Workplace Authority Director holds
office on a full‑time basis.
151B
Remuneration
(1) The Workplace Authority Director is to be
paid the remuneration that is determined by the Remuneration Tribunal. If no
determination of that remuneration by the Tribunal is in operation, the
Workplace Authority Director is to be paid the remuneration that is prescribed.
(2) The Workplace Authority Director is to be
paid the allowances that are prescribed.
(3) This section has effect subject to the Remuneration
Tribunal Act 1973.
151C
Leave of absence
(1) The Workplace Authority Director has the
recreation leave entitlements that are determined by the Remuneration Tribunal.
(2) The Minister may grant the Workplace
Authority Director leave of absence, other than recreation leave, on the terms
and conditions as to remuneration or otherwise that the Minister determines.
151D
Other terms and conditions
The Workplace Authority Director holds
office on the terms and conditions (if any) in relation to matters not covered
by this Act that are determined by the Governor‑General.
151E
Outside employment
The Workplace Authority Director must
not engage in paid employment outside the duties of the Workplace Authority Director’s
office without the Minister’s approval.
151F
Disclosure of interests
The Workplace Authority Director must
give written notice to the Minister of all interests, pecuniary or otherwise,
that the Workplace Authority Director has or acquires that could conflict with
the proper performance of the Workplace Authority Director’s functions.
151G
Acting appointments
(1) The Minister may appoint a person to act
as the Workplace Authority Director:
(a) during a vacancy in the office of
Workplace Authority Director (whether or not an appointment has previously been
made to the office); or
(b) during any period, or during all
periods, when the Workplace Authority Director is absent from duty or from Australia,
or is, for any reason, unable to perform the duties of the office.
(2) The Minister must not appoint a person to
act as the Workplace Authority Director unless the Minister is satisfied that
the person:
(a) has suitable qualifications or
experience; and
(b) is of good character.
(3) Anything done by or in relation to a
person purporting to act under an appointment is not invalid merely because:
(a) the occasion for the appointment
had not arisen; or
(b) there was a defect or irregularity
in connection with the appointment; or
(c) the appointment had ceased to have
effect; or
(d) the occasion to act had not arisen
or had ceased.
151H
Resignation
(1) The Workplace Authority Director may
resign his or her appointment by giving the Governor‑General a written
resignation.
(2) The resignation takes effect on the day
it is received by the Governor‑General or, if a later day is specified in
the resignation, on that later day.
151J
Termination of appointment
(1) The Governor‑General may terminate
the appointment of the Workplace Authority Director for misbehaviour or
physical or mental incapacity.
(2) The Governor‑General must terminate
the appointment of the Workplace Authority Director if:
(a) the Workplace Authority Director:
(i) becomes bankrupt; or
(ii) applies to take the
benefit of any law for the relief of bankrupt or insolvent debtors; or
(iii) compounds with his or
her creditors; or
(iv) makes an assignment of
his or her remuneration for the benefit of his or her creditors; or
(b) the Workplace Authority Director
is absent, except on leave of absence, for 14 consecutive days or for 28 days
in any 12 months; or
(c) the Workplace Authority Director
engages, except with the Minister’s approval, in paid employment outside the
duties of his or her office; or
(d) the Workplace Authority Director
fails, without reasonable excuse, to comply with section 151F.
Division 2—Workplace Authority Deputy Directors
152A
Workplace Authority Deputy Directors
The Workplace Authority Director is to
be assisted by as many Workplace Authority Deputy Directors as are appointed
from time to time.
152B
Appointment of Workplace Authority Deputy Director
(1) A Workplace Authority Deputy Director is
to be appointed by the Minister by written instrument.
(2) The Minister must not appoint a person as
a Workplace Authority Deputy Director unless the Minister is satisfied that the
person:
(a) has suitable qualifications or
experience; and
(b) is of good character.
(3) A Workplace Authority Deputy Director
holds office for the period specified in the instrument of appointment. The
period must not exceed 5 years.
(4) A Workplace Authority Deputy Director is
to be appointed on a full‑time or part‑time basis.
152C
Remuneration
(1) A Workplace Authority Deputy Director is
to be paid the remuneration that is determined by the Remuneration Tribunal. If
no determination of that remuneration by the Tribunal is in operation, a
Workplace Authority Deputy Director is to be paid the remuneration that is
prescribed.
(2) A Workplace Authority Deputy Director is
to be paid the allowances that are prescribed.
(3) This section has effect subject to the Remuneration
Tribunal Act 1973.
152D
Leave of absence
(1) A full‑time Workplace Authority
Deputy Director has the recreation leave entitlements that are determined by the
Remuneration Tribunal.
(2) The Minister may grant a full‑time
Workplace Authority Deputy Director leave of absence, other than recreation
leave, on the terms and conditions as to remuneration or otherwise that the
Minister determines.
(3) The Minister may grant a part‑time
Workplace Authority Deputy Director leave of absence on the terms and
conditions as to remuneration or otherwise that the Minister determines.
152E
Other terms and conditions
A Workplace Authority Deputy Director
holds office on the terms and conditions (if any) in relation to matters not
covered by this Act that are determined by the Minister.
152F
Outside employment
(1) A full‑time Workplace Authority
Deputy Director must not engage in paid employment outside the duties of the Workplace
Authority Deputy Director’s office without the Minister’s approval.
(2) A part‑time Workplace Authority
Deputy Director must not engage in any paid employment that conflicts or may
conflict with the proper performance of the Workplace Authority Deputy
Director’s duties.
152G
Disclosure of interests
A Workplace Authority Deputy Director
must give written notice to the Minister of all interests, pecuniary or
otherwise, that the Workplace Authority Deputy Director has or acquires that
could conflict with the proper performance of the Workplace Authority Deputy
Director’s functions.
152H
Resignation
(1) A Workplace Authority Deputy Director may
resign his or her appointment by giving the Minister a written resignation.
(2) The resignation takes effect on the day
it is received by the Minister or, if a later day is specified in the
resignation, on that later day.
152J
Termination of appointment
(1) The Minister may terminate the
appointment of a Workplace Authority Deputy Director for misbehaviour or
physical or mental incapacity.
(2) The Minister must terminate the
appointment of a Workplace Authority Deputy Director if:
(a) the Workplace Authority Deputy
Director:
(i) becomes bankrupt; or
(ii) applies to take the
benefit of any law for the relief of bankrupt or insolvent debtors; or
(iii) compounds with his or
her creditors; or
(iv) makes an assignment of
his or her remuneration for the benefit of his or her creditors; or
(b) the Workplace Authority Deputy
Director is appointed on a full‑time basis and is absent, except on leave
of absence, for 14 consecutive days or for 28 days in any 12 months; or
(c) the Workplace Authority Deputy
Director is appointed on a full‑time basis and engages, except with the
Minister’s approval, in paid employment outside the duties of his or her
office; or
(d) the Workplace Authority Deputy
Director is appointed on a part‑time basis and engages in paid employment
that conflicts or could conflict with the proper performance of the duties of
his or her office; or
(e) the Workplace Authority Deputy
Director fails, without reasonable excuse, to comply with section 152G.
Division 3—Staff, delegations etc.
153A
Staff
The staff assisting the Workplace
Authority Director in the performance of the Workplace Authority Director’s
functions must be persons engaged under the Public Service Act 1999.
153B
Workplace Authority
(1) The Workplace Authority is established by
this subsection.
(2) The Workplace Authority consists of:
(a) the Workplace Authority Director; and
(b) the Workplace Authority Deputy
Directors; and
(c) the staff assisting the Workplace
Authority Director.
(3) For the purposes of the Public Service
Act 1999:
(a) the Workplace Authority Director
and the staff assisting the Workplace Authority Director together constitute a
Statutory Agency; and
(b) the Workplace Authority Director
is the Head of that Statutory Agency.
153C
Delegation
(1) The Workplace Authority Director may, in
writing, delegate to a person appointed or employed by the Commonwealth any of
the Workplace Authority Director’s powers or functions.
(2) In exercising powers or functions under a
delegation, the delegate must comply with any directions of the Workplace
Authority Director.
Division 4—Reporting and disclosing information
Subdivision A—Reporting
163A
Minister may require reports
(1) The Minister may, in writing, direct the
Workplace Authority Director to give the Minister specified reports relating to
the Workplace Authority Director’s functions.
(2) The Workplace Authority Director must
comply with the direction.
(3) A direction made under
subsection (1) is not a legislative instrument.
(4) If the report is made in writing, the
report is not a legislative instrument.
163B
Annual report
The Workplace Authority Director must,
as soon as practicable after the end of each financial year, prepare and give
to the Minister, for presentation to the Parliament, a report on the operations
of the Workplace Authority during that year.
Note: See also section 34C of the Acts Interpretation
Act 1901, which contains extra rules about annual reports.
163C
Reports not to include information relating to an individual’s affairs
(1) Information relating to the affairs of an
individual must not be included in a report under section 163A or 163B if:
(a) the individual is named, or
otherwise specifically identified, in the report as the individual to whom the
information relates; or
(b) it is reasonably likely that
people generally (other than people to whom the individual has disclosed
information relating to the individual’s affairs) would be able to work out the
identity of the individual to whom the information relates.
(2) For the purposes of applying
paragraph (1)(b) to information relating to a particular individual’s
affairs, the context in which the information appears, and information that is
otherwise publicly available, must be taken into account (as well as any other
relevant matter).
Subdivision B—Disclosing information
164A
Disclosure of information by workplace agreement officials
Disclosure that is necessary or appropriate
(1) A workplace agreement official may
disclose information he or she acquired in the course of exercising powers, or
performing functions, as such an official, if he or she considers on reasonable
grounds that it is necessary or appropriate to do so in the course of
exercising his or her powers, or performing his or her functions, as such an
official.
Disclosure to Minister
(2) A workplace agreement official may:
(a) provide aggregated statistical
information to the Minister; and
(b) give the Minister, in accordance
with the regulations, information and copies of documents.
(3) Regulations made for the purposes of
paragraph (2)(b) may require that documents given to the Minister are
given with such deletions as are necessary to prevent the identification of
individuals to whom the documents refer.
Disclosure to Workplace Ombudsman and workplace
inspectors
(4) A workplace agreement official may:
(a) disclose information that relates
to the functions of the Workplace Ombudsman to the Workplace Ombudsman in
response to requests from the Workplace Ombudsman; and
(b) disclose information that relates
to the functions of workplace inspectors to workplace inspectors in response to
requests from workplace inspectors; and
(c) disclose information to the
Workplace Ombudsman or workplace inspectors that the workplace agreement
official considers on reasonable grounds is likely to assist the Workplace
Ombudsman or workplace inspectors in performing their functions.
Disclosure authorised by regulations to prescribed
persons
(5) The regulations may authorise a
prescribed workplace agreement official to disclose information of the
prescribed kind, to persons of the prescribed kind, for prescribed purposes.
Limits on disclosure
(6) Despite subsections (1), (2) and
(4), a prescribed workplace agreement official is not authorised by whichever
of those subsections is prescribed to disclose information of the prescribed
kind, to persons of the prescribed kind, for prescribed purposes.
(7) Despite subsections (1), (2) and
(5), a workplace agreement official is not authorised by any of those
subsections to disclose to the Minister information relating to a decision
under Division 5A of Part 8 whether a particular workplace agreement
passes the no‑disadvantage test.
Relationship with the Privacy Act 1988
(8) To avoid doubt, a disclosure in
accordance with this section of personal information (within the meaning of the
Privacy Act 1988) is taken, for the purposes of that Act, to be
authorised by law.
Relationship with section 165
(9) To avoid doubt, a disclosure in
accordance with this section of protected information (as defined in
section 165) is taken, for the purposes of that section, to be
permitted by this Act.
165
Identity of parties to ITEAs not to be disclosed
(1) A person commits an offence if:
(a) the person discloses information;
and
(b) the information is protected
information; and
(c) the discloser has reasonable
grounds to believe that the information will identify another person as being,
or having been, a party to an ITEA; and
(d) the disclosure is not made by the
discloser in the course of performing functions or duties as a workplace
agreement official; and
(e) the disclosure is not required or permitted
by this Act, by another Act, by regulations made for the purposes of this
paragraph or another provision of this Act or by regulations made for the
purposes of another Act; and
(f) the person whose identity is
disclosed has not, in writing, authorised the disclosure.
Penalty: Imprisonment for 6 months.
(1A) To avoid doubt, a disclosure in accordance
with subsection (1) of personal information (within the meaning of the Privacy
Act 1988) is taken, for the purposes of that Act, to be authorised by law.
(2) In this section:
protected information, in relation to a
person, means information that the person acquired:
(a) in the course of performing
functions or duties, or exercising powers, as a workplace agreement official;
or
(b) from a workplace agreement
official who acquired the information as mentioned in paragraph (a).
166
Publication of workplace agreements etc. by Workplace Authority Director
Subject to section 165, the Workplace
Authority Director may publish or make available copies of, or extracts from, workplace
agreements.
Part 5A—Workplace Ombudsman
Division 1—Establishment and functions
166A
Workplace Ombudsman
There is to be a Workplace Ombudsman.
166B
Functions of the Workplace Ombudsman
The functions of the Workplace Ombudsman
are as follows:
(a) to assist employees and employers
to understand their rights and obligations under Commonwealth workplace
relations legislation;
(b) to promote compliance with
Commonwealth workplace relations legislation, including by providing assistance
and advice and disseminating information;
(c) to monitor compliance with
Commonwealth workplace relations legislation;
(d) to investigate suspected
contraventions of Commonwealth workplace relations legislation;
(e) to inquire into any act or
practice that may be contrary to Commonwealth workplace relations legislation;
(f) to refer matters to relevant
authorities;
(g) to institute proceedings to
enforce Commonwealth workplace relations legislation;
(h) to appoint workplace inspectors;
(i) to give, as necessary, directions
relating to the exercise or performance of appointed workplace inspectors’
powers or functions;
(j) to represent employees who are,
or might become, a party to proceedings under this Act, in situations where the
Workplace Ombudsman considers that representing the employees will promote
compliance with Commonwealth workplace relations legislation;
(k) any other functions conferred on
the Workplace Ombudsman by Commonwealth workplace relations legislation.
Note: Among other things, the Workplace Ombudsman
has the functions of a workplace inspector because section 167 makes the
Workplace Ombudsman a workplace inspector.
166C
Minister may give directions to Workplace Ombudsman
(1) The Minister may, by legislative
instrument, give written directions to the Workplace Ombudsman about the
performance of his or her functions.
(2) Directions given by the Minister under
subsection (1) must be of a general nature only, and cannot relate to a
particular case.
(3) The Minister must not direct the
Workplace Ombudsman in relation to the Workplace Ombudsman’s performance of
functions, or exercise of powers, as an Agency Head under the Public Service
Act 1999.
(4) The Workplace Ombudsman must comply with
any direction given by the Minister under subsection (1).
(5) Section 42 (Disallowance of
legislative instruments) of the Legislative Instruments Act 2003 applies
to a direction given under subsection (1) of this section, despite
section 44 of that Act.
Division 2—Appointment and terms and conditions
166D
Appointment of Workplace Ombudsman
(1) The Workplace Ombudsman is to be
appointed by the Governor‑General by written instrument.
(2) The Governor‑General must not
appoint a person as the Workplace Ombudsman unless the Minister is satisfied
that the person:
(a) has suitable qualifications or
experience; and
(b) is of good character.
(3) The Workplace Ombudsman holds office for
the period specified in the instrument of appointment. The period must not
exceed 5 years.
(4) The Workplace Ombudsman holds office on a
full‑time basis.
166E
Remuneration
(1) The Workplace Ombudsman is to be paid the
remuneration that is determined by the Remuneration Tribunal. If no
determination of that remuneration by the Tribunal is in operation, the
Workplace Ombudsman is to be paid the remuneration that is prescribed.
(2) The Workplace Ombudsman is to be paid the
allowances that are prescribed.
(3) This section has effect subject to the Remuneration
Tribunal Act 1973.
166F
Leave of absence
(1) The Workplace Ombudsman has the
recreation leave entitlements that are determined by the Remuneration Tribunal.
(2) The Minister may grant the Workplace
Ombudsman leave of absence, other than recreation leave, on the terms and
conditions as to remuneration or otherwise that the Minister determines.
166G
Other terms and conditions
The Workplace Ombudsman holds office on
the terms and conditions (if any) in relation to matters not covered by this
Act that are determined by the Governor‑General.
166H
Outside employment
The Workplace Ombudsman must not engage
in paid employment outside the duties of the Workplace Ombudsman’s office
without the Minister’s approval.
166J
Disclosure of interests
The Workplace Ombudsman must give
written notice to the Minister of all interests, pecuniary or otherwise, that
the Workplace Ombudsman has or acquires that could conflict with the proper
performance of the Workplace Ombudsman’s functions.
166K
Acting appointments
(1) The Minister may appoint a person to act
as the Workplace Ombudsman:
(a) during a vacancy in the office of
Workplace Ombudsman (whether or not an appointment has previously been made to
the office); or
(b) during any period, or during all
periods, when the Workplace Ombudsman is absent from duty or from Australia, or
is, for any reason, unable to perform the duties of the office.
(2) The Minister must not appoint a person to
act as the Workplace Ombudsman unless the Minister is satisfied that the
person:
(a) has suitable qualifications or
experience; and
(b) is of good character.
(3) Anything done by or in relation to a
person purporting to act under an appointment is not invalid merely because:
(a) the occasion for the appointment
had not arisen; or
(b) there was a defect or irregularity
in connection with the appointment; or
(c) the appointment had ceased to have
effect; or
(d) the occasion to act had not arisen
or had ceased.
166L
Resignation
(1) The Workplace Ombudsman may resign his or
her appointment by giving the Governor‑General a written resignation.
(2) The resignation takes effect on the day
it is received by the Governor‑General or, if a later day is specified in
the resignation, on that later day.
166M
Termination of appointment
(1) The Governor‑General may terminate
the appointment of the Workplace Ombudsman for misbehaviour or physical or
mental incapacity.
(2) The Governor‑General must terminate
the appointment of the Workplace Ombudsman if:
(a) the Workplace Ombudsman:
(i) becomes bankrupt; or
(ii) applies to take the benefit
of any law for the relief of bankrupt or insolvent debtors; or
(iii) compounds with his or
her creditors; or
(iv) makes an assignment of
his or her remuneration for the benefit of his or her creditors; or
(b) the Workplace Ombudsman is absent,
except on leave of absence, for 14 consecutive days or for 28 days in any 12 months;
or
(c) the Workplace Ombudsman engages,
except with the Minister’s approval, in paid employment outside the duties of
his or her office; or
(d) the Workplace Ombudsman fails,
without reasonable excuse, to comply with section 166J.
Division 3—Staff, delegations etc.
166N
Staff
The staff assisting the Workplace
Ombudsman in the performance of the Workplace Ombudsman’s functions must be
persons engaged under the Public Service Act 1999.
166P
Office of the Workplace Ombudsman
(1) The Office of the Workplace Ombudsman is
established by this subsection.
(2) The Office of the Workplace Ombudsman
consists of:
(a) the Workplace Ombudsman; and
(b) the staff assisting the Workplace
Ombudsman in the performance of the Workplace Ombudsman’s functions; and
(c) the appointed workplace
inspectors.
(3) For the purposes of the Public Service
Act 1999:
(a) the Workplace Ombudsman and the
staff assisting the Workplace Ombudsman in the performance of the Workplace
Ombudsman’s functions together constitute a Statutory Agency; and
(b) the Workplace Ombudsman is the
Head of that Statutory Agency.
166Q
Delegation
(1) The Workplace Ombudsman may, in writing,
delegate to an SES employee, or an acting SES employee, in the Office of the
Workplace Ombudsman any of the Workplace Ombudsman’s functions and powers under
Commonwealth workplace relations legislation.
(2) In performing functions or exercising
powers under a delegation, the delegate must comply with any directions of the
Workplace Ombudsman.
(3) Subsection (1) does not apply to the
functions and powers of a workplace inspector that the Workplace Ombudsman has
because of section 167.
Note: If the Workplace Ombudsman wants an SES employee,
or an acting SES employee, in the Office of the Workplace Ombudsman to have any
of the functions or powers of a workplace inspector, the Workplace Ombudsman
can appoint the SES employee or acting SES employee as a workplace inspector
under section 167.
Division 4—Reporting and disclosing information
Subdivision A—Reporting to Minister
166R
Minister may require reports
(1) The Minister may, in writing, direct the
Workplace Ombudsman to give the Minister specified reports relating to the
Workplace Ombudsman’s functions.
Note: Section 166T restricts the disclosure of
personal information in a report.
(2) The Workplace Ombudsman must comply with
the direction.
(3) A direction made under
subsection (1) is not a legislative instrument.
(4) If the report is made in writing, the
report is not a legislative instrument.
166S
Annual report
The Workplace Ombudsman must, as soon as
practicable after the end of each financial year, prepare and give to the
Minister, for presentation to the Parliament, a report on the operations of the
Office of the Workplace Ombudsman during that year.
Note: See also section 34C of the Acts
Interpretation Act 1901, which contains extra rules about annual reports.
166T
Reports not to include information relating to an individual’s affairs
(1) Information relating to the affairs of an
individual must not be included in a report under section 166R or 166S if:
(a) the individual is named, or
otherwise specifically identified, in the report as the individual to whom the
information relates; or
(b) it is reasonably likely that
people generally (other than people to whom the individual has disclosed
information relating to the individual’s affairs) would be able to work out the
identity of the individual to whom the information relates.
(2) For the purposes of applying
paragraph (1)(b) to information relating to a particular individual’s
affairs, the context in which the information appears, and information that is
otherwise publicly available, must be taken into account (as well as any other
relevant matter).
Subdivision B—Disclosing information
166U
Disclosure of information by members of the Office of the Workplace Ombudsman
Disclosure that is necessary or appropriate
(1) A member of the Office of the Workplace
Ombudsman may disclose information acquired by the member in the course of
exercising powers, or performing functions, as such a member (including as a
delegate of the Workplace Ombudsman), if the member considers on reasonable
grounds that it is necessary or appropriate to do so in the course of
exercising his or her powers, or performing his or her functions, as such a
member.
Disclosure to migration officer
(2) A member of the Office of the Workplace
Ombudsman may disclose information to an officer of the Department administered
by the Minister who administers the Migration Act 1958 if the member
considers on reasonable grounds that the disclosure of the information is
likely to assist the officer in the administration of that Act.
Disclosure authorised by regulations to Commonwealth
officers
(3) The regulations may authorise prescribed
members of the Office of the Workplace Ombudsman to disclose information of the
prescribed kind, to officers of the Commonwealth of the prescribed kind, for
prescribed purposes.
Disclosure to State workplace relations official
(4) A member of the Office of the Workplace
Ombudsman may disclose information to an officer of a State who has powers,
duties or functions that relate to the administration of a workplace relations
or other system relating to terms and conditions, or incidents, of employment,
if the member considers on reasonable grounds that the disclosure of the
information is likely to assist the officer in the administration of that
system.
Disclosure to other officials and authorities
(5) A member of the Office of the Workplace
Ombudsman may disclose information to:
(a) a person employed by, or appointed
to an office of, the Commonwealth, a State or a Territory; or
(b) an authority of the Commonwealth,
a State or a Territory;
if the member considers on reasonable grounds that the
disclosure of the information is likely to assist the person or authority in
discharging a responsibility of the person or authority relating to the
administration of a law of the Commonwealth, a State or a Territory.
Relationship with other laws
(6) To avoid doubt, a disclosure in
accordance with this section of personal information (within the meaning of the
Privacy Act 1988) is taken, for the purposes of that Act, to be
authorised by law.
166V Directions
about exercise of powers to disclose information
(1) The Workplace Ombudsman may, by
legislative instrument, give written directions to the members of the Office of
Workplace Ombudsman about the disclosure of information under
section 166U.
(2) Directions given by the Workplace
Ombudsman under subsection (1) must be of a general nature only.
(3) A member of the Office of Workplace
Ombudsman must comply with any direction given by the Workplace Ombudsman under
subsection (1).
Part 6—Workplace inspectors
167
Inspectors
(1) There shall be such workplace inspectors
as are necessary from time to time.
(1A) The Workplace Ombudsman is a workplace
inspector by force of this subsection.
(2) The Workplace Ombudsman may, by
instrument, appoint as a workplace inspector:
(a) a person who has been appointed,
or who is employed, by the Commonwealth; or
(b) a person, other than a person
mentioned in paragraph (a).
(3) A person appointed under paragraph (2)(a)
is appointed for the period specified in regulations made for the purposes of
this subsection.
(4) A person appointed under paragraph (2)(b)
is appointed for the period specified in the person’s instrument of
appointment, which must not be longer than the period specified in regulations
made for the purposes of this subsection.
(5) Subject to subsection (6), a
workplace inspector has the powers and functions conferred on a workplace
inspector by this Act or by the regulations or by another Act.
(6) A person appointed under paragraph (2)(b)
to be a workplace inspector has only such of the powers and functions mentioned
in subsection (5) as are specified in his or her instrument of
appointment.
(7) In exercising powers or performing
functions as a workplace inspector, a workplace inspector appointed under
subsection (2) must comply with any directions of the Workplace Ombudsman.
(8) If a direction under subsection (7)
is of general application, the direction is a legislative instrument for the
purposes of the Legislative Instruments Act 2003.
(9) If a direction under subsection (7)
relates to a particular case, the direction is not a legislative instrument for
the purposes of the Legislative Instruments Act 2003.
168
Identity cards
(1) The Workplace Ombudsman may issue to an
inspector an identity card in a form approved by the Workplace Ombudsman.
(2) An inspector must carry the identity card
at all times when exercising powers or performing functions as an inspector.
(3) A person commits an offence if:
(a) the person ceases to be a
workplace inspector; and
(b) the person does not return the
person’s identity card to the Workplace Ombudsman within 14 days of so ceasing.
Penalty: 1 penalty unit.
(4) Subsection (3) is an offence of
strict liability.
Note: For strict liability, see
section 6.1 of the Criminal Code.
169
Powers of inspectors
Purpose for which powers of inspectors can be exercised
(1) The powers of a workplace inspector under
this section may be exercised:
(a) for the purpose of determining
whether any of the following are being, or have been, observed:
(i) workplace agreements;
(ii) awards;
(iii) the Australian Fair
Pay and Conditions Standard;
(iv) minimum entitlements
and orders under Part 12;
(v) the requirements of
this Act and the regulations; or
(b) for the purposes of a provision of
the regulations that confers powers or functions on inspectors.
Note: Workplace determinations are treated for the
purposes of the Act as if they were collective agreements (see section 506).
Undertakings are treated the same way (see section 394). This means that
inspectors also have powers in relation to those instruments.
Powers of inspectors
(2) The powers of an inspector are:
(a) to, without force, enter:
(i) premises on which the
inspector has reasonable cause to believe that work to which an instrument or
entitlement mentioned in subparagraphs (1)(a)(i) to (iv) applies is being
or has been performed; or
(ii) a place of business in
which the inspector has reasonable cause to believe that there are documents
relevant to the purpose set out in subsection (1); and
(b) on premises or in a place referred
to in paragraph (a):
(i) to inspect any work,
material, machinery, appliance, article or facility; and
(ii) as prescribed, to take
samples of any goods or substances; and
(iii) to interview any
person; and
(iv) to require a person
having the custody of, or access to, a document relevant to that purpose to
produce the document to the inspector within a specified period; and
(v) to inspect, and make
copies of or take extracts from, a document produced to him or her; and
(vi) to require a person to
tell the inspector who has custody of a document; and
(c) to require a person, by notice, to
produce a document to the inspector.
Note: Contravening a requirement under subparagraph (b)(iv)
or paragraph (c) may be an offence under section 819.
When may the powers be exercised?
(3) An inspector may exercise the powers in subsection (2)
at any time during ordinary working hours or at any other time at which it is
necessary to do so for the purpose set out in subsection (1).
(4) If a person who is required under subparagraph (2)(b)(iv)
to produce a document contravenes the requirement, an inspector may, by written
notice served on the person, require the person to produce the document at a specified
place within a specified period (not being less than 14 days).
Note: Contravening a requirement under this section
to produce a document may be an offence under section 819.
(5) Where a document is produced to an
inspector under paragraph (2)(c) or subsection (4), the inspector
may:
(a) inspect, and make copies of or
take extracts from, the document; and
(b) retain the document for such
period as is necessary for the purpose of exercising powers or performing
functions as an inspector.
(6) During the period for which an inspector
retains a document, the inspector shall permit the person otherwise entitled to
possession of the document, or a person authorised by the person, to inspect,
and make copies of or take extracts from, the document at all reasonable times.
Notices under paragraph (2)(c)
(7) The notice referred to in paragraph (2)(c)
must:
(a) be in writing; and
(b) be served on the person; and
(c) require the person to produce the
document at a specified place within a specified period of not less than 14
days.
Service may be effected by sending the notice to the
person’s fax number.
Person must produce document even if it may incriminate
them
(8) A person is not excused from producing a
document under this section on the ground that the production of the document
may tend to incriminate the person.
Limited use immunity for documents produced
(9) If an individual produces a document
under this section, the document produced and any information or thing
(including any document) obtained as a direct or indirect consequence of the
production of the document is not admissible in evidence against the individual
in any criminal proceedings unless it is proceedings for an offence against
section 819.
(10) If an inspector proposing to enter, or
being on, premises is required by the occupier to produce evidence of
authority, the inspector is not entitled to enter or remain on the premises
without producing to the occupier the inspector’s identity card.
In Australia’s exclusive economic zone
(11) Subsection (2) extends to premises,
and places of business, that:
(a) are in Australia’s exclusive
economic zone; and
(b) are owned or occupied by an
Australian employer.
This subsection has effect subject to Australia’s
obligations under international law concerning jurisdiction over ships that fly
the flag of a foreign country and aircraft registered under the law of a
foreign country.
On Australia’s continental shelf outside exclusive
economic zone
(12) Subsection (2) also extends to
premises, and places of business, that:
(a) are outside the outer limits of
Australia’s exclusive economic zone, but in, on or over a part of Australia’s
continental shelf that is prescribed by the regulations for the purposes of
this subsection; and
(b) are connected with the exploration
of the continental shelf or the exploitation of its natural resources; and
(c) meet the requirements that are
prescribed by the regulations for that part.
Note: The regulations may prescribe different
requirements relating to different parts of Australia’s continental shelf. The
regulations may need to do so to give effect to Australia’s international
obligations.
Part 7—The Australian Fair Pay and Conditions Standard
Division 1—Preliminary
171
Purpose of Part
(1) The purpose of this Part is to set out
key minimum entitlements of employment.
(2) The key minimum entitlements relate to
the following matters:
(a) basic rates of pay and casual
loadings (see Division 2);
(b) maximum ordinary hours of work
(see Division 3);
(c) annual leave (see Division 4);
(d) personal leave (see Division 5);
(e) parental leave and related
entitlements (see Division 6).
(3) The provisions of Divisions 2 to 6
constitute the Australian Fair Pay and Conditions Standard.
172
Operation of the Australian Fair Pay and Conditions Standard
(1) The Australian Fair Pay and Conditions
Standard provides key minimum entitlements of employment for the employees to
whom it applies.
(2) The Australian Fair Pay and Conditions
Standard prevails over a workplace agreement or a contract of employment that
operates in relation to an employee to the extent to which, in a particular
respect, the Australian Fair Pay and Conditions Standard provides a more
favourable outcome for the employee.
(3) A dispute about:
(a) whether the Australian Fair Pay
and Conditions Standard provides a more favourable outcome for an employee in a
particular respect than a workplace agreement that operates in relation to that
employee; or
(b) what the outcome is for an
employee in a particular respect under the Australian Fair Pay and Conditions
Standard, where a workplace agreement operates in relation to that employee;
is to be resolved using the dispute settlement procedure
included (or taken to be included) in the agreement.
(4) The regulations may prescribe:
(a) what a particular respect is or is
not for the purposes of subsection (2) or (3); or
(b) the circumstances in which the
Australian Fair Pay and Conditions Standard provides or does not provide a more
favourable outcome in a particular respect.
Example 1: The way in which particular amounts of annual
leave are accrued could be prescribed as a particular respect under paragraph (4)(a).
Example 2: Both the Standard and a workplace agreement
require an employee to attest to certain matters in a statutory declaration
made for the purposes of maternity leave. The matters required by the agreement
are different in some respects from those set out in the Standard. Regulations
made for the purposes of paragraph (4)(b) could prescribe the matters to
be attested in a statutory declaration as a circumstance in which the Standard
is not taken to provide a more favourable outcome.
173
Australian Fair Pay and Conditions Standard cannot be excluded
A term of a workplace agreement or a
contract has no effect to the extent to which it purports to exclude the
Australian Fair Pay and Conditions Standard or any part of it.
174
Extraterritorial extension
(1) This Part, and the rest of this Act so
far as it relates to this Part, extend:
(a) to an employee outside Australia
who meets any of the conditions in this section; and
(b) to the employee’s employer
(whether the employer is in or outside Australia); and
(c) to acts, omissions, matters and
things relating to the employee (whether they are in or outside Australia).
Note: In this context, Australia
includes the Territory of Christmas Island, the Territory of Cocos (Keeling) Islands
and the coastal sea. See section 15B and paragraph 17(a) of the Acts
Interpretation Act 1901.
In Australia’s exclusive economic zone
(2) One condition is that the employee is in Australia’s
exclusive economic zone and either:
(a) is an employee of an Australian
employer and is not prescribed by the regulations as an employee to whom this
subsection does not apply; or
(b) is an employee prescribed by the
regulations as an employee to whom this subsection applies.
Note: The regulations may prescribe the employee by
reference to a class. See subsection 13(3) of the Legislative Instruments
Act 2003.
On Australia’s continental shelf outside exclusive
economic zone
(3) Another condition is that the employee:
(a) is outside the outer limits of
Australia’s exclusive economic zone, but is in, on or over a part of
Australia’s continental shelf that is prescribed by the regulations for the
purposes of this subsection, in connection with the exploration of the
continental shelf or the exploitation of its natural resources; and
(b) meets the requirements that are
prescribed by the regulations for that part.
Note: The regulations may prescribe different
requirements relating to different parts of Australia’s continental shelf. The
regulations may need to do so to give effect to Australia’s international
obligations.
Outside Australia’s exclusive economic zone and
continental shelf
(4) Another condition is that the employee:
(a) is neither in Australia’s
exclusive economic zone nor in, on or over a part of Australia’s continental
shelf described in paragraph (3)(a); and
(b) is an employee of an Australian
employer; and
(c) is an Australian‑based
employee or bound by a workplace agreement that binds the employer too; and
(d) is not prescribed by the
regulations as an employee to whom this subsection does not apply.
(5) Another
condition is that the employee:
(a) is neither in Australia’s
exclusive economic zone nor in, on or over a part of Australia’s continental
shelf described in paragraph (3)(a); and
(b) is an Australian‑based
employee of an employer that is not an Australian employer; and
(c) is bound by a workplace agreement
that binds the employer too; and
(d) is not prescribed by the
regulations as an employee to whom this subsection does not apply.
Definition
(6) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
175
Model dispute resolution process
The model dispute resolution process
applies to a dispute about entitlements under Divisions 3 to 6.
Note: The model dispute resolution process is set
out in Part 13.
Division 2—Wages
Subdivision A—Preliminary
176
AFPC’s wage‑setting parameters etc.
In exercising any of its powers under
this Division, the AFPC must act in accordance with section 23 (AFPC’s
wage‑setting parameters).
Note: Any additional considerations or limitations
on the exercise of the AFPC’s powers are set out in the various sections of
this Division (including section 222).
178
Definitions
In this Division:
APCS means a preserved APCS or a new APCS.
Note: APCS is short for Australian Pay and
Classification Scale.
APCS piece rate employee means an employee in
relation to whom the following paragraphs are satisfied:
(a) the employee’s employment is
covered by an APCS;
(b) the rate provisions of the APCS
determine one or more basic piece rates of pay that apply to the employment of
the employee.
basic periodic rate of pay means a rate of
pay for a period worked (however the rate is described) that does not include
incentive‑based payments and bonuses, loadings, monetary allowances,
penalty rates or any other similar separately identifiable entitlements. The
meaning of basic periodic rate of pay is also affected by section 210.
Note: Most of the kinds of entitlement excluded from
this definition are allowable award matters (see section 513).
basic piece rate of pay means a piece rate of
pay, other than a piece rate of pay that is payable, as an incentive‑based
payment or bonus, in addition to a basic periodic rate of pay.
Note: Incentive‑based payments and bonuses are
allowable award matters.
casual loading: the meaning of casual loading
is affected by section 210.
casual loading provisions has the meaning
given by section 179.
classification has the meaning given by
section 180.
coverage provisions means:
(a) for a pre‑reform wage
instrument—all provisions (whether of that instrument or of another instrument
or law), as in force on the reform comparison day, that would have affected the
determination of whether the employment of any particular employee was covered
by the instrument on that day; or
(b) for an APCS—provisions of the APCS
that determine whether the employment of a particular employee is covered by
the APCS.
Note: For a preserved APCS, the coverage provisions
will (at least initially) be the coverage provisions for the pre‑reform
wage instrument from which the APCS is derived (see paragraph 208(1)(g)).
covered: for when the employment of a
particular employee is covered by a particular APCS, see sections 204 and 205.
current circumstances of employment, in
relation to an employee, includes any current circumstance of or relating to
the employee’s employment.
default casual loading percentage has the
meaning given by section 186.
derived from: for when a preserved APCS is
derived from a particular pre‑reform wage instrument, see subsection 208(2).
employee with a disability means an employee
who is qualified for a disability support pension as set out in section 94
or 95 of the Social Security Act 1991, or who would be so qualified but
for paragraph 94(1)(e) or 95(1)(c) of that Act.
FMW for an employee: for when there is an FMW
for an employee, see section 194.
Note: FMW is short for Federal Minimum Wage.
frequency of payment
provisions means:
(a) for a pre‑reform wage
instrument—provisions (whether of that instrument or of another instrument or
law), as in force on the reform comparison day, that would have determined the
frequency with which an employee covered by the instrument had to be paid; or
(b) for an APCS, a workplace agreement
or a contract of employment—provisions of the APCS, workplace agreement or contract
that determine the frequency with which an employee covered by the APCS,
workplace agreement or contract must be paid.
Note: For a preserved APCS, the frequency of payment
provisions will (at least initially) be the frequency of payment provisions (if
any) for the pre‑reform wage instrument from which the APCS is derived
(see paragraph 208(1)(f)).
junior employee means an employee who is
under the age of 21.
new APCS means an APCS determined under
subsection 214(1) of this Act before the repeal of that subsection by the Workplace
Relations Amendment (Transition to Forward with Fairness) Act 2008.
piece rate of pay means a rate of pay that is
expressed as a rate for a quantifiable output or task (as opposed to being
expressed as a rate for a period worked).
Note: The following are examples of piece rates of
pay:
(a) a rate of pay calculated by reference to number
of articles produced;
(b) a rate of pay calculated by reference to number
of kilometres travelled;
(c) a rate of pay calculated by reference to number
of articles delivered;
(d) a rate of pay calculated by reference to number
of articles sold;
(e) a rate of pay calculated by reference to number
of tasks performed.
pre‑reform federal wage instrument
means:
(a) an award (as defined in subsection
4(1) of this Act as in force immediately before the reform commencement) as in
force immediately before the reform commencement, but not including:
(i) an order under section 120A
of this Act as then in force; or
(ii) an award under section 170MX
of this Act as then in force; or
(b) sections 552 and 555
of this Act as in force immediately before the reform commencement; or
(c) a law, or a provision of a law, of
the Commonwealth, being a law or provision:
(i) as in force
immediately before the reform commencement; and
(ii) that is specified, or
is of a kind specified, in regulations made for the purposes of this paragraph;
or
(d) an instrument made under a law, or
a provision of a law, of the Commonwealth, being an instrument:
(i) as in force immediately
before the reform commencement; and
(ii) that is specified, or
is of a kind specified, in regulations made for the purposes of this paragraph.
Note: For when regulations made for the purpose of paragraph (c)
or (d) may be expressed to take effect, see section 213.
pre‑reform non‑federal wage instrument means
a pre‑reform State wage instrument or a pre‑reform Territory wage
instrument.
pre‑reform State
wage instrument means:
(a) a State award (as defined in
subsection 4(1) of this Act as in force immediately before the reform
commencement) as in force immediately before the reform commencement; or
(b) a law, or a provision of a law, of
a State, being a law or provision:
(i) as in force
immediately before the reform commencement; and
(ii) that entitled employees,
or a particular class of employees, to payment of a particular rate of pay; or
(c) a law, or a provision of a law, of
a State, being a law or provision:
(i) as in force
immediately before the reform commencement; and
(ii) that is specified, or
is of a kind specified, in regulations made for the purposes of this paragraph;
or
(d) an instrument made under a law, or
a provision of a law, of a State, being an instrument:
(i) as in force
immediately before the reform commencement; and
(ii) that is specified, or
is of a kind specified, in regulations made for the purposes of this paragraph.
Note: For when regulations made for the purpose of paragraph (c)
or (d) may be expressed to take effect, see section 213.
pre‑reform Territory
wage instrument means:
(a) a law, or a provision of a law, of
a Territory, being a law or provision:
(i) as in force
immediately before the reform commencement; and
(ii) that entitled
employees, or a particular class of employees, to payment of a particular rate
of pay; or
(b) a law, or a provision of a law, of
a Territory, being a law or provision:
(i) as in force
immediately before the reform commencement; and
(ii) that is specified, or
is of a kind specified, in regulations made for the purposes of this paragraph;
or
(c) an instrument made under a law, or
a provision of a law, of a Territory, being an instrument:
(i) as in force
immediately before the reform commencement; and
(ii) that is specified, or
is of a kind specified, in regulations made for the purposes of this paragraph.
Note: For when regulations made for the purpose of paragraph (b)
or (c) may be expressed to take effect, see section 213.
pre‑reform wage instrument means a pre‑reform
federal wage instrument or a pre‑reform non‑federal wage
instrument.
preserved APCS has the meaning given by
subsection 208(1).
pro‑rata disability pay method means a
method for determining a rate of pay for employees with a disability, being a
method that determines the rate by reference to the relative capacities of those
employees.
rate provisions has the meaning given by
section 181.
reform comparison day means the day before
the day on which the reform commencement occurs.
special FMW means a special FMW determined
under section 197 of this Act before the repeal of that section by the Workplace
Relations Amendment (Transition to Forward with Fairness) Act 2008.
standard FMW has the meaning given by section 195.
179
Meaning of casual loading provisions
(1) For the purposes of this Division, casual
loading provisions, of a pre‑reform wage instrument or
an APCS, are provisions of the instrument or APCS that determine a casual
loading payable to an employee, or an employee of a particular classification,
in addition to a basic periodic rate of pay.
(2) The means by which such provisions may
determine a casual loading include the following, or any combination of any of
the following:
(a) direct specification of the
loading;
(b) identification of the loading by
reference to other provisions (whether or not of the same instrument or APCS);
(c) direct specification, or
identification by reference to other provisions (whether or not of the same
instrument or APCS), of a method for calculating the loading.
(3) Subject to the regulations, a method
referred to in subsection (2) may provide for a person or body to
determine a loading in a particular way. For the purposes of this Division, a
loading determined by the person or body in that way is taken to be a loading
determined by the provisions that specify or identify the method.
180
Meaning of classification
(1) For the purposes of this Division, a classification
of employees is a classification or category of employees, however described in
the pre‑reform wage instrument or APCS concerned.
(2) A classification or category of employees
may be described by reference to matters including (but not limited to) any of
the following, or any combination of any of the following:
(a) the nature of work performed by
employees;
(b) the skills or qualifications of
employees;
(c) the level of responsibility or
experience of employees;
(d) whether employees are junior
employees, or a particular class of junior employees;
(e) whether employees are employees
with a disability, or are a particular class of employees with a disability;
(f) whether employees are employees
to whom training arrangements, or are a particular class of employees to whom
training arrangements, apply.
181
Meaning of rate provisions
(1) For the purposes of this Division, rate
provisions, of a pre‑reform wage instrument or an APCS, are
provisions of the instrument or APCS that determine a basic periodic rate of
pay, or basic piece rates of pay, payable to an employee, or an employee of a
particular classification.
(2) The means by which such provisions may
determine a basic periodic rate of pay, or a basic piece rate of pay, include
the following, or any combination of any of the following:
(a) direct specification of a rate;
(b) identification of a rate by
reference to other provisions (whether or not of the same instrument or APCS);
(c) direct specification, or
identification by reference to other provisions (whether or not of the same
instrument or APCS), of a method for calculating a rate.
(3) Subject to the regulations, a method
referred to in subsection (2) may provide for a person or body to
determine a rate in a particular way. For the purposes of this Division, a rate
determined by the person or body in that way is taken to be a rate determined
by the provisions that specify or identify the method.
Subdivision B—Guarantee of basic rates of pay
182
The guarantee
Guarantee of APCS basic periodic rates of pay
(1) If:
(a) the employment of an employee is
covered by an APCS; and
(b) the employee is not an APCS piece
rate employee;
the employee must be paid a basic periodic rate of pay for
each of the employee’s guaranteed hours (pro‑rated for part hours) that
is at least equal to the basic periodic rate of pay (the guaranteed basic
periodic rate of pay) that is payable to the employee under the APCS.
Note: For what are the employee’s guaranteed hours,
see section 183.
Guarantee of APCS piece rates of pay
(2) If:
(a) the employment of an employee is
covered by an APCS; and
(b) the employee is an APCS piece rate
employee;
the employee must be paid basic piece rates of pay for his
or her work that are at least equal to the basic piece rates of pay (the guaranteed
basic piece rates of pay) that are payable to the employee under the
APCS.
Guarantee of standard FMW
(3) If:
(a) the employment of an employee is not
covered by an APCS; and
(b) the employee is not a junior
employee, an employee with a disability, or an employee to whom a training
arrangement applies;
the employee must be paid a basic periodic rate of pay for
each of the employee’s guaranteed hours (pro‑rated for part hours) that
is at least equal to the standard FMW (the guaranteed basic periodic rate
of pay).
Note: For what are the employee’s guaranteed hours,
see section 183.
Guarantee of special FMW
(4) If:
(a) the employment of an employee is
not covered by an APCS; and
(b) there is a special FMW for the
employee;
the employee must be paid a basic periodic rate of pay for
each of the employee’s guaranteed hours (pro‑rated for part hours) that
is at least equal to that special FMW (the guaranteed basic periodic rate
of pay).
Note: For what are the employee’s guaranteed hours,
see section 183.
183 An
employee’s guaranteed hours for the purpose of section 182
Employees employed to work a specified number of hours
(1) For the purposes of section 182, if
an employee is employed to work a specified number of hours per week, the guaranteed
hours for the employee, for each week, are to be worked out as follows:
(a) start with that specified number
of hours (subject to subsection (4));
(b) deduct all of the following:
(i) any hours in the week
when the employee is absent from work on deductible authorised leave (as
defined in subsection (6));
(ii) any hours in the week
in relation to which the employer is prohibited by section 507 from making
a payment to the employee;
(iii) any other hours of
unauthorised absence from work by the employee in the week;
(iv) any hours in the week
when the employee is stood down (but only if the stand down is an authorised
stand down);
(c) if, during the week, the employee
works, and is required or requested to work, additional hours that are,
under the terms and conditions of the employee’s employment, not counted
towards the specified number of hours—add on those additional hours.
Note: The actual hours worked from week to week by
an employee who is employed to work a specified number of hours per week may
vary, due to averaging as mentioned in section 226 or to some other kind
of flexible working hours scheme that applies to the employee’s employment.
(2) If an employee is employed on a full‑time
basis, but the terms and conditions of the employee’s employment do not
determine the number of hours in a period that is to constitute employment on a
full‑time basis for the employee, the employee is, for the purpose of subsection (1),
taken to be employed to work 38 hours per week.
(3) If an employee is employed to work a
specified number (the number of non‑week specified hours)
of hours per period (the non‑week period), but that period
is not a week (for example, it is a fortnight), then, for the purpose of subsection (1),
the employee is taken to be employed to work the number of hours per week
determined, subject to the regulations (if any), in accordance with the
formula:

(4) If:
(a) subsection (1) applies to the
employment of an employee to whom a training arrangement applies; and
(b) an APCS includes provisions that
determine, in relation to the employee’s employment, that hours attending off‑the‑job
training (including hours attending an educational institution) are hours for
which a basic periodic rate of pay is payable; and
(c) the hours that would otherwise be
the specified number of hours referred to in subsection (1) for the
employee for a week do not include all the hours (the paid training hours)
in the week that the APCS so determines are hours for which a basic periodic
rate of pay is payable;
subsection (1) applies as if the specified number of
hours were increased to such number of hours as includes all the paid training
hours.
Employees not employed to work a specified number of
hours
(5) For the purpose of section 182, if subsection (1)
of this section does not apply to the employment of an employee, the guaranteed
hours for the employee are the hours that the employee both is required
or requested to work, and does work, for the employer, less any period in
relation to which the employer is prohibited by section 507 from making a
payment to the employee.
Definitions
(6) In this section:
deductible authorised leave means leave, or
an absence, whether paid or unpaid, that is authorised:
(a) by an employee’s employer; or
(b) by or under a term or condition of
an employee’s employment; or
(c) by or under a law, or an
instrument in force under a law, of the Commonwealth, a State or a Territory;
but not including any leave or absence:
(d) that is on a public holiday and
that is so authorised because the day is a public holiday; or
(e) any leave or absence that is
authorised in order for the employee to attend paid training hours (within the
meaning of paragraph (4)(c)) of off‑the‑job training.
hour includes a part of an hour.
Note: An employee’s guaranteed hours may therefore
be a number of hours and part of an hour.
public holiday means:
(a) a day declared by or under a law
of a State or Territory to be observed generally within the State or Territory,
or a region of that State or Territory, as a public holiday by people who work
in that State, Territory or region, other than:
(i) a union picnic day; or
(ii) a day, or kind of day,
that is excluded by regulations made for the purposes of this paragraph from
counting as a public holiday; or
(b) a day that, under (or in
accordance with a procedure under) a law of a State or Territory, or an award
or workplace agreement, is substituted for a day referred to in paragraph (a).
184
Modified operation of section 182 to continue effect of Supported Wage
System for certain employees with a disability
(1) This section applies to the employment of
an employee with a disability if:
(a) subsection 182(1) applies
(disregarding this section) to the employment of the employee; and
(b) the APCS that covers the
employee’s employment does not determine the basic periodic rate of pay for the
employee as a rate that is specific to employees with disabilities; and
(c) the employee is eligible for the
Supported Wage System; and
(d) the employee’s employment is
covered by a workplace agreement; and
(e) the workplace agreement provides
for the payment of a basic periodic rate of pay to the employee at a rate that
is not less than the rate (the SWS‑compliant rate of pay)
set in accordance with the Supported Wage System.
Note: The Supported Wage System was endorsed by the
Commission in the Full Bench decision dated 10 October 1994 (print L5723).
(2) If this section applies to the employment
of the employee, subsection 182(1) has effect as if the guaranteed basic
periodic rate of pay under that subsection for the employment of the employee
were instead a rate equal to the SWS‑compliant rate of pay.
Subdivision C—Guarantee of casual loadings
185
The guarantee
(1) This section applies to a casual employee
for whom, under section 182, there is a guaranteed basic periodic rate of
pay, other than a casual employee in relation to whom the following paragraphs
are satisfied:
(a) subsection 182(1) applies to the
employee;
(b) the APCS that covers the
employment of the employee does not contain casual loading provisions under
which a casual loading is payable to the employee;
(c) the employee’s employment is not
covered by a workplace agreement.
(2) The casual employee must be paid, in
addition to his or her actual basic periodic rate of pay, a casual loading that
is at least equal to the guaranteed casual loading percentage of that actual
basic periodic rate of pay.
Note: The employee’s actual basic periodic rate of
pay should at least equal the guaranteed basic periodic rate of pay under
section 182.
(3) The guaranteed casual loading
percentage is as set out in the following table:
|
Item
|
In this situation …
|
the guaranteed casual
loading percentage is …
|
|
1
|
if:
(a) subsection 182(1) applies to the employment of the
employee; and
(b) the employee’s employment has never been subject to a
workplace agreement;
|
the percentage that is the casual loading payable to the
employee under casual loading provisions of the APCS referred to in
subsection 182(1).
|
|
2
|
if:
(a) subsection 182(1) applies to the employment of the
employee; and
(b) the employee’s employment has been, but is no longer,
subject to a workplace agreement;
|
the higher of:
(a) the percentage that is the casual loading payable to the
employee under casual loading provisions of the APCS referred to in
subsection 182(1); and
(b) the default casual loading percentage.
|
|
3
|
if:
(a) subsection 182(1) applies to the employment of the employee;
and
(b) the employee’s employment is covered by a workplace
agreement;
|
the default casual loading percentage.
|
|
4
|
if subsection 182(3) or (4) applies to the employment of
the employee
|
the default casual loading percentage.
|
186
Default casual loading percentage
The default casual loading
percentage is 20%.
Subdivision D—Guarantee of frequency of payment
189
The guarantee
APCS applies and contains frequency of payment
provisions
(1) If:
(a) the employment of an employee is
covered by an APCS; and
(b) the APCS contains frequency of
payment provisions that apply in relation to the employee’s employment;
then:
(c) if a workplace agreement that
covers the employment of the employee contains frequency of payment provisions:
(i) that apply in relation
to the employee’s employment; and
(ii) that provide for
payments in respect of periods of one month or less;
the employer must comply with
those provisions in relation to the employee; or
(d) if paragraph (c) does not
apply, and the employee’s contract of employment contains frequency of payment
provisions:
(i) that apply in relation
to the employee’s employment; and
(ii) that provide for
payments in respect of periods of one month or less;
the employer must comply with
those provisions in relation to the employee; or
(e) if neither paragraph (c) nor
(d) applies—the employer must comply with the frequency of payment provisions
of the APCS in relation to the employee.
APCS applies but does not contain frequency of payment
provisions
(2) If:
(a) the employment of an employee is
covered by an APCS; but
(b) the APCS does not contain
frequency of payment provisions that apply in relation to the employee’s
employment;
then:
(c) if a workplace agreement that
covers the employment of the employee contains frequency of payment provisions
that apply in relation to the employee’s employment—the employer must comply
with those provisions in relation to the employee; or
(d) if paragraph (c) does not
apply, and the employee’s contract of employment contains frequency of payment
provisions that apply in relation to the employee’s employment—the employer
must comply with those provisions in relation to the employee; or
(e) if neither paragraph (c) nor
(d) applies—the employer must pay the employee on the basis of fortnightly
payments in arrears.
Other situations
(3) If the employment of an employee is not
covered by an APCS, then:
(a) if a workplace agreement that
covers the employment of the employee contains frequency of payment provisions
that apply in relation to the employee’s employment—the employer must comply
with those provisions in relation to the employee; or
(b) if paragraph (a) does not
apply, and the employee’s contract of employment contains frequency of payment
provisions that apply in relation to the employee’s employment—the employer
must comply with those provisions in relation to the employee; or
(c) if neither paragraph (a) nor
(b) applies—the employer must pay the employee on the basis of fortnightly
payments in arrears.
Subdivision E—Guarantee against reductions below pre‑reform
commencement rates
190
The guarantee where only basic periodic rates of pay are involved
(1) This section applies if:
(a) the AFPC proposes to exercise any
of the following powers (subject to subsection (4)):
(i) adjusting the standard
FMW;
(ii) adjusting a preserved
APCS;
(iii) adjusting a new APCS;
and
(b) immediately after the
exercise of the power takes effect, there will, under section 182, be a
guaranteed basic periodic rate of pay (the resulting guaranteed basic
periodic rate) for a particular employee affected by the exercise of
the power; and
(c) immediately after the reform
commencement (and after any relevant adjustments mentioned in sections 209
to 212 took effect), there would, under section 182, have been a
guaranteed basic periodic rate of pay (the commencement guaranteed basic
periodic rate) for the employee if the employee had at that time been
in his or her current circumstances of employment.
(2) The AFPC must ensure that the result of the
exercise of the power, so far as it affects the employee, is such that the
resulting guaranteed basic periodic rate of pay for the employee will not be
less than the commencement guaranteed basic periodic rate of pay for the
employee.
(3) In applying this section in relation to a
particular exercise of a power by the AFPC, the effect of any other exercise of
a power by the AFPC that takes effect at the same time must also be taken into
account.
(4) This section does not limit the AFPC’s
power to adjust APCSs made for the purpose of section 220 before the
repeal of that section by the Workplace Relations Amendment (Transition to
Forward with Fairness) Act 2008.
191
The guarantee where basic piece rates of pay are involved
(1) This section applies if:
(a) the AFPC proposes to exercise any
of the following powers (subject to subsection (4)):
(i) adjusting the standard
FMW;
(ii) adjusting a preserved
APCS;
(iii) adjusting a new APCS;
and
(b) either or both of the following
subparagraphs apply in relation to a particular employee who will be affected
by the exercise of the power:
(i) immediately after
the exercise of the power takes effect, there will, under section 182, be
guaranteed basic piece rates of pay for the employee;
(ii) immediately after the
reform commencement (and after any relevant adjustments mentioned in sections 209
to 212 took effect), there would, under section 182, have been guaranteed
basic piece rates of pay for the employee if the employee had at that time been
in his or her current circumstances of employment.
(2) The AFPC must exercise the power in a way
that it considers will not result in an employee of average capacity, after the
exercise of the power takes effect, being entitled to less basic pay per week
than he or she would have been entitled to because of this Division
immediately after the reform commencement if the employee had at that time been
in his or her current circumstances of employment.
(3) In applying this section in relation to a
particular exercise of a power by the AFPC, the effect of any other exercise of
a power by the AFPC that takes effect at the same time must also be taken into
account.
(4) This section does not limit the AFPC’s
power to adjust APCSs made for the purpose of section 220 before the repeal
of that section by the Workplace Relations Amendment (Transition to Forward
with Fairness) Act 2008.
192
The guarantee for casual loadings that apply to basic periodic rates of pay
(1) This section applies in relation to the
exercise by the AFPC of any of the following powers:
(a) adjusting a preserved APCS;
(b) adjusting a new APCS.
(2) The AFPC must ensure that the result of
the exercise of the power, so far as it affects any particular employee to whom
this Division applies (other than an employee who will, after the exercise of
the power, be an APCS piece rate employee), is such that the resulting
guaranteed casual loading percentage for the employee will not be less than the
commencement guaranteed casual loading percentage for the employee.
(3) For the purposes of subsection (2):
(a) the resulting guaranteed
casual loading percentage for the employee is the guaranteed casual
loading percentage referred to in section 185 for the employee, as it will
be immediately after the exercise of the power takes effect; and
(b) subject to subsection (4),
the commencement guaranteed casual loading percentage for the
employee is the percentage that, immediately after the reform commencement (and
after any relevant adjustments mentioned in sections 209 to 212 took
effect), would have been the guaranteed casual loading percentage referred to
in section 185 for the employee if the employee had, at that time, been in
his or her current circumstances of employment.
(4) If:
(a) the employee is a casual employee;
and
(b) the resulting guaranteed casual
loading percentage is the default casual loading percentage because of item 3
of the table in subsection 185(3);
the commencement guaranteed casual loading
percentage for the employee is taken to be the default casual loading
percentage, as it was immediately after the reform commencement.
(5) In applying this section in relation to a
particular exercise of a power by the AFPC, the effect of any other exercise of
a power by the AFPC that takes effect at the same time must also be taken into
account.
Subdivision F—The guarantee against reductions below Federal Minimum Wages
(FMWs)
193
The guarantee
(1) When exercising its power to adjust an
APCS, the AFPC must ensure that the rate provisions in the APCS are such that
the resulting APCS basic periodic rate of pay for each employee:
(a) whose employment will be covered
by the APCS immediately after the exercise of the power; and
(b) for whom there will be an FMW
immediately after the exercise of the power; and
(c) who will not be an APCS piece rate
employee immediately after the exercise of the power;
is not less than that FMW.
Note 1: This section does not apply to rates determined
by rate provisions as initially included in a preserved APCS from a pre‑reform
wage instrument as mentioned paragraph 208(1)(a). However, this section does
apply to any subsequent adjustment of those rate provisions.
Note 2: See also section 207 (deeming APCS rates
to at least equal FMW rates after first exercise of powers under this Division
by the AFPC).
(2) For the purposes of subsection (1),
the resulting APCS basic periodic rate of pay for an employee is
the basic periodic rate of pay that will be payable to the employee under the
APCS immediately after the exercise of the power by the AFPC takes effect.
(4) In applying this section in relation to a
particular exercise of a power by the AFPC, the effect of any other exercise of
a power by the AFPC that takes effect at the same time must also be taken into
account.
Subdivision G—Federal Minimum Wages (FMWs)
194
When is there an FMW for an employee?
(1) There is an FMW for an employee if the
employee is not:
(a) a junior employee; or
(b) an employee with a disability; or
(c) an employee to whom a training
arrangement applies; or
(d) an APCS piece rate employee.
The FMW for the employee is the standard FMW.
(3) There is an FMW for an employee with a
disability (other than an APCS piece rate employee) if the AFPC has determined
a special FMW that applies to all employees with a disability, or to a class of
employees with a disability that includes the employee. The FMW for the
employee is that special FMW.
195
Standard FMW
(1) The standard FMW is $13.74
per hour, subject to the power of the AFPC to adjust the standard FMW.
(2) Any adjustment of the standard FMW must
be such that the adjusted rate is still expressed as a monetary amount per
hour.
196
Adjustment of standard FMW
(1) The AFPC may adjust the standard FMW.
(2) The power to adjust the standard FMW is
subject to:
(a) section 176; and
(b) section 190; and
(c) section 191; and
(d) subsection 195(2); and
(e) section 222.
199
How a special FMW is to be expressed
(1) A special FMW is to be expressed in a way
that produces a monetary amount per hour.
(2) The means by which a special FMW may be
expressed to produce a monetary amount per hour include:
(a) specification of a monetary amount
per hour; or
(b) specification of a method for
calculating a monetary amount per hour.
(3) Any adjustment of a special FMW must be
such that the adjusted special FMW still complies with this section.
200
Adjustment of a special FMW
(1) The AFPC may adjust a special FMW.
(2) The power to adjust a special FMW is
subject to:
(a) section 176; and
(b) section 199; and
(c) section 222.
Subdivision H—Australian Pay and Classification Scales (APCSs): general
provisions
201
What is an APCS?
An APCS is a set of provisions relating
to pay and loadings for particular employees that complies with this
Subdivision.
202
What must or may be in an APCS?
(1) An APCS must contain:
(a) either or both of the following:
(i) rate provisions
determining basic periodic rates of pay for employees whose employment is
covered by the APCS;
(ii) rate provisions
determining basic piece rates of pay for employees whose employment is covered
by the APCS; and
(b) if the rate provisions determine
different rates of pay for employees of different classifications—provisions
describing those classifications; and
(c) coverage provisions.
(2) An APCS may also contain:
(a) casual loading provisions
determining casual loadings for employees whose employment is covered by the
APCS and for whom there are not basic piece rates of pay; and
(b) if the casual loading provisions
determine different casual loadings for employees of different
classifications—provisions describing those classifications; and
(c) provisions that determine, in
relation to employees to whom training arrangements apply, whether hours
attending off‑the‑job training (including hours attending an
educational institution) are hours for which a basic periodic rate of pay is
payable; and
(d) frequency of payment provisions;
and
(e) other incidental provisions.
(3) Subject to subsection 208(4), rate
provisions or casual loading provisions in an APCS must not include provisions
under which a rate or casual loading provided for by the APCS will or may be
increased by operation of the provisions and without anyone having to take any
other action.
Note: This does not prevent an APCS, or an
adjustment of an APCS, from being expressed to take effect at a future date.
However, it does prevent an APCS from containing provisions under which (for
example):
(a) there will be one or more specified increases
of a rate or loading at a specified future time or times; or
(b) rates of pay or loading are indexed
periodically.
(4) The AFPC must not adjust an APCS so that
it includes provisions that:
(a) determine whether an employer who
acquires a business (whether by transfer or in some other way) is covered by the
APCS; or
(b) give a person or body a power to
make a decision that affects whether a person is covered by the APCS; or
(c) give the Commission a direct or
indirect role in determining a rate of pay or loading.
Note: A preserved APCS may contain provisions
referred to in subsection (4) that were contained in the pre‑reform
wage instrument from which the APCS is derived, but the effect of those
provisions is limited by sections 204 and 209.
(5) An APCS must not contain any provisions
that purport to limit the duration of the APCS.
(6) Subject to the regulations, an APCS must
not contain any other provisions.
203
How pay rates and loadings are to be expressed in an APCS
(1) Rate provisions in an APCS must be such
that basic periodic rates of pay determined by the provisions are expressed as
a monetary amount per hour.
(2) Rate provisions in an APCS must be such
that basic piece rates of pay determined by the provisions are expressed as a
monetary amount.
(3) Casual loading provisions in an APCS must
be such that casual loadings determined by the provisions are expressed as
percentages to be applied to basic periodic rates of pay.
(4) The AFPC must ensure these rules are
complied with in exercising its powers to adjust an APCS.
204
When is employment covered by an APCS?
(1) The question whether the employment of a
particular employee is covered by a particular APCS is to be determined by
reference to the coverage provisions of the APCS.
(2) If coverage provisions of a preserved
APCS include provisions that determine whether an employer who acquires a
business (whether by transfer or in some other way) is covered by the APCS,
those provisions only have effect, for the purpose of determining whether the
employment of a particular employee is covered by the APCS, in relation to
acquisitions of businesses that occurred before the reform commencement.
(3) If coverage provisions of a preserved
APCS include provisions that give a person or body a power to make a decision
that affects whether a person is covered by the APCS, those provisions only
have effect, for the purpose of determining whether the employment of a
particular employee is covered by the APCS, in relation to decisions made by
the person or body before the reform commencement.
205
What if 2 or more APCSs would otherwise cover an employee?
(1) If, but for this section, 2 or more APCSs
would cover the employment of the same employee, the employment of the employee
is taken to be covered only by the APCS that prevails.
(2) Apply the following rules to work out
which APCS prevails:
(a) the preserved APCS derived from
the pre‑reform federal wage instrument referred to in paragraph (b)
of the definition of pre‑reform federal wage instrument in
section 178 (as that preserved APCS is adjusted from time to time)
prevails over any other APCS;
(b) subject to paragraph (a), a
new APCS determined in accordance with Subdivision M of Division 2 of
Part 7 of this Act before the repeal of that Subdivision by the Workplace
Relations Amendment (Transition to Forward with Fairness) Act 2008 (as that
APCS is adjusted from time to time) prevails over any other APCS;
(c) subject to paragraphs (a) and
(b):
(i) a new APCS prevails
over a preserved APCS; and
(ii) a preserved APCS that
is derived from a pre‑reform federal wage instrument prevails over a
preserved APCS that is derived from a pre‑reform non‑federal wage
instrument;
(d) subject to paragraphs (a),
(b) and (c):
(i) as between 2 or more
APCSs that are made or adjusted on different days, the APCS that is made or
adjusted on the more recent day prevails; and
(ii) as between 2 or more
APCSs that are made or adjusted on the same day, the APCS that is more generous
to the employee prevails.
(3) For the purpose of this section, all
preserved APCSs are taken to have been made on the day on which the reform
commencement occurs.
207
Deeming APCS rates to at least equal FMW rates after first exercise of AFPC’s
powers takes effect
(1) This section applies at all times after
the first exercise of powers by the AFPC under this Division takes effect. If
the first exercise of powers involves the exercise of powers taking effect at
different times, this section applies at all times after the earliest of those
times.
(2) Subject to subsection (3), if:
(a) there is an FMW for an employee at
a particular time when this section applies; and
(b) an APCS that covers the employment
of the employee determines a basic periodic rate of pay for the employee at
that time that is less than that FMW;
the basic periodic rate of pay determined by the APCS for
the employee at that time is taken to be equal to the rate that is the FMW for
the employee at that time.
Note: This subsection ensures that the employee
will, under subsection 182(1), be guaranteed a rate that equals the FMW rate,
rather than the lower APCS rate.
Subdivision I—Australian Pay and Classification Scales: preserved APCSs
208
Deriving preserved APCSs from pre‑reform wage instruments
(1) If a pre‑reform wage instrument
contains rate provisions determining one or more basic periodic rates of pay,
or basic piece rates of pay, payable to employees, then, from the reform
commencement, there is taken to be a preserved APCS that includes
(subject to this Subdivision):
(a) those rate provisions; and
(b) if those rate provisions determine
different basic periodic rates of pay, or different basic piece rates of pay,
for employees of different classifications—the provisions of the instrument
that describe those classifications; and
(c) any casual loading provisions of
the instrument that determine casual loadings payable to employees, other than
employees for whom the instrument provides basic piece rates of pay; and
(d) if the casual loading provisions
determine different casual loadings for employees of different classifications—the
provisions of the instrument that describe those classifications; and
(e) any provisions of the instrument
that determine, in relation to employees to whom training arrangements apply,
whether hours attending off‑the‑job training (including hours
attending an educational institution) count as hours for which a basic periodic
rate of pay is payable; and
(f) any frequency of payment
provisions for the instrument; and
(g) the coverage provisions for the
instrument.
(2) The preserved APCS is derived from
the pre‑reform wage instrument.
(3) Subject to subsection (4) and the
regulations, the preserved APCS is taken not to include any provision of the
pre‑reform wage instrument which, after the adjustments referred to in
sections 209 to 212 take effect, will not comply with the requirements of
sections 202 and 203.
Note: For when regulations made for the purpose of subsection (3)
may be expressed to take effect, see section 213.
(4) If:
(a) the rate provisions referred to in
paragraph (1)(a) include pay increases for particular employees,
determined before the reform commencement, that are expressed to take effect at
a time or times after the reform commencement; and
(b) those increases were determined by
the Commission, or by a State industrial authority, wholly or partly on the
ground of work value change or pay equity;
then (despite subsection 202(3)), the preserved APCS is
taken to include provisions under which those increases will take effect for
those employees at that time or those times.
(5) The adjustments referred to in sections 209
to 212 are, subject to the regulations, to be made in the following order:
(a) adjustments referred to in section 209;
(b) adjustments referred to in section 210;
(c) adjustments referred to in section 211;
(d) adjustments referred to in
subsection 212(1).
Note: For when regulations made for the purpose of subsection (5)
may be expressed to take effect, see section 213.
209
Notional adjustment: rates and loadings determined as for reform comparison day
Rate provisions
(1) Subject to subsections (2) and (3),
if rate provisions included in a preserved APCS as mentioned in section 208
would, apart from this subsection, determine a basic periodic rate of pay
otherwise than by direct specification of the monetary amount of the rate, then
the APCS is taken to be adjusted as necessary immediately after the reform
commencement so that those rate provisions instead directly specify, as that
rate of pay, the rate as determined by the provisions for the reform comparison
day.
(2) Subsection (1) does not apply to the
rate provisions included in the preserved APCS derived from the pre‑reform
federal wage instrument referred to in paragraph (b) of the definition of pre‑reform
federal wage instrument in section 178.
(3) If the rate provisions included in a
preserved APCS as mentioned in section 208 determine a basic periodic rate
of pay by (or by referring to) a pro‑rata disability pay method, subsection (1)
applies to any other rate of pay that the method refers to, but does not
otherwise apply to the method.
(4) If the rate provisions included in a
preserved APCS as mentioned in section 208 determine a basic piece rate of
pay by (or by referring to) a method, subsection (1) does not apply to the
rate provisions that determine that rate.
(5) The regulations may provide for other
situations in which subsection (1) is not to apply to rate provisions, or
is to apply with specified modifications.
Note: For when regulations made for the purpose of subsection (5)
may be expressed to take effect, see section 213.
Casual loading provisions
(6) If casual loading provisions included in
a preserved APCS as mentioned in section 208 would, apart from this
subsection, determine a loading otherwise than by direct specification of the
loading, then the APCS is taken to be adjusted as necessary immediately after
the reform commencement so that those loading provisions instead directly
specify, as that loading, the loading as determined by the provisions for the
reform comparison day.
210 Notional
adjustment: deducing basic periodic rate of pay and casual loading from
composite rate
If:
(a) a particular rate of pay
determined by rate provisions included in a preserved APCS as mentioned in
section 208 would, apart from this subsection, be a basic periodic rate of
pay for a casual employee; and
(b) the rate of pay is, by an amount
(the inbuilt casual loading amount), higher than it would have
been if the employee had not been a casual employee; and
(c) apart from this subsection, the
preserved APCS does not contain casual loading provisions that determine a
casual loading for the employee;
the APCS is taken to be adjusted as necessary immediately
after the reform commencement so that:
(d) the rate provisions instead
determine a basic periodic rate of pay for the employee that equals the rate
referred to in paragraph (a), reduced by the inbuilt casual loading
amount; and
(e) the preserved APCS contains casual
loading provisions that determine a casual loading for the employee that equals
the inbuilt casual loading amount.
211
Notional adjustment: how basic periodic rates and loadings are expressed
(1) If a particular basic periodic rate of
pay determined by rate provisions included in a preserved APCS as mentioned in
section 208 would, apart from this subsection, be expressed as a monetary
amount for a period other than an hour (for example, it would be expressed as a
rate for a week), the rate provisions are taken to be adjusted as necessary
immediately after the reform commencement so that they produce the result that
the rate is expressed as the equivalent monetary hourly rate.
(2) If a particular casual loading determined
by casual loading provisions included in a preserved APCS as mentioned in
section 208 would, apart from this subsection, be expressed as an amount
of money that is to be added to a basic periodic rate of pay, the loading
provisions are taken to be adjusted as necessary immediately after the reform
commencement so that they produce the result that the loading is expressed as
the equivalent percentage of the basic periodic rate of pay.
212
Regulations dealing with notional adjustments
(1) The regulations may provide for other
adjustments (including by determining methods for working out adjustments) that
are to be taken to be made to a preserved APCS.
(2) The regulations may determine methods for
working out the adjustments mentioned in any of sections 209 to 211, or
may otherwise clarify the operation of any aspect of those sections. Those
sections have effect accordingly.
Note: For when regulations made for the purpose of
this section may be expressed to take effect, see section 213.
213
Certain regulations relating to preserved APCSs may take effect before
registration
(1) This section applies to regulations made
for the purpose of any of the following provisions:
(a) paragraph (c) or (d) of the
definition of pre‑reform federal wage instrument in section 178;
(b) paragraph (c) or (d) of the
definition of pre‑reform State
wage instrument in section 178;
(c) paragraph (b) or (c) of the
definition of pre‑reform Territory
wage instrument in section 178;
(d) subsection 208(3) or (5);
(e) subsection 209(5);
(f) section 212.
(2) Despite subsection 12(2) of the Legislative
Instruments Act 2003, regulations to which this section applies may be
expressed to take effect from a date before the regulations are registered
under that Act.
(3) If regulations to which this section
applies take effect before their registration under the Legislative
Instruments Act 2003, those regulations are not to be taken into account in
determining the effect of sections 182, 185, 190, 191 and 192 in relation
to periods of employment before the registration of those regulations.
Subdivision K—Australian Pay and Classification Scales: duration and
adjustment of APCSs (preserved or new)
215
Duration of APCSs
An APCS continues to have effect
indefinitely (subject to adjustment by the AFPC under this Subdivision, and to
the rules in section 205 about when one APCS prevails over another).
216
Adjustment of APCSs
(1) The AFPC may adjust an APCS.
(2) The power to adjust an APCS is subject
to:
(a) section 176; and
(b) section 190; and
(c) section 191; and
(d) section 192; and
(e) section 193; and
(f) section 202; and
(g) section 203; and
(h) Subdivision L; and
(i) section 222.
Subdivision L—Adjustments to incorporate 2005 Safety Net Review etc.
218
Adjustments to incorporate 2005 Safety Net Review
(1) This section applies in relation to a
preserved APCS if:
(a) the APCS is derived from a pre‑reform
federal wage instrument referred to in paragraph (a) of the definition of pre‑reform
federal wage instrument in section 178; and
(b) either:
(i) in accordance with the
Commission’s wage fixing principles that applied at that time, the
Commission (before the reform commencement) adjusted the instrument in
accordance with the Commission’s 2004 Safety Net Review decision; or
(ii) the instrument took
effect after the Commission’s 2004 Safety Net Review decision; and
(c) the Commission did not, before the
reform commencement, adjust the instrument in accordance with the Commission’s
2005 Safety Net Review decision.
(2) The AFPC must adjust the rate provisions
of the preserved APCS to increase rates in accordance with the
Commission’s 2005 Safety Net Review decision (if applicable), except to the
extent that the AFPC is satisfied it is not appropriate to do so because of the
effect of subsection 208(4).
(3) The adjustment must be made as part of
the first exercise of the powers of the AFPC under this Division.
(4) After the adjustment has been made,
section 190 has effect in relation to an employee as if the
adjustment had been made to the pre‑reform federal wage instrument
immediately before the reform commencement.
Note: This subsection ensures that the post‑adjustment
rate is the rate against which compliance with the guarantee in section 190
is measured.
219
Regulations may require adjustments to incorporate other decisions
(1) The regulations may require the AFPC to
adjust rate provisions in a class of preserved APCSs that are derived from non‑federal
pre‑reform wage instruments to increase rates to take account of
decisions that were made before the reform commencement but that were not given
effect to in those instruments before the reform commencement.
(2) Regulations made for the purposes of subsection (1)
may also modify how section 190 applies in relation to any APCSs that are
so adjusted.
Subdivision M—Special provisions relating to APCSs for employees with a
disability
219A
Coverage of special APCSs for employees with a disability
(1) This section applies in relation to an
APCS (the special APCS) that was determined in accordance with
section 220 of this Act before the repeal of that section by the Workplace
Relations Amendment (Transition to Forward with Fairness) Act 2008.
(2) The special APCS is taken not to cover
the employment of a particular employee if:
(a) there is another APCS that covers
the employment of the employee (disregarding the effect that paragraph
205(2)(b) would otherwise have because of the special APCS); and
(b) that other APCS determines a basic
periodic rate of pay specifically for a particular class of employees with a
disability; and
(c) the employee’s employment is
covered by that other APCS because the employee is a member of that class; and
(d) that class is the same as, or is a
subclass of, the employees whose employment would otherwise be covered by the
special APCS.
(3) Without limiting the power of the AFPC to
adjust APCSs under section 216, the AFPC may adjust the special APCS under
that section.
Subdivision N—Miscellaneous
222
Anti‑discrimination considerations
(1) Without limiting section 176, in
exercising any of its powers under this Division, the AFPC is to:
(a) apply the principle that men and
women should receive equal remuneration for work of equal value; and
(b) have regard to the need to provide
pro‑rata disability pay methods for employees with disabilities; and
(c) take account of the principles
embodied in the Racial Discrimination Act 1975, the Sex
Discrimination Act 1984, the Disability Discrimination Act 1992 and
the Age Discrimination Act 2004 relating to discrimination in relation
to employment; and
(d) take account of the principles
embodied in the Family Responsibilities Convention, in particular those
relating to:
(i) preventing
discrimination against workers who have family responsibilities; or
(ii) helping workers to
reconcile their employment and family responsibilities; and
(e) ensure that its decisions do not
contain provisions that discriminate because of, or for reasons including,
race, colour, sex, sexual preference, age, physical or mental disability,
marital status, family responsibilities, pregnancy, religion, political
opinion, national extraction or social origin.
(2) For the purposes of the Acts referred to
in paragraph (1)(c), and of paragraph (1)(e), the AFPC does not
discriminate against an employee or employees by (in accordance with this
Division):
(a) adjusting rate provisions in an
APCS that determine a basic periodic rate of pay for:
(i) all junior employees,
or a class of junior employees; or
(ii) all employees with a
disability, or a class of employees with a disability; or
(iii) all employees to whom
training arrangements apply, or a class of employees to whom training
arrangements apply; or
(b) adjusting a special FMW for all
employees with a disability, or a class of employees with a disability.
Division 3—Maximum ordinary hours of work
Subdivision A—Preliminary
223
Employees to whom Division applies
This Division applies to all employees.
224
Definitions
In this Division:
authorised leave means leave, or an absence,
whether paid or unpaid, that is authorised:
(a) by an employee’s employer; or
(b) by or under a term or condition of
an employee’s employment; or
(c) by or under a law, or an
instrument in force under a law, of the Commonwealth, a State or a Territory.
employee means an employee to whom this
Division applies under section 223.
225
Agreement between employees and employers
Via a workplace agreement
(1) For the purposes of this Division, an
employee and an employer are taken to agree about a particular matter in a
particular way if a provision of a workplace agreement binding the employee and
the employer specifies that the matter is to be dealt with in that way.
Via an award
(2) For the purposes of this Division, an
employee and an employer are taken to agree about a particular matter in a
particular way if a term of an award that binds the employee and the employer
specifies that the matter is to be dealt with in that way.
Via other means
(3) To avoid doubt, nothing in this section
prevents employees and employers agreeing about matters by other means.
Subdivision B—Guarantee of maximum ordinary hours of work
226
The guarantee
(1) An employee must not be required or
requested by an employer to work more than:
(a) either:
(i) 38 hours per week; or
(ii) subject to subsection (3),
if the employee and the employer agree in writing that the employee’s hours of
work are to be averaged over a specified averaging period that is no longer
than 12 months—an average of 38 hours per week over that averaging period; and
(b) reasonable additional hours.
Note 1: An employee and an employer may agree that the
employee is to work less than 38 hours per week, or less than an average of 38
hours per week over the employee’s averaging period.
Note 2: A requirement for an employee to work a
particular number of hours may come, for example, from an award or a workplace
agreement.
(1A) An employer only contravenes subsection (1)
if the employer requests or requires an employee to work more than the
hours mentioned in subsection (1), and the employee works those hours.
Calculating the number of hours worked
(2) For the purposes of paragraph (1)(a),
in calculating the number of hours that an employee has worked in a particular
week, or the average number of hours that an employee has worked per week over
an averaging period, the hours worked by the employee are taken to include any
hours of authorised leave taken by the employee during the week, or during that
period.
Start of averaging period
(3) For the purpose of subparagraph (1)(a)(ii),
if an employee starts to work for an employer after the start of a particular
averaging period that applies to the employee, that averaging period is taken,
in relation to the employee, not to include the period before the employee
started to work for the employer.
Reasonable additional hours
(4) For the purposes of paragraph (1)(b),
in determining whether additional hours that an employee is required or
requested by an employer to work are reasonable additional hours, all relevant
factors must be taken into account. Those factors may include, but are not
limited to, the following:
(a) any risk to the employee’s health
and safety that might reasonably be expected to arise if the employee worked
the additional hours;
(b) the employee’s personal
circumstances (including family responsibilities);
(c) the operational requirements of
the workplace, or enterprise, in relation to which the employee is required or
requested to work the additional hours;
(d) any notice given by the employer
of the requirement or request that the employee work the additional hours;
(e) any notice given by the employee
of the employee’s intention to refuse to work the additional hours;
(f) whether any of the additional
hours are on a public holiday;
(g) the employee’s hours of work over
the 4 weeks ending immediately before the employee is required or requested to
work the additional hours.
Note: An employee and an employer may agree that the
employee may take breaks during any additional hours worked by the employee.
Definition
(5) In this section:
public holiday means:
(a) a day declared by or under a law
of a State or Territory to be observed generally within the State or Territory,
or a region of that State or Territory, as a public holiday by people who work
in that State, Territory or region, other than:
(i) a union picnic day; or
(ii) a day, or kind of day,
that is excluded by regulations made for the purposes of this paragraph from
counting as a public holiday; or
(b) a day that, under (or in
accordance with a procedure under) a law of a State or Territory, or an award
or workplace agreement, is substituted for a day referred to in paragraph (a).
Division 4—Annual leave
Subdivision A—Preliminary
227
Employees to whom Division applies
This Division applies to all employees
other than casual employees.
228
Definitions
(1) In this Division:
annual leave has the meaning given by
subsection 232(1).
authorised leave means leave, or an absence,
whether paid or unpaid, that is authorised:
(a) by an employee’s employer; or
(b) by or under a term or condition of
an employee’s employment; or
(c) by or under a law, or an instrument
in force under a law, of the Commonwealth, a State or a Territory.
basic periodic rate of pay has the meaning
given by section 178.
Note: See also section 231.
continuous service, in relation to a period
of an employee’s service with an employer, means service with the employer as
an employee (other than a casual employee) during the whole of the period,
including (as a part of the period) any period of authorised leave.
employee means an employee to whom this
Division applies under section 227.
nominal hours worked has the meaning given by
section 229.
Note: See also section 231.
piece rate employee means an employee who is
paid a piece rate of pay within the meaning of section 178.
public holiday means:
(a) a day declared by or under a law
of a State or Territory to be observed generally within the State or Territory,
or a region of that State or Territory, as a public holiday by people who work
in that State, Territory or region, other than:
(i) a union picnic day; or
(ii) a day, or kind of day,
that is excluded by regulations made for the purposes of this paragraph from
counting as a public holiday; or
(b) a day that, under (or in
accordance with a procedure under) a law of a State or Territory, or an award
or workplace agreement, is substituted for a day referred to in paragraph (a).
shift worker means:
(a) an employee who:
(i) is employed in a
business in which shifts are continuously rostered 24 hours a day for 7 days a
week; and
(ii) is regularly rostered
to work those shifts; and
(iii) regularly works on
Sundays and public holidays; or
(b) an employee of a type that is
prescribed by regulations made for the purposes of this paragraph.
Note: Subsection (2) enables regulations to be
made providing that an employee belonging to a specified class is not a shift
worker.
(2) The regulations may provide that an
employee:
(a) who is covered by paragraph (a)
or (b) of the definition of shift worker in subsection (1);
and
(b) who belongs to a class
specified in the regulations;
is not a shift worker for the purposes of this Division.
(3) Without limiting the way in which a class
of employees may be described for the purposes of regulations made under subsection (2),
the class may be described by reference to one or more of the following:
(a) a particular industry;
(b) a particular kind of work;
(c) a particular type of employment;
(d) a particular type of shift work
(whether described by reference to the organisation or allocation of shifts or
otherwise).
229
Meaning of nominal hours worked
Employees employed to work a specified number of hours
(1) For the purposes of this Division, if an
employee is employed by an employer to work a specified number of hours per
week, the number of nominal hours worked, by the employee for the
employer during a week, is to be worked out as follows:
(a) start with:
(i) the specified number
of hours; or
(ii) if the specified
number of hours is more than 38 hours—38 hours;
(b) deduct all of the following:
(i) the number of hours
(if any) in the week when the employee is absent from his or her work for the
employer on leave which does not count as service;
(ii) the number of hours
(if any) in the week (other than hours mentioned in subparagraph (i)) in
relation to which the employer is prohibited by section 507 from making a
payment to the employee.
Note: The actual hours worked from week to week by
an employee who is employed to work a specified number of hours per week may
vary, due to averaging as mentioned in section 226 or to some other kind
of flexible working hours scheme that applies to the employee’s employment.
(2) If an employee is employed on a full‑time
basis, but the terms and conditions of the employee’s employment do not
determine the number of hours in a week that is to constitute employment on a
full‑time basis for the employee, the employee is, for the purpose of subsection (1),
taken to be employed to work 38 hours per week.
(3) If an employee is employed to work a
specified number (the number of non‑week specified hours)
of hours over a period (the non‑week period) that is not a
week (for example, a fortnight), then, for the purpose of subsection (1),
the employee is taken to be employed to work the number of hours per week
determined, subject to the regulations (if any), in accordance with the
formula:

Employees not employed to work a specified number of
hours
(4) For the purposes of this Division, if subsection (1)
does not apply to the employment of an employee by an employer, the number of nominal
hours worked, by the employee for the employer during a
week, is the lesser of the following:
(a) the number worked out as follows:
(i) start with the number
of hours (if any) in the week that the employee both works, and is required or
requested to work, for the employer;
(ii) add the number of
hours (if any) in the week when the employee is absent from his or her work for
the employer on leave that counts as service;
(iii) deduct the number of
hours (if any) in the week in relation to which the employer is prohibited by
section 507 from making a payment to the employee;
(b) the number of nominal hours the
employee would be taken to have worked for the employer under subsection (1)
during the week if the employee were employed to work 38 hours per week.
Certain types of leave not to count as service
(4A) For the purposes of subparagraphs (1)(b)(i)
and (4)(a)(ii), a period of authorised unpaid leave or unauthorised leave does
not count as service in relation to an employee except:
(a) as expressly provided by:
(i) a term or condition of
the employee’s employment; or
(ii) a law, or an
instrument in force under a law, of the Commonwealth, a State or a Territory;
or
(b) as prescribed by the regulations.
Note: For whether leave guaranteed under this Part
counts as service, see subsections 238(2) (annual leave), 260(2) (paid personal
leave), 261(2) (unpaid carer’s leave) and 316(2) (parental leave).
Definition
(5) In this section:
hour includes a part of an hour.
Note 1: The regulations may prescribe a different
definition of nominal hours worked for piece rate employees (see
section 231).
Note 2: An employee’s hours of work may be varied (by
number or time) in accordance with a workplace agreement, award or contract of
employment that binds the employee and his or her employer.
Note 4: Because of the definition of hour
in subsection (5), an employee’s nominal hours worked may be a number of
hours and part of an hour.
230
Agreement between employees and employers
Via a workplace agreement
(1) For the purposes of this Division, an
employee and an employer are taken to agree about a particular matter in a
particular way if a provision of a workplace agreement binding the employee and
the employer specifies that the matter is to be dealt with in that way.
Via other means
(2) To avoid doubt, nothing in this section
prevents employees and employers agreeing about matters by other means.
231
Regulations may prescribe different definitions for piece rate employees
The regulations may prescribe:
(a) a different definition of basic
periodic rate of pay for the purpose of the application of this
Division in relation to piece rate employees; and
(b) a different definition of nominal
hours worked for the purpose of the application of this Division in
relation to piece rate employees.
Subdivision B—Guarantee of annual leave
232
The guarantee
(1) For the purposes of this Division, annual
leave means leave to which an employee is entitled under this
Subdivision.
All employees to whom this Division applies
(2) An employee is entitled to accrue an amount
of paid annual leave, for each completed 4 week period of continuous service
with an employer, of 1/13 of the number of nominal hours worked by the
employee for the employer during that 4 week period.
Example: An employee whose nominal hours worked for a 12
month period were 38 hours per week would be entitled under this subsection to
152 hours of annual leave (which would be the equivalent of 4 weeks of
annual leave if his or her nominal hours worked remained unchanged).
Additional leave entitlement for shift workers
(3) An employee is also entitled to accrue an
amount of paid annual leave, for each completed 12 month period of continuous
service with an employer, of 1/52 of the number of
nominal hours worked by the employee, for the employer, as a shift worker
during that 12 month period.
Example: A shift worker whose nominal hours worked for a
12 month period were 38 hours per week, and who worked as a shift worker
throughout that period, would be entitled under this subsection to an
additional 38 hours of annual leave (which would be the equivalent of one
week of annual leave if his or her nominal hours worked remained unchanged).
233
Entitlement to cash out annual leave
(1) An employee is entitled to forgo an
entitlement to take an amount of annual leave credited to the employee by an
employer if:
(a) a provision in a workplace
agreement binding the employee and the employer entitles the employee to forgo
the entitlement to the amount of annual leave; and
(b) the employee gives the employer a
written election to forgo the amount of annual leave; and
(c) a provision in a workplace
agreement binding the employee and the employer entitles the employee to
receive pay in lieu of the amount of annual leave at a rate that is no less
than the rate that, at the time the election is made, is the employee’s basic
periodic rate of pay (expressed as an hourly rate); and
(d) the employer authorises the
employee to forgo the amount of annual leave.
Note: If, under this section, an employee forgoes an
entitlement to take an amount of annual leave, the employee’s employer may
deduct that amount from the amount of accrued annual leave credited to the
employee.
(2) However, during each 12 month period, an
employee is not entitled to forgo an amount of annual leave credited to the
employee by an employer that is equal to more than 1/26
of the nominal hours worked by the employee for the employer during the period.
(3) An employer must not:
(a) require an employee to forgo an
entitlement to take an amount of annual leave; or
(b) exert undue influence or undue
pressure on an employee in relation to the making of a decision by the employee
whether or not to forgo an entitlement to take an amount of annual leave.
(4) If, under this section, an employee
forgoes an entitlement to take an amount of annual leave, the employer must,
within a reasonable period, give the employee the amount of pay that the
employee is entitled to receive in lieu of the amount of annual leave.
Subdivision C—Annual leave rules
234
Annual leave—accrual, crediting and accumulation rules
Accrual
(1) Annual leave accrues on a pro‑rata
basis.
Crediting
(2) Each month an employer must credit to an
employee of the employer the amount (if any) of annual leave accrued by the
employee under subsection 232(2) since the employer last credited to the
employee an amount of annual leave accrued under that subsection.
(3) Each year an employer must credit to an
employee of the employer the amount (if any) of annual leave accrued by the
employee under subsection 232(3) since the employer last credited to the
employee an amount of annual leave accrued under that subsection.
Accumulation
(4) Annual leave is cumulative.
235
Annual leave—payment rules
(1) If an employee takes annual leave during
a period, the employee must be paid a rate for each hour (pro‑rated for
part hours) of annual leave taken that is no less than the rate that,
immediately before the period begins, is the employee’s basic periodic rate of
pay (expressed as an hourly rate).
(2) If the employment of an employee who has
not taken an amount of accrued annual leave ends at a particular time, the
employee must be paid a rate for each hour (pro‑rated for part hours) of
the employee’s untaken accrued annual leave that is no less than the rate that,
immediately before that time, is the employee’s basic periodic rate of pay
(expressed as an hourly rate).
236
Rules about taking annual leave
General rules
(1) Subject to this section and section 233,
an employee is entitled to take an amount of annual leave during a particular
period if:
(a) at least that amount of annual
leave is credited to the employee; and
(b) the employee’s employer has
authorised the employee to take the annual leave during that period.
(2) To avoid doubt, there is no maximum or
minimum limit on the amount of annual leave that an employer may authorise an
employee to take.
(3) Any authorisation given by an employer
enabling an employee to take annual leave during a particular period is subject
to the operational requirements of the workplace or enterprise in respect of
which the employee is employed.
(4) An employer must not unreasonably:
(a) refuse to authorise an employee to
take an amount of annual leave that is credited to the employee; or
(b) revoke an authorisation enabling
an employee to take annual leave during a particular period.
Shut downs
(5) An employee must take an amount of annual
leave during a particular period if:
(a) the employee is directed to do so
by the employee’s employer because, during that period, the employer shuts down
the business, or any part of the business, in which the employee works; and
(b) at least that amount of annual
leave is credited to the employee.
Extensive accumulated annual leave
(6) An employee must take an amount of annual
leave during a particular period if:
(a) the employee is directed to do so
by his or her employer; and
(b) at the time that the direction is
given, the employee has annual leave credited to him or her of more than 1/13 of the number of nominal hours worked by the
employee for the employer during the period of 104 weeks ending at the time
that the direction is given; and
(c) the amount of annual leave that
the employee is directed to take is less than, or equal to, 1/4 of the amount of credited annual leave of the
employee at the time that the direction is given.
Entitlement to leave for all nominal hours in a day
also extends to other hours on that day
(7) If:
(a) an employee to whom subparagraph
229(1)(a)(ii) applies is entitled to take annual leave on a particular day; and
(b) the entitlement covers all the
hours (or part hours) on that day that would count towards the nominal hours
worked by the employee in the week that includes that day;
the employer is taken to have authorised the employee to
be absent from work for any other hours (or part hours) on that day that the
employee would otherwise have worked.
Example: Bianca is employed by BBB Bakers Pty Ltd. She
works 40 hours per week (consisting of 38 hours plus 2 reasonable additional
hours).
Under subsection 232(2), Bianca is
entitled to accrue paid annual leave of 1/13 of her nominal hours worked for
each completed 4 week period of continuous service with BBB Bakers. Because of
subparagraph 229(1)(a)(ii), Bianca’s nominal hours worked in a week are capped
at 38 hours. If Bianca works her normal hours for a 12 month period, she
will accrue 152 hours of paid annual leave.
The above subsection ensures that Bianca
will be able to be absent from work for 4 full 40 hour weeks. Bianca’s absence
for the additional 8 hours will not be paid leave, and will not count as
service, but it will not break her continuity of service (see subsection (8)).
(8) An absence that is taken by subsection (7)
to have been authorised:
(a) is not annual leave; and
(b) does not break the employee’s
continuity of service; and
(c) does not otherwise count as
service.
(9) For the purposes of subsection (7),
if a shift (or other period of work) occurs partly on 1 day and partly on the
next day, the shift (or other period of work) is taken to be a day and the
remaining parts of the days are taken not to be part of the day.
(10) For the purposes of subsection (7),
the regulations may make provision for either or both of the following:
(a) determining what hours (or part
hours) on a particular day would count towards the nominal hours worked by an
employee in a week;
(b) determining what other hours (or
part hours) on a particular day would be hours (or part hours) that an employee
would otherwise have worked.
237
Annual leave and workers’ compensation
This Division does not apply to the
extent that it is inconsistent with a provision of a law of the Commonwealth, a
State or a Territory relating to workers’ compensation if the provision would
(apart from this Division):
(a) prevent an employee from taking or
accruing annual leave during a period while the employee is receiving
compensation under such a law; or
(b) restrict the amount of annual
leave an employee may take or accrue during such a period.
Subdivision D—Service: annual leave
238
Annual leave—service
(1) A period of annual leave does not break
an employee’s continuity of service.
(2) Annual leave counts as service for all
purposes except as prescribed by the regulations.
Division 5—Personal leave
Subdivision A—Preliminary
239
Employees to whom Division applies
(1) Subject to this section, this Division
applies to all employees other than casual employees.
(2) This Subdivision, Subdivision C and
sections 255 and 256 apply to all employees.
240
Definitions
In this Division:
authorised leave means leave, or an absence,
whether paid or unpaid, that is authorised:
(a) by an employee’s employer; or
(b) by or under a term or condition of
an employee’s employment; or
(c) by or under a law, or an
instrument in force under a law, of the Commonwealth, a State or a Territory.
basic periodic rate of pay has the meaning
given by section 178.
Note: See also section 243.
carer’s leave has the meaning given by
paragraph 244(b).
child includes the following:
(a) an adopted child;
(b) a stepchild;
(c) an exnuptial child;
(d) an adult child.
compassionate leave has the meaning given by
subsection 257(1).
continuous service, in relation to a period
of an employee’s service with an employer, means service with the employer as
an employee (other than a casual employee) during the whole of the period,
including (as a part of the period) any period of authorised leave.
de facto spouse, of an
employee, means a person of the opposite sex to the employee who lives with the
employee as the employee’s husband or wife on a genuine domestic basis although
not legally married to the employee.
employee, when used in a provision of this
Division, means an employee to whom the provision applies under section 239.
immediate family: the following are members
of an employee’s immediate family:
(a) a spouse, child, parent,
grandparent, grandchild or sibling of the employee;
(b) a child, parent, grandparent,
grandchild or sibling of a spouse of the employee.
medical certificate means a certificate
signed by a registered health practitioner.
nominal hours worked has the meaning given by
section 241.
Note: See also section 243.
permissible occasion, for unpaid carer’s
leave, has the meaning given by subsection 250(1).
personal/carer’s leave has the meaning given
by section 244.
piece rate employee means an employee who is
paid a piece rate of pay within the meaning of section 178.
registered health practitioner means a health
practitioner registered, or licensed, as a health practitioner (or as a health
practitioner of a particular type) under a law of a State or Territory that
provides for the registration or licensing of health practitioners (or health
practitioners of that type).
sick leave has the meaning given by paragraph
244(a).
spouse includes the following:
(a) a former spouse;
(b) a de facto spouse;
(c) a former de facto spouse.
241
Meaning of nominal hours worked
Employees employed to work a specified number of hours
(1) For the purposes of this Division, if an
employee is employed by an employer to work a specified number of hours per
week, the number of nominal hours worked, by the employee for the
employer during a week, is to be worked out as follows:
(a) start with:
(i) the specified number
of hours; or
(ii) if the specified number
of hours is more than 38 hours—38 hours;
(b) deduct all of the following:
(i) the number of hours
(if any) in the week when the employee is absent from his or her work for the
employer on leave which does not count as service;
(ii) the number of hours
(if any) in the week (other than hours mentioned in subparagraph (i)) in
relation to which the employer is prohibited by section 507 from making a
payment to the employee.
Note: The actual hours worked from week to week by
an employee who is employed to work a specified number of hours per week may
vary, due to averaging as mentioned in section 226 or to some other kind
of flexible working hours scheme that applies to the employee’s employment.
(2) If an employee is employed on a full‑time
basis, but the terms and conditions of the employee’s employment do not
determine the number of hours in a week that is to constitute employment on a
full‑time basis for the employee, the employee is, for the purpose of subsection (1),
taken to be employed to work 38 hours per week.
(3) If an employee is employed to work a
specified number (the number of non‑week specified hours)
of hours over a period (the non‑week period) that is not a
week (for example, a fortnight), then, for the purpose of subsection (1),
the employee is taken to be employed to work the number of hours per week
determined, subject to the regulations (if any), in accordance with the
formula:

Employees not employed to work a specified number of
hours
(4) For the purposes of this Division, if subsection (1)
does not apply to the employment of an employee by an employer, the number of nominal
hours worked, by the employee for the employer during a
week, is the lesser of the following:
(a) the number worked out as follows:
(i) start with the number
of hours (if any) in the week that the employee both works, and is required or
requested to work, for the employer;
(ii) add the number of
hours (if any) in the week when the employee is absent from his or her work for
the employer on leave that counts as service;
(iii) deduct the number of
hours (if any) in the week in relation to which the employer is prohibited by
section 507 from making a payment to the employee;
(b) the number of nominal hours the
employee would be taken to have worked for the employer under subsection (1)
during the week if the employee were employed to work 38 hours per week.
Certain types of leave not to count as service
(4A) For the purposes of subparagraphs (1)(b)(i)
and (4)(a)(ii), a period of authorised unpaid leave or unauthorised leave does
not count as service in relation to an employee except:
(a) as expressly provided by:
(i) a term or condition of
the employee’s employment; or
(ii) a law, or an
instrument in force under a law, of the Commonwealth, a State or a Territory;
or
(b) as prescribed by the regulations.
Note: For whether leave guaranteed under this Part
counts as service, see subsections 238(2) (annual leave), 260(2) (paid personal
leave), 261(2) (unpaid carer’s leave) and 316(2) (parental leave).
Definition
(5) In this section:
hour includes a part of an hour.
Note 1: The regulations may prescribe a different
definition of nominal hours worked for piece rate employees (see
section 243).
Note 2: An employee’s hours of work may be varied (by
number or time) in accordance with a workplace agreement, award or contract of
employment that binds the employee and his or her employer.
Note 4: Because of the definition of hour
in subsection (5), an employee’s nominal hours worked may be a number of
hours and part of an hour.
242
Agreement between employees and employers
Via a workplace agreement
(1) For the purposes of this Division, an
employee and an employer are taken to agree about a particular matter in a
particular way if a provision of a workplace agreement binding the employee and
the employer specifies that the matter is to be dealt with in that way.
Via other means
(2) To avoid doubt, nothing in this section
prevents employees and employers agreeing about matters by other means.
243
Regulations may prescribe different definitions for piece rate employees
The regulations may prescribe:
(a) a different definition of basic
periodic rate of pay for the purposes of the application of this
Division in relation to piece rate employees; and
(b) a different definition of nominal
hours worked for the purposes of the application of this Division in
relation to piece rate employees.
244
Meaning of personal/carer’s leave
For the purposes of this Division, personal/carer’s
leave is:
(a) paid leave (sick leave)
taken by an employee because of a personal illness, or injury, of the employee;
or
(b) paid or unpaid leave (carer’s
leave) taken by an employee to provide care or support to a member of
the employee’s immediate family, or a member of the employee’s household, who
requires care or support because of:
(i) a personal illness, or
injury, of the member; or
(ii) an unexpected
emergency affecting the member.
Subdivision B—Guarantee of paid personal/carer’s leave
245
The guarantee
(1) Subject to this Subdivision, an employee
is entitled to paid personal/carer’s leave if the employee complies with the
notice and documentation requirements under Subdivision D, to the extent to
which they apply to the employee.
Note: The entitlement is subject to the restrictions
in sections 246, 248 and 249.
(2) An employee is taken not to have been
entitled to a period of paid personal/carer’s leave at any time after the start
of the period if:
(a) Subdivision D:
(i) required the employee
to give notice or a document (the required notice or document) to
his or her employer; and
(ii) allowed the employee
to give the required notice or document to his or her employer after the start
of the leave; and
(b) when the employee started the
leave, the employee had not given his or her employer the required notice or
document; and
(c) the employee did not later give
the required notice or document to his or her employer within the period
required under Subdivision D.
Note: Under Subdivision D, an employee may be
required to give his or her employer notice, a medical certificate or a
statutory declaration (depending on the circumstances).
245A
Entitlement to cash out an amount of paid personal/carer’s leave
(1) This section applies to an employee if
more than the protected amount of paid personal/carer’s leave is credited to
the employee.
(2) The employee is entitled to forgo an
entitlement to take any or all of the amount of paid personal/carer’s leave
credited to the employee that exceeds the protected amount of paid
personal/carer’s leave if:
(a) a provision in a workplace
agreement binding the employee and the employer entitles the employee to forgo
the entitlement to the amount of paid personal/carer’s leave; and
(b) the employee gives the employer a
written election to forgo the amount of paid personal/carer’s leave; and
(c) a provision in a workplace
agreement binding the employee and the employer entitles the employee to
receive pay in lieu of the amount of paid personal/carer’s leave at a rate that
is no less than the rate that, at the time the election is made, is the
employee’s basic periodic rate of pay (expressed as an hourly rate); and
(d) the employer authorises the
employee to forgo the amount of paid personal/carer’s leave.
Note: If, under this section, an employee forgoes an
entitlement to take an amount of paid personal/carer’s leave, the employee’s
employer may deduct that amount from the amount of accrued paid
personal/carer’s leave credited to the employee.
(3) For the purposes of subsections (1)
and (2), the protected amount of paid personal/carer’s leave for
the employee is 3/52 of the number of nominal hours worked by the
employee for the employer during:
(a) a continuous period of 12 months
of service with the employer ending immediately before the day on which the
employee makes an election under paragraph (2)(b); or
(b) a sequence of periods totalling 12
months of service with the employer, the last of which ends immediately before
the day on which the employee makes an election under paragraph (2)(b).
Note: The protected amount of paid personal/carer’s
leave for an employee whose nominal hours worked for an employer each week over
a continuous period of 12 months service with the employer are 38 hours
would be 114 hours (which would be equivalent to 15 days of paid
personal/carer’s leave for that employee).
(4) An employer must not:
(a) require an employee to forgo an
entitlement to take an amount of paid personal/carer’s leave; or
(b) exert undue influence or undue
pressure on an employee in relation to the making of a decision by the employee
whether or not to forgo an entitlement to take an amount of paid
personal/carer’s leave.
(5) If, under this section, an employee
forgoes an entitlement to take an amount of paid personal/carer’s leave, the
employer must, within a reasonable period, give the employee the amount of pay
that the employee is entitled to receive in lieu of the amount of paid
personal/carer’s leave.
246
Paid personal/carer’s leave—accrual, crediting and accumulation rules
Entitlement to take credited leave
(1) Subject to this Subdivision, an employee
is entitled to take an amount of paid personal/carer’s leave if, under this
section, that amount of leave is credited to the employee.
Accrual
(2) An employee is entitled to accrue an
amount of paid personal/carer’s leave, for each completed 4 week period of
continuous service with an employer, of 1/26
of the number of nominal hours worked by the employee for the employer during
that 4 week period.
Example: An employee whose nominal hours worked for an
employer each week over a 12 month period are 38 hours would be entitled to
accrue 76 hours paid personal/carer’s leave (which would amount to 10 days of
paid personal/carer’s leave for that employee) over the period.
(3) Paid personal/carer’s leave accrues on a
pro‑rata basis.
Crediting
(4) Each month, an employer must credit to an
employee of the employer the amount (if any) of paid personal/carer’s leave
accrued by the employee since the employer last credited to the employee an
amount of paid personal/carer’s leave accrued under this section.
Accumulation
(5) Paid personal/carer’s leave is
cumulative.
247
Paid personal/carer’s leave—payment rule
If an employee takes paid
personal/carer’s leave during a period, the employee must be paid a rate for
each hour (pro‑rated for part hours) of paid personal/carer’s leave taken
that is no less than the rate that, immediately before the period begins, is
the employee’s basic periodic rate of pay (expressed as an hourly rate).
247A
Entitlement to leave for all nominal hours in a day also extends to other hours
on that day
(1) If:
(a) an employee to whom subparagraph
241(1)(a)(ii) applies is entitled to take paid personal/carer’s leave on a
particular day; and
(b) the entitlement covers all the hours
(or part hours) on that day that would count towards the nominal hours worked
by the employee in the week that includes that day;
the employer is taken to have authorised the employee to
be absent from work for any other hours (or part hours) on that day that the
employee would otherwise have worked.
Example: Tina is employed by Terrific Videos Pty Ltd. She
works 8 hours a day for 5 days a week, giving a weekly total of 40 hours per
week (consisting of 38 hours plus 2 reasonable additional hours).
Under subsection 246(2), Tina is entitled
to accrue paid personal/carer’s leave of 1/26
of her nominal hours worked for each completed 4 week period of continuous
service with Terrific Videos. Because of subparagraph 241(1)(a)(ii), Tina’s
nominal hours worked in a week are capped at 38 hours. If Tina works her normal
hours for a 12 month period, she will accrue 76 hours of paid personal/carer’s
leave.
The above subsection ensures that Tina
will be able (subject to the requirements of this Division relating to entitlement
to paid personal/carer’s leave) to be absent from work for 10 full 8 hour days.
Tina’s absence for the additional 4 hours over those 10 days will not be paid
leave, and will not count as service, but it will not break her continuity of
service (see subsection (2)).
(2) An absence that is taken by subsection (1)
to have been authorised:
(a) is not paid personal/carer’s
leave; and
(b) does not break the employee’s
continuity of service; and
(c) does not otherwise count as
service.
(3) For the purposes of subsection (1),
if a shift (or other period of work) occurs partly on 1 day and partly on the
next day, the shift (or other period of work) is taken to be a day and the
remaining parts of the days are taken not to be part of the day.
(4) For the purposes of subsection (1),
the regulations may make provision for either or both of the following:
(a) determining what hours (or part
hours) on a particular day would count towards the nominal hours worked by an
employee in a week;
(b) determining what other hours (or
part hours) on a particular day would be hours (or part hours) that an employee
would otherwise have worked.
248
Paid personal/carer’s leave—workers’ compensation
(1) An employee is not entitled to take paid
sick leave for a period during which the employee is absent from work because
of a personal illness, or injury, for which the employee is receiving
compensation payable under a law of the Commonwealth, a State or a Territory
relating to workers’ compensation.
(2) Subject to subsection (1), this
Division does not apply to the extent that it is inconsistent with a provision
of a law of the Commonwealth, a State or a Territory relating to workers’
compensation if the provision would (apart from this Division):
(a) prevent an employee from taking or
accruing paid personal/carer’s leave during a period while the employee is
receiving compensation under such a law; or
(b) restrict the amount of paid
personal/carer’s leave an employee may take or accrue during such a period.
249
Paid carer’s leave—annual limit
(1) This section applies to an employee if,
at a particular time, the employee:
(a) is employed by an employer; and
(b) for a continuous period of at
least 12 months immediately before the time, has been in continuous service with
the employer.
(2) The employee is not entitled to take paid
carer’s leave from his or her employment with the employer at the time if,
during the period of 12 months ending at the time, the employee has already
taken a total amount of paid carer’s leave from that employment of 1/26 of the nominal hours worked by the employee
for the employer during that period.
Example: An employee whose nominal hours worked for an
employer each week were 38 hours during a 12 month period of continuous service
with the employer would not be entitled to take any paid carer’s leave from his
or her employment with the employer if the employee had, during the period,
already taken 76 hours paid carer’s leave (which amounted to 10 days paid
carer’s leave for that employee) from that employment.
Subdivision C—Guarantee of unpaid carer’s leave
250
The guarantee
(1) Subject to this Subdivision, an employee
is entitled to a period of up to 2 days unpaid carer’s leave for each occasion
(a permissible occasion) when a member of the employee’s
immediate family, or a member of the employee’s household, requires care or
support during such a period because of:
(a) a personal illness, or injury, of
the member; or
(b) an unexpected emergency affecting
the member.
Note 1: This entitlement extends to casual employees
(see section 239).
Note 2: The entitlement is subject to the restrictions
in sections 251 and 252.
(2) An employee is entitled to unpaid carer’s
leave only if the employee complies with the notice and documentation requirements
under Subdivision D, to the extent to which they apply to the employee.
(3) An employee is taken not to have been
entitled to a period of unpaid carer’s leave at any time after the start of the
period if:
(a) Subdivision D:
(i) required the employee
to give notice or a document (the required notice or document) to
his or her employer; and
(ii) allowed the employee
to give the required notice or document to his or her employer after the start
of the leave; and
(b) when the employee started the leave,
the employee had not given his or her employer the required notice or document;
and
(c) the employee did not later give
the required notice or document to his or her employer within the period
required under Subdivision D.
Note: Under Subdivision D, an employee may be
required to give his or her employer notice, a medical certificate or a
statutory declaration (depending on the circumstances).
251
Unpaid carer’s leave—how taken
An employee who is entitled to a period
of unpaid carer’s leave under section 250 for a particular permissible
occasion is entitled to take the unpaid carer’s leave as:
(a) a single, unbroken, period of up
to 2 days; or
(b) any separate periods to which the
employee and his or her employer agree.
252
Unpaid carer’s leave—paid personal leave exhausted
An employee is entitled to unpaid
carer’s leave for a particular permissible occasion during a particular period
only if the employee cannot take an amount of any of the following types of
paid leave during the period:
(a) paid personal/carer’s leave;
(b) any other authorised leave of the
same type as personal/carer’s leave.
Subdivision D—Notice and evidence requirements: personal/carer’s leave
253
Sick leave—notice
(1) To be entitled to sick leave during a
period, an employee must give his or her employer notice in accordance
with this section that the employee is (or will be) absent from his or her
employment during the period because of a personal illness, or injury, of the
employee.
(2) The notice must be given to the employer
as soon as reasonably practicable (which may be at a time before or after the
sick leave has started).
(3) The notice must be to the effect that the
employee requires (or required) leave during the period because of a personal
illness, or injury, of the employee.
(4) This section does not apply to an
employee who could not comply with it because of circumstances beyond the
employee’s control.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
254
Sick leave—documentary evidence
(1) This section applies if an employer
requires an employee of the employer to give the employer documentary evidence
in relation to a period of sick leave taken (or to be taken) by the employee.
(2) To be entitled to sick leave during the
period, the employee must, in accordance with this section, give the employer a
document (the required document) of whichever of the following
types applies:
(a) if it is reasonably practicable to
do so—a medical certificate from a registered health practitioner;
(b) if it is not reasonably
practicable for the employee to give the employer a medical certificate—a
statutory declaration made by the employee.
(3) The required document must be given to
the employer as soon as reasonably practicable (which may be at a time before
or after the sick leave has started).
(4) The required document must include a
statement to the effect that:
(a) if the required document is a
medical certificate—in the registered health practitioner’s opinion, the
employee was, is, or will be unfit for work during the period because of a
personal illness or injury; or
(b) if the required document is a
statutory declaration—the employee was, is, or will be unfit for work during
the period because of a personal illness or injury.
(5) This section does not apply to an
employee who could not comply with it because of circumstances beyond the
employee’s control.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
255
Carer’s leave—notice
(1) To be entitled to carer’s leave during a
period, an employee must give his or her employer notice in accordance with
this section.
(2) The notice must be given to the employer
as soon as reasonably practicable (which may be at a time before or after the
carer’s leave has started).
(3) The notice must be to the effect that the
employee requires (or required) leave during the period to provide care or
support to a member of the employee’s immediate family, or a member of the
employee’s household, who requires (or required) care or support because of:
(a) a personal illness, or injury, of
the member; or
(b) an unexpected emergency affecting
the member.
(4) This section does not apply to an
employee who could not comply with it because of circumstances beyond the
employee’s control.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
256
Carer’s leave—documentary evidence
(1) This section applies if an employer
requires an employee of the employer to give the employer documentary evidence
in relation to a period of carer’s leave taken (or to be taken) by the employee
to provide care or support to a member of the employee’s immediate family or a
member of the employee’s household.
(2) To be entitled to carer’s leave during
the period, the employee must, in accordance with this section, give the
employer a document (the relevant document) that is:
(a) if the care or support is required
because of a personal illness, or injury, of the member—a medical certificate
from a registered health practitioner, or a statutory declaration made by the
employee; or
(b) if the care or support is required
because of an unexpected emergency affecting the member—a statutory declaration
made by the employee.
(3) The relevant document must be given to
the employer as soon as reasonably practicable (which may be at a time before
or after the carer’s leave has started).
(4) If the relevant document is a medical
certificate, it must include a statement to the effect that, in the opinion of
the registered health practitioner, the member had, has, or will have a
personal illness or injury during the period.
(5) If the relevant document is a statutory
declaration, it must include a statement to the effect that the employee
requires (or required) leave during the period to provide care or support to
the member because the member requires (or required) care or support during the
period because of:
(a) a personal illness, or injury, of
the member; or
(b) an unexpected emergency affecting
the member.
(6) This section does not apply to an
employee who could not comply with it because of circumstances beyond the
employee’s control.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
Subdivision E—Guarantee of compassionate leave
257
The guarantee
(1) For the purposes of this Division, compassionate
leave is paid leave taken by an employee:
(a) for the purposes of spending time
with a person who:
(i) is a member of the
employee’s immediate family or a member of the employee’s household; and
(ii) has a personal
illness, or injury, that poses a serious threat to his or her life; or
(b) after the death of a member of the
employee’s immediate family or a member of the employee’s household.
(2) Subject to this Subdivision, an employee
is entitled to a period of 2 days of compassionate leave for each occasion
(a permissible occasion) when a member of the employee’s
immediate family or a member of the employee’s household:
(a) contracts or develops a personal
illness that poses a serious threat to his or her life; or
(b) sustains a personal injury that
poses a serious threat to his or her life; or
(c) dies.
(3) However, the employee is entitled to
compassionate leave only if the employee gives his or her employer any evidence
that the employer reasonably requires of the illness, injury or death.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
258
Taking compassionate leave
(1) An employee who is entitled to a period
of compassionate leave under section 257 for a particular permissible
occasion is entitled to take the compassionate leave as:
(a) a single, unbroken period of 2
days; or
(b) 2 separate periods of 1 day each;
or
(c) any separate periods to which the
employee and his or her employer agree.
(2) An employee who is entitled to a period
of compassionate leave under section 257 because a member of the
employee’s immediate family or a member of the employee’s household has
contracted or developed a personal illness, or sustained a personal injury, is
entitled to start to take the compassionate leave at any time while the illness
or injury persists.
259
Compassionate leave—payment rule
If an employee takes compassionate leave
during a period, the employee must be paid a rate for each hour (pro‑rated
for part hours) of compassionate leave taken that is no less than the rate
that, immediately before the period begins, is the employee’s basic periodic
rate of pay (expressed as an hourly rate).
Subdivision F—Personal leave: service
260
Paid personal leave—service
(1) A period of paid personal leave does not
break an employee’s continuity of service.
(2) Paid personal leave counts as service for
all purposes except as prescribed by the regulations.
(3) In this section:
paid personal leave means paid
personal/carer’s leave or compassionate leave.
261 Unpaid
carer’s leave—service
(1) A period of unpaid carer’s leave does not
break an employee’s continuity of service.
(2) However, a period of unpaid carer’s leave
does not otherwise count as service except:
(a) as expressly provided by or under:
(i) a term or condition of
the employee’s employment; or
(ii) a law, or an
instrument in force under a law, of the Commonwealth, a State or a Territory;
or
(b) as prescribed by the regulations.
Division 6—Parental leave
Subdivision A—Preliminary
262
Employees to whom Division applies
(1) This Division applies to all employees,
other than casual employees who are not eligible casual employees.
(2) This Division establishes minimum
entitlements and so is intended to supplement, and not to override, entitlements
under other Commonwealth legislation.
263
Definitions
In this Division:
adoption agency means an agency, office,
court or other entity that is authorised under a law of the Commonwealth, a
State, a Territory or a foreign country to perform functions in relation to
adoption.
adoption leave has the meaning given by
subsection 300(1).
authorised leave means leave, or an absence,
whether paid or unpaid, that is authorised:
(a) by an employee’s employer; or
(b) by or under a term or condition of
an employee’s employment; or
(c) by or under a law, or an
instrument in force under a law, of the Commonwealth, a State or a Territory.
basic periodic rate of pay has the meaning
given by section 178.
Note: See also section 264A.
continuous service, in relation to a period
of an employee’s service with an employer, means service with the employer as
an employee during the whole of the period, including (as a part of the period)
any of the following periods:
(a) a period of authorised leave;
(b) a period (the casual period)
during which the employee was a casual employee, if:
(i) during the casual period,
the employee was engaged on a regular and systematic basis by the employer; and
(ii) during the casual period,
the employee had a reasonable expectation of continuing employment by the
employer.
day of placement: the day
of placement of a child with an employee for an adoption is:
(a) subject to paragraph (b), the
earlier of the following days:
(i) the day on which the
employee first takes custody of the child for the adoption;
(ii) the day on which the
employee starts any travel that is reasonably necessary to take custody of the
child for the adoption; or
(b) if the child’s adoption by an
employee is authorised by an adoption agency after the child has started living
with the employee (unless the employee has travelled overseas to take custody
of the child for an adoption intended to occur in Australia)—the day on which
the adoption is authorised by the agency.
de facto spouse, of an
employee, means a person of the opposite sex to the employee who lives with the
employee as the employee’s husband or wife on a genuine domestic basis although
not legally married to the employee.
eligible casual employee has the meaning
given by section 264.
eligible child has the meaning given by
section 298.
employee means an employee to whom this
Division applies under subsection 262(1).
expected date of birth, of a child of an
employee who is or was pregnant, means:
(a) if, to comply with a requirement
under Subdivision C, the employee has given her employer a medical certificate
stating the expected date of birth of the child or a date that would be, or
would have been, the expected date of birth of the child—the stated date; or
(b) if the employee could not comply
with a requirement mentioned in paragraph (a) because of circumstances
beyond her control—the date of birth of the child that could reasonably be
expected if the pregnancy were to go to full term.
long adoption leave has the meaning given by
paragraph 300(1)(b).
long paternity leave has the meaning given by
paragraph 282(1)(b).
maternity leave has the meaning given by
subsection 265(1).
medical certificate means a certificate
signed by a medical practitioner.
medical practitioner means a person
registered, or licensed, as a medical practitioner under a law of a State or
Territory that provides for the registration or licensing of medical
practitioners.
ordinary maternity leave has the meaning
given by paragraph 265(1)(b).
paternity leave has the meaning given by subsection
282(1).
piece rate employee means an employee who is
paid a piece rate of pay within the meaning of section 178.
placement, of a child, means:
(a) subject to paragraph (b)—the
placement, by an adoption agency, of the child into the custody of an employee
for adoption; or
(b) if the child’s adoption by an
employee is authorised by an adoption agency after the child has started living
with the employee—the authorisation of the adoption by the adoption agency.
Note: Day of placement
is also defined in this section.
pre‑adoption leave has the meaning
given by subsection 299(2).
pregnancy‑related illness means an
illness related to pregnancy.
primary care‑giver, of a child, means a
person who assumes the principal role of providing care and attention to the
child.
short adoption leave has the meaning given by
paragraph 300(1)(a).
short paternity leave has the meaning given
by paragraph 282(1)(a).
special maternity leave has the meaning given
by paragraph 265(1)(a).
spouse includes the following:
(a) a former spouse;
(b) a de facto spouse;
(c) a former de facto spouse.
264
Meaning of eligible casual employee
(1) For the purposes of this Division, an eligible
casual employee is a casual employee:
(a) who has been engaged by a
particular employer on a regular and systematic basis for a sequence of periods
of employment during a period of at least 12 months; and
(b) who, but for an expected birth or
an expected placement of a child, would have a reasonable expectation of
continuing engagement by the employer on a regular and systematic basis.
(2) Without limiting subsection (1), for
the purposes of this Division, a casual employee is also an eligible
casual employee if:
(a) the employee was engaged by a
particular employer on a regular and systematic basis for a sequence of periods
during a period (the first period of employment) of less than 12
months; and
(b) at the end of the first period of
employment, the employee ceased, on the employer’s initiative, to be so engaged
by the employer; and
(c) the employer later again engaged
the employee on a regular and systematic basis for a further sequence of
periods during a period (the second period of employment) that
started not more than 3 months after the end of the first period of employment;
and
(d) the combined length of the first
period of employment and the second period of employment is at least 12 months;
and
(e) the employee, but for an expected
birth or an expected placement of a child, would have a reasonable expectation
of continuing engagement by the employer on a regular and systematic basis.
264A
Regulations may prescribe different definition for piece rate employees
The regulations may prescribe a
different definition of basic periodic rate of pay for the
purposes of the application of this Division in relation to piece rate
employees.
Subdivision B—Guarantee of maternity leave
265
The guarantee
(1) For the purposes of this Division, maternity
leave is:
(a) unpaid leave (special
maternity leave) taken by an employee because:
(i) she is pregnant, and
has a pregnancy‑related illness; or
(ii) she has been pregnant,
and the pregnancy has ended within 28 weeks before the expected date of birth
of the child otherwise than by the birth of a living child; or
(b) a single, unbroken period of
unpaid leave (ordinary maternity leave) taken in respect of the
birth, or the expected birth, of a child of an employee (other than leave taken
as special maternity leave).
(2) Subject to this Subdivision and
Subdivision D, an employee is entitled to maternity leave if:
(a) she complies with the
documentation requirements under Subdivision C, to the extent to which they
apply to her; and
(b) immediately before the expected
date of birth of the child:
(i) she has, or will have,
completed at least 12 months continuous service with her employer; or
(ii) she is, or will be, an
eligible casual employee.
Note: Entitlement to maternity leave is subject to
the restrictions in sections 266 and 267 and Subdivision D.
(3) An employee is taken not to have been entitled
to a period of maternity leave at any time after the start of the period if:
(a) Subdivision C:
(i) required the employee
to give a document (the required document) to her employer; and
(ii) allowed the employee
to give the required document to her employer after the start of the leave; and
(b) when the employee started the
leave, the employee had not given her employer the required document; and
(c) the employee did not later give
the required document to her employer within the period required under
Subdivision C.
Note: Under Subdivision C, an employee may be
required to give her employer a medical certificate, an application or a
statutory declaration (depending on the circumstances).
(4) Subject to this Division, an employee may
take special maternity leave, ordinary maternity leave, or both.
266
Period of maternity leave
(1) In this section:
related authorised leave, in relation to
maternity leave taken (or to be taken) by an employee, means any of the
following types of authorised leave other than the maternity leave:
(a) authorised leave (other than paid
leave under subparagraph 268(2)(b)(i) or (ii)) taken by the employee because of
any of the following:
(i) her pregnancy;
(ii) the birth of the
child;
(iii) the end of her
pregnancy otherwise than by the birth of a living child;
(iv) the death of the child;
(b) paternity leave, or any other
authorised leave of the same type as paternity leave, taken by the employee’s
spouse because of the birth of the child.
(2) An employee may take a period of
maternity leave as part of a continuous period including any other authorised
leave.
(3) The maximum total amount of maternity
leave (including special maternity leave and ordinary maternity leave) to which
an employee is entitled in relation to the birth of a child is 52 weeks, less
an amount equal to the total amount of related authorised leave taken:
(a) by the employee before or after
the maternity leave; and
(b) by the employee’s spouse before,
during or after the maternity leave.
Example: Rosa is a pregnant employee entitled to maternity
leave. She has taken 2 weeks of special maternity leave, but no other
authorised leave. Rosa intends to take authorised leave because of the birth
consisting of 4 weeks of annual leave and 12 weeks of long service leave, and a
period of ordinary maternity leave.
Rosa’s spouse Jim intends to take 1 week
of short paternity leave.
The maximum amount of ordinary maternity
leave to which Rosa is entitled is 33 weeks, worked out as follows:
(a) the maximum entitlement of any employee to
maternity leave is 52 weeks;
(b) the maximum amount of ordinary maternity leave
available to Rosa must be reduced by 2 weeks for her special maternity leave;
(c) the maximum amount must also be reduced by 16
weeks for Rosa’s annual leave and long service leave;
(d) the maximum amount must be further reduced by 1
week for Jim’s short paternity leave.
267
Period of special maternity leave
(1) An employee is not entitled to a period
of special maternity leave longer than the period stated in a medical
certificate given to the employer for the purposes of section 269.
Note: Section 269 requires an employee to give
her employer a medical certificate (and other documents) in order to be
entitled to special maternity leave. However, the section does not apply to an
employee who could not comply with the section because of circumstances beyond
her control (see subsection 269(5)).
(2) In addition, a period of special
maternity leave must end before the employee starts any continuous period of
leave including (or constituted by) ordinary maternity leave.
268
Transfer to a safe job
(1) This section applies to an employee if:
(a) she is entitled to ordinary
maternity leave; and
(b) she has already complied with the
documentation requirements under sections 270 and 271; and
(c) the employee gives her employer a
medical certificate from a medical practitioner containing a statement to the
effect that, in the medical practitioner’s opinion, the employee is fit to
work, but that it is inadvisable for her to continue in her present position
for a stated period because of:
(i) illness, or risks,
arising out of her pregnancy; or
(ii) hazards connected with
that position.
(2) If this section applies to an employee:
(a) if the employee’s employer thinks
it to be reasonably practicable to transfer the employee to a safe job—the
employer must transfer the employee to the safe job, with no other change to
the employee’s terms and conditions of employment; or
(b) if the employee’s employer does not
think it to be reasonably practicable to transfer the employee to a safe job:
(i) the employee may take
paid leave immediately for a period ending at the time mentioned in paragraph (4)(b);
or
(ii) the employer may
require the employee to take paid leave immediately for a period ending at the
time mentioned in paragraph (4)(b).
Note: An employer may ask an employee to give the
employer a statement from a medical practitioner as to the employee’s fitness
to work (see subsections 274(2) and (2A)).
(3) If the employee takes paid leave under subparagraph (2)(b)(i)
or (ii) during a period, the employee must be paid a rate for each hour (pro‑rated
for part hours) of paid leave taken that is no less than the rate that,
immediately before the period begins, is the employee’s basic periodic rate of
pay (expressed as an hourly rate).
(4) If the
employee takes paid leave under subparagraph (2)(b)(i) or (ii):
(a) the entitlement to leave is in
addition to any other leave entitlement she has; and
(b) the period of leave ends at the
earliest of whichever of the following times is applicable:
(i) the end of the period
stated in the medical certificate;
(ii) if the employee’s
pregnancy results in the birth of a living child—the end of the day before the
date of birth;
(iii) if the employee’s
pregnancy ends otherwise than with the birth of a living child—the end of the
day before the end of the pregnancy.
(5) To avoid doubt, this section applies
whether the employee gives the medical certificate to the employer because of a
request under subsection 274(2) or otherwise.
Subdivision C—Maternity leave: documentation
269
Special maternity leave—documentation
Requirement for application
(1) To be entitled to special maternity leave
during a period, an employee must give her employer a written application for
special maternity leave, in accordance with this section, stating the first and
last days of the period.
Pregnancy‑related illness—medical certificate
(2) An application for special maternity
leave required because of a pregnancy‑related illness must be accompanied
by a medical certificate from a medical practitioner containing the following
statements of the medical practitioner’s opinion:
(a) a statement that the employee is
pregnant;
(b) a statement of the expected date
of birth;
(c) a statement to the effect that the
employee is, was, or will be unfit to work for a stated period because of a
pregnancy‑related illness.
End of pregnancy—medical certificate and statutory
declaration
(3) An application for special maternity
leave required because of the end of the employee’s pregnancy otherwise than by
the birth of a living child must be accompanied by:
(a) a medical certificate from a
medical practitioner containing the following statements of the medical practitioner’s
opinion:
(i) a statement that the
employee was pregnant, but that the pregnancy has ended otherwise than by the
birth of a living child;
(ii) a statement of what
the expected date of birth would have been if the pregnancy had gone to full
term;
(iii) a statement that the
pregnancy ended on a stated day within 28 weeks before the expected date of
birth;
(iv) a statement to the
effect that the employee is, was, or will be unfit for work during a stated
period; and
(b) a statutory declaration made by
the employee stating the following:
(i) the first and last
days of the period (or periods) of any other authorised leave taken by the
employee because of a pregnancy‑related illness or the end of the
pregnancy;
(ii) that the employee will
not engage in any conduct inconsistent with her contract of employment while on
maternity leave.
Time for giving application to employer
(4) The application, medical certificate and
statutory declaration (if required) must be given to the employer before, or as
soon as reasonably practicable after, starting a continuous period of leave
including (or constituted by) the special maternity leave.
Section does not apply if could not be complied with
(5) This section does not apply to an
employee who could not comply with the section because of circumstances beyond
her control.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
270
Ordinary maternity leave—medical certificate
Requirement for medical certificate
(1) To be entitled to ordinary maternity
leave, an employee must give her employer a medical certificate from a medical
practitioner in accordance with this section.
General rules
(2) The medical certificate must contain the
following statements of the medical practitioner’s opinion:
(a) a statement that the employee is
pregnant;
(b) a statement of the expected date
of birth.
(3) The medical certificate mentioned in subsection (2)
must be given to the employer no later than 10 weeks before the expected date
of birth (as stated in the certificate).
Premature birth or other compelling reason
(4) However, subsections (2) and (3) do
not apply if it was not reasonably practicable for a medical certificate
mentioned in subsection (2) to be given to the employer by the time
required by subsection (3) because of:
(a) the premature birth of the
employee’s child; or
(b) any other compelling reason.
(5) If subsections (2) and (3) do not
apply:
(a) subject to paragraph (b), as
soon as reasonably practicable before the birth of the child (which may be at a
time before or after the maternity leave has started) the employee must give
the employer a medical certificate from a medical practitioner containing the
following statements of the medical practitioner’s opinion:
(i) a statement that the
employee is pregnant;
(ii) a statement of the
expected date of birth if the pregnancy were to go to full term; or
(b) if it was not reasonably
practicable for the employee to comply with paragraph (a) before the birth
of the child—as soon as reasonably practicable after the birth of the child
(which may be at a time before or after the maternity leave has started) the
employee must give the employer a medical certificate from a medical
practitioner containing the following statements of the medical practitioner’s
opinion (or knowledge):
(i) a statement of the
actual date of birth;
(ii) a statement of the
expected date of birth as at the 70th day before the actual date of birth.
Section does not apply if could not be complied with
(6) This section does not apply to an
employee who could not comply with the section because of circumstances beyond
her control.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
271
Ordinary maternity leave—application
Requirement for application
(1) To be entitled to ordinary maternity
leave during a period, an employee must give her employer a written application
for ordinary maternity leave in accordance with this section stating the first
and last days of the period.
General rule
(2) The application must be given to the
employer no later than 4 weeks before the first day of the intended continuous
period of leave including (or constituted by) ordinary maternity leave.
Premature birth or other compelling reason
(3) However, subsection (2) does not
apply if it was not reasonably practicable for the employee to comply with it
because of:
(a) the premature birth of the
employee’s child; or
(b) any other compelling reason.
(4) If subsection (2) does not apply,
the application must be made as soon as reasonably practicable (which may be at
a time before or after the maternity leave has started).
Statutory declaration with application
(5) The application must be accompanied by a
statutory declaration made by the employee stating the following:
(a) the first and last days of the
period (or periods) of any other authorised leave (other than paid leave under
subparagraph 268(2)(b)(i) or (ii)) intended to be taken (or already taken) by
the employee because of her pregnancy or the expected birth;
(b) the first and last days of the
period (or periods) of any paternity leave, or any other authorised leave of
the same type as paternity leave, intended to be taken (or already taken) by
the employee’s spouse because of the expected birth;
(c) that the employee intends to be
the child’s primary care‑giver at all times while on maternity leave;
(d) that the employee will not engage
in any conduct inconsistent with her contract of employment while on maternity
leave.
Section does not apply if could not be complied with
(6) This section does not apply to an
employee who could not comply with the section because of circumstances beyond
her control.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
Subdivision D—Maternity leave: from start to finish
272
Maternity leave—start of leave
Subject to section 274, an employee
may start a continuous period of leave including (or constituted by) ordinary
maternity leave to which she is entitled at any time within 6 weeks before the
expected date of birth of the child.
273
Requirement to take leave—for 6 weeks after birth
A continuous period of leave including
(or constituted by) ordinary maternity leave must include a period of leave of
at least 6 weeks starting from the date of birth of the child.
274
Requirement to take leave—within 6 weeks before birth
(1) This section applies to an employee if:
(a) she is entitled to ordinary
maternity leave; and
(b) she has already complied with the
documentation requirements under sections 270 and 271.
(2) If the employee continues to work, during
the period of 6 weeks before the expected date of birth, the employer may ask
the employee to give the employer a medical certificate from a medical
practitioner containing the following statement or statements of the medical
practitioner’s opinion:
(a) a statement of whether the
employee is fit to work;
(b) if, in the opinion of the medical
practitioner, the employee is fit to work—a statement of whether it is
inadvisable for the employee to continue in her present position for a stated
period because of:
(i) illness, or risks,
arising out of the pregnancy; or
(ii) hazards connected with
the position.
Note: Under section 268, the employee is
entitled to be transferred to a safe job or to paid leave (depending on the
circumstances) if the employee gives the employer a medical certificate stating
that the employee is fit to work, but that illness or risks arising out of the
employee’s pregnancy or hazards connected with the work assigned to the
employee make it inadvisable for the employee to continue in her present
position.
(2A) If the employee takes paid leave under subparagraph
268(2)(b)(i) or (ii) during the period of 6 weeks before the expected date of
birth, the employer may, at any time during the period of leave, ask the
employee to give the employer a medical certificate from a medical practitioner
containing a statement of the medical practitioner’s opinion of whether the
employee is fit to work.
(3) The employer may require the employee to
start a continuous period of leave including (or constituted by) maternity
leave as soon as reasonably practicable, if the employee:
(a) does not give the employer the
requested certificate within 7 days after the request; or
(b) within 7 days after the request
for the certificate, gives the employer a medical certificate stating that the
employee is unfit to work.
275
End of pregnancy—effect on ordinary maternity leave entitlement
(1) This section applies if the pregnancy of
an employee ends otherwise than by the birth of a living child.
(2) If, when the pregnancy ended, the
employee had not yet started a period of ordinary maternity leave, the employee
is not, or is no longer, entitled to ordinary maternity leave in relation to
the previously expected birth.
Note: However, the employee may be entitled to take
special maternity leave because of the end of the pregnancy. An application for
special maternity leave may be made after the leave has started (see section 269).
(3) If, when the pregnancy ended, the
employee had started a period of ordinary maternity leave, the employee’s
entitlement to ordinary maternity leave in relation to the previously expected
birth is not affected by the end of the pregnancy.
Note: The employee may shorten the period of
ordinary maternity leave by agreement with the employer under section 278.
However, to take advantage of the return to work guarantee under section 280,
the employee must also give the employer at least 4 weeks written notice of the
proposed day of her return to work.
276
Death of child—effect on ordinary maternity leave entitlement
(1) This section applies if:
(a) an employee gives birth to a
living child, but the child later dies; and
(b) when the child died, the employee
had started a period of ordinary maternity leave in relation to the child’s
birth.
(2) Subject to subsections (3) and (4),
the employee’s entitlement to the ordinary maternity leave is not affected by
the death of the child.
Note: The employee may shorten the period of
ordinary maternity leave by agreement with the employer under section 278.
However, to take advantage of the return to work guarantee under section 280,
the employee must also give the employer at least 4 weeks written notice of the
proposed day of her return to work.
(3) The employee’s employer may give the
employee written notice that, from a stated day, any untaken ordinary maternity
leave that the employee remains entitled to at the stated day is cancelled with
effect from that day.
(4) The day stated in the notice must be no
earlier than the later of the following days:
(a) the day that is 4 weeks after the
day the notice was given;
(b) the day that is 6 weeks after the
date of birth.
(5) The employee’s entitlement to any untaken
ordinary maternity leave in relation to the birth ends with effect from the day
stated in the notice.
277
End of ordinary maternity leave if employee stops being primary care‑giver
(1) This section applies if:
(a) during a substantial period while
an employee is on ordinary maternity leave after the birth of a living child,
the employee is not the child’s primary care‑giver; and
(b) having regard to the length of
that period and to any other relevant circumstances, it is reasonable to expect
that the employee will not again become the child’s primary care‑giver
within a reasonable period.
(2) The employee’s employer may give the
employee written notice that, from a stated day no earlier than 4 weeks after
the day the notice is given, any untaken ordinary maternity leave that the
employee remains entitled to at the stated day is cancelled with effect from
that day.
(3) The employee’s entitlement to any untaken
ordinary maternity leave in relation to the birth ends with effect from the day
stated in the notice.
278
Variation of period of ordinary maternity leave
(1) This section applies after an employee
has started a continuous period of leave including (or constituted by) ordinary
maternity leave.
(2) Subject to Subdivision B and sections 276
and 277:
(a) the employee may extend the period
of maternity leave once by giving her employer 14 days written notice before
the end of the period stating the period by which the leave is extended; and
(b) the period of maternity leave may
be further extended by agreement between the employee and her employer.
(3) Subject to section 273, the period
of maternity leave may be shortened by written agreement between the employee
and her employer.
Note: However, to take advantage of the return to
work guarantee under section 280, the employee must also give her employer
at least 4 weeks written notice of the proposed day for her return to work.
279
Employee’s right to terminate employment during maternity leave
(1) An employee may terminate her employment
at any time during a period of maternity leave or leave under subparagraph 268(2)(b)(i)
or (ii).
(2) The employee’s right to terminate her
employment is subject to any notice required to be given by the employee by or
under:
(a) a term or condition of her
employment; or
(b) a law, or an instrument in force
under a law, of the Commonwealth, a State or a Territory.
280
Return to work guarantee—maternity leave
(1) This section applies to an employee who
returns to work after a period of leave including (or constituted by) maternity
leave (the maternity‑related leave period) if:
(a) the employee gives her employer
written notice of the proposed day of her return to work no later than 4 weeks
before that day; or
(b) the period of leave includes (or
is constituted by) special maternity leave, and does not include any ordinary
maternity leave; or
(c) the employee’s entitlement to
ordinary maternity leave ends under section 276 or 277.
(2) This section also applies if an employee
returns to work after a period of leave under subparagraph 268(2)(b)(i) or
(ii).
(3) Subject to subsections (4) and (5),
the employee is entitled to return:
(a) unless paragraph (b) or (c)
applies—to the position she held immediately before the start of the maternity‑related
leave period; or
(b) if she was promoted or voluntarily
transferred to a new position (other than to a safe job under paragraph 268(2)(a))
during the maternity‑related leave period—to the new position; or
(c) if paragraph (b) does not
apply, and she began working part‑time because of her pregnancy—to the
position she held immediately before starting to work part‑time.
(4) If subsection (3) would, apart from
this subsection, entitle the employee to return to a position that the employee
had been transferred to under paragraph 268(2)(a), the employee is instead
entitled to return to the position she held immediately before the transfer.
(5) If the position (the former position)
no longer exists, and the employee is qualified and able to work for her
employer in another position, the employee is entitled to return to:
(a) that position; or
(b) if there are 2 or more such
positions—whichever position is nearest in status and remuneration to the
former position.
281
Replacement employees—maternity leave
(1) Before an employer engages an employee (a
primary replacement) to do the work of another
employee because the other employee is taking a continuous period of leave
including (or constituted by) maternity leave, the employer must tell the
primary replacement:
(a) that the engagement to do that
work is temporary; and
(b) what the rights of the employee
taking maternity leave are under section 280 when she returns to work after
the period of leave.
(2) Before an employer engages an employee
(a secondary replacement) to do the work of
another employee (the primary replacement) because the primary
replacement has been temporarily promoted or transferred to do the work of a
third employee while the third employee is taking a continuous period of leave
including (or constituted by) maternity leave, the employer must tell the
secondary replacement:
(a) that the engagement to do that
work is temporary; and
(b) what the rights of the employee
taking maternity leave are under section 280 when she returns to work
after the period of leave.
(3) In this section:
employee has the meaning given by subsection 5(1).
Subdivision E—Guarantee of paternity leave
282
The guarantee
(1) For the purposes of this Division, paternity
leave is:
(a) a single, unbroken period of
unpaid leave (short paternity leave) of up to one week taken by a
male employee within the week starting on the day his spouse begins to give
birth; or
(b) a single, unbroken period of
unpaid leave (long paternity leave), other than short paternity
leave, taken by a male employee after his spouse gives birth to a living child
so that the employee can be the child’s primary care‑giver.
(2) Subject to this Subdivision and Subdivision
G, an employee is entitled to paternity leave if:
(a) he complies with the documentation
requirements under Subdivision F, to the extent to which they apply to him; and
(b) immediately before the first day
on which the paternity leave is, or is to be, taken:
(i) he has, or will have,
completed at least 12 months continuous service with his employer; or
(ii) he is, or will be, an
eligible casual employee.
Note: Entitlement to paternity leave is subject to
the restrictions in sections 283 and 285 and Subdivision G.
(3) An
employee is taken not to have been entitled to a period of paternity leave at
any time after the start of the period if:
(a) Subdivision F:
(i) required the employee
to give a document (the required document) to his employer; and
(ii) allowed the employee
to give the required document to his employer after the start of the leave; and
(b) when the employee started the
leave, the employee had not given his employer the required document; and
(c) the employee did not later give the
required document to his employer within the period required under Subdivision
F.
Note: Under Subdivision F, an employee may be
required to give his employer a medical certificate, an application or a
statutory declaration (depending on the circumstances).
(4) Subject to this Division, an employee may
take short paternity leave, long paternity leave, or both.
283 Period of paternity
leave
(1) In this section:
related authorised leave, in relation to
paternity leave taken (or to be taken) by an employee because his spouse has
given birth to a living child, means any of the following types of authorised
leave other than the paternity leave:
(a) authorised leave taken by the
employee because of any of the following:
(i) the birth of the
child;
(ii) the death of the
child;
(b) maternity leave, or any other
authorised leave of the same type as maternity leave, taken by the employee’s
spouse because of the birth of the child or the pregnancy.
(2) An employee may take a period of
paternity leave as part of a continuous period including any other authorised
leave.
(3) The maximum total amount of paternity
leave (including short paternity leave and long paternity leave) to which an
employee is entitled in relation to the birth of a child by his spouse is 52
weeks, less an amount equal to the total amount of related authorised leave
taken:
(a) by the employee before or after
the paternity leave; and
(b) by the spouse before, during or
after the paternity leave.
Example: Max’s spouse Rachel is pregnant, and Max is an
employee entitled to paternity leave. He intends to take 2 periods of
authorised leave because of the birth of the child. The first is to consist of
5 weeks: 1 week of short paternity leave and 4 weeks of annual leave. The
second is to consist of a later period of long paternity leave starting 20 weeks
after the birth, when Max is to be the primary care‑giver for the child
after Rachel returns to work.
Rachel has not taken any special maternity
leave or other authorised leave during her pregnancy. She intends to take 20
weeks of maternity leave because of the birth of the child.
The maximum amount of long paternity leave
to which Max is entitled is 27 weeks, worked out as follows:
(a) the maximum entitlement of any employee to
paternity leave is 52 weeks;
(b) the maximum amount of long paternity leave
available to Max must be reduced by 1 week for his short paternity leave;
(c) the maximum amount must also be reduced by 4
weeks for Max’s annual leave;
(d) the maximum amount must be further reduced by
20 weeks for Rachel’s maternity leave.
Note: A period of long paternity leave must end
within 12 months after the date of birth of the child (see section 290).
284
Short paternity leave—concurrent leave taken by spouse
An employee may take short paternity
leave in relation to the birth of a child by his spouse while the spouse is
taking any authorised leave, including maternity leave (if any), in relation to
the birth.
285
Long paternity leave—not to be concurrent with maternity leave taken by spouse
A period of long paternity leave taken
by an employee in relation to the birth of a child by his spouse must not
include any period during which the spouse is taking maternity leave, or any
other authorised leave of the same type as maternity leave, because of the
birth.
Subdivision F—Paternity leave: documentation
286
Paternity leave—medical certificate
Requirement for medical certificate
(1) To be entitled to paternity leave, an
employee must give his employer a medical certificate from a medical practitioner
in accordance with this section.
(2) The medical certificate must contain the
following statements of the medical practitioner’s opinion (or knowledge):
(a) if the child has not yet been
born:
(i) the name of the
employee’s spouse; and
(ii) that the employee’s
spouse is pregnant; and
(iii) the date on which the
birth is expected;
(b) if the child has been born:
(i) the name of the
employee’s spouse; and
(ii) the actual date of
birth of the child.
General rule
(3) The medical certificate must be given to
the employer no later than 10 weeks before the date stated in the certificate.
Premature birth or other compelling reason
(4) However, the medical certificate must be
given to the employer as soon as reasonably practicable (which may be at a time
before or after the paternity leave has started) if it was not reasonably
practicable for the employee to comply with subsection (3) because of:
(a) the premature birth of the child;
or
(b) any other compelling reason.
Section does not apply if could not be complied with
(5) This section does not apply to an
employee who could not comply with the section because of circumstances beyond
his control.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
287
Short paternity leave—application
(1) To be entitled to short paternity leave
during a period, an employee must give his employer a written application for
short paternity leave, in accordance with this section, stating the first and
last days of the period.
(2) The application must be given to the
employer as soon as reasonably practicable on or after the first day of the
period of leave.
(3) This section does not apply to an
employee who could not comply with the section because of circumstances beyond
his control.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
288
Long paternity leave—documentation
Requirement for application
(1) To be entitled to long paternity leave
during a period, an employee must give his employer a written application for
long paternity leave in accordance with this section stating the first and last
days of the period.
General rule
(2) The application must be given to the
employer no later than 10 weeks before the first day of the intended continuous
period of leave including (or constituted by) the long paternity leave.
Premature birth or other compelling reason
(3) However, the application must be made as
soon as reasonably practicable (which may be at a time before or after the long
paternity leave has started) if it was not reasonably practicable for the
employee to comply with subsection (2) because of:
(a) the premature birth of the child;
or
(b) any other compelling reason.
Statutory declaration with application
(4) The application must be accompanied by a
statutory declaration made by the employee stating the following:
(a) the first and last days of the
period (or periods) of any other authorised leave intended to be taken (or
already taken) by the employee because of the birth or the expected birth;
(b) the first and last days of the
period (or periods) of any maternity leave, or any other authorised leave of
the same type as maternity leave, intended to be taken (or already taken) by
the employee’s spouse because of the pregnancy, the birth or the expected
birth;
(c) that the employee intends to be
the child’s primary care‑giver at all times while on long paternity
leave;
(d) that the employee will not engage
in any conduct inconsistent with his contract of employment while on long
paternity leave.
Section does not apply if could not be complied with
(5) This section does not apply to an
employee who could not comply with the section because of circumstances beyond
his control.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
Subdivision G—Paternity leave: from start to finish
289
Short paternity leave—when taken
An employee may take short paternity
leave to which he is entitled at any time within the week starting on the day
his spouse begins to give birth.
Note: Short paternity leave must be taken in a
single, unbroken period (see section 282). The combined total of paternity
leave and related authorised leave taken by the employee and his spouse must be
no more than 52 weeks (see section 283). Short paternity leave may be
taken concurrently with any authorised leave taken by the employee’s spouse in
relation to the birth of the child (see section 284).
290
Long paternity leave—when taken
An employee may take long paternity
leave to which he is entitled at any time within 12 months after the date of
birth of the child.
Note: Long paternity leave must be taken in a
single, unbroken period (see section 282). The combined total of paternity
leave and related authorised leave taken by the employee and his spouse must be
no more than 52 weeks (see section 283). Long paternity leave must not be
taken concurrently with any maternity leave, or any other authorised leave of
the same type as maternity leave, taken by the employee’s spouse because of the
birth of the child (see section 285).
291
End of pregnancy—effect on paternity leave
(1) This section applies if the pregnancy of
an employee’s spouse ends otherwise than by the birth of a living child.
(2) The employee is not, or is no longer,
entitled to paternity leave in relation to the pregnancy.
(3) To avoid doubt, this section does not
affect any entitlement of an employee to short paternity leave that was taken
by the employee in expectation of the birth.
292
Death of child—effect on paternity leave
(1) This section applies if an employee’s
spouse gives birth to a living child, but the child later dies.
(2) If, when the child died, the employee had
not yet started a period of paternity leave in relation to the birth, the
employee is not, or is no longer, entitled to that leave.
(3) Subject to subsections (4) and (5),
if, when the child died, the employee had started a period of paternity leave
in relation to the birth, the employee’s entitlement to the leave is not
affected by the death of the child.
Note: The employee may shorten a period of long
paternity leave by agreement with the employer under section 294. However,
if the period of leave including (or constituted by) long paternity leave is
longer than 4 weeks, to take advantage of the return to work guarantee under
section 296, the employee must also give the employer at least 4 weeks
written notice of the proposed day of his return to work.
(4) The employee’s employer may give the
employee written notice that, from a stated day no earlier than 4 weeks after
the day the notice is given, any untaken long paternity leave that the employee
remains entitled to at the stated day is cancelled with effect from that day.
(5) The employee’s entitlement to any untaken
long paternity leave in relation to the birth ends with effect from the day
stated in the notice.
293
End of long paternity leave if employee stops being primary care‑giver
(1) This section applies if:
(a) during a substantial period while
an employee is on long paternity leave after the birth of a living child, the
employee is not the child’s primary care‑giver; and
(b) having regard to the length of
that period and to any other relevant circumstances, it is reasonable to expect
that the employee will not again become the child’s primary care‑giver
within a reasonable period.
(2) The employee’s employer may give the
employee written notice that, from a stated day no earlier than 4 weeks after
the day the notice is given, any untaken long paternity leave that the employee
remains entitled to at the stated day is cancelled with effect from that day.
(3) The employee’s entitlement to any untaken
long paternity leave in relation to the birth ends with effect from the day
stated in the notice.
294
Variation of period of long paternity leave
(1) This section applies after an employee
has started a continuous period of leave including (or constituted by) long
paternity leave.
(2) Subject to Subdivision E and sections 290,
292 and 293:
(a) the employee may extend the period
of long paternity leave once by giving his employer 14 days written notice
before the end of the period stating the period by which the leave is extended;
and
(b) the period of long paternity leave
may be further extended by agreement between the employee and his employer.
(3) The period of long paternity leave may be
shortened by written agreement between the employee and his employer.
Note: However, if the period of leave including (or
constituted by) long paternity leave is longer than 4 weeks, to take advantage
of the return to work guarantee under section 296, the employee must also
give his employer at least 4 weeks written notice of the proposed day of his
return to work.
295
Employee’s right to terminate employment during paternity leave
(1) An employee may terminate his employment
at any time during a period of paternity leave.
(2) The employee’s right to terminate his
employment is subject to any notice required to be given by the employee by or
under:
(a) a term or condition of his
employment; or
(b) a law, or an instrument in force
under a law, of the Commonwealth, a State or a Territory.
296
Return to work guarantee—paternity leave
(1) This section applies to an employee who
returns to work after a period of leave including (or constituted by) paternity
leave (the paternity‑related leave period) if:
(a) the paternity‑related leave
period is 4 weeks or less; or
(b) if the paternity‑related
leave period is longer than 4 weeks—the employee has given his employer written
notice of the proposed day of his return to work no later than 4 weeks before
that day; or
(c) the employee’s entitlement to long
paternity leave ends under section 292 or 293.
(2) The employee is entitled to return:
(a) unless paragraph (b) or (c)
applies—to the position he held immediately before the start of the paternity‑related
leave period; or
(b) if he was promoted or
voluntarily transferred to a new position during the paternity‑related
leave period—to the new position; or
(c) if paragraph (b) does not
apply, and he began working part‑time because of his spouse’s
pregnancy—to the position he held immediately before starting to work part‑time.
(3) However, if the position (the former
position) no longer exists, and the employee is qualified and able to
work for his employer in another position, the employee is entitled to return
to:
(a) that position; or
(b) if there are 2 or more such
positions—whichever position is nearest in status and remuneration to the
former position.
297
Replacement employees—long paternity leave
(1) Before an employer engages an employee (a
primary replacement) to do the work of another
employee because the other employee is taking a continuous period of leave
including (or constituted by) paternity leave, the employer must tell the
primary replacement:
(a) that the engagement to do that
work is temporary; and
(b) what the rights of the employee
taking paternity leave are under section 296 when he returns to work after
the period of leave.
(2) Before an employer engages an employee
(a secondary replacement) to do the work of
another employee (the primary replacement) because the primary
replacement has been temporarily promoted or transferred to do the work of a
third employee while the third employee is taking a continuous period of leave
including (or constituted by) paternity leave, the employer must tell the
secondary replacement:
(a) that the engagement to do that
work is temporary; and
(b) what the rights of the employee
taking paternity leave are under section 296 when he returns to work after
the period of leave.
(3) In this section:
employee has the meaning given by subsection 5(1).
Subdivision H—Guarantee of adoption leave
298
Meaning of eligible child
For the purposes of this Division, a
child is an eligible child in relation to an employee with whom
the child is, or is to be, placed for adoption, if the child:
(a) is (or will be) under the age of 5
years as at the day of placement or the proposed day of placement; and
(b) has not (or will have not)
previously lived continuously with the employee for a period of 6 months or
more as at the day of placement or the proposed day of placement; and
(c) is not a child or step‑child
of the employee or the employee’s spouse.
299
The guarantee—pre‑adoption leave
(1) This section applies if an employee is
seeking to obtain approval to adopt an eligible child.
Entitlement to leave
(2) The employee is entitled to a
period of up to 2 days unpaid leave (pre‑adoption leave) to
attend any interviews or examinations required to obtain the approval.
(3) However, the employee is not entitled to
take a period of pre‑adoption leave if:
(a) the employee could take other
authorised leave instead for the same period for the purpose mentioned in subsection (2);
and
(b) the employee’s employer directs
the employee to take such leave for the period.
(4) An employee who is entitled to a period
of pre‑adoption leave is entitled to take the leave as:
(a) a single, unbroken, period of up
to 2 days; or
(b) any separate periods to which the
employee and his or her employer agree.
Agreement between employees and employers
(5) For the purposes of paragraph (4)(b),
an employee and an employer are taken to agree about a particular matter in a
particular way if a provision of a workplace agreement binding the employee and
the employer specifies that the matter is to be dealt with in that way.
(6) To avoid doubt, subsection (5) does
not prevent employees and employers agreeing about matters by other means.
300
The guarantee—adoption leave
(1) For the purposes of this Division, adoption
leave is:
(a) a single, unbroken period of
unpaid leave (short adoption leave) of up to 3 weeks taken by an
employee within the 3 weeks starting on the day of placement of an
eligible child with the employee for adoption; or
(b) a single, unbroken period of
unpaid leave (long adoption leave), other than short adoption
leave, taken by an employee after the day of placement of an eligible child
with the employee for adoption so that the employee can be the child’s primary
care‑giver.
(2) Subject to this Subdivision and
Subdivision J, an employee is entitled to adoption leave if:
(a) the employee complies with the
applicable documentation requirements under Subdivision I; and
(b) immediately before the first day
on which the adoption leave is, or is to be, taken:
(i) the employee has, or
will have, completed at least 12 months continuous service with his or her
employer; or
(ii) the employee is, or
will be, an eligible casual employee.
Note: Entitlement to adoption leave is subject to
the restrictions in sections 301 and 303 and Subdivision J.
(3) Subject to this Division, an employee may
take short adoption leave, long adoption leave, or both.
301
Period of adoption leave
(1) In this section:
related authorised leave, in relation to
adoption leave taken (or to be taken) by an employee because of the placement
of a child with the employee and the employee’s spouse, means any of the
following types of authorised leave other than pre‑adoption leave:
(a) authorised leave, other than
adoption leave, taken by the employee because of the placement of the child
with the employee;
(b) adoption leave, or any other
authorised leave of the same type as adoption leave, taken by the spouse
because of the placement of the child with the employee.
(2) An employee may take a period of adoption
leave as part of a continuous period including any other authorised leave.
(3) The maximum total amount of adoption
leave (including short adoption leave and long adoption leave) that an employee
is entitled to in relation to a placement is 52 weeks, less an amount equal to
the total amount of related authorised leave taken:
(a) by the employee before or after
the adoption leave; and
(b) by the employee’s spouse before or
after the adoption leave.
Example: Susan and her spouse Ali propose to adopt a
child, and both are employees entitled to adoption leave. Because of the
placement of the child, Susan intends to take authorised leave consisting of 3
weeks of short adoption leave, 4 weeks of annual leave, 12 weeks of long
service leave and a period of long adoption leave.
Because of the placement of the child, Ali
intends to take 3 weeks of short adoption leave.
The maximum amount of long adoption leave
to which Susan is entitled is 30 weeks, worked out as follows:
(a) the maximum entitlement of any employee to
adoption leave is 52 weeks;
(b) the maximum amount of long adoption leave
available to Susan must be reduced by 3 weeks for her short adoption leave;
(c) the maximum amount must also be reduced by 16
weeks for Susan’s annual leave and long service leave;
(d) the maximum amount must also be further reduced
by 3 weeks for Ali’s short adoption leave.
Note: A period of long adoption leave must end
within 12 months after the day of placement of the child (see section 309).
302
Short adoption leave—concurrent leave taken by spouse
An employee may take short adoption
leave in relation to the placement of a child while his or her spouse is taking
any authorised leave, including adoption leave (if any), in relation to the
placement.
303
Long adoption leave—not to be concurrent with adoption leave taken by spouse
A period of long adoption leave taken by
an employee in relation to the placement of a child with the employee and the
employee’s spouse must not include any period during which the spouse is taking
adoption leave, or any other authorised leave of the same type as adoption
leave, because of the placement.
Subdivision I—Adoption leave: documentation
304
Adoption leave—notice
Requirement for notice
(1) To be entitled to adoption leave, an
employee must give his or her employer notice in accordance with this section.
Note: After an employee has given his or her
employer notice in accordance with this section, the employee will have
satisfied the notice requirement in relation to the employee’s entitlement to
both short adoption leave and long adoption leave.
Notices to be given to the employer
(2) An employee must give written notice to
his or her employer of the employee’s intention to apply for adoption leave as
soon as reasonably practicable after receiving notice (a placement
approval notice) of the approval of the placement of an eligible child
with the employee.
(3) An employee must give written notice to
his or her employer of the day when the placement of an eligible child with the
employee is expected to start as soon as reasonably practicable after receiving
notice (a placement notice) of the expected day.
(4) An employee must give written notice to
his or her employer of the first and last days of the periods of short and long
adoption leave (or of either type of leave) the employee intends to apply for
because of the placement:
(a) if the employee receives a
placement notice about the placement within the period of 8 weeks after
receiving the placement approval notice—before the end of that 8 week period;
or
(b) if the employee receives a
placement notice about the placement after the end of the period of 8 weeks
after receiving the placement approval notice—as soon as reasonably practicable
after receiving the placement notice.
Adoption of a relative of the employee
(5) If an eligible child who is to be adopted
by an employee is a relative of the employee, and the employee decides to take
the child into custody pending the authorisation of the placement of the child
with the employee, the employee must:
(a) give notice to his or her employer
of the employee’s decision as soon as reasonably practicable after the decision
is made; and
(b) give the notices required by subsections (2),
(3) and (4) in accordance with those subsections.
Note: The employee’s entitlement to adoption leave
after taking the child into custody starts when the adoption is authorised
(this is the day of placement of the child—see definition of day
of placement in section 263).
Adoption process started before engagement with the
employer
(6) If, before starting an employee’s current
period of engagement with his or her employer, the employee had already
received a placement approval notice or a placement notice, or had made a
decision to take a child into custody as mentioned in subsection (5), the
employee must give the notices required by this section to the employer as soon
as reasonable practicable after starting the period of engagement.
Note: However, the employee is only entitled to take
either short or long adoption leave if the employee will have completed 12
months continuous service with the employer immediately before the first day on
which the leave is to be taken, or if the employee is an eligible casual
employee (see section 300).
If employee cannot comply
(7) A notice under this section must be given
to the employee’s employer as soon as reasonably practicable before the first
day of adoption leave taken by the employee, if the employee cannot comply with
subsection (2), (3), (4), (5) or (6) because of:
(a) the day when the placement is
expected to start; or
(b) any other compelling reason.
(8) In this section:
relative, of an employee, means:
(a) a grandchild, nephew, niece or
sibling of the employee; or
(b) a grandchild, nephew, niece or
sibling of the employee’s spouse.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
305
Short adoption leave—application
Requirement for application
(1) To be entitled to short adoption leave
during a period, an employee must give his or her employer a written
application for short adoption leave, in accordance with this section, stating
the first and last days of the period.
General rule
(2) The application must be given to the
employer no later than 14 days before the proposed day of placement of the
child.
If employee cannot comply with general rule
(3) The application must be given to the
employer as soon as reasonably practicable before the first day of the short
adoption leave applied for if the employee cannot comply with subsection (2)
because of:
(a) the day when the placement is
expected to start; or
(b) any other compelling reason.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
306
Long adoption leave—application
Requirement for application
(1) To be entitled to long adoption leave
during a period, an employee must give his or her employer a written
application for long adoption leave, in accordance with this section, stating
the first and last days of the period.
General rule
(2) The application must be given to the
employer no later than 10 weeks before the first day of the proposed continuous
period of leave including (or constituted by) the long adoption leave applied
for.
If employee cannot comply with general rule
(3) The application must be given to the
employer as soon as reasonably practicable before the first day of the long
adoption leave applied for if the employee cannot comply with subsection (2)
because of:
(a) the day when the placement is
expected to start; or
(b) any other compelling reason.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
307
Adoption leave—additional documents
(1) To be entitled to adoption leave, an
employee must give his or her employer documents as required by this section.
(2) The documents required by this section
must be given to the employer:
(a) before the employee begins the
period of adoption leave; or
(b) if the employee is taking both
short and long adoption leave—before the employee begins the period of short
adoption leave.
(3) The employee must give his or her
employer the following documents:
(a) a statement from an adoption
agency of the day when the placement is expected to start;
(b) a statutory declaration in accordance
with subsection (4) made by the employee.
(4) The
statutory declaration must state the following:
(a) whether the employee is taking
short adoption leave, long adoption leave, or both;
(b) the first and last days of the
period (or periods) of any other authorised leave taken, or intended to be
taken, by the employee because of the placement of the child;
(c) the first and last days of the
period (or periods) of adoption leave, or any other authorised leave of the
same type as adoption leave, taken, or intended to be taken, by the employee’s
spouse because of the placement of the child;
(d) that the child is an eligible
child;
(e) for any period of long adoption
leave to be taken by the employee—that the employee intends to be the child’s
primary care‑giver at all times while on the long adoption leave;
(f) that the employee will not engage
in any conduct inconsistent with his or her contract of employment while on
adoption leave.
Note: The use of personal information given to an
employer under this section may be regulated under the Privacy Act 1988.
Subdivision J—Adoption leave: from start to finish
308
Short adoption leave—when taken
An employee may take short adoption
leave to which he or she is entitled at any time within the period of 3 weeks
starting on the day of placement of the child.
Note: Short adoption leave must be taken in a
single, unbroken period (see section 300). The combined total of adoption
leave and related authorised leave taken by the employee and his or her spouse
must be no more than 52 weeks (see section 301). Short adoption leave may
be taken concurrently with any authorised leave taken by the employee’s spouse
(see section 302).
309
Long adoption leave—when taken
An employee may take long adoption leave
to which he or she is entitled at any time within 12 months after the day of
placement of the child.
Note: Long adoption
leave must be taken in a single, unbroken period (see section 300). The
combined total of adoption and authorised leave taken by the employee and his
or her spouse must be no more than 52 weeks (see section 301). Long
adoption leave must not be taken concurrently with any adoption leave, or any
other authorised leave of the same type as adoption leave, taken by the
employee’s spouse because of the placement (see section 303).
310
Placement does not proceed—effect on adoption leave
(1) This section applies if a proposed
placement of a child with an employee:
(a) is cancelled before it starts,
whether at the initiative of an adoption agency, another body, or the employee;
or
(b) starts but is later discontinued
for any reason (including the death of the child).
(2) If, when this section first applies, the
employee had not yet started a period of adoption leave in relation to the
placement, the employee is not, or is no longer, entitled to the leave.
(3) Subject to subsections (4) and (5),
if, when this section applies, the employee had started a period of adoption
leave in relation to the placement, the employee’s entitlement to the adoption
leave is not affected by the cancellation or discontinuation of the placement.
Note: The employee may shorten a period of long
adoption leave by agreement with the employer under section 312. However,
if the period of leave including (or constituted by) long adoption leave is
longer than 4 weeks, to take advantage of the return to work guarantee under
section 314, the employee must also give the employer at least 4 weeks
written notice of the proposed day of his or her return to work.
(4) The employee’s employer may give the
employee written notice that, from a stated day no earlier than 4 weeks after
the day the notice is given, any untaken long adoption leave that the employee
remains entitled to at the stated day is cancelled with effect from that day.
(5) The employee’s entitlement to any untaken
long adoption leave in relation to the placement ends with effect from the day
stated in the notice.
311
End of long adoption leave if employee stops being primary care‑giver
(1) This section applies if:
(a) during a substantial period while
an employee is on long adoption leave after the placement of a child with the
employee, the employee is not the child’s primary care‑giver; and
(b) having regard to the length of
that period and to any other relevant circumstances, it is reasonable to expect
that the employee will not again become the child’s primary care‑giver
within a reasonable period.
(2) The employee’s employer may give the
employee written notice that, from a stated day no earlier than 4 weeks after
the day the notice is given, any untaken long adoption leave that the employee
remains entitled to at the stated day is cancelled with effect from that day.
(3) The employee’s entitlement to any untaken
long adoption leave in relation to the placement ends with effect from the day
stated in the notice.
312
Variation of period of long adoption leave
(1) This section applies after an employee
has started a continuous period of leave including (or constituted by) long
adoption leave.
(2) Subject to Subdivision H and sections 309,
310 and 311:
(a) the employee may extend the period
of long adoption leave once by giving his or her employer 14 days written
notice before the end of the period stating the period by which the leave is
extended; and
(b) the period of long adoption leave
may be further extended by agreement between the employee and his or her
employer.
(3) The period of long adoption leave may be
shortened by written agreement between the employee and his or her employer.
Note: However, if the period of leave including (or
constituted by) long adoption leave is longer than 4 weeks, to take advantage
of the return to work guarantee under section 314, the employee must also
give his or her employer at least 4 weeks written notice of the proposed day
for his or her return to work.
313
Employee’s right to terminate employment during adoption leave
(1) An employee may terminate his or her
employment at any time during a period of adoption leave.
(2) The employee’s right to terminate his or
her employment is subject to any notice required to be given by the employee by
or under:
(a) a term or condition of his or her
employment; or
(b) a law, or an instrument in force
under a law, of the Commonwealth, a State or a Territory.
314
Return to work guarantee—adoption leave
(1) This section applies to an employee who
returns to work after a period of leave including (or constituted by) adoption
leave (the adoption‑related leave period) if:
(a) the adoption‑related leave
period is 4 weeks or less; or
(b) if the adoption‑related
leave period is longer than 4 weeks—the employee has given his or her employer
written notice of the proposed day of his or her return to work no later than 4 weeks
before that day; or
(c) the employee’s entitlement to long
adoption leave ends under section 310 or 311.
(2) The employee is entitled to return:
(a) unless paragraph (b)
applies—to the position he or she held immediately before the start of the
adoption‑related leave period; or
(b) if he or she was promoted
or voluntarily transferred to a new position during the adoption‑related
leave period—to the new position.
(3) However, if the position (the former
position) no longer exists, and the employee is qualified and able to
work for his or her employer in another position, the employer must employ the
employee in:
(a) that position; or
(b) if there are 2 or more such
positions—whichever position is nearest in status and remuneration to the
former position.
315
Replacement employees—long adoption leave
(1) Before an employer engages an employee (a
primary replacement) to do the work of another
employee because the other employee is taking a continuous period of leave
including (or constituted by) adoption leave, the employer must tell the
primary replacement:
(a) that the engagement to do that
work is temporary; and
(b) what the rights of the employee
taking adoption leave are under section 314 when he or she returns to work
after the period of leave.
(2) Before an employer engages an employee
(a secondary replacement) to do the work of
another employee (the primary replacement) because the primary
replacement has been temporarily promoted or transferred to do the work of a
third employee while the third employee is taking a continuous period of leave
including (or constituted by) adoption leave, the employer must tell the
secondary replacement:
(a) that the engagement to do that
work is temporary; and
(b) what the rights of the employee
taking adoption leave are under section 314 when he or she returns to work
after the period of leave.
(3) In this section:
employee has the meaning given by subsection 5(1).
Subdivision K—Parental leave: service
316
Parental leave and service
(1) A period of parental leave does not break
an employee’s continuity of service.
(2) However, a period of parental leave does
not otherwise count as service except:
(a) for the purpose of determining the
employee’s entitlement to a later period of leave under this Division; or
(b) as expressly provided by or under:
(i) a term or condition of
the employee’s employment; or
(ii) a law, or an
instrument in force under a law, of the Commonwealth, a State or a Territory;
or
(c) as prescribed by the regulations.
(3) In this section:
parental leave means any of the following:
(a) maternity leave;
(b) paid leave under subparagraph 268(2)(b)(i)
or (ii);
(c) paternity leave;
(d) pre‑adoption leave;
(e) adoption leave.
Division 7—Civil remedies
317
Definition
In this Division:
Court means the Federal Court of Australia or
the Federal Magistrates Court.
318
Civil remedies
(1) An employer must not contravene a term of
the Australian Fair Pay and Conditions Standard contained in Division 3,
4, 5 or 6 of this Part in relation to an employee of the employer to whom that
term applies.
(2) Subsection (1) is a civil remedy
provision.
(3) The reference in subsection (1) to
Division 6 of this Part includes a reference to that Division as it
applies because of section 689.
Note: For the purposes of subsection (3), employer,
employee and employment have their ordinary
meaning. See sections 5, 6 and 7 and Schedule 2.
319
Standing for civil remedies
(1) Any of the following persons may apply to
the Court for an order under this Division in relation to a contravention
referred to in subsection 318(1):
(a) the employee concerned;
(b) an organisation of employees
(subject to subsection (2));
(c) a workplace inspector.
(2) An organisation of employees must not
apply on behalf of an employee for a remedy under this Division in relation to
a contravention unless:
(a) a member of the organisation is
employed by the respondent employer; and
(b) the contravention relates to, or
affects, the member of the organisation or work carried on by the member for
the employer.
320
Court orders
The Court may, on application by a
person in accordance with section 319, make one or more of the following
orders in relation to an employer who has contravened a relevant term of the
Australian Fair Pay and Conditions Standard:
(a) an order requiring the employer to
pay a specified amount to another person as compensation for damage suffered by
the other person as a result of the contravention;
(b) any other orders (including
injunctions) that the Court considers necessary to stop the contravention or
rectify its effects.
Part 8—Workplace agreements
Division 1—Preliminary
321
Definitions
In this Part:
Court means the Federal Court of Australia or
the Federal Magistrates Court.
new business has the meaning given by section 323.
prohibited content has the meaning given by
section 356.
undertakings means undertakings mentioned in
section 394.
verified copy, in relation to a document,
means a copy that is certified as being a true copy of the document.
322
Single business and single employer
(1) For the purposes of this Part, a single
business is:
(a) a business, project or undertaking
that is carried on by an employer; or
(b) the activities carried on by:
(i) the Commonwealth, a
State or a Territory; or
(ii) a body, association,
office or other entity established for a public purpose by or under a law of
the Commonwealth, a State or a Territory; or
(iii) any other body in
which the Commonwealth, a State or a Territory has a controlling interest.
(2) For the purposes of this Part:
(a) if 2 or more employers carry on a
business, project or undertaking as a joint venture or common enterprise, the
employers are taken to be one employer; and
(b) if 2 or more corporations that are
related to each other for the purposes of the Corporations Act 2001 each
carry on a single business:
(i) the corporations may
be treated as one employer; and
(ii) the single businesses
may be treated as one single business.
(3) For the purposes of this Part, a part of
a single business includes, for example:
(a) a geographically distinct part of
the single business; or
(b) a distinct operational or
organisational unit within the single business.
323
New business
For the purposes of sections 329
and 330, an agreement relates to a new business if:
(a) the agreement
relates to:
(i) a new business, new
project or new undertaking that the employer in relation to the agreement is
proposing to establish; or
(ii) if the employer in
relation to the agreement is an entity mentioned in paragraph 322(1)(b)—new
activities proposed to be carried on by the employer; and
(b) the business, project or
undertaking is, or the activities are, a single business (or a part of a single
business).
324
Extended operation of Part in relation to proposed workplace agreements
So far as the context permits:
(a) a reference in this Part to a
workplace agreement includes a reference to a proposed workplace agreement; and
(b) a reference in this Part to an
employer, in relation to a workplace agreement, includes a reference to a
person who will be an employer in relation to a proposed agreement when it
comes into operation; and
(c) a reference in this Part to an
employee, in relation to a workplace agreement, includes a reference to a
person who will be an employee in relation to a proposed agreement when it
comes into operation.
324A
Documents taken to be workplace agreements etc.
If a document:
(a) is represented (expressly or by
implication) to be a workplace agreement, or a type of workplace agreement
mentioned in section 326, 327, 328, 329, 330 or 331; and
(b) could not come into operation
under this Act as a workplace agreement, or as a workplace agreement of that
type, even if it were to pass the no‑disadvantage test;
the document is taken to be a workplace agreement, or a
workplace agreement of that type, for the purposes of:
(c) Divisions 3 and 4,
Division 5 (other than section 342), Divisions 8, 9 and 10 and
Division 11 (other than sections 409 to 412A); and
(d) any other provision of this Act,
to the extent that the provision relates to the operation of any of the
provisions mentioned in paragraph (c).
Note: The Court can order under section 412A
that a document is to have effect as a workplace agreement for the purposes of
the entire Act.
325
Extraterritorial extension
(1) This Part, and the rest of this Act so
far as it relates to this Part, extends to persons, acts, omissions, matters
and things outside Australia that are connected with a workplace agreement
relating to an Australian‑based employee or an Australian employer.
Note: In this context, Australia
includes the Territory of Christmas Island, the Territory of Cocos (Keeling) Islands
and the coastal sea. See section 15B and paragraph 17(a) of the Acts
Interpretation Act 1901.
(2) In this section:
this Act includes the Registration and Accountability
of Organisations Schedule and regulations made under it.
Division 2—Types of workplace agreements
326
Individual transitional employment agreements
(1) An employer may make an agreement (an individual
transitional employment agreement or ITEA) in writing
with a person whose employment will be subject to the agreement.
(2) The agreement is not an ITEA unless:
(a) as at 1 December 2007 the
employer employed at least one person whose employment with that employer was
regulated by an agreement of a kind specified in subsection (3); and
(b) the person whose employment is to
be subject to the ITEA:
(i) did not commence that
employment more than 14 days before the day on which the ITEA was made, and had
not previously been employed by the employer; or
(ia) did not commence that
employment more than 14 days before the day on which the ITEA was made, and had
previously been employed by the employer (not being employment that had ceased
for the reason that, or for reasons that included the reason that, the employer
would re‑employ the person under an ITEA); or
(ii) is in an employment
relationship with the employer and that employment relationship is regulated by
an ITEA or an agreement of a kind specified in subsection (3).
Note: Subsection 583(1A) affects the operation of
paragraph (2)(b) in the case of a transmission of business.
(3) The kinds of agreements for the purposes
of paragraph (2)(a) and subparagraph (2)(b)(ii) are the following:
(a) an AWA within the meaning of
Schedule 7A;
(b) a pre‑reform AWA;
(c) a preserved individual State
agreement within the meaning of Schedule 8;
(d) an employment agreement within the
meaning of section 887.
(4) The fact that a period of work performed
by a casual employee has ended does not of itself bring an end to the
employee’s employment relationship with the employer for the purposes of
subparagraph (2)(b)(ii).
(5) An ITEA may be made before the
commencement of the employment.
327
Employee collective agreements
An employer may make an agreement (an employee
collective agreement) in writing with persons employed at the time in a
single business (or part of a single business) of the employer whose employment
will, or would but for the operation of an ITEA that has passed its nominal
expiry date, be subject to the agreement.
328
Union collective agreements
An employer may make an agreement (a union
collective agreement) in writing with one or more organisations of
employees if, when the agreement is made, each organisation:
(a) has at least one member whose
employment in a single business (or part of a single business) of the employer
will be subject to the agreement; and
(b) is entitled to represent the
industrial interests of the member in relation to work that will be subject to
the agreement.
329
Union greenfields agreements
(1) An employer may make an agreement (a union
greenfields agreement) in writing with one or more organisations of
employees if:
(a) the agreement relates to a new
business that the employer proposes to establish, or is establishing, when the
agreement is made; and
(b) the agreement is made before the
employment of any of the persons:
(i) who will be necessary
for the normal operation of the business; and
(ii) whose employment will
be subject to the agreement; and
(c) each organisation meets the
requirements of subsection (2).
(2) When the agreement is made, each
organisation must be entitled to represent the industrial interests of one or
more of the persons, whose employment is likely to be subject to the agreement,
in relation to work that will be subject to the agreement.
330
Employer greenfields agreements
An employer may make an agreement (an employer
greenfields agreement) in writing if:
(a) the agreement relates to a new
business that the employer proposes to establish, or is establishing, when the
agreement is made; and
(b) the agreement is made before the
employment of any of the persons:
(i) who will be necessary
for the normal operation of the business; and
(ii) whose employment will
be subject to the agreement.
331
Multiple‑business agreements
(1) A multiple‑business agreement
is an agreement that:
(a) relates to any combination or
combinations of the following:
(i) one or more single
businesses;
(ii) one or more parts of
single businesses;
carried on by one or more
employers; and
(b) would be a collective agreement of
a type mentioned in section 327, 328, 329 or 330 but for the matter in paragraph (a).
Note: For civil remedy provisions dealing with the
making or variation of a multiple‑business agreement, see sections 343
and 376.
(2) So far as the context permits, this Part
(apart from this Division) has effect in relation to a multiple‑business
agreement of a particular type as if the agreement were a collective agreement
(other than a multiple‑business agreement) of that type.
(3) So far as the context permits, this Part
(apart from this Division) has effect in relation to a multiple‑business
agreement with more than one employer as if a reference to the employer in
relation to an agreement were a reference to an employer in relation to the
agreement.
332
Authorisation of multiple‑business agreements
(1) An employer may apply to the Workplace
Authority Director for an authorisation to make or vary a multiple‑business
agreement.
(2) The regulations may set out a procedure
for applying to the Workplace Authority Director for the authorisation. The Workplace
Authority Director need not consider an application if it is not made in
accordance with the procedure.
(3) The Workplace Authority Director must not
grant the authorisation unless he or she is satisfied that it is in the public
interest to do so, having regard to:
(a) whether the matters dealt with by
the agreement (or the agreement as varied) could be more appropriately dealt
with by a collective agreement other than a multiple‑business agreement;
and
(b) any other matter specified in
regulations made for the purposes of this subsection.
333
When a workplace agreement is made
For the purposes of this Act, a
workplace agreement is made at whichever of the following
times is applicable:
(a) for an ITEA—the time when the ITEA
is approved in accordance with section 340;
(b) for an employee collective
agreement—the time when the agreement is approved in accordance with section 340;
(c) for a union collective
agreement—the time when the employer and the organisation or organisations
agree to the terms of the agreement;
(d) for a union greenfields
agreement—the time when the employer and the organisation or organisations
agree to the terms of the agreement;
(e) for an employer greenfields
agreement—the time when the employer lodges the agreement (see section 344).
Division 3—Bargaining agents
334
Bargaining agents—ITEAs
(1) An employer or employee may appoint a
person to be his or her bargaining agent in relation to the making, variation
or termination of an ITEA. The appointment must be made in writing.
Note: Subsection 400(3) provides a civil remedy for
coercion in relation to appointments under this subsection.
(2) Subject to subsection (3), an
employer or employee must not refuse to recognise a bargaining agent duly
appointed by the other party for the purposes of subsection (1).
(3) Subsection (2) does not apply if the
person refusing has not been given a copy of the bargaining agent’s instrument
of appointment before the refusal.
(4) Subsection (2) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
335
Bargaining agents—employee collective agreements
(1) An employee whose employment is or will
be subject to an employee collective agreement may request another person (the bargaining
agent) to represent the employee in meeting and conferring with the
employer about the making or variation of the agreement.
Note: Subsection 400(4) provides a civil remedy for
coercion in relation to requests under this subsection.
(2) An employee whose employment is or will
be subject to an employer greenfields agreement may request another person (the
bargaining agent) to represent the employee in meeting and
conferring with the employer about the variation of the agreement.
Note: Subsection 400(4) provides a civil remedy for
coercion in relation to requests under this subsection.
(3) The employer must give the bargaining
agent a reasonable opportunity to meet and confer with the employer about the
agreement during the period:
(a) beginning 7 days before the
agreement or variation is approved in accordance with section 340
or section 373; and
(b) ending when the agreement or
variation is approved.
(4) Subsection (3) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
(5) The requirement in subsection (3)
ceases to apply to the employer if at any time after the request is made the
employee withdraws the request.
(6) The Workplace Authority Director may
issue a certificate that he or she is satisfied of one of the following matters
if he or she is so satisfied:
(a) on application by a bargaining
agent—that the employee has made a request in accordance with subsection (1)
or (2) for the bargaining agent to represent the employee in meeting and
conferring with the employer;
(b) on application by the
employer—that, after the making of the request, the requirement in subsection (3)
for the employer to give a reasonable opportunity to the bargaining agent to
meet and confer, has, because of subsection (5), ceased to apply to the
employer.
(7) The certificate must not identify any of
the employees concerned. However, it must identify the bargaining agent, the
employer and the agreement.
(8) The certificate is, for all purposes of
this Act, prima facie evidence that the employee or employees made the request
or that the requirement has ceased to apply.
Division 4—Pre‑lodgment procedure
336
Eligible employee
For the purposes of this Division, an eligible
employee in relation to a workplace agreement is:
(a) in the case of an ITEA—the person
whose employment will be subject to the ITEA; or
(b) in the case of a collective
agreement—a person employed by the employer whose employment will, or would but
for the operation of an ITEA that has passed its nominal expiry date, be
subject to the agreement.
337
Providing employees with ready access and information statement
(1) If an employer intends to have a
workplace agreement (other than a greenfields agreement) approved under section 340,
the employer must take reasonable steps to ensure that all eligible employees
in relation to the agreement either have, or have ready access to, the
agreement in writing during the period:
(a) beginning 7 days before the
agreement is approved; and
(b) ending when the agreement is
approved.
(2) The employer must take reasonable steps
to ensure that all eligible employees in relation to the agreement are given an
information statement at least 7 days before the agreement is approved.
(3) Despite subsections (1) and (2), if
the agreement is a collective agreement and a person becomes an eligible
employee at a time during the period mentioned in subsection (1), the
employer must take reasonable steps to ensure that:
(a) the person is given an information
statement at or before that time; and
(b) the person either has, or has
ready access to, the agreement in writing during the period:
(i) beginning at that
time; and
(ii) ending when the
agreement is approved under section 340.
(4) The information statement mentioned in subsection (2)
and paragraph (3)(a) must contain:
(a) information about the time at
which and the manner in which the approval will be sought under section 340;
and
(b) if the agreement is an ITEA—information
about the effect of section 334 (which deals with bargaining agents); and
(c) if the agreement is an employee
collective agreement—information about the effect of section 335 (which
deals with bargaining agents); and
(d) any other information that the Workplace
Authority Director requires by notice published in the Gazette.
(5) If a waiver has been made under section 338
in relation to the workplace agreement:
(a) subsection (1) and paragraph (3)(b)
do not apply if, before the time the waiver was made, the employer had taken
reasonable steps to ensure that all eligible employees in relation to the
agreement (as at that time) either had, or had ready access to, the agreement
in writing; and
(b) subsection (2) does not apply
if, before the time the waiver was made, the employer had taken reasonable
steps to ensure that all eligible employees in relation to the agreement (as at
that time) had been given an information statement in relation to the agreement
that complies with subsection (4).
(6) For the purposes of this section, if the
workplace agreement incorporates terms from another workplace agreement or an
award, the eligible employees have ready access to the workplace agreement only
if they have ready access to that other workplace agreement or award in
writing.
(7) To avoid doubt, if the content of the
workplace agreement is changed during the period mentioned in subsection (1),
the change results in a separate workplace agreement for the purposes of this
section.
Note: If the content
of an agreement for which the employer intends to seek approval is changed, the
procedural steps set out in subsections (1), (2) and (3) must be repeated
for the resulting separate agreement.
Contravention—ready access
(8) An employer contravenes this subsection
if:
(a) the employer lodges a workplace
agreement; and
(b) the employer failed to comply with
subsection (1) or (if applicable) paragraph (3)(b) in relation to the
agreement.
Contravention—information statement
(9) An employer contravenes this subsection
if:
(a) the employer lodges a workplace
agreement; and
(b) the employer failed to comply with
subsection (2) or (if applicable) paragraph (3)(a) in relation to the
agreement.
(10) Subsections (8) and (9) are civil
remedy provisions.
Note: See Division 11 for provisions on
enforcement.
(11) An employer cannot contravene subsection (8)
or (9) more than once in relation to the lodgment of a particular workplace
agreement.
338 Employees
may waive 7‑day period
(1) The persons mentioned in subsection (2)
may make a waiver under this section in relation to a workplace agreement.
(2) The persons are all the eligible
employees at the time the waiver is made.
(3) The waiver must be in writing and dated.
(4) The waiver is made when all the persons mentioned
in subsection (2) sign the waiver.
(5) The waiver takes effect when it is made.
Note: For the effect of the waiver, see subsection
337(5).
339
Prohibition on withdrawal from union collective agreement
(1) An employer that has made a union collective
agreement must take reasonable steps to seek approval for the agreement under
section 340, within a reasonable period after the agreement was made.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
340
Approval of a workplace agreement
(1) An ITEA is approved if:
(a) the ITEA is signed and dated by
the employee and the employer; and
(b) those signatures are witnessed;
and
(c) if the employee is under the age
of 18 years:
(i) the ITEA is signed and
dated by an appropriate person (such as a parent or guardian of the employee,
but not the employer) on behalf of the employee, for the purpose of indicating
that person’s consent to the employee making the ITEA; and
(ii) that person is aged at
least 18 years; and
(iii) that person’s
signature is witnessed.
(2) An employee collective agreement or union
collective agreement is approved if:
(a) the employer has given all of the
persons employed at the time whose employment will, or would but for the
operation of an ITEA that has passed its nominal expiry date, be subject to the
agreement a reasonable opportunity to decide whether they want to approve the
agreement; and
(b) either:
(i) if the decision is
made by a vote—a majority of those persons who cast a valid vote decide that
they want to approve the agreement; or
(ii) otherwise—a majority
of those persons decide that they want to approve the agreement.
341
Employer must not lodge unapproved agreement
(1) An
employer contravenes this subsection if:
(a) the employer lodges a workplace
agreement (other than a greenfields agreement); and
(b) the agreement has not been
approved in accordance with section 340.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on enforcement.
Division 5—Lodgment
342
Employer must lodge certain workplace agreements with the Workplace Authority
Director
(1) If an ITEA, an employee collective
agreement or a union collective agreement has been approved in accordance with
section 340, the employer must lodge the agreement, in accordance with
section 344, within 14 days after the approval.
(2) If a union greenfields agreement has been
made, the employer must lodge the agreement, in accordance with section 344,
within 14 days after the agreement was made.
(3) Subsections (1) and (2) are civil
remedy provisions.
Note: See Division 11 for provisions on
enforcement.
343
Lodging multiple‑business agreement without authorisation
(1) An employer contravenes this section if:
(a) the employer lodges a multiple‑business
agreement; and
(b) the agreement has not been
authorised under section 332.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
344
Lodging of workplace agreement documents with the Workplace Authority Director
(1) The employer in relation to a workplace
agreement lodges the workplace agreement with the Workplace Authority
Director if:
(a) the employer lodges a declaration
under subsection (2); and
(b) the workplace agreement:
(i) in the case of an
ITEA—meets the signature requirements of subsection 340(1); or
(ii) in the case of a
collective agreement—meets the signature requirements of regulations made for
the purposes of paragraph 418(e); and
(c) a copy of the signed agreement is
annexed to the declaration.
(2) An employer lodges a declaration
with the Workplace Authority Director if:
(a) the employer gives it to the Workplace
Authority Director; and
(b) it meets the form requirements
mentioned in subsection (3).
Note: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
(3) The Workplace Authority Director may, by
notice published in the Gazette, set out requirements for the form of a
declaration for the purposes of paragraph (2)(b).
(4) A declaration is given to the Workplace
Authority Director for the purposes of subsection (2) only if the
declaration is actually received by the Workplace Authority Director.
Note: This means that section 29 of the Acts
Interpretation Act 1901 (to the extent that it deals with the time of
service of documents) and section 160 of the Evidence Act 1995 do
not apply to lodgment of a declaration.
(5) The Workplace Authority Director is not
required to consider or determine whether any of the requirements of this Part (other
than Division 5A) have been met in relation to the making or content of
anything annexed to a declaration lodged in accordance with subsection (2).
345 Workplace
Authority Director must issue receipt for lodgment of declaration for workplace
agreement
(1) If a declaration is lodged under
subsection 344(2), the Workplace Authority Director must issue a receipt for
the lodgment.
(2) The Workplace Authority Director must
give a copy of the receipt to:
(a) the employer in relation to the
workplace agreement; and
(b) if the workplace agreement is an ITEA—the
employee; and
(c) if the agreement is a union
collective agreement or a union greenfields agreement—the organisation or
organisations bound by the agreement.
346
Employer must notify employees after lodging workplace agreement
(1) An employer that has received a receipt
under section 345 in relation to a collective agreement must take
reasonable steps to ensure that all persons whose employment is subject to the
agreement when the employer receives the receipt are given a copy of the
receipt within 21 days.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
(3) This section does not apply in relation
to a greenfields agreement.
346A
Employer to provide copy of lodged ITEA to employee
(1) As soon as practicable after an employer
lodges an ITEA with the Workplace Authority Director, the employer must give a
copy of the ITEA to the employee whose employment is subject to the ITEA.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
Division 5A—The no‑disadvantage test
Subdivision A—Preliminary
346B
Definitions
(1) In this Division:
designated award, for an employee or
employees whose employment is or may be subject to a workplace agreement, means
an award determined by the Workplace Authority Director under
section 346H, and includes an award taken to be so designated in relation
to the employee or employees under section 346G (unless a different award
has been designated in relation to the employee or employees under
section 346H).
industrial instrument means any of the
following:
(a) a pre‑reform AWA;
(b) a pre‑reform certified
agreement (within the meaning of Schedule 7);
(c) a workplace determination;
(d) a section 170MX award (within
the meaning of Schedule 7);
(e) an old IR agreement (within the
meaning of Schedule 7);
(f) a preserved State agreement.
reference instrument has the meaning given by
subsection 346E(1).
relevant collective instrument has the
meaning given by subsection 346E(2).
relevant general instrument has the meaning
given by subsection 346E(4).
(2) Unless the contrary intention appears,
this Division (other than sections 346K and 346L and Subdivision D)
applies to a workplace agreement as varied under Division 8 in a
corresponding way to the way in which it applies to a workplace agreement.
346C
Application of Division to workplace agreements
(1) The obligations imposed on the Workplace
Authority Director by this Division in relation to a workplace agreement apply
irrespective of whether the workplace agreement is yet to operate, is in
operation or has ceased to operate.
(2) For the purposes of applying this
Division to a workplace agreement that has ceased to operate:
(a) a reference to an employee whose
employment is subject to the workplace agreement is taken to include a
reference to an employee whose employment was at any time subject to the
workplace agreement; and
(b) a reference to a person or
organisation who is bound by the workplace agreement is taken to include a
reference to a person or organisation who was at any time bound by the
workplace agreement.
(3) For the purposes of applying this
Division to a workplace agreement, a reference to an employee whose employment
is subject to the workplace agreement is, so far as the context permits, taken
to include a reference to a person whose employment may at a future time be
subject to the workplace agreement.
Subdivision B—The no‑disadvantage test
346D
When does an agreement pass the no‑disadvantage test?
(1) An ITEA passes the no‑disadvantage
test if the Workplace Authority Director is satisfied that the ITEA does not
result, or would not result, on balance, in a reduction in the overall terms
and conditions of employment of the employee whose employment is subject to the
agreement under any reference instrument relating to the employee.
(2) A collective agreement passes the no‑disadvantage
test if the Workplace Authority Director is satisfied that the agreement does
not result, or would not result, on balance, in a reduction in the overall
terms and conditions of employment of the employees whose employment is subject
to the agreement under any reference instrument relating to one or more of the
employees.
(2A) For the purposes of subsection (1) or
(2):
(a) a law of a State or Territory
that:
(i) relates to long
service leave; and
(ii) immediately before the
agreement was lodged, applied to an employee referred to in that subsection, or
would have applied to such an employee if he or she had been employed by the
employer at that time;
is taken, to the extent that it
provides for long service leave, to be a reference instrument relating to the
employee; and
(b) if, apart from this subsection,
the only reference instrument relating to the employee is a designated award
for the employee—the designated award is to be disregarded to the extent (if
any) that it provides for long service leave.
(3) An employee collective agreement or a
union collective agreement is taken to pass the no‑disadvantage test if:
(a) it does not meet the requirements
of subsection (2); but
(b) the Workplace Authority Director
is satisfied that, because of exceptional circumstances, approval of the
agreement would not be contrary to the public interest.
(4) An example of a case where the Workplace
Authority Director may be satisfied that the requirements in
paragraph (3)(b) are met is where making the agreement is part of a
reasonable strategy to deal with a short‑term crisis in, and to assist in
the revival of, the employer’s business.
(5) If the Workplace Authority Director
decides under subsection (3) that an agreement is taken to pass the no‑disadvantage
test, the Workplace Authority Director must publish his or her reasons
for the decision on the Workplace Authority’s website.
(6) An ITEA is taken to pass the no‑disadvantage
test if there is no reference instrument in relation to the employee whose
employment is subject to the agreement.
(7) A collective agreement is taken to pass
the no‑disadvantage test if there is no reference instrument in relation
to any of the employees whose employment is subject to the agreement.
(8) To avoid doubt, if there is a reference
instrument in relation to one or more, but not all, of the employees whose
employment is subject to a collective agreement:
(a) in a case where the agreement
passes the no‑disadvantage test under subsection (2)—it passes the
test in relation to all employees whose employment is subject to the agreement;
or
(b) in a case where the agreement does
not pass the no‑disadvantage test under subsection (2)—it does not
pass the test in relation to any employees whose employment is subject to the
agreement.
Note 1: In addition to the no‑disadvantage test,
the Australian Fair Pay and Conditions Standard prevails over a workplace
agreement to the extent to which the Australian Fair Pay and Conditions
Standard provides a more favourable outcome for the employee or employees—see
section 172.
Note 2: This section applies to a workplace agreement
as varied under Division 8 in a corresponding way to the way in which it
applies to a workplace agreement—see subsection 346B(2).
Note 3: See subsection 346J(1) for how the Workplace
Authority Director makes decisions under this section.
346E
Reference instruments etc.
(1) A reference instrument is:
(a) in relation to an employee whose
employment is subject to an ITEA:
(i) any relevant
collective instrument; or
(ii) any relevant collective
instrument and any relevant general instrument, to the extent that the
instruments operate concurrently; or
(iii) if there is no
relevant collective instrument—any relevant general instrument; or
(iv) if there is no relevant
collective instrument or relevant general instrument—any designated award;
for the employee; or
(b) in relation to employees whose
employment is subject to a collective agreement:
(i) any relevant general
instrument; or
(ii) if there is no
relevant general instrument—any designated award;
for one or more of the
employees.
(2) A relevant collective instrument,
for an employee whose employment is subject to a workplace agreement, is an
instrument of a kind specified in subsection (3):
(a) that regulates, or would but for
an ITEA, pre‑reform AWA or AWA (within the meaning of Schedule 7A)
having come into operation regulate, any term or condition of employment of
persons engaged in the same kind of work as that performed or to be performed
by the employee under the workplace agreement; and
(b) that was binding, or would but for
an ITEA, pre‑reform AWA or AWA (within the meaning of Schedule 7A)
having come into operation have been binding, on the employee’s employer
immediately before the day on which the workplace agreement was lodged.
(3) The kinds of instruments for the purposes
of subsection (2) are any of the following:
(a) a collective agreement;
(b) a pre‑reform certified
agreement (within the meaning of Schedule 7);
(c) an old IR agreement (within the
meaning of Schedule 7);
(d) a preserved collective State
agreement (within the meaning of Schedule 8);
(e) a workplace determination;
(f) a section 170MX award
(within the meaning of Schedule 7).
(4) A relevant general instrument,
for an employee whose employment is subject to a workplace agreement, is an
instrument of a kind specified in subsection (5):
(a) that regulates, or would but for a
workplace agreement or another industrial instrument having come into operation
regulate, any term or condition of employment of persons engaged in the same
kind of work as that performed or to be performed by the employee under the
workplace agreement; and
(b) that was binding, or would but for
a workplace agreement or another industrial instrument having come into
operation have been binding, on the employee’s employer immediately before the
day on which the workplace agreement was lodged.
(5) The kinds of instruments for the purposes
of subsection (4) are any of the following:
(a) an award;
(b) a common rule in operation under
Schedule 6;
(c) a transitional Victorian reference
award (within the meaning of Part 7 of Schedule 6);
(d) a transitional award (within the
meaning of Schedule 6), other than a Victorian reference award (within the
meaning of that Schedule), to the extent that the award regulates excluded
employers in respect of the employment of employees in Victoria;
(e) a notional agreement preserving
State awards (within the meaning of Schedule 8).
346F
Agreements to be tested as at lodgment date
(1) In deciding whether a workplace agreement
passes, or does not pass, the no‑disadvantage test, the Workplace
Authority Director must consider it as in existence or operation (as the case
may be) immediately after lodgment.
(2) In deciding whether a workplace agreement
as varied passes, or does not pass, the no‑disadvantage test, the
Workplace Authority Director must consider it as in existence or operation (as
the case may be) immediately after the variation was lodged.
(3) If a variation to a workplace agreement
is lodged before the Workplace Authority Director has decided whether the
agreement passes the no‑disadvantage test under section 346D:
(a) the Workplace Authority Director
must consider the workplace agreement and the workplace agreement as varied as
part of the same process; and
(b) to avoid doubt, the Workplace
Authority Director must consider, and make a separate decision in respect of,
both the workplace agreement and the workplace agreement as varied.
(4) For the purposes of applying subsection
346D(1) or (2), assume that the employment relationship of the employee or
employees referred to in either of those subsections was in existence
immediately before the day on which the ITEA or collective agreement was
lodged.
346G
Designated awards—before a workplace agreement or variation is lodged
(1) The Workplace Authority Director may, on
application by an employer, determine that an award is a designated award for
an employee or class of employees of the employer.
(2) The Workplace Authority Director may make
a determination under this section only if the Workplace Authority Director is
satisfied that:
(a) the employee or employees are or
may be employed in an industry or occupation in which the terms and conditions
of the kind of work performed or to be performed by the employee or employees:
(i) are usually regulated
by an award; or
(ii) would, but for a
workplace agreement or another industrial instrument having come into
operation, usually be regulated by an award; and
(b) unless there is a designated award
for the employee or employees, there would be no reference instrument relating
to the employee or employees; and
(c) there is an award that satisfies
the requirements specified in subsection (4).
(4) An award or awards determined by the
Workplace Authority Director under this section:
(a) must be an award or awards
regulating, or that would, but for a workplace agreement or another industrial
instrument having come into operation, regulate, terms or conditions of
employment of employees engaged in the same kind of work as the work performed
or to be performed by the employee or employees; and
(b) must, in the opinion of the
Workplace Authority Director, be an award or awards that would be appropriate
for the purpose referred to in paragraph 346H(3)(b) if a workplace agreement or
a variation of a workplace agreement were lodged; and
(c) must not be an award that
regulates the terms and conditions of employment in a single business only
(being the single business specified in the award).
(5) An award determined under this section in
relation to an employee or employees is taken to be the designated award
determined by the Workplace Authority Director under section 346H in
relation to the employee or employees if the employer later lodges a workplace
agreement, or a variation of a workplace agreement, in relation to the employee
or the employees.
(6) Despite subsection (5), the
Workplace Authority Director may determine under section 346H that another
award is a designated award in relation to the employee, or in relation to some
or all of the employees, if:
(a) the Workplace Authority Director
becomes aware of information that was not available to the Workplace Authority
Director at the time of the determination under subsection (1); and
(b) the Workplace Authority Director
is satisfied that, had that information been available to the Workplace
Authority Director at that time, the Workplace Authority Director would have
determined under subsection (1) the other award to be the designated award.
(7) The Workplace Authority Director may
determine different awards under subsection (1) in relation to different
employees.
(8) In this section, a reference to an
employee or employees of an employer includes a reference to a person or
persons who may become an employee or employees of the employer.
(9) A determination made under this section
is not a legislative instrument.
346H
Designated awards—after a workplace agreement or variation is lodged
(1) This section applies to a workplace
agreement if:
(a) in the case of an ITEA—there is no
relevant collective instrument or no relevant general instrument in relation to
the employee whose employment is subject to the ITEA; or
(b) in the case of a collective
agreement—there is no relevant general instrument in relation to an employee or
class of employees whose employment is subject to the collective agreement; or
(c) a variation of the workplace
agreement is lodged and:
(i) if the workplace
agreement is an ITEA—there is no relevant collective instrument or no relevant
general instrument in relation to the employee whose employment is subject to
the ITEA as varied; or
(ii) if the workplace
agreement is a collective agreement—there is no relevant general instrument in
relation to an employee or class of employees whose employment is subject to
the collective agreement as varied.
(2) The Workplace Authority Director must
determine that an award is a designated award for the employee or employees
referred to in subsection (1), if the Workplace Authority Director is
satisfied that:
(a) on the date of lodgment of the
agreement or variation (as the case requires), the employee or employees are or
would be employed in an industry or occupation in which the terms and
conditions of the kind of work performed or to be performed by the employee or
employees:
(i) are usually regulated
by an award; or
(ii) would, but for a
workplace agreement or another industrial instrument having come into
operation, usually be regulated by an award; and
(b) there is an award that satisfies
the requirements specified in subsection (3).
(3) An award or awards determined by the
Workplace Authority Director under this section:
(a) must be an award or awards
regulating, or that would, but for a workplace agreement or another industrial
instrument having come into operation, regulate, terms or conditions of
employment of employees engaged in the same kind of work as the work performed
by the employee or employees under the workplace agreement concerned; and
(b) must, in the opinion of the
Workplace Authority Director, be appropriate for the purpose of deciding
whether a workplace agreement, or a workplace agreement as varied, passes the
no‑disadvantage test; and
(c) must not be an award that
regulates the terms and conditions of employment in a single business only
(being the single business specified in the award).
(4) The Workplace Authority Director may
determine different awards under subsection (2) in relation to different
employees.
(5) A determination made under this section
is not a legislative instrument.
346HA
Effect of State awards etc.
For the purposes of paragraphs
346G(2)(a) and 346H(2)(a), an industry or occupation in which the terms and
conditions of the kind of work performed or to be performed by an employee are
usually regulated by an award is taken to include an industry or occupation in
which the terms and conditions of the kind of work performed or to be performed
by the employee:
(a) were, immediately before the
reform commencement, usually regulated by a State award, or would, but for an
industrial instrument or a State employment agreement having come into
operation, usually have been so regulated immediately before the reform
commencement; or
(b) are usually regulated by any of
the following instruments:
(i) a transitional
Victorian reference award (within the meaning of Part 7 of
Schedule 6);
(ii) a common rule in
operation under Schedule 6;
(iii) a transitional award
(within the meaning of Schedule 6) other than a Victorian reference award
(within the meaning of that Schedule), to the extent that the award regulates
excluded employers in respect of the employment of employees in Victoria;
or would, but for a workplace
agreement or an industrial instrument having come into operation, usually be so
regulated.
346J
Matters taken into account when testing agreement etc.
(1) In deciding under section 346D, 346Q
or 346Z whether a workplace agreement, or a workplace agreement as varied,
passes, or does not pass, the no‑disadvantage test, the Workplace Authority
Director:
(a) must have regard to the work
obligations of the employee or employees under the workplace agreement; and
(b) may inform himself or herself in
any way he or she considers appropriate including (but not limited to)
contacting any of the following:
(i) the employer;
(ii) the employee, or some
or all of the employees, whose employment is subject to the workplace
agreement;
(iii) a bargaining agent in
relation to the agreement;
(iv) in the case of a union
collective agreement or a union greenfields agreement—the organisation or
organisations bound by the agreement.
(2) In deciding whether to determine that an
award is a designated award in relation to an employee or employees of an
employer, the Workplace Authority Director may inform himself or herself in any
way he or she considers appropriate including (but not limited to) contacting
any of the following:
(a) the employer;
(b) the employee or employees;
(c) if the determination would be made
under section 346H—a bargaining agent in relation to the agreement;
(d) if the determination would be made
under section 346H in relation to a union collective agreement or a union
greenfields agreement—the organisation or organisations bound by the agreement.
Subdivision C—Agreements that operate from approval, and variations of
agreements
346K
Application of this Subdivision
(1) This Subdivision applies to a workplace
agreement that is:
(a) an ITEA to which subparagraph
326(2)(b)(ii) applies; or
(b) an employee collective agreement;
or
(c) a union collective agreement; or
(d) a multiple‑business
agreement that would be an employee collective agreement or a union collective
agreement but for subsection 331(1).
(2) This Subdivision also applies to any
variation of a workplace agreement under Division 8.
346L
Applying the no‑disadvantage test
(1) If a workplace agreement to which this
Subdivision applies is lodged with the Workplace Authority Director under
Division 5, the Workplace Authority Director must decide under
section 346D whether the agreement passes the no‑disadvantage test.
(2) If a variation of a workplace agreement
under Division 8 is lodged with the Workplace Authority Director under
that Division, the Workplace Authority Director must decide under
section 346D whether the agreement as varied passes the no‑disadvantage
test.
346M
Workplace Authority Director must notify of decision
(1) If the Workplace Authority Director
decides under section 346D that the agreement passes the no‑disadvantage
test, then:
(a) the Workplace Authority Director
must notify the following of the decision:
(i) the employer in
relation to the agreement;
(ii) if the agreement is an
ITEA—the employee whose employment is subject to the ITEA;
(iii) if the agreement is a
union collective agreement or a multiple‑business agreement that would be
a union collective agreement but for subsection 331(1)—the organisation or
organisations bound by the agreement; and
(b) the notice must also state that
the agreement comes into operation on the seventh day after the date of issue
specified in the notice.
(2) If the Workplace Authority Director
decides under section 346D that the agreement does not pass the no‑disadvantage
test, then:
(a) the Workplace Authority Director
must notify the following of the decision:
(i) the employer in
relation to the agreement;
(ii) if the agreement is an
ITEA—the employee whose employment is subject to the ITEA;
(iii) if the agreement is a
union collective agreement or a multiple‑business agreement that would be
a union collective agreement but for subsection 331(1)—the organisation or
organisations bound by the agreement; and
(b) the notice must also:
(i) state that the
agreement has not come into operation because it does not pass the no‑disadvantage
test; and
(ii) contain advice as to
how the agreement could be varied to pass the no‑disadvantage test.
(3) If subsection 346F(3) requires the
Workplace Authority Director to consider, and make a separate decision in
respect of, both a workplace agreement and the workplace agreement as varied,
the notice under this section must deal with both agreements.
(4) A notice under this section:
(a) must be in writing; and
(b) must specify the date of issue of
the notice.
Note: Section 346ZH requires the employer to
inform the employees concerned of the contents of the notice in relation to a
collective agreement.
346N
Agreement does not pass no‑disadvantage test
(1) If the Workplace Authority Director
decides under section 346D that the agreement does not pass the no‑disadvantage
test, the employer who is bound by the agreement may lodge a variation of the
agreement with the Workplace Authority Director.
(2) For the purposes of subsection (1),
Division 8 does not apply to the variation of an agreement, except for
sections 367, 368, 368A, 372, 373 and 374, paragraph 377(1)(b) and
section 380A.
346P
Lodging of variation documents with the Workplace Authority Director
(1) An employer lodges a variation with the
Workplace Authority Director under section 346N if:
(a) the employer lodges a declaration
under subsection (2); and
(b) a copy of the variation is annexed
to the declaration.
(2) An employer lodges a declaration with the
Workplace Authority Director if:
(a) the employer gives it to the
Workplace Authority Director; and
(b) it meets the form requirements
mentioned in subsection (3).
Note: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
(3) The Workplace Authority Director may, by
notice published in the Gazette, set out requirements for the form of a
declaration for the purposes of paragraph (2)(b).
(4) A declaration is given to the Workplace
Authority Director for the purposes of subsection (2) only if the
declaration is actually received by the Workplace Authority Director.
Note: This means that section 29 of the Acts
Interpretation Act 1901 (to the extent that it deals with the time of
service of documents) and section 160 of the Evidence Act 1995 do
not apply to lodgment of a declaration.
346Q
Workplace Authority Director must test varied agreement
(1) If an employer lodges a variation of a
workplace agreement under section 346N, the Workplace Authority Director
must decide under this section whether the workplace agreement as varied passes
the no‑disadvantage test set out in section 346D.
(2) If the Workplace Authority Director
decides under subsection (1) that a workplace agreement as varied passes
the no‑disadvantage test, or that it does not pass the no‑disadvantage
test, the Workplace Authority Director must notify the following of the
decision:
(a) the employer in relation to the
workplace agreement;
(b) if the workplace agreement is an
ITEA—the employee whose employment is subject to the ITEA;
(c) if the agreement is a union
collective agreement, or a multiple‑business agreement that would be a
union collective agreement but for subsection 331(1)—the organisation or
organisations bound by the agreement.
(3) The notice must be in writing and must
specify:
(a) the date of issue of the notice;
and
(b) if the workplace agreement as
varied passes the no‑disadvantage test—that the agreement as varied will
come into operation on the seventh day after the date of issue specified in the
notice; and
(c) if the workplace agreement as
varied does not pass the no‑disadvantage test—that the agreement has not
come into operation because it does not pass the no‑disadvantage test.
Note 1: Section 346ZH requires the employer to
inform the employees concerned of the contents of the notice under this section
in relation to a collective agreement.
Note 2: See subsection 346J(1) for how the Workplace
Authority Director makes decisions under this section.
346R
Operation of section 346N variations
If:
(a) an employer lodges a variation of
a workplace agreement under section 346N; and
(b) the Workplace Authority Director
decides under subsection 346Q(1) that the agreement as varied passes the no‑disadvantage
test set out in section 346D;
the agreement as varied comes into operation on the
seventh day after the date of issue specified in the notice under
section 346Q that advises the agreement as varied passes the no‑disadvantage
test.
Subdivision D—Agreements that operate from lodgment
346S
Application of this Subdivision
This Subdivision applies to a workplace
agreement that is:
(a) an ITEA to which subparagraph
326(2)(b)(i) or (ia) applies; or
(b) a union greenfields agreement; or
(c) an employer greenfields agreement;
or
(d) a multiple‑business
agreement that would be a union greenfields agreement or an employer
greenfields agreement but for subsection 331(1).
Note: Subdivision C, and not this Subdivision, will
apply to a variation of any of these workplace agreements under
Division 8.
346T
Applying the no‑disadvantage test
If a workplace agreement to which this
Subdivision applies is lodged with the Workplace Authority Director under
Division 5, the Workplace Authority Director must decide under
section 346D whether the agreement passes the no‑disadvantage test.
346U
Workplace Authority Director must notify of decision
(1) If the Workplace Authority Director
decides under section 346D that the agreement passes the no‑disadvantage
test the Workplace Authority Director must notify the following of the
decision:
(a) the employer in relation to the
agreement;
(b) if the agreement is an ITEA—the
employee whose employment is subject to the ITEA;
(c) if the agreement is a union
greenfields agreement or a multiple‑business agreement that would be a
union greenfields agreement but for subsection 331(1)—the organisation or
organisations bound by the agreement.
(2) If the Workplace Authority Director
decides under section 346D that the agreement does not pass the no‑disadvantage
test, then:
(a) the Workplace Authority Director
must notify the following of the decision:
(i) the employer in
relation to the agreement;
(ii) if the agreement is an
ITEA—the employee whose employment is subject to the ITEA;
(iii) if the agreement is a
union greenfields agreement or a multiple‑business agreement that would
be a union greenfields agreement but for subsection 331(1)—the organisation or
organisations bound by the agreement; and
(b) the notice must also contain
advice as to how the agreement could be varied to pass the no‑disadvantage
test.
(3) If subsection 346F(3) requires the
Workplace Authority Director to consider, and make a separate decision in
respect of, both a workplace agreement and the workplace agreement as varied,
the notice under this section must deal with both agreements.
(4) A notice under this section:
(a) must be in writing; and
(b) must specify the date of issue of
the notice.
Note: Section 346ZH requires the employer to
inform the employees concerned of the contents of the notice in relation to a
collective agreement.
346V
Agreement does not pass no‑disadvantage test—agreement not in operation
If:
(a) the Workplace Authority Director
decides under section 346D that the agreement does not pass the no‑disadvantage
test; and
(b) the agreement is not in operation
in relation to any employee immediately before the date of the decision;
the employee or employees whose employment was at any time
subject to the agreement are, on and from the seventh day after the date of
issue specified in the notice under section 346U in relation to the
agreement, entitled to any compensation payable to the employee or employees
under section 346ZG.
346W
Agreement does not pass no‑disadvantage test—agreement in operation
(1) This section applies if:
(a) the Workplace Authority Director
decides under section 346D that the agreement does not pass the no‑disadvantage
test; and
(b) the agreement is in operation
immediately before the date of the decision.
(2) The employer who is bound by the
agreement may:
(a) lodge a variation of the agreement
with the Workplace Authority Director; or
(b) in the case of an employer
greenfields agreement—lodge a variation of the agreement by giving to the
Workplace Authority Director a written undertaking in relation to the
agreement.
(3) If the employer does not take the action referred
to in subsection (2) within the relevant period in relation to the
agreement, then at the end of that period:
(a) the workplace agreement ceases to
operate; and
(b) the employee or employees whose
employment was at any time subject to the agreement are, after the end of the
relevant period in relation to the agreement, entitled to any compensation
payable to the employee or employees under section 346ZG.
(4) Despite subsection (3), if:
(a) because of subsection 346F(3), the
Workplace Authority Director considered, and made a separate decision in
respect of, both the workplace agreement and the workplace agreement as varied;
and
(b) the agreement did not pass the no‑disadvantage
test, but the agreement as varied passed the no‑disadvantage test;
the agreement as varied continues in operation, and the
employee or employees whose employment was at any time subject to the
agreement, whether before or after the variation was lodged, are, after the end
of the relevant period in relation to the agreement, entitled to any
compensation payable to the employee or employees under section 346ZG.
(5) For the purposes of
paragraph (2)(a), Division 8 does not apply to the variation of an
agreement, except for sections 367, 368, 368A, 372, 373 and 374, paragraph
377(1)(b) and section 380A.
(6) For the purposes of paragraph 2(b),
Division 8 does not apply to an undertaking given to the Workplace
Authority Director in relation to an employer greenfields agreement.
(7) In this section:
relevant period, in relation to a workplace
agreement, means:
(a) the period of 30 days beginning on
the seventh day after the date of issue specified in the notice under
section 346U in relation to the workplace agreement; or
(b) if a longer period is prescribed
by the regulations for the purposes of this paragraph—that period; or
(c) if the period referred to in
paragraph (a) or (b) is extended under subsection (8) in relation to
the workplace agreement—the period as extended.
(8) The Workplace Authority Director may
extend the period referred to in paragraph (7)(a) or (b), as the case
requires, in relation to a particular workplace agreement in circumstances
prescribed by the regulations.
346X
Lodging of variation documents with the Workplace Authority Director
(1) An employer lodges a variation with, or
gives an undertaking to, the Workplace Authority Director under
section 346W if:
(a) the employer lodges a declaration
under subsection (2); and
(b) a copy of the variation or
undertaking is annexed to the declaration.
(2) An employer lodges a declaration with the
Workplace Authority Director if:
(a) the employer gives it to the
Workplace Authority Director; and
(b) it meets the form requirements
mentioned in subsection (3).
Note: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
(3) The Workplace Authority Director may, by
notice published in the Gazette, set out requirements for the form of a
declaration for the purposes of paragraph (2)(b). The requirements may be
different for variations and undertakings.
(4) A declaration is given to the Workplace
Authority Director for the purposes of subsection (2) only if the
declaration is actually received by the Workplace Authority Director.
Note: This means that section 29 of the Acts
Interpretation Act 1901 (to the extent that it deals with the time of
service of documents) and section 160 of the Evidence Act 1995 do
not apply to lodgment of a declaration.
346Y
Operation of section 346W variations
(1) A variation of an agreement under
paragraph 346W(2)(a) comes into operation when the variation is lodged with the
Workplace Authority Director under that subsection in accordance with
section 346X.
(2) A variation of an employer greenfields
agreement by way of an undertaking under paragraph 346W(2)(b) comes into
operation when the undertaking is given to the Workplace Authority Director
under that paragraph in accordance with section 346X.
(3) For the purposes of this Act, an
undertaking given by an employer to the Workplace Authority Director under
paragraph 346W(2)(b) in relation to an employer greenfields agreement is taken
to be a variation of the agreement lodged by the employer under
section 346W.
346Z
Workplace Authority Director must test varied agreement
(1) If an employer lodges a variation of a
workplace agreement under section 346W, the Workplace Authority Director
must decide under this section whether the workplace agreement as varied passes
the no‑disadvantage test set out in section 346D.
Note: See subsection 346J(1) for how the Workplace
Authority Director makes decisions under this section.
(2) If the Workplace Authority Director
decides under subsection (1) that a workplace agreement as varied passes
the no‑disadvantage test, or that it does not pass the no‑disadvantage
test, the Workplace Authority Director must notify the following of the
decision:
(a) the employer in relation to the
workplace agreement;
(b) if the workplace agreement is an
ITEA—the employee whose employment is subject to the ITEA;
(c) if the agreement is a union
greenfields agreement, or a multiple‑business agreement that would be a
union greenfields agreement but for subsection 331(1)—the organisation or
organisations bound by the agreement.
(3) The notice must be in writing and must
specify:
(a) the date of issue of the notice;
and
(b) if the workplace agreement as
varied passes the no‑disadvantage test:
(i) that the workplace
agreement continues in operation; and
(ii) that the workplace
agreement was varied by way of a variation or a written undertaking, as the
case may be; and
(iii) that the employee or
employees whose employment is, or was at any time, subject to the workplace
agreement are, on and from the seventh day after the date of issue specified in
the notice, entitled to any compensation payable to the employee or employees
under section 346ZG; and
(c) if the workplace agreement as
varied does not pass the no‑disadvantage test:
(i) that, if the workplace
agreement was in operation immediately before the seventh day after the date of
issue specified in the notice—the agreement ceases to operate on that day; and
(ii) that the employee or
employees whose employment was at any time subject to the workplace agreement
are, on and from that day, entitled to any compensation payable to the employee
or employees under section 346ZG.
Note: Section 346ZH requires the employer to
inform the employees concerned of the contents of the notice under this section
in relation to a collective agreement.
346ZA
Effect of decision on no‑disadvantage test
(1) If the Workplace Authority Director
decides under subsection 346Z(1) that a workplace agreement as varied passes,
or does not pass, the no‑disadvantage test:
(a) if the workplace agreement passes
the no‑disadvantage test—it continues in operation; and
(b) if the workplace agreement does
not pass the no‑disadvantage test—it ceases to operate on and from the
seventh day after the date of issue specified in the notice under
section 346Z in respect of the workplace agreement; and
(c) the employee or employees whose
employment is, or was at any time, subject to the agreement are, on and from
that day, entitled to any compensation payable to the employee or employees
under section 346ZG.
Note: Even though the workplace agreement has been
varied so that it passes the no‑disadvantage test, compensation may be
payable in respect of the period when the agreement did not pass the no‑disadvantage
test.
(2) Paragraphs (1)(a) and (b) do not
apply if the workplace agreement is not in operation in relation to any
employee immediately before the date of the decision.
346ZB
Employment arrangements that apply if a workplace agreement ceases to operate
because it does not pass no‑disadvantage test
(1) This section applies if, on a particular
day (the cessation day), a workplace agreement (the original
agreement) ceases to operate under section 346W or 346ZA because
the original agreement does not pass the no‑disadvantage test.
(2) The employer and the employee or
employees who were bound by the original agreement immediately before the
cessation day are taken, on and from the cessation day, to be bound by:
(a) the instrument or instruments
that, but for the original agreement having come into operation, would have
bound the employer and the employee or employees on and from the cessation day;
or
(b) if there is no instrument of a
kind referred to in paragraph (a) in relation to the employer and one or
more of the employees—the designated award in relation to that employee or
those employees.
Note 1: A workplace agreement binds all persons whose
employment is, at any time when the agreement is in operation, subject to the
agreement (see paragraph 351(b)). A collective agreement may therefore bind an
employer in relation to existing and future employees.
Note 2: See section 601D for the employment
arrangements that would apply in a transmission of business context.
(3) If the original agreement is a workplace
agreement as varied under Division 8, the workplace agreement as in force
before the variation was lodged is, despite section 346ZE, capable of
being an instrument described in paragraph (2)(a).
(4) An instrument that has ceased to operate
in relation to an employee or employees is capable of being an instrument
described in paragraph (2)(a) only if the reason it ceased to operate was
because the original agreement came into operation in relation to the employee
or employees.
(5) In this section:
instrument means any of the following:
(a) a workplace agreement;
(b) an award;
(c) a workplace determination;
(d) an employment agreement within the
meaning of section 887;
(e) a pre‑reform certified
agreement (within the meaning of Schedule 7);
(f) a common rule continued in
operation under Schedule 6;
(g) a transitional Victorian reference
award (within the meaning of Part 7 of Schedule 6);
(h) a transitional award (within the
meaning of Schedule 6) other than a Victorian reference award (within the
meaning of that Schedule) to the extent that the award regulates excluded
employers in respect of the employment of employees in Victoria;
(i) a section 170MX award
(within the meaning of Schedule 7);
(j) an old IR agreement (within the
meaning of Schedule 7);
(k) a preserved State agreement
(within the meaning of Schedule 8);
(l) a notional agreement preserving
State awards (within the meaning of Schedule 8).
346ZC
Effect of section 346ZB in relation to instruments
If, because of the operation of
section 346ZB, an employer and an employee or employees, as the case
requires, are taken to be bound by an instrument, the instrument is taken,
despite any other provision of this Act, to operate again, or to have effect
again, as the case requires, in relation to the employer and the employee or
employees, on and from the cessation day.
Note 1: The following provisions operate in a similar
way for other instruments:
(a) subclause 3(5A) of Schedule 7 (pre‑reform
certified agreements);
(b) subclause 25(4) of Schedule 7
(section 170MX awards);
(c) subclause 28(5) of Schedule 7 (old IR
agreements).
Note 2: An award has no effect in relation to an
employee while a workplace agreement operates in relation to the employee (see
section 349), but once the workplace agreement has ceased to operate, the
award is capable of operating again.
346ZD
Redundancy provisions and section 394 undertakings
(1) This section applies if, on a particular
day (the cessation day), a workplace agreement (the original
agreement) ceases to operate under section 346W or 346ZA because
the original agreement does not pass the no‑disadvantage test.
(2) If, immediately before the day on which
the original agreement was lodged, the employer was bound, under a designated
provision relating to the agreement, by a redundancy provision in relation to
an employee whose employment was subject to the original agreement, the
employer is taken:
(a) to be bound, under the designated
provision, by the redundancy provision in relation to the employee on and from
the cessation day; and
(b) to continue to be so bound until
the earliest of the following:
(i) the end of the period
of 24 months beginning on the first day on which the employer became bound,
under the designated provision, by the redundancy provision;
(ii) the time when the
employee ceases to be employed by the employer;
(iii) the time when another
workplace agreement comes into operation in relation to the employee and the
employer.
(3) If, immediately before the day on which
the original agreement was lodged, the employer was bound by an undertaking
under subsection 394(1) in relation to an employee whose employment was subject
to the original agreement, the employer is taken:
(a) to be bound under section 394
by the undertaking in relation to the employee on and from the cessation day;
and
(b) to continue to be so bound until
the earlier of the following:
(i) the time when the
employee ceases to be employed by the employer;
(ii) the time when another
workplace agreement comes into operation in relation to the employee and the
employer.
(4) In this section:
designated provision, in relation to a
workplace agreement, means any of the following:
(a) section 399A;
(b) clause 6A of Schedule 7;
(c) clause 20A of
Schedule 7;
(d) clause 21A of
Schedule 8;
(e) clause 21D of
Schedule 8;
that, after the agreement is terminated, continues the
effect of a redundancy provision that was included in the agreement.
redundancy provision means a redundancy
provision within the meaning of any of the following:
(a) section 399A;
(b) clause 6A of Schedule 7;
(c) clause 20A of
Schedule 7;
(d) clause 21A of
Schedule 8;
(e) clause 21D of
Schedule 8.
346ZE
Operation of workplace agreements
A workplace agreement that has ceased to
operate because it does not pass the no‑disadvantage test can never
operate again.
Note: This rule is subject to subsection 346ZB(3),
which deals with the situation where a workplace agreement as varied under
Division 8 does not pass the no‑disadvantage test.
346ZF
Regulations may make provision for operation of provisions of revived
instruments
The regulations may make provision for
and in relation to the operation of instruments that are taken to bind an
employer and employees because of the operation of section 346ZB.
Subdivision E—Entitlement to compensation
346ZG
Employee is entitled to compensation in respect of no‑disadvantage test
period
(1) This section applies to an employee who
is entitled to compensation under this section on and from a particular day
because a workplace agreement to which Subdivision D applies that was binding
on the employee’s employer did not pass the no‑disadvantage test.
Note 1: Sections 346V, 346W and 346ZA specify the
day on which an employee’s entitlement to compensation takes effect.
Note 2: An employee may be able to recover compensation
even where a workplace agreement that initially does not pass the no‑disadvantage
test is varied so that it subsequently passes the no‑disadvantage
test—see section 346ZA.
(2) If the amount worked out under
paragraph (a) is less than the amount worked out under paragraph (b),
the employer must pay to the employee the amount of the shortfall:
(a) the total value of the
entitlements to which the employee was entitled, under the workplace agreement,
and under any other applicable law, agreement or arrangement that operated in
conjunction with the workplace agreement, in respect of one or more periods of
employment during the no‑disadvantage test period for the workplace
agreement;
(b) the total value of the
entitlements to which the employee would have been entitled, in respect of one
or more periods of employment of the employee during the no‑disadvantage
test period, worked out in accordance with the assumptions set out in
subsection (3).
(3) For the purposes of working out the total
value of the entitlements to which the employee would have been entitled, in
respect of one or more periods of employment of the employee during the no‑disadvantage
test period, it is to be assumed that, during that period or those periods of
employment:
(a) the employee’s employment was
subject to:
(i) the instrument or
instruments that, but for the workplace agreement, would have bound the
employer in relation to that period or those periods of employment of the
employee; or
(ii) if there is no such
instrument—the designated award in relation to the employee; and
(b) the employer was bound, under a
designated provision relating to the agreement, by a redundancy provision that,
but for the workplace agreement having come into operation, would have bound
the employer in relation to the employee; and
(c) the employer was bound under
section 394 by any undertaking that, but for the workplace agreement
having come into operation, would have bound the employer in relation to the
employee; and
(d) the employee’s employment was
subject to any other applicable law, agreement or arrangement that would have
operated in conjunction with the instrument or instruments referred to in
subparagraph (a)(i), or the designated award referred to in
subparagraph (a)(ii), as the case requires.
(4) An employer breaches this section if the
employer does not pay to the employee the amount of the shortfall calculated
under subsection (2) within whichever of the following periods is
applicable:
(a) if the employee is entitled to
compensation because of the operation of section 346V in respect of the
workplace agreement—the period of 14 days beginning on the seventh day after
the date of issue specified in the notice under section 346U in relation
to the workplace agreement;
(b) if the employee is entitled to
compensation because of the operation of section 346W in respect of the
workplace agreement—the period of 14 days beginning at the end of the relevant
period (within the meaning of section 346W) in relation to the workplace
agreement;
(c) if the employee is entitled to
compensation because of the operation of section 346ZA in respect of the
workplace agreement—the period of 14 days beginning on the seventh day after
the date of issue specified in the notice under section 346Z in relation
to the workplace agreement.
Note: Compliance with this section is dealt with in
Part 14—this section is an applicable provision within the meaning of
section 717.
(5) In this
section:
designated provision has the same meaning as
in section 346ZD.
instrument has the same meaning as in
section 346ZB.
no‑disadvantage test period, in
relation to a workplace agreement, means:
(a) the period:
(i) beginning on the day
on which the workplace agreement was lodged; and
(ii) ending on the day on
which the workplace agreement ceased to operate (whether because of the
operation of this Division or otherwise); or
(b) if the workplace agreement is
continued in operation because of the operation of subsection 346W(4) or
section 346ZA—the period:
(i) beginning on the day
on which the workplace agreement was lodged; and
(ii) ending on the day on
which the variation of the workplace agreement was lodged under
section 346W or, if the workplace agreement had been varied before that
day in such a way as to pass the no‑disadvantage test, on that earlier
day.
redundancy provision has the same meaning as
in section 346ZD.
Subdivision F—Civil remedy provisions
346ZH
Employer must notify employees
(1) An employer that has received a notice
under section 346M, 346Q, 346U or 346Z in relation to a collective
agreement must take reasonable steps to ensure that all persons whose
employment is subject to the agreement when the employer receives the notice
are given a copy of the notice as soon as practicable.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
346ZJ
Employer not to dismiss etc. employee because agreement does not pass the no‑disadvantage
test
(1) An employer must not:
(a) dismiss an employee; or
(b) threaten to dismiss an employee;
if the sole or dominant reason for the employer
dismissing, or threatening to dismiss, the employee is that a workplace
agreement does not, or may not, pass the no‑disadvantage test.
(2) Subsection (1) is a civil remedy
provision.
Note 1: An employee may still be entitled to compensation
under section 346ZG if his or her workplace agreement does not pass the no‑disadvantage
test.
Note 2: A contravention of subsection (1) is
enforceable by a workplace inspector—see Division 11 for provisions on
enforcement.
(3) In proceedings alleging a contravention
of subsection (1) it is presumed that the employer’s sole or dominant
reason was that the workplace agreement did not, or may not, pass the no‑disadvantage
test, unless the employer proves otherwise.
Note: Division 3 of Part 14 contains other
provisions relevant to civil remedies.
346ZK
Other remedies for the contravention of section 346ZJ
(1) The Court, on application by an eligible
person, may make one or more of the following orders in relation to an employer
who has contravened subsection 346ZJ(1):
(a) an order requiring the employer to
pay a specified amount to the employee as compensation for damage suffered by
the employee as a result of the contravention;
(b) any other order that the Court
considers appropriate.
Note: The employee may still be entitled to
compensation under section 346ZG if his or her workplace agreement does
not pass the no‑disadvantage test.
(2) The orders that may be made under
paragraph (1)(b) include:
(a) injunctions; and
(b) any other orders that the Court
considers necessary to stop the conduct or remedy its effects.
(3) In this section:
eligible person means any of the following:
(a) a workplace inspector;
(b) an employee affected by the
contravention;
(c) an organisation of employees that:
(i) has been requested in
writing, by the employee concerned, to apply on the employee’s behalf; and
(ii) is entitled, under its
eligibility rules, to represent the industrial interests of the employee in
relation to work carried on by the employee for the employer;
(d) a person prescribed by the
regulations for the purposes of this paragraph.
(4) A regulation prescribing persons for the
purposes of paragraph (d) of the definition of eligible person
in subsection (3) may provide that a person is prescribed only in relation
to circumstances specified in the regulation.
Division 6—Operation of workplace agreements and persons bound
347
When a workplace agreement is in operation
(1) A workplace agreement comes into
operation at whichever of the following times is applicable:
(a) for an ITEA to which subparagraph
326(2)(b)(i) or (ia) applies, a union greenfields agreement, an employer
greenfields agreement or a multiple‑business agreement that would be such
an agreement but for subsection 331(1)—the day the agreement is lodged;
(b) for an ITEA to which subparagraph
326(2)(b)(ii) applies, an employee collective agreement, a union collective
agreement or a multiple‑business agreement that would be such an
agreement but for subsection 331(1)—the seventh day after the date of issue
specified in the notice under subsection 346M(1) or 346Q(2) in relation
to the agreement.
(3) A multiple‑business agreement comes
into operation only if it has been authorised under section 332.
(4) A workplace agreement ceases to be in
operation if:
(a) it is terminated in accordance
with Division 9; or
(b) in the case of an ITEA—it is
replaced by another ITEA; or
(ba) in the case of an agreement to
which paragraph (1)(a) applies—the Workplace Authority Director decides
under section 346D that the agreement does not pass the no‑disadvantage
test and the employer who is bound by the agreement does not take the action
referred to in subsection 346W(2) within the relevant period (as defined in
subsection 346W(7)) in relation to the agreement; or
(bb) the Workplace Authority Director
decides under section 346Z that the agreement as varied does not pass the
no‑disadvantage test; or
(c) the Court declares it to be void
under paragraph 409(a).
(5) A collective agreement ceases to be in
operation in relation to an employee if it has:
(a) passed its nominal expiry date;
and
(b) been replaced by another
collective agreement in relation to that employee.
Note: Part 11 sets out the circumstances in
which a workplace agreement binding an employer because of transmission of
business will cease to operate.
(6) A multiple‑business agreement
ceases to operate in relation to a single business (or a part of a single
business) if:
(a) the multiple‑business
agreement came into operation on a particular day; and
(b) a collective agreement (other than
a multiple‑business agreement) was lodged on a later day; and
(c) the multiple‑business
agreement and the collective agreement apply in relation to the same single
business (or the same part of the single business).
Example: Employers A, B and C lodge a multiple‑business
agreement which has a nominal expiry date 5 years after it is lodged. Six
months later employer B lodges a collective agreement that applies in relation
to its single business. This means that the multiple‑business agreement
ceases to operate in relation to that single business.
(7) If a workplace agreement has ceased
operating under subsection (4), it can never operate again.
Note: However, a redundancy provision that was
included in a workplace agreement that has ceased operating might be preserved
for a period of up to 24 months (see section 399A).
(8) If a workplace agreement has ceased
operating in relation to an employee because of subsection (5), the
agreement can never operate again in relation to that employee.
(9) If a multiple‑business agreement
has ceased operating in relation to a single business (or a part of a single
business), the agreement can never operate again in relation to that single
business (or part of a business).
(10) If:
(a) a person or entity is the employer
bound by a workplace agreement; and
(b) the person or entity ceases to be
an employer within the meaning of subsection 6(1);
the agreement ceases to be in operation.
(11) Despite subsection (10),
if the agreement mentioned in that subsection is a multiple‑business
agreement, it ceases to be in operation only in relation to a single business
or part of a single business carried on by the person or entity.
347A
Whether certain non‑compliance affects the operation of a workplace
agreement
(1) Despite section 347, a workplace
agreement does not come into operation unless the requirements in
Division 2 and section 340 have been met in relation to the
agreement.
(2) However, failure to comply with any or
all of the following in relation to a workplace agreement:
(a) the requirements in
Division 3;
(b) the requirements in
Division 4 (apart from section 340);
(c) the requirements in
section 342;
does not prevent the agreement coming into operation.
Note: Under Division 11, penalties apply to a
person who contravenes a civil remedy provision in Division 3 or 4 or
section 342.
348
Relationship between overlapping workplace agreements
(1) Only one workplace agreement can have
effect at a particular time in relation to a particular employee.
(2) A collective agreement has no effect in
relation to an employee while an ITEA operates in relation to the employee.
(3) If:
(a) a collective agreement (the first
agreement) binding an employee is in operation; and
(b) another collective agreement (the later
agreement) binding the employee is lodged before the nominal expiry
date of the first agreement;
the later agreement has no effect in relation to the
employee until the nominal expiry date of the first agreement.
Note: After that date, the first agreement ceases
operating in relation to the employee (see subsection 347(5)), and the later
agreement takes effect in relation to the employee.
349
Effect of awards while workplace agreement is in operation
(1) An award has no effect in relation to an
employee while a workplace agreement operates in relation to the employee.
(2) Despite subsection (1), if:
(a) a person’s employment is subject
to a workplace agreement; and
(b) but for the workplace agreement,
an award would have effect in relation to the person’s employment;
the terms of the award have effect to the extent that they
are about outworker conditions, despite any terms of the workplace agreement
that provide, in a particular respect, a less favourable outcome for that
person.
(3) In this section:
outworker means an employee who, for the
purposes of the business of the employer, performs work at private residential
premises or at other premises that are not business or commercial premises of
the employer.
outworker conditions means conditions (other
than pay) for outworkers, but only to the extent necessary to ensure that their
overall conditions of employment are fair and reasonable in comparison with the
conditions of employment specified in a relevant award or awards for employees
who perform the same kind of work at an employer’s business or commercial
premises.
350
Workplace agreement displaces certain Commonwealth laws
(1) To the extent of any inconsistency, a
workplace agreement displaces prescribed conditions of employment specified in
a Commonwealth law that is prescribed by the regulations.
(2) In this
section:
Commonwealth law means an Act or any
regulations or other instrument made under an Act.
prescribed conditions means conditions that
are identified by the regulations.
351
Persons bound by workplace agreements
A workplace agreement that is in
operation binds:
(a) the employer in relation to the
agreement; and
(b) all persons whose employment is,
at any time when the agreement is in operation, subject to the agreement; and
(c) if the agreement is a union
collective agreement or a union greenfields agreement—the organisation or
organisations of employees with which the employer made the agreement.
Note: A person can be bound by a workplace agreement
because of Part 11 (which deals with transmission of business).
Division 7—Content of workplace agreements
Subdivision A—Required content
Note: For the operation of the Australian Fair Pay
and Conditions Standard, see Part 7.
352
Nominal expiry date
(1) The nominal expiry date of
a workplace agreement is:
(aa) in the case of an ITEA:
(i) if a date is specified
in the agreement as its nominal expiry date, and that date is no later than 31 December 2009—that specified date; or
(ii) otherwise—31 December
2009; or
(ab) in the case of an employee
collective agreement or a union collective agreement that is taken to pass the
no‑disadvantage test under subsection 346D(3):
(i) if a date is specified
in the agreement as its nominal expiry date, and that date is no later than the
second anniversary of the seventh day after the date of issue specified in the
notice under subsection 346M(1)—that specified date; or
(ii) otherwise—the second
anniversary of the seventh day after the date of issue specified in the notice
under subsection 346M(1); or
(a) in the case of an employer
greenfields agreement:
(i) if a date is specified
in the agreement as its nominal expiry date, and that date is no later than the
first anniversary of the date on which the agreement was lodged—that specified
date; or
(ii) otherwise—the first
anniversary of the date on which the agreement was lodged; or
(b) otherwise:
(i) if a date is specified
in the agreement as its nominal expiry date, and that date is no later than the
fifth anniversary of the date on which the agreement was lodged—that specified
date; or
(ii) otherwise—the fifth
anniversary of the date on which the agreement was lodged.
Note: Subsection 346D(3) is about workplace
agreements that are taken to pass the no‑disadvantage test because of
exceptional circumstances.
(2) However, if the agreement has been varied
to extend its nominal expiry date, the nominal expiry date of the
agreement is:
(aa) in the case of an ITEA—the earlier
of the following dates:
(i) the date specified in
the agreement as varied as its nominal expiry date;
(ii) 31 December 2009; or
(ab) in the case of an employee
collective agreement or a union collective agreement that is taken to pass the
no‑disadvantage test under subsection 346D(3)—the earlier of the
following dates:
(i) the date specified in
the agreement as varied as its nominal expiry date;
(ii) the second anniversary
of the seventh day after the date of issue specified in the notice under
subsection 346M(1); or
(a) in the case of an employer
greenfields agreement—the earlier of the following dates:
(i) the date specified in
the agreement as varied as its nominal expiry date;
(ii) the first anniversary
of the date on which the agreement was lodged; or
(b) otherwise—the earlier of the
following dates:
(i) the date specified in
the agreement as varied as its nominal expiry date;
(ii) the fifth anniversary
of the date on which the agreement was lodged.
353
Workplace agreement to include dispute settlement procedures
(1) A workplace agreement must include
procedures for settling disputes (dispute settlement procedures)
about matters arising under the agreement between:
(a) the employer; and
(b) the employees whose employment
will be subject to the agreement.
(2) If a workplace agreement does not include
dispute settlement procedures, the agreement is taken to include the model
dispute resolution process mentioned in Part 13.
Subdivision B—Prohibited content
356
Prohibited content
(1) For the purposes of this Act, each of the
following is prohibited content:
(a) a provision that requires or
permits any conduct that would contravene Part 16, or that would
contravene that Part if Division 2 of that Part were disregarded;
(b) a provision that directly or
indirectly requires a person:
(i) to encourage another
person to become, or remain, a member of an industrial association; or
(ii) to discourage another
person from becoming, or remaining, a member of an industrial association;
(c) a provision that indicates support
for persons being members of an industrial association;
(d) a provision that indicates
opposition to persons being members of an industrial association;
(e) a provision that requires or
permits payment of a bargaining services fee;
(f) a matter specified in the regulations.
(2) An expression used in
paragraph (1)(a), (b), (c), (d) or (e) that is also used in
section 810 has the same meaning in that paragraph as it has in that
section.
357
Employer must not lodge agreement containing prohibited content
(1) An employer contravenes this subsection
if:
(a) the employer lodges a workplace
agreement (or a variation to a workplace agreement); and
(b) the agreement (or the agreement as
varied) contains prohibited content; and
(c) the employer was reckless as to
whether the agreement (or the agreement as varied) contains prohibited content.
(2) Subsection (1) does not apply if:
(a) before the agreement (or
variation) was lodged, the Workplace Authority Director advised the employer
that the agreement (or the agreement as varied) did not contain prohibited
content; and
(b) that advice was in the form
specified in regulations made for the purposes of this subsection.
(3) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
358
Prohibited content in workplace agreement is void
A term of a workplace agreement is void
to the extent that it contains prohibited content.
Note 1: The Workplace Authority Director can vary the
workplace agreement to remove prohibited content (see section 363).
Note 2: For civil remedy provisions relating to
including prohibited content in a workplace agreement, see sections 357, 365
and 366.
359
Initiating consideration of removal of prohibited content
(1) The Workplace Authority Director may
exercise his or her power under section 363 to vary a workplace agreement
to remove prohibited content:
(a) on his or her own initiative; or
(b) on application by any person.
(2) This section and sections 360, 361
and 363 are taken to be an exhaustive statement of the requirements of the
natural justice hearing rule in relation to the Workplace Authority Director’s
decision whether to make a variation under section 363.
360 Workplace
Authority Director must give notice that he or she is considering variation
(1) If the Workplace Authority Director is
considering making a variation to a workplace agreement under section 363,
the Workplace Authority Director must give the persons mentioned in subsection (2)
a written notice meeting the requirements in subsection 361(1).
(2) The persons are:
(a) the employer in relation to the
workplace agreement; and
(b) if the workplace agreement is an ITEA—the
employee; and
(c) if the agreement is a union
collective agreement or a union greenfields agreement—the organisation or
organisations bound by the agreement.
361
Matters to be contained in notice
(1) The
requirements mentioned in subsection 360(1) are that the notice must:
(a) be dated; and
(b) state that the Workplace Authority
Director is considering making the variation; and
(c) state the reasons why the Workplace
Authority Director is considering making the variation; and
(d) set out the terms of the
variation; and
(e) invite each person mentioned in subsection (2)
to make a written submission to the Workplace Authority Director about whether
the Workplace Authority Director should make the variation; and
(f) state that any submission must be
made within the period (the objection period) of 28 days after
the date of the notice.
(2) The persons are:
(a) the employer in relation to the
workplace agreement; and
(b) each person whose employment is
subject to the agreement at the date of the notice; and
(c) if the agreement is a union
collective agreement or a union greenfields agreement—the organisation or organisations
bound by the agreement.
362
Employer must ensure employees have ready access to notice
(1) An employer that has received a notice
under section 360 in relation to a collective agreement must take
reasonable steps to ensure that all persons whose employment is subject to the
agreement at a time during the objection period are given a copy of the notice
as soon as practicable.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
363 Workplace
Authority Director must remove prohibited content from agreement
(1) If the Workplace Authority Director is
satisfied that a term of the workplace agreement contains prohibited content,
the Workplace Authority Director must vary the agreement so as to remove that
content.
(2) In making a decision under subsection (1),
the Workplace Authority Director must consider all written submissions (if any)
received within the objection period from persons mentioned in subsection 361(2).
(3) The Workplace Authority Director must not
make the variation before the end of the objection period.
(4) If the Workplace Authority Director
decides to make the variation, he or she must:
(a) give the persons mentioned in
subsection 360(2) written notice of the decision, including the terms of the
variation; and
(b) if the workplace agreement is a
collective agreement—publish a notice in the Gazette stating that the
variation has been made and setting out particulars of the variation.
364
Employer must give employees notice of removal of prohibited content
(1) An employer that has received a notice
under subsection 363(4) in relation to a collective agreement must take
reasonable steps to ensure that all persons whose employment is subject to the
agreement when the employer receives the notice are given a copy of the notice
within 21 days.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
365
Seeking to include prohibited content in an agreement
(1) A person contravenes this subsection if:
(a) the person seeks to include a
term:
(i) in a workplace
agreement in the course of negotiations for the agreement; or
(ii) in a variation to a
workplace agreement in the course of negotiations for the variation; and
(b) that term contains prohibited
content; and
(c) the person is reckless as to
whether the term contains prohibited content.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
366
Misrepresentations about prohibited content
(1) A person contravenes this subsection if:
(a) the person makes a
misrepresentation in relation to a workplace agreement (or a variation to a
workplace agreement) that a particular term does not contain prohibited
content; and
(b) the person is reckless as to
whether the term contains prohibited content.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
Division 8—Varying a workplace agreement
Subdivision A—General
367
Varying a workplace agreement
(1) The following persons may make a
variation, in writing, to a workplace agreement that is in operation:
(a) in the case of an ITEA—the
employer and the employee;
(b) in the case of an employee
collective agreement or an employer greenfields agreement—the employer and the
persons whose employment will, or would but for the operation of an ITEA that
has passed its nominal expiry date, be subject to the agreement as varied;
(c) in the case of a union collective
agreement or a union greenfields agreement—the employer and the one or more
organisations of employees that are bound by the agreement.
Example: A workplace agreement may be varied to provide
additional pay.
(2) A workplace agreement cannot be varied
except in accordance with:
(a) this Division; or
(aa) section 346N or 346W (which
deal with agreements that do not pass the no‑disadvantage test); or
(b) section 363 (which deals with
prohibited content); or
(c) section 831 (which deals with
discriminatory agreements); or
(d) an order of the Court under
section 410.
Note: Subsection (2) would not apply where the
obligations under the agreement can change because of the terms of the
agreement itself.
368
When a variation to a workplace agreement is made
For the purposes of this Act, a variation
to a workplace agreement is made at whichever of the
following times is applicable:
(a) for an ITEA—the time when the
variation is approved in accordance with section 373;
(b) for an employee collective
agreement—the time when the variation is approved in accordance with section 373;
(c) for a union collective
agreement—the time when the employer and the organisation or organisations
agree to the terms of the variation;
(d) for a union greenfields
agreement—the time when the employer and the organisation or organisations
agree to the terms of the variation;
(e) for an employer greenfields
agreement—the time when the variation is approved in accordance with section 373.
368A
Documents taken to be variations of workplace agreements etc.
If a document:
(a) is represented (expressly or by
implication) to be a variation of a workplace agreement, or of a type of
workplace agreement mentioned in section 326, 327, 328, 329, 330 or 331;
and
(b) could not come into operation
under this Act as a variation of a workplace agreement, or as a variation of a
workplace agreement of that type, even if the agreement as varied were to pass
the no‑disadvantage test;
the document is taken to be a variation of a workplace
agreement, or of a workplace agreement of that type, for the purposes of:
(c) Division 3, Subdivisions B
and C of this Division (other than section 375), Division 10 and
Division 11 (other than sections 409 to 412A); and
(d) any other provision of this Act,
to the extent that the provision relates to the operation of any of the
provisions mentioned in paragraph (c).
Note: The Court can order under section 412A
that a document is to have effect as a variation for the purposes of the entire
Act.
Subdivision B—Pre‑lodgment procedure for variations
369 Eligible
employee in relation to variation of workplace agreement
For the purposes of this Subdivision, an
eligible employee in relation to a variation to a workplace
agreement is:
(a) in the case of an ITEA—the
employee; or
(b) in the case of a collective
agreement:
(i) a person whose
employment is subject to the agreement; or
(ii) a person employed by
the employer whose employment will, or would but for the operation of an ITEA
that has passed its nominal expiry date, be subject to the agreement as varied.
370
Providing employees with ready access and information statement
(1) If an employer intends to have a
variation to a workplace agreement approved under section 373, the
employer must take reasonable steps to ensure that all eligible employees in
relation to the variation either have, or have ready access to, the variation
in writing during the period:
(a) beginning 7 days before the
variation is approved; and
(b) ending when the variation is
approved.
(2) The employer must take reasonable steps
to ensure that all eligible employees in relation to the variation are given an
information statement at least 7 days before the variation is approved.
(3) Despite subsections (1) and (2), if
the variation is to a collective agreement and a person becomes an eligible
employee at a time during the period mentioned in subsection (1), the
employer must take reasonable steps to ensure that:
(a) the person is given an information
statement at or before that time; and
(b) the person either has, or has ready
access to, the variation in writing during the period:
(i) beginning at that
time; and
(ii) ending when the
variation is approved under section 373.
(4) The information statement mentioned in subsection (2)
and paragraph (3)(a) must contain:
(a) information about the time at
which and the manner in which the approval will be sought under section 373;
and
(b) if the relevant workplace
agreement is an ITEA—information about the effect of section 334 (which
deals with bargaining agents); and
(c) if the relevant workplace
agreement is an employee collective agreement or employer greenfields
agreement—information about the effect of section 335 (which deals with
bargaining agents); and
(d) any other information that the Workplace
Authority Director requires by notice published in the Gazette.
(5) If a waiver has been made under section 371
in relation to the variation to the workplace agreement:
(a) subsection (1) and paragraph (3)(b)
do not apply if, before the time the waiver was made, the employer had taken
reasonable steps to ensure that all eligible employees in relation to the
agreement (as at that time) either had, or had ready access to, the variation
in writing; and
(b) subsection (2) does not apply
if, before the time the waiver was made, the employer had taken reasonable
steps to ensure that all eligible employees in relation to the agreement (as at
that time) had been given an information statement in relation to the variation
that complies with subsection (4).
(6) For the purposes of this section, if,
because of the variation, the agreement as varied would incorporate terms from
another workplace agreement or an award, the eligible employees have ready
access to the variation only if they have ready access to that other workplace
agreement or award in writing.
(7) To avoid doubt, if the content of the
variation is changed during the period mentioned in subsection (1), the
change results in a separate variation for the purposes of this section.
Note: If the content
of a variation for which the employer intends to seek approval is changed, the
procedural steps set out in subsections (1), (2) and (3) must be repeated
for the resulting separate variation.
Contravention—ready access
(8) An employer contravenes this subsection
if:
(a) the employer lodges a variation to
a workplace agreement; and
(b) the employer failed to comply with
subsection (1) or (if applicable) paragraph (3)(b) in relation to the
variation.
Contravention—information statement
(9) An employer contravenes this subsection
if:
(a) the employer lodges a variation to
a workplace agreement; and
(b) the employer failed to comply with
subsection (2) or (if applicable) paragraph (3)(a) in relation to the
variation.
(10) Subsections (8) and (9) are civil
remedy provisions.
Note: See Division 11 for provisions on
enforcement.
(11) An employer cannot contravene subsection (8)
or (9) more than once in relation to the lodgment of a particular variation.
371 Employees
may waive 7‑day period
(1) The persons mentioned in subsection (2)
may make a waiver under this section in relation to a variation to a workplace
agreement.
(2) The persons are all the eligible
employees at the time the waiver is made.
(3) The waiver must be in writing and dated.
(4) The waiver is made when all the persons
mentioned in subsection (2) sign the waiver.
(5) The waiver takes effect when it is made.
Note: For the effect of the waiver, see subsection
370(5).
372
Prohibition on withdrawal from variation to union collective agreement or union greenfields agreement
(1) An employer that has made a variation to
a union collective agreement or a union greenfields agreement must take
reasonable steps to seek approval for the variation under section 373,
within a reasonable period after the variation was made.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
373
Approval of a variation to a workplace agreement
(1) A variation to an ITEA is approved
if:
(a) the variation is signed and dated
by the employee and the employer; and
(b) those signatures are witnessed;
and
(c) if the employee is under the age
of 18 years:
(i) the variation is
signed and dated by an appropriate person (such as a parent or guardian of the
employee, but not the employer) on behalf of the employee, for the purpose of
indicating that person’s consent to the employee making the variation; and
(ii) that person is aged at
least 18 years; and
(iii) that person’s
signature is witnessed.
(2) A variation to a collective agreement is approved
if:
(a) the employer has given all of the
persons employed at the time whose employment:
(i) is subject to the
agreement; or
(ii) will, or would but for
the operation of an ITEA that has passed its nominal expiry date, be subject to
the agreement as varied;
a reasonable opportunity to
decide whether they want to approve the variation; and
(b) either:
(i) if the decision is
made by a vote—a majority of those persons who cast a valid vote decide that
they want to approve the variation; or
(ii) otherwise—a majority
of those persons decide that they want to approve the variation.
374
Employer must not lodge unapproved variation
(1) An employer contravenes this section if:
(a) the employer lodges a variation to
a workplace agreement; and
(b) the variation has not been
approved in accordance with section 373.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
Subdivision C—Lodgment of variations
375
Employer must lodge variations with the Workplace Authority Director
(1) If a variation has been approved in
accordance with section 373, the employer must lodge the variation, in
accordance with section 377, within 14 days after the variation was
approved.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
376
Lodging variation to multiple‑business agreement without authorisation
(1) An employer contravenes this subsection
if:
(a) the employer lodges a variation to
a multiple‑business agreement; and
(b) the variation has not been
authorised under section 332.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
377
Lodging of variation documents with the Workplace Authority Director
(1) The employer in relation to a variation
to a workplace agreement lodges the variation with the Workplace Authority
Director if:
(a) the employer lodges a declaration
under subsection (2); and
(b) the workplace agreement:
(i) in the case of a
variation of an ITEA—meets the signature requirements of subsection 373(1); or
(ii) in the case of a
variation of a collective agreement—meets the signature requirements of
regulations made for the purposes of paragraph 418(ea); and
(c) a copy of the signed variation is
annexed to the declaration.
(2) An
employer lodges a declaration with the Workplace Authority Director if:
(a) the employer gives it to the Workplace
Authority Director; and
(b) it meets the form requirements
mentioned in subsection (3).
Note: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
(3) The Workplace Authority Director may, by
notice published in the Gazette, set out requirements for the form of a
declaration for the purposes of paragraph (2)(b).
(4) A declaration is given to the Workplace
Authority Director for the purposes of subsection (2) only if the
declaration is actually received by the Workplace Authority Director.
Note: This means that section 29 of the Acts
Interpretation Act 1901 (to the extent that it deals with the time of
service of documents) and section 160 of the Evidence Act 1995 do
not apply to lodgment of a declaration.
(5) The Workplace Authority Director is not
required to consider or determine whether any of the requirements of this Part (other
than Division 5A) have been met in relation to the making or content of
anything annexed to a declaration lodged in accordance with subsection (2).
378 Workplace
Authority Director must issue receipt for lodgment of declaration for variation
(1) If a declaration is lodged under
subsection 377(2), the Workplace Authority Director must issue a receipt for
the lodgment.
(2) The Workplace
Authority Director must give a copy of the receipt to:
(a) the employer in relation to the
relevant workplace agreement; and
(b) if the relevant workplace
agreement is an ITEA—the employee; and
(c) if the relevant workplace
agreement is a union collective agreement or a union greenfields agreement—the
organisation or organisations bound by the agreement.
379
Employer must notify employees after lodging variation
(1) An employer that has received a receipt
under section 378 in relation to a collective agreement must take
reasonable steps to ensure that all persons whose employment is subject to the
agreement when the employer receives the receipt are given a copy of the
receipt within 21 days.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
Subdivision D—When a variation comes into operation
380
When a variation comes into operation
(1) A variation to a workplace agreement
under this Division comes into operation on the seventh day after the date of
issue specified in the notice under subsection 346M(1) in relation to the
agreement as varied.
(3) A variation to a multiple‑business
agreement comes into operation only if the variation has been authorised under
section 332.
Note: Section 346R sets out when variations of
workplace agreements under Division 5A come into operation.
380A
Whether certain non‑compliance affects the operation of a variation
(1) A variation to a workplace agreement does
not come into operation unless the requirements in Subdivision A and
section 373 have been met in relation to the variation.
(2) However, failure to comply with any or
all of the following in relation to a variation to a workplace agreement:
(a) the requirements in
Division 3;
(b) the requirements in Subdivision B
of this Division (apart from section 373);
(c) the requirements in
section 375;
does not prevent the variation coming into operation.
Note: Under Division 11, penalties apply to a
person who contravenes a civil remedy provision in Division 3, Subdivision
B of this Division or section 375.
Division 9—Terminating a workplace agreement
Subdivision A—General
381
Types of termination
(1) A workplace agreement may be terminated:
(a) by approval (see Subdivisions B
and C); or
(b) unilaterally (see Subdivision D);
or
(c) by the Commission (see Subdivision
DA).
(2) A workplace agreement is terminated when:
(a) a termination of the agreement is
lodged with the Workplace Authority Director in accordance with section 389;
or
(b) a declaration to terminate the
agreement in accordance with subsection 392(2) is lodged with the Workplace Authority
Director in accordance with section 395; or
(c) in the case of an ITEA—a
declaration to terminate the agreement in accordance with subsection 393(2) is
lodged with the Workplace Authority Director in accordance with section 395;
or
(d) in the case of a collective
agreement—an order by the Commission under section 397A takes effect.
381A
Documents taken to be terminations of workplace agreements etc.
If a document:
(a) is represented (expressly or by
implication) to be a termination of a workplace agreement, or of a type of
workplace agreement mentioned in section 326, 327, 328, 329, 330 or 331;
and
(b) could not come into operation
under this Act as a termination of a workplace agreement, or as a termination
of a workplace agreement of that type;
the document is taken to be a termination of a workplace
agreement, or of a workplace agreement of that type, for the purposes of:
(c) Division 3, Subdivisions B
and C of this Division (other than section 388), Division 10 and
Division 11 (other than sections 409 to 412A); and
(d) any other provision of this Act,
to the extent that the provision relates to the operation of any of the
provisions mentioned in paragraph (c).
Note: The Court can order under section 412A
that a document is to have effect as a termination for the purposes of the
entire Act.
Subdivision B—Termination by approval (pre‑lodgment procedure)
382
Terminating a workplace agreement by approval
A workplace agreement may be terminated
in accordance with this Subdivision by the following:
(a) in the case of an ITEA—the
employer and the employee;
(b) in the case of an employee
collective agreement or an employer greenfields agreement—the employer and the
employees whose employment is subject to the agreement;
(c) in the case of a union collective
agreement or a union greenfields agreement—the employer and the one or more
organisations of employees that are bound by the agreement.
383
Eligible employee in relation to termination of workplace agreement
For the purposes of this Subdivision, an
eligible employee in relation to a termination of a workplace
agreement in accordance with this Subdivision is:
(a) in the case of an ITEA—the
employee; or
(b) in the case of a collective
agreement—a person employed at the time whose employment is subject to the
agreement.
384
Providing employees with information statement
(1) If an employer intends to have the
termination of a workplace agreement approved under section 386, the
employer must take reasonable steps to ensure that all eligible employees in
relation to the termination are given an information statement at or before the
start of the period of 7 days ending when the termination is approved.
(2) Despite subsection (1), if the
relevant workplace agreement is a collective agreement and a person becomes an
eligible employee at a time during the period mentioned in subsection (1),
the employer must take reasonable steps to ensure that the person is given an
information statement at or before that time.
(3) The information statement mentioned in subsections (1)
and (2) must contain:
(a) information about the time at
which and the manner in which the approval will be sought under section 386;
and
(b) if the relevant workplace
agreement is an ITEA—information about the effect of section 334 (which
deals with bargaining agents); and
(c) any other information that the Workplace
Authority Director requires by notice published in the Gazette.
Contravention—information statement
(4) An employer contravenes this subsection
if:
(a) the employer lodges a declaration
to terminate a workplace agreement; and
(b) the employer failed to comply with
subsection (1) or (if applicable) subsection (2) in relation to the
termination.
(5) Subsection (4) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
(6) An employer cannot contravene subsection (4)
more than once in relation to the lodgment of a particular termination.
385
Prohibition on withdrawal from termination of union collective agreement or
union greenfields agreement
(1) An employer that has agreed to terminate
a union collective agreement or a union greenfields agreement with the
organisation or organisations bound by the agreement must take reasonable steps
to seek approval for the termination under section 386, within a
reasonable period after agreeing to do so.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
386
Approval of a termination
(1) A termination of an ITEA is approved
if:
(a) the employer and employee make a
written termination agreement to terminate the ITEA; and
(b) the termination agreement is
signed and dated by the employee and the employer; and
(c) those signatures are witnessed;
and
(d) if the employee is under the age
of 18 years:
(i) the termination
agreement is signed and dated by an appropriate person (such as a parent or
guardian of the employee, but not the employer) on behalf of the employee, for
the purpose of indicating that person’s consent to the employee terminating the
ITEA; and
(ii) that person is aged at
least 18 years; and
(iii) that person’s
signature is witnessed.
(2) A termination of a collective agreement
is approved if:
(a) the employer has given all of the
persons employed at the time whose employment is subject to the
agreement a reasonable opportunity to decide whether they want to approve the
termination; and
(b) either:
(i) if the decision is
made by a vote—a majority of those persons who cast a valid vote decide that
they want to approve the termination; or
(ii) otherwise—a majority
of those persons decide that they want to approve the termination.
387
Employer must not lodge unapproved termination
(1) An employer contravenes this subsection
if:
(a) the employer lodges a termination
of a workplace agreement; and
(b) the termination has not been
approved in accordance with section 386.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
Subdivision C—Termination by approval (lodgment)
388
Employer must lodge termination with the Workplace Authority Director
(1) If a termination has been approved in
accordance with section 386, the employer must lodge the termination, in
accordance with section 389, within 14 days after the termination was
approved.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
389
Lodging termination documents with the Workplace Authority Director
(1) The employer in relation to a workplace
agreement to be terminated lodges the termination with the Workplace Authority
Director if:
(a) the employer lodges a declaration
under subsection (2) for the termination of the workplace agreement; and
(b) if the workplace agreement is an
ITEA:
(i) the termination
agreement meets the signature requirements of subsection 386(1); and
(ii) a copy of the signed
termination agreement is annexed to the declaration.
(2) An employer lodges a declaration
with the Workplace Authority Director if:
(a) the employer gives it to the Workplace
Authority Director; and
(b) it meets the form requirements
mentioned in subsection (3).
Note: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
(3) The Workplace Authority Director may, by
notice published in the Gazette, set out requirements for the form of a
declaration for the purposes of paragraph (2)(b).
(4) A declaration is given to the Workplace
Authority Director for the purposes of subsection (2) only if the
declaration is actually received by the Workplace Authority Director.
Note: This means that section 29 of the Acts
Interpretation Act 1901 (to the extent that it deals with the time of
service of documents) and section 160 of the Evidence Act 1995 do
not apply to lodgment of a declaration.
(5) The Workplace Authority Director is not
required to consider or determine whether any of the requirements of this
Division (other than this section) have been met in relation to the
termination.
390 Workplace
Authority Director must issue receipt for lodgment of declaration for
termination
(1) If a declaration is lodged under
subsection 389(2), the Workplace Authority Director must issue a receipt for
the lodgment.
(2) The Workplace Authority Director must
give a copy of the receipt to:
(a) the employer in relation to the
relevant workplace agreement; and
(b) if the relevant workplace
agreement is an ITEA—the employee; and
(c) if the relevant workplace
agreement is a union collective agreement or a union greenfields agreement—the
organisation or organisations bound by the agreement.
391
Employer must notify employees after lodging termination
(1) An employer that has received a receipt
under section 390 in relation to a collective agreement must take
reasonable steps to ensure that all persons whose employment was subject to the
agreement just before the declaration was lodged are given a copy of the
receipt within 21 days.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
Subdivision D—Unilateral termination after nominal expiry date
392
Unilateral termination in a manner provided for in workplace agreement
(1) This section applies if a workplace
agreement provides for a manner of terminating the agreement after its nominal
expiry date.
(2) Any of the following persons may
terminate the agreement by lodging a declaration in accordance with section 395:
(a) the employer in relation to the
agreement;
(b) a majority of the employees whose
employment is subject to the agreement when the notice mentioned in subsection (4)
is given;
(ba) in the case of an ITEA—the
employee whose employment is subject to the agreement;
(c) in the case of an ITEA—a
bargaining agent at the request of the employer or the employee;
(d) an organisation of employees that
is bound by the agreement.
Note: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
(3) However, this may be done only if:
(a) the nominal expiry date of the
workplace agreement has passed; and
(b) all the requirements in the
agreement for terminating the agreement are met.
(4) At least 14 days before the lodgment, and
after the nominal expiry date of the agreement has passed, the person or
persons intending to lodge the declaration must take reasonable steps to ensure
that the following are given written notice of the termination:
(a) the employer in relation to the
agreement;
(b) each employee whose employment is
subject to the agreement when the notice is given;
(c) an organisation of employees that
is bound by the agreement.
(5) The notice must:
(a) state that the workplace agreement
is to be terminated in the manner provided for by the agreement; and
(b) be in the form (if any) that the Workplace
Authority Director requires by notice published in the Gazette; and
(c) contain the information (if any)
that the Workplace Authority Director requires by notice published in the Gazette.
(6) A person contravenes this subsection if:
(a) the person lodges a declaration to
terminate a workplace agreement under subsection (2); and
(b) the person failed to comply with subsection (4)
or (5).
(7) Subsection (6) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
(8) This section does not apply in relation
to a multiple‑business agreement.
393
Unilateral termination of ITEA with 90 days written notice
(1) This section applies whether or not an
ITEA provides for a manner of terminating the agreement after its nominal
expiry date.
(2) Any of the following persons may
terminate the ITEA by lodging a declaration in accordance with
section 395:
(a) the employer in relation to the
ITEA;
(b) the employee whose employment is
subject to the ITEA;
(c) a bargaining agent at the request
of the employer or the employee.
Note: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
(3) However, this may be done only if the
nominal expiry date of the ITEA has passed.
(4) At least 90 days before the lodgment, and
after the nominal expiry date of the ITEA has passed, the person intending to
lodge the declaration must take reasonable steps to ensure that:
(a) written notice of the termination
is given to:
(i) if the employer, or a
bargaining agent at the employer’s request, is intending to lodge the
declaration—the employee; or
(ii) if the employee, or a
bargaining agent at the employee’s request, is intending to lodge the
declaration—the employer; and
(b) if the person giving the notice is
the employer in relation to the ITEA, or is a bargaining agent doing so at the
request of the employer—a written copy of the undertakings (if any) made by the
employer under section 394 is given to the employee.
(5) The notice must:
(a) state that the ITEA is to be
terminated; and
(b) specify the day on which the
person proposes to lodge the notice; and
(c) be in the form (if any) that the
Workplace Authority Director requires by notice published in the Gazette;
and
(d) contain the information (if any)
that the Workplace Authority Director requires by notice published in the Gazette;
and
(e) if the person giving the notice is
the employer in relation to the ITEA, or is a bargaining agent doing so at the
request of the employer—state whether the parties to the ITEA will, under
section 399A, continue to be bound by one or more redundancy provisions
included in the ITEA; and
(f) if the parties to the ITEA will
continue to be so bound—include an annexed copy of the provision or the
provisions.
(6) A person contravenes this subsection if:
(a) the person lodges a declaration to
terminate an ITEA under subsection (2); and
(b) the person failed to comply with
subsection (4) or (5).
Note: See Division 11 for provisions on
enforcement.
(7) Subsection (6) is a civil remedy
provision.
394
Undertakings about post‑termination conditions
(1) An employer intending to terminate an
ITEA under subsection 393(2) may make undertakings as to the terms and
conditions of employment of employees who were bound by the ITEA just before it
was terminated.
(2) The undertakings come into operation on
the day that the ITEA is terminated.
(3) The undertakings cease to operate in
relation to an employee when the employee’s employment becomes subject to a
later workplace agreement.
(4) Subject to this section, the following
provisions apply to the undertakings as if they were an ITEA in operation:
(a) Part 14;
(b) Part 6;
(c) any other provision of this Act
specified in the regulations.
(5) An employer contravenes this subsection
if:
(a) the employer lodges, or a
bargaining agent lodges at the request of the employer, a declaration to
terminate an ITEA under subsection (2); and
(b) the employer has made undertakings
in relation to that termination; and
(c) a copy of the undertakings was not
annexed to the declaration.
(6) Subsection (5) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
(7) If undertakings have ceased operating in
relation to an employee because of subsection (3), they can never operate
again in relation to that employee.
395
Lodging unilateral termination documents with the Workplace Authority Director
(1) A person lodges a declaration to
terminate a workplace agreement under section 392 with the Workplace
Authority Director if:
(a) the person gives it to the
Workplace Authority Director; and
(b) it meets the form requirements
mentioned in subsection (3).
(1A) A person lodges a declaration to terminate
an ITEA under section 393 with the Workplace Authority Director if:
(a) the person gives it to the
Workplace Authority Director; and
(b) it meets the form requirements
mentioned in subsection (3); and
(c) if the employer in relation to the
ITEA, or a bargaining agent at the request of the employer in relation to the
ITEA, lodges the declaration to terminate the ITEA—the declaration states
whether the parties to the ITEA will, under section 399A, continue to be
bound by one or more redundancy provisions included in the ITEA.
Note: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
(2) If the employer in relation to the ITEA,
or a bargaining agent at the request of the employer in relation to the ITEA,
lodges the declaration to terminate the ITEA under section 393,
undertakings are lodged in relation to the termination if a copy of the
undertakings is annexed to the declaration.
(3) The Workplace Authority Director may, by
notice published in the Gazette, set out requirements for the form of a
declaration for the purposes of paragraph (1)(b) or (1A)(b).
(4) A declaration is given to the Workplace
Authority Director for the purposes of subsection (1) or (1A) only if the
declaration is actually received by the Workplace Authority Director.
Note: This means that section 29 of the Acts
Interpretation Act 1901 (to the extent that it deals with the time of
service of documents) and section 160 of the Evidence Act 1995 do
not apply to lodgment of a declaration.
(5) The Workplace Authority Director is not
required to consider or determine whether any of the requirements of this
Subdivision (apart from this section) have been met in relation to the
termination.
396 Workplace
Authority Director must issue receipt for lodgment of declaration for notice of
termination
(1) If a declaration is lodged under
subsection 395(1) the Workplace Authority Director must issue a receipt for the
lodgment.
(1A) If the employer in relation to an ITEA, or
a bargaining agent at the request of the employer in relation to an ITEA, lodged
a declaration under subsection 395(1A) to terminate the ITEA under section 393,
the receipt must state whether:
(a) the declaration so lodged states
that the parties to the ITEA will continue to be bound by one or more
redundancy provisions included in the ITEA that was terminated; and
(b) a copy of the provision or
provisions was annexed to the declaration.
(2) The Workplace Authority Director must
give a copy of the receipt to:
(a) the person that lodged the
declaration; and
(b) the employer in relation to the
relevant workplace agreement; and
(c) if the relevant workplace
agreement is an ITEA—the employee; and
(d) if the relevant workplace
agreement is a union collective agreement or a union greenfields agreement—the
organisation or organisations bound by the agreement.
397
Employer must notify employees after lodging notice of termination
(1) An employer that has received a receipt
under section 396 in relation to a collective agreement must take
reasonable steps to ensure that all persons whose employment was subject to the
agreement just before the declaration was lodged are given a copy of the
receipt within 21 days.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
Subdivision DA—Termination by the Commission
397A
Termination by the Commission
(1) The Commission may, by order, terminate a
collective agreement that has passed its nominal expiry date on application
under subsection (2) if it is satisfied that it would not be contrary to
the public interest to terminate the agreement.
(2) Any of the following persons may apply
for an order under subsection (1):
(a) the employer;
(b) a majority of the employees whose
employment is subject to the agreement;
(c) an organisation of employees that
is bound by the agreement.
(3) In deciding whether it would be contrary
to the public interest to terminate the agreement, the Commission must have
regard to all circumstances of the case, including:
(a) the views of each party bound by
the agreement (including the employees) about whether it should be terminated;
and
(b) the circumstances of each such
party, including the likely effect on each such party of the termination of the
agreement.
Subdivision E—Effect of termination
398
Whether a termination takes effect if certain non‑compliance occurs
(1) Failure to comply with the requirements
in Division 3 in relation to a termination does not prevent the
termination taking effect.
(2) Failure to comply with any or all of the
following:
(a) the requirements in Subdivision B
(apart from sections 382 and 386);
(b) the requirements in
section 388;
does not prevent a termination of a kind mentioned in
paragraph 381(1)(a) taking effect.
(3) However, a termination of that kind does
not take effect unless the requirements in sections 382 and 386 have been
met in relation to the termination.
(4) Failure to comply with any or all of the
requirements in subsections 392(4) and (5) and 393(4) and (5) does not prevent
a termination of a kind mentioned in paragraph 381(1)(b) taking effect.
399A
Preservation of redundancy provisions in certain circumstances
(1) This section applies if an ITEA is
terminated unilaterally, in accordance with section 393, by the employer
in relation to the ITEA or by a bargaining agent at the request of the employer
in relation to the ITEA.
(2) Any party who was bound by the ITEA
immediately before it ceased operating continues to be bound, immediately after
that time, by any redundancy provision that was included in the ITEA as if the ITEA
had continued operating.
(2A) Parts 6 and 14 of this Act apply to a
redundancy provision referred to in subsection (2) as if the provision was
an ITEA in operation.
(3) A party continues to be bound by a
redundancy provision referred to in subsection (2), in relation to an
employee who is bound by the redundancy provision, until the earliest of the
following:
(a) the end of the period of 24 months
from the time that the ITEA ceased operating;
(b) the time when the employee ceases
to be employed by the employer;
(c) the time when another workplace
agreement comes into operation in relation to the employee and the employer.
(4) In this section:
redundancy provision means any of the
following kinds of provisions:
(a) a provision relating to redundancy
pay in relation to a termination of employment;
(b) a provision that is incidental to
a provision relating to redundancy pay in relation to a termination of
employment;
(c) a machinery provision that is in
respect of a provision relating to redundancy pay in relation to a termination
of employment;
where the termination is at the initiative of the employer
and on the grounds of operational requirements, or because the employer is
insolvent.
Division 10—Prohibited conduct
400
Coercion and duress
(1) A person must not:
(a) engage in or organise, or threaten
to engage in or organise, any industrial action; or
(b) take, or threaten to take, other
action; or
(c) refrain, or threaten to refrain,
from taking any action;
with intent to coerce another person to agree, or not to
agree, to make, approve, lodge, vary or terminate a collective agreement.
(2) Subsection (1) does not apply to
protected action (within the meaning of section 435).
(3) A person must not coerce, or attempt to
coerce, an employer or employee in relation to an ITEA:
(a) to appoint, or not to appoint, a
particular person as a bargaining agent under subsection 334(1); or
(b) to terminate the appointment of a
bargaining agent appointed under subsection 334(1).
(4) A person must not coerce, or attempt to
coerce, an employee of an employer:
(a) not to make a request mentioned in
subsection 335(1) or (2) in relation to a collective agreement; or
(b) to withdraw such a request.
(5) A person must not apply duress to an
employer or employee in connection with an ITEA.
(6) To avoid doubt, a person does not apply
duress for the purposes of subsection (5) merely because the person
requires another person to make an ITEA as a condition of engagement, other
than in the circumstance described in subsection (6A).
(6A) The circumstance referred to in
subsection (6) is that:
(a) the first person mentioned in
subsection (6) is a new employer; and
(b) the new employer requires another
person to make an ITEA; and
(c) the other person would, if
employed by the new employer, be a transferring employee; and
(d) the requirement to make the ITEA
is a condition of the other person becoming employed in the business being
transferred.
(7) Subsections (1), (3), (4) and (5)
are civil remedy provisions.
Note: See Division 11 for provisions on
enforcement.
(8) In this section:
business being transferred has the same
meanings as in section 579, clause 72C of Schedule 6 and
subclause 4(2) of Schedule 9.
new employer has the same meanings as in
section 579 and subclause 4(1) of Schedule 9, and includes a new
transitional employer within the meaning of clause 72C of Schedule 6.
transferring employee has the same meanings
as in section 579 and clause 3 of Schedule 9, and includes a
transferring transitional employee within the meaning of clause 72C of
Schedule 6.
401
False or misleading statements
(1) A person contravenes this section if:
(a) the person makes a false or
misleading statement to another person; and
(b) the person is reckless as to
whether the statement is false or misleading; and
(c) the making of that statement
causes the other person:
(i) to make, approve,
lodge, vary or terminate a workplace agreement; or
(ii) not to make, approve,
lodge, vary or terminate a workplace agreement.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
402
Employers not to discriminate between unionist and non‑unionist
(1) An employer must not, in negotiating a
collective agreement, or a variation to a collective agreement, discriminate
between employees of the employer:
(a) because some of those employees
are members of an organisation of employees while others are not members of
such an organisation; or
(b) because some of those employees
are members of a particular organisation of employees, while others are not
members of that organisation or are members of a different organisation of
employees.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 11 for provisions on
enforcement.
Division 11—Contravention of civil remedy provisions
Note: For other rules about civil remedy provisions,
see Division 3 of Part 14.
Subdivision A—General
403
General powers of Court not affected by this Division
This Division does not affect the
following:
(a) the powers of the Court under Part 20;
(b) any other powers of the Court.
404
Workplace inspector may take over proceeding
(1) A workplace inspector may take over a
proceeding that was instituted or is being carried on by another person for an
order under this Division.
(2) If a workplace inspector takes over such
a proceeding, he or she may:
(a) carry it on further; or
(b) decline to carry it on further
(whether immediately or at a later stage of the proceeding).
405 Standing for civil
remedies
(1) Any of the following persons may apply to
the Court for an order under this Division in relation to a workplace
agreement:
(a) an employee who is or will be
bound by the agreement;
(b) if the person who contravened the
civil remedy provision was not the employer in relation to the agreement, and
the provision is mentioned in subsection (2)—the employer;
(c) an organisation of employees that
is or will be bound by the agreement;
(d) an organisation of employees that
represents an employee who is or will be bound by the agreement (subject to subsection (3));
(e) if the agreement is an ITEA—a
bargaining agent of the employee or of the employer;
(f) a workplace inspector;
(g) a person specified in regulations
made for the purposes of this paragraph.
(2) The provisions are as follows:
(a) subsection 334(2);
(b) subsection 365(1);
(c) subsection 366(1);
(d) subsection 392(6);
(e) subsection 393(6);
(f) subsection 400(1);
(g) subsection 400(3);
(h) subsection 400(5);
(i) subsection 401(1).
(3) An organisation of employees that
represents an employee (as mentioned in paragraph (1)(d)) must not apply
on behalf of an employee for a penalty or other remedy under this Division in
relation to a contravention of a civil remedy provision unless:
(a) the employee has requested the
organisation to apply on the employee’s behalf; and
(b) a member of the organisation is
employed by the employee’s employer; and
(c) the organisation is entitled,
under its eligibility rules, to represent the industrial interests of the
employee.
Subdivision B—Pecuniary penalty for contravention of civil remedy
provisions
406
Application of Subdivision
This Subdivision applies to a
contravention by a person of a civil remedy provision in this Part or
Division 7A of Part 11.
407
Court may order pecuniary penalty
(1) The Court may order the person who
contravened the civil remedy provision to pay a pecuniary penalty of up to:
(a) if the person is an individual—the
maximum number of penalty units specified in subsection (2); or
(b) if the person is a body
corporate—5 times the maximum number of penalty units specified in subsection (2).
(2) The maximum number of penalty units is as
follows:
(a) for subsection 334(2)—30 penalty
units;
(b) for subsection 335(3)—30 penalty units;
(c) for subsection 337(8)—30 penalty
units;
(d) for subsection 337(9)—30 penalty
units;
(e) for subsection 339(1)—30 penalty
units;
(f) for subsection 341(1)—60 penalty
units;
(g) for subsection 342(1)—30 penalty
units;
(h) for subsection 342(2)—30 penalty
units;
(i) for subsection 343(1)—60 penalty
units;
(j) for subsection 346(1)—30 penalty
units;
(ja) for subsection 346A(1)—30 penalty
units;
(jb) for subsection 346ZH(1)—30
penalty units;
(jc) for subsection 346ZJ(1)—60
penalty units;
(k) for subsection 357(1)—60 penalty
units;
(l) for subsection 362(1)—30 penalty
units;
(m) for subsection 364(1)—30 penalty
units;
(n) for subsection 365(1)—60 penalty
units;
(o) for subsection 366(1)—60 penalty
units;
(p) for subsection 370(8)—30 penalty
units;
(q) for subsection 370(9)—30 penalty
units;
(r) for subsection 372(1)—30 penalty
units;
(s) for subsection 374(1)—60 penalty
units;
(t) for subsection 375(1)—30 penalty
units;
(u) for subsection 376(1)—60 penalty
units;
(v) for subsection 379(1)—30 penalty
units;
(w) for subsection 384(4)—30 penalty
units;
(x) for subsection 385(1)—30 penalty
units;
(y) for subsection 387(1)—60 penalty
units;
(z) for subsection 388(1)—30 penalty
units;
(za) for subsection 391(1)—30 penalty
units;
(zb) for subsection 392(6)—60 penalty
units;
(zc) for subsection 393(6)—60 penalty
units;
(zd) for subsection 394(5)—30 penalty
units;
(ze) for subsection 397(1)—30 penalty
units;
(zf) for subsection 400(1)—60 penalty
units;
(zg) for subsection 400(3)—60 penalty
units;
(zh) for subsection 400(4)—60 penalty
units;
(zi) for subsection 400(5)—60 penalty
units;
(zj) for subsection 401(1)—60 penalty
units;
(zk) for subsection 402(1)—60 penalty
units;
(zl) for subsection 601H(2)—30 penalty
units.
Subdivision C—Other remedies for contravention of certain civil remedy
provisions
408
Application of Subdivision
This Subdivision applies to a
contravention by a person of any of the following civil remedy provisions in
relation to a workplace agreement:
(a) subsection 341(1);
(b) subsection 374(1);
(c) subsection 387(1);
(d) subsection 392(6);
(e) subsection 393(6);
(f) subsection 400(1);
(g) subsection 400(5);
(h) subsection 401(1).
409
Court may declare workplace agreement or part of workplace agreement void
The Court may make an order:
(a) declaring that the workplace
agreement is void; or
(b) declaring that specified terms of
the workplace agreement are void.
410
Court may vary terms of workplace agreement
The Court may make an order varying the
terms of the workplace agreement.
411
Court may order that workplace agreement continues to operate despite
termination
(1) This section applies if the workplace
agreement has been terminated as a result of the contravention mentioned in
section 408.
(2) The Court may make an order declaring
that the workplace agreement continues to operate despite the termination.
412
Date of effect and preconditions for orders under sections 409, 410 and 411
(1) An order under section 409, 410 or 411
takes effect from the date of the order or a later date specified in the order.
(2) The Court may make an order under section 409,
410 or 411 only to the extent that the Court considers appropriate to remedy
the following:
(a) all or part of any loss or damage
resulting from the contravention mentioned in section 408;
(b) prevention or reduction of all or
part of that loss or damage.
412A
Court may give effect to purported workplace agreements etc.
(1) The Court may order that:
(a) a document to which
section 324A applies that was lodged with the Workplace Authority Director
is to have effect as a workplace agreement for the purposes of this Act; or
(b) a document to which
section 368A applies that was lodged with the Workplace Authority Director
is to have effect as a variation of a workplace agreement for the purposes of
this Act; or
(c) a document to which
section 381A applies that was lodged with the Workplace Authority Director
is to have effect as a termination of a workplace agreement for the purposes of
this Act.
(2) However, the Court must not make an order
under this section unless it is satisfied that the order would not reduce any
employee’s overall terms and conditions of employment.
(3) In deciding for the purposes of
subsection (2) whether an order will disadvantage an employee, the Court
is to take into account any reference instruments (within the meaning of
Division 5A) that relate to the employee.
(4) An order under this section:
(a) is taken to have had effect from a
date specified in the order that is earlier than the date of the order; or
(b) has effect from a date specified
in the order that is later than the date of the order; or
(c) otherwise—has effect from the date
of the order.
(5) The date specified in the order must not
be earlier than the date of lodgment of the document to which
section 324A, 368A or 381A applies.
413
Court may order compensation
The Court may make an order that the
person mentioned in section 408 pay compensation of such amount as the
Court considers appropriate for any loss or damage resulting from the
contravention suffered by an employee whose employment is subject to the
agreement.
414
Court may order injunction
(1) The Court may grant an injunction
requiring the person mentioned in section 408 to cease contravening (or
not to contravene) the civil remedy provision.
(2) Subsection (1) also applies in
relation to a contravention of subsection 402(1).
Division 12—Miscellaneous
415 ITEAs
with Commonwealth employees
(1) An Agency Head (within the meaning of the
Public Service Act 1999) may act on behalf of the Commonwealth in
relation to ITEAs with persons in the Agency who are engaged under the Public
Service Act 1999.
(2) A Secretary of a Department (within the
meaning of the Parliamentary Service Act 1999) may act on behalf of the
Commonwealth in relation to ITEAs with persons in the Department who are
engaged under the Parliamentary Service Act 1999.
416
Evidence—verified copies
(1) The Workplace Authority Director may
issue a verified copy of any of the following:
(a) a declaration lodged under
subsection 344(2), 346X(2), 377(2), 389(2) or 395(1) or (1A) in relation to a
workplace agreement;
(b) a document annexed to a
declaration mentioned in paragraph (a);
(c) a receipt issued by the Workplace Authority
Director under section 345, 378, 390 or 396 in relation to a workplace
agreement;
(d) a written notice given by the Workplace
Authority Director under subsection 346M(1) or (2), 346U(1) or (2), 346Z(2) or 360(1)
or paragraph 363(4)(a) in relation to a workplace agreement;
(e) an authorisation granted by the Workplace
Authority Director under section 332 for a workplace agreement that is a
multiple‑business agreement;
(f) a written advice in relation to a
workplace agreement given by the Workplace Authority Director to an employer
for the purposes of paragraph 357(2)(a);
(g) a determination that an award is a
designated award made by the Workplace Authority Director under section 346G
or 346H.
Note: For the definition of verified copy,
see section 321.
(2) The verified copy may only be issued to a
person who is or was bound by the workplace agreement to which the verified
copy relates.
(3) In the Court and in proceedings in the
Court, a verified copy issued by the Workplace Authority Director under subsection (1)
is prima facie evidence of the
document of which it is a verified copy.
(4) A document that purports to be a verified
copy issued by the Workplace Authority Director under subsection (1) is
taken to be such a copy, unless evidence to the contrary is adduced.
417
Evidence—certificates
(1) The Workplace Authority Director may
issue a certificate stating any one or more of the following in relation to one
or more workplace agreements:
(a) that a particular person lodged a
particular declaration under subsection 344(2), 346X(2), 377(2), 389(2) or
395(1) or (1A) with the Workplace Authority Director on a particular day;
(b) if the certificate states that a
declaration was lodged with the Workplace Authority Director as mentioned in paragraph (a)—that
a particular document was annexed to the declaration;
(c) that particular declarations
lodged with the Workplace Authority Director as mentioned in paragraph (a)
in relation to a particular workplace agreement are the only such declarations
that were so lodged in relation to that workplace agreement before a particular
day;
(d) if the certificate states that
particular documents were annexed to declarations lodged with the Workplace
Authority Director as mentioned in paragraph (b)—that those documents were
the only documents annexed to those declarations;
(e) that the Workplace Authority
Director issued a receipt under section 345, 378, 390 or 396 to a
particular person on a particular day for such a lodgment;
(f) if the certificate states that
particular receipts were issued by the Workplace Authority Director as
mentioned in paragraph (e) in relation to a particular workplace
agreement—that those receipts were the only receipts so issued in relation to
the workplace agreement before a particular day;
(g) that the Workplace Authority
Director gave a particular advice for the purposes of paragraph 346M(2)(b),
346U(2)(b) or 357(2)(a) to a particular person on a particular day;
(h) if the certificate states that
particular advices were given by the Workplace Authority Director as mentioned
in paragraph (g) in relation to a particular workplace agreement—that
those advices were the only advices so given in relation to the workplace
agreement before a particular day;
(i) that the Workplace Authority
Director granted an authorisation under section 332 on a particular day
for a particular employer to make or vary a particular multiple‑business
agreement;
(j) if the certificate states that
particular authorisations were granted by the Workplace Authority Director as
mentioned in paragraph (i) in relation to a particular multiple‑business
agreement—that those authorisations were the only authorisations so granted in
relation to the multiple‑business agreement before a particular day;
(k) that the Workplace Authority
Director gave a particular notice under subsection 346M(1) or (2), 346U(1) or
(2), 346Z(2) or 360(1) or paragraph 363(4)(a) on a particular day to a
particular employer;
(l) if the certificate states that
particular notices were given by the Workplace Authority Director as mentioned
in paragraph (k) in relation to a particular workplace agreement—that
those notices were the only notices so given in relation to that workplace
agreement before a particular day.
(2) The certificate may only be issued to a
person who is or was bound by the workplace agreement or all of the workplace
agreements to which the certificate relates.
(3) In the Court and in proceedings in the
Court, a certificate issued by the Workplace Authority Director under subsection (1)
is prima facie evidence of the
matters stated in the certificate.
(4) A document that purports to be a
certificate issued by the Workplace Authority Director under subsection (1)
is taken to be such a certificate, unless evidence to the contrary is adduced.
418
Regulations relating to workplace agreements
The regulations may make provision in
relation to the following matters:
(a) requiring an employer who is bound
by a workplace agreement to supply copies of prescribed documents to the employee
or employees bound by the workplace agreement;
(b) the qualifications and appointment
of bargaining agents;
(c) the required form of workplace
agreements (including a requirement that documents be in the English language);
(d) the witnessing of signatures on ITEAs;
(e) the signing of workplace
agreements by persons bound by those agreements, or representatives of those
persons;
(ea) the signing of variations of
workplace agreements by persons bound by those agreements, or representatives
of those persons;
(f) the retention by employers of
signed workplace agreements (including the manner and period of retention);
(g) prescribing fees for the issue by
the Workplace Authority Director of certificates and verified copies.
Note: See section 846 for the types of
sanctions that the regulations may provide for a breach of the regulations.
Part 9—Industrial action
Division 1—Preliminary
419
Definitions
(1) In this Part:
authorised ballot agent means an authorised
ballot agent as defined in section 450 for the purpose of Division 4.
bargaining period has the meaning given by
section 423.
Court means the Federal Court of Australia or
the Federal Magistrates Court.
industrial action has the meaning given by
section 420.
initiating notice has the meaning given by
section 423.
initiating party has the meaning given by
section 423.
negotiating party has the meaning given by
section 423.
pattern bargaining has the meaning given by
section 421.
proposed collective agreement has the meaning
given by section 423.
protected action has the meaning given by
section 435.
protected action ballot means a ballot under
Division 4.
(2) Expressions used in this Part that are
also used in Part 8 have the same meanings in this Part as they have in
that Part.
420
Meaning of industrial action
(1) For the purposes of this Act, industrial
action means any action of the following kinds:
(a) the performance of work by an
employee in a manner different from that in which it is customarily performed,
or the adoption of a practice in relation to work by an employee, the result of
which is a restriction or limitation on, or a delay in, the performance of the
work;
(b) a ban, limitation or restriction
on the performance of work by an employee or on the acceptance of or offering
for work by an employee;
(c) a failure or refusal by employees
to attend for work or a failure or refusal to perform any work at all by
employees who attend for work;
(d) the lockout of employees from
their employment by the employer of the employees;
but does not include the following:
(e) action by employees that is
authorised or agreed to by the employer of the employees;
(f) action by an employer that is
authorised or agreed to by or on behalf of employees of the employer;
(g) action by an employee if:
(i) the action was based
on a reasonable concern by the employee about an imminent risk to his or her
health or safety; and
(ii) the employee did not
unreasonably fail to comply with a direction of his or her employer to perform
other available work, whether at the same or another workplace, that was safe
and appropriate for the employee to perform.
Note 1: See also subsection (4), which deals with
the burden of proof of the exception in subparagraph (g)(i) of this
definition.
Note 2: The issue of whether action that is not
industrial in character is industrial action was considered by the Commission
in Automotive, Food, Metals, Engineering, Printing and Kindred Industries
Union v The Age Company Limited, PR946290. In that case, the Full Bench of
the Commission drew a distinction between an employee who does not attend for
work in support of a collective demand that the employer agree to alteration of
the conditions of employment as being clearly engaged in industrial action and
an employee who does not attend for work on account of illness.
(2) For the purposes of this Act:
(a) conduct is capable of constituting
industrial action even if the conduct relates to part only of the duties that
employees are required to perform in the course of their employment; and
(b) a reference to industrial action
includes a reference to a course of conduct consisting of a series of
industrial actions.
Meaning of lockout
(3) For the purposes of this section, an
employer locks out employees from their employment if the employer
prevents the employees from performing work under their contracts of employment
without terminating those contracts (except to the extent that this would be an
expansion of the ordinary meaning of that expression).
Burden of proof
(4) Whenever a person seeks to rely on subparagraph (g)(i)
of the definition of industrial action in subsection (1),
that person has the burden of proving that subparagraph (g)(i) applies.
421
Meaning of pattern bargaining
What is pattern bargaining?
(1) For the purposes of this Part, a course
of conduct by a person is pattern bargaining if:
(a) the person is a negotiating party
to 2 or more proposed collective agreements; and
(b) the course of conduct involves
seeking common wages or conditions of employment for 2 or more of those
proposed collective agreements; and
(c) the course of conduct extends
beyond a single business.
Exception: terms or conditions determined as national
standards
(2) The course of conduct is not pattern
bargaining to the extent that the negotiating party is seeking, for 2 or more
of the proposed collective agreements, terms or conditions of employment
determined by the Full Bench in a decision establishing national standards.
Exception: genuinely trying to reach an agreement for a
single business or part of a single business
(3) The course of conduct, to the extent that
it relates to a particular single business or part of a single business, is not
pattern bargaining if the negotiating party is genuinely trying to reach an
agreement for the business or part.
(4) For the purposes of subsection (3),
factors relevant to working out whether the negotiating party is genuinely
trying to reach an agreement for a single business or part of a single business
include (but are not limited to) the following:
(a) demonstrating a preparedness to
negotiate an agreement which takes into account the individual circumstances of
the business or part;
(b) demonstrating a preparedness to
negotiate a workplace agreement with a nominal expiry date which takes into account
the individual circumstances of the business or part;
(c) negotiating in a manner consistent
with wages and conditions of employment being determined as far as possible by
agreement between the employer and its employees at the level of the single business
or part;
(d) agreeing to meet face‑to‑face
at reasonable times proposed by another negotiating party;
(e) considering and responding to
proposals made by another negotiating party within a reasonable time;
(f) not capriciously adding or
withdrawing items for bargaining.
(5) Whenever a person seeks to rely on subsection (3),
the person has the burden of proving that subsection (3) applies.
(6) This section does not affect, and is not
affected by, the meaning of the term “genuinely trying to reach an agreement”,
or any variant of the term, as used elsewhere in this Act.
422
Extraterritorial extension
Australia’s exclusive economic zone
(1) This Part, and the rest of this Act so
far as it relates to this Part, extend in relation to Australia’s exclusive
economic zone in the way prescribed by the regulations (if any).
(2) If the regulations prescribe
modifications of this Act (other than this section) for its operation in
relation to Australia’s exclusive economic zone under subsection (1), this
Act has effect (in accordance with that subsection) as modified in relation to Australia’s
exclusive economic zone.
Australia’s continental shelf
(3) This Part, and the rest of this Act so
far as it relates to this Part, extend, in the way prescribed by the
regulations (if any), in relation to a part of Australia’s continental shelf
that is prescribed by the regulations.
(4) If the regulations prescribe
modifications of this Act (other than this section) for its operation in
relation to a prescribed part of Australia’s continental shelf under subsection (3),
this Act has effect (in accordance with that subsection) as modified in
relation to that part.
Note: The regulations may prescribe different
modifications relating to different parts of Australia’s continental shelf. The
regulations may need to do so to give effect to Australia’s international
obligations.
Definitions
(5) In this section:
modifications includes additions, omissions
and substitutions.
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
Division 2—Bargaining periods
423
Initiation of bargaining period
(1) This section applies in relation to a
collective agreement that a person referred to in subsection (2) wants to
try to make if the agreement, if made:
(a) will be made under section 327
or 328; and
(b) will not be:
(i) a multiple‑business
agreement; or
(ii) an agreement with 2 or
more corporations that are treated as one employer because of paragraph 322(2)(b).
(2) If:
(a) an employer; or
(b) an organisation of employees; or
(c) an employee acting on his or her
own behalf and on behalf of other employees;
wants to try to make a collective agreement to which this
section applies in relation to employees who are employed in a single business
or a part of a single business, the employer, organisation or employee (the initiating
party) may initiate a period (the bargaining period) for
negotiating the agreement.
Note: This subsection has effect subject to
subsections 429(2), 430(12) and (13), 431(6) and (7) and 498(6).
(3) The bargaining period is initiated by the
initiating party giving written notice (the initiating notice) to
each other negotiating party and to the Commission stating that the initiating
party intends to try to make a collective agreement to which this section
applies (the proposed collective agreement) with the other
negotiating parties under section 327 or 328.
(4) Each of the following is a negotiating
party in relation to the proposed collective agreement:
(a) the initiating party;
(b) if the initiating party is an
employer who intends to try to make the proposed collective agreement under
section 327—the employees at the time whose employment will be subject to
the proposed collective agreement;
(c) if the initiating party is an
employer who intends to try to make the proposed collective agreement under
section 328—the organisation or organisations who are proposed to be bound
by the proposed collective agreement;
(d) if the initiating party is an organisation
of employees—the employer who is proposed to be bound by the proposed
collective agreement;
(e) if the initiating party is an
employee acting on his or her own behalf and on behalf of other employees—the
employer who is proposed to be bound by the proposed collective agreement and
the employees whose employment will be subject to the proposed collective
agreement.
424 Employee
may appoint agent to initiate bargaining period
(1) A person referred to in paragraph 423(2)(c)
who wishes to initiate a bargaining period under section 423, without
disclosing the person’s identity to the person’s employer, may appoint an agent
to initiate the bargaining period on the person’s behalf.
(2) If a person has appointed an agent under subsection (1),
the notice to the Commission under subsection 423(3) must be accompanied by a
document containing the person’s name.
(3) The regulations may make provision in
relation to the qualifications and appointment of agents appointed under this
section.
425
Identity of person who has appointed agent not to be disclosed
Disclosure by Commission prohibited
(1) The Commission must not disclose
information that the Commission has reasonable grounds to believe will identify
a person who has appointed an agent under section 424 as a person who has
initiated a bargaining period under section 423.
(2) Each of the following is an exception to subsection (1):
(a) the disclosure is required or
authorised by this Act or by another Act, by regulations made for the purposes
of another provision of this Act, or by regulations made for the purposes of
another Act;
(b) the person whose identity is
disclosed has, in writing, authorised the disclosure.
Disclosure by person prohibited
(3) A person commits an offence if:
(a) the person discloses information;
and
(b) the information is protected
information; and
(c) the person has reasonable grounds
to believe that the information will identify another person as a person
referred to in subsection (1); and
(d) the disclosure is not made by the
person in the course of performing functions or duties:
(i) as a Registry
official; or
(ii) as, or on behalf of,
an authorised ballot agent; and
(e) the disclosure is not required or
authorised by this Act or by another Act, by regulations made for the purposes
of another provision of this Act, or by regulations made for the purposes of
another Act; and
(f) the person whose identity is
disclosed has not, in writing, authorised the disclosure.
Penalty: Imprisonment for 6 months.
(4) In this section:
protected information, in relation to a
person, means information that the person acquired:
(a) in the course of performing
functions or duties as a Registry official; or
(b) in the course of performing
functions or duties as, or on behalf of, an authorised ballot agent; or
(c) from a person referred to in paragraph (a)
or (b) who acquired the information as mentioned in paragraph (a) or (b).
Registry official means:
(a) the Industrial Registrar; or
(b) a member of the staff of the
Industrial Registry (including a Deputy Industrial Registrar).
426
Particulars to accompany notice
An initiating notice is to be
accompanied by particulars of:
(a) the single business or part of the
single business to be covered by the proposed collective agreement; and
(b) the types of employees whose
employment will be subject to the proposed collective agreement and the other
persons who will be bound by the proposed collective agreement; and
(c) the matters that the initiating
party proposes should be dealt with by the proposed collective agreement; and
(d) the proposed nominal expiry date
of the proposed collective agreement; and
(e) any other matters prescribed by
the regulations.
427
When bargaining period begins
A bargaining period begins at the end of
7 days after:
(a) the day on which the initiating
notice was given; or
(b) if the notice was given to
different persons on different days—the later or latest of those days.
428
When bargaining period ends
A bargaining period ends if any of the
following events occurs:
(a) a collective agreement under
section 327 or 328 is made by the employer and any one or more of the
other negotiating parties;
(b) the initiating party tells the
other negotiating party or each of the other negotiating parties in writing
that the initiating party no longer wants to reach a collective agreement under
section 327 or 328 with that other party or those other parties;
(c) the bargaining period is
terminated under section 430, 431 or 498.
429
Power of Commission to restrict initiation of new bargaining periods
(1) This section applies if a bargaining
period (the former bargaining period) in relation to a proposed
collective agreement has ended because a negotiating party (the former
negotiating party) has given a notice under paragraph 428(b).
(2) Subject to this section, the Commission
may, by order, declare that, during a specified period, a specified former
negotiating party, or a specified employee of the employer:
(a) is not allowed to initiate a new
bargaining period in relation to specified matters that were dealt with by the
proposed collective agreement; or
(b) may initiate a bargaining period
only on conditions specified in the order.
(3) The Commission must not make an order
under subsection (2) unless:
(a) the Commission has given the
former negotiating parties an opportunity to be heard; and
(b) the Commission considers that it
is in the public interest to make the order; and
(c) either subsection (4) or (5)
applies.
(4) The Commission may make an order under subsection (2):
(a) on application by a former
negotiating party; and
(b) if, assuming the former bargaining
period had not ended, the Commission could make an order under subsection 430(1)
because a circumstance set out in subsection 430(2), (7) or (8) exists or
existed.
(5) The Commission may make an order under subsection (2):
(a) on its own initiative, or on
application by a former negotiating party; and
(b) if, assuming the former bargaining
period had not ended, the Commission could make an order under subsection 430(1)
because a circumstance set out in subsection 430(3) exists or existed.
430
Suspension and termination of bargaining periods—general powers of Commission
Suspension or termination required if certain
circumstances exist
(1) Subject to subsection (9), the
Commission must, by order, suspend or terminate a bargaining period if, after
giving the negotiating parties an opportunity to be heard, it is satisfied that
any of the circumstances set out in subsections (2), (3) (7) and (8) exists
or existed.
Circumstance—failing to genuinely try to reach
agreement etc.
(2) A circumstance for the purposes of subsection (1)
is that a negotiating party (not being the applicant for the order) that,
before or during the bargaining period, has organised or taken, or is
organising or taking, industrial action to support or advance claims in respect
of the proposed collective agreement:
(a) did not genuinely try to reach an
agreement with the other negotiating parties before organising or taking the
industrial action; or
(b) is not genuinely trying to reach
an agreement with the other negotiating parties; or
(c) has failed to comply with any
orders or directions of the Commission made during the bargaining period that
relate to, or that relate to industrial action relating to, the making of the
proposed collective agreement or to a matter that has arisen in the
negotiations for the proposed collective agreement.
Note: The issue
of whether or not a negotiating party is genuinely trying to reach agreement
with the other negotiating parties was considered by Justice Munro in Australian
Industry Group v Automotive, Food, Metals, Engineering, Printing and Kindred
Industries Union, Print T1982.
Circumstance—industrial action endangering life etc.
(3) A circumstance for the purposes of subsection (1)
is that:
(a) industrial action to support or
advance claims in respect of the proposed collective agreement is being taken,
or is threatened, impending or probable; and
(b) that industrial action is adversely
affecting, or would adversely affect, the employer or employees of the
employer; and
(c) that industrial action is
threatening, or would threaten:
(i) to endanger the life,
the personal safety or health, or the welfare, of the population or of part of it;
or
(ii) to cause significant
damage to the Australian economy or an important part of it.
Note: See also Division 8 (about workplace
determinations once a bargaining period has been terminated).
(4) If an application is made to the
Commission for an order under subsection (1) on the grounds of or
including a circumstance set out in subsection (3), the Commission must,
as far as practicable, hear and determine the application within 5 days after
the application is made.
(5) If subsection (4) applies to an
application and the Commission is unable to determine the application within
the period referred to in that subsection, the Commission must, within that
period, make an interim order suspending the bargaining period until the
application is determined.
(6) If the Commission makes an order under subsection (1)
terminating a bargaining period in a circumstance set out in subsection (3),
the Commission must send each of the negotiating parties a notice:
(a) setting out the effect of Division 8;
and
(b) informing the negotiating parties
that they may agree to submit the matters at issue to an alternative dispute
resolution process conducted by the Commission or another provider (see
Divisions 4 and 6 of Part 13).
Circumstance—organisations and employees who are not
members
(7) A circumstance for the purposes of subsection (1)
is that industrial action is being organised or taken by:
(a) an organisation that is a
negotiating party; or
(b) a member of such an organisation
who is employed by the employer; or
(c) an officer or employee of such an
organisation acting in that capacity;
against an employer to support or advance claims in
respect of employees:
(d) whose employment will be subject
to the agreement; and
(e) who are neither members, nor
eligible to become members, of the organisation.
Circumstance—demarcation disputes
(8) A circumstance for the purposes of subsection (1)
is that industrial action that is being organised or taken by an organisation
that is a negotiating party:
(a) relates, to a significant extent,
to a demarcation dispute; or
(b) contravenes an order of the
Commission that relates, to a significant extent, to a demarcation dispute.
Orders on application or Commission’s initiative
(9) The Commission:
(a) may not make an order under subsection (1),
in a circumstance set out in subsection (2), (7) or (8), except on
application by a negotiating party; but
(b) may make an order under subsection (1),
in a circumstance set out in subsection (3):
(i) on its own initiative;
or
(ii) on application by a
negotiating party or the Minister.
Application does not have to identify bargaining
periods
(10) An application may be made to the
Commission for an order under subsection (1) for the suspension or
termination of whatever bargaining periods apply to:
(a) a specified business, or any part
of that business; or
(b) a specified part of a specified
business;
without specifically identifying the bargaining periods.
The application has effect as if it were an application for the suspension or
termination of the bargaining period, or each of the bargaining periods, that
applies to the specified business (or any part of it), or to the specified part
of the business, as the case requires.
Note: The other requirements of this section must
still be complied with in relation to the application.
(11) If subsection (10) applies to an
application, the Commission must satisfy itself as to which bargaining periods
the application has effect in relation to.
Restrictions on initiating new bargaining periods
(12) An order under subsection (1)
suspending a bargaining period may, if the Commission considers it to be
appropriate, contain a declaration that, during some or all of the
period while the suspension has effect, a specified negotiating party or employee
of the employer:
(a) is not allowed to initiate a new
bargaining period in relation to specified matters that are dealt with by the
proposed collective agreement; or
(b) may initiate such a bargaining
period only on conditions specified in the declaration.
(13) An order under subsection (1)
terminating a bargaining period may, if the Commission considers it to be
appropriate, contain a declaration that, during a specified period beginning at
the time of the termination, a specified negotiating party or employee of the
employer:
(a) is not allowed to initiate a new
bargaining period in relation to specified matters that are dealt with by the
proposed collective agreement; or
(b) may initiate such a bargaining
period only on conditions specified in the declaration.
Extension of notice period required by subsection 434(3)
(14) In an order under subsection (1), the
Commission may, if it is satisfied, in relation to any industrial action that
might be taken (by virtue of section 434) after the end of the period of
suspension, that there are exceptional circumstances justifying the period of
written notice required by subsection 434(3) being longer than 3 days, specify
a longer period, of up to 7 days.
431
Suspension and termination of bargaining periods—pattern bargaining
Suspension or termination required for pattern
bargaining
(1) The Commission must, by order, suspend a
bargaining period for a period specified in the order, or terminate the bargaining
period, if:
(a) a negotiating party, or a person
prescribed by the regulations, applies to the Commission for an order under
this section; and
(b) another negotiating party is
engaged in pattern bargaining in relation to the proposed collective agreement.
Note: For other provisions relating to pattern bargaining,
see:
(a) section 439; and
(b) section 461; and
(c) section 497.
Negotiating parties must be given the opportunity to be
heard
(2) The Commission must not make an order
under subsection (1) unless it has given the negotiating parties the
opportunity to be heard.
Commission may suspend or terminate as it considers
appropriate
(3) If the Commission is required by subsection (1)
to make an order under that subsection, then regardless of the order applied
for:
(a) the order may be for the suspension
or termination of the bargaining period, as the Commission considers
appropriate; and
(b) any period of suspension specified
in the order must be such a period as the Commission considers appropriate.
Application does not have to identify bargaining periods
(4) An application may be made to the
Commission for an order under subsection (1) for the suspension or
termination of whatever bargaining periods apply to:
(a) a specified business, or any part
of that business; or
(b) a specified part of a specified
business;
without specifically identifying the bargaining periods.
The application has effect as if it were an application for the suspension or
termination of the bargaining period, or each of the bargaining periods, that
applies to the specified business (or any part of it), or to the specified part
of the business, as the case requires.
Note: The other requirements of this section must
still be complied with in relation to the application.
(5) If subsection (4) applies to an
application, the Commission must satisfy itself as to which bargaining periods
the application has effect in relation to.
Restrictions on initiating new bargaining periods
(6) An order under subsection (1)
suspending a bargaining period may, if the Commission considers it to be
appropriate, contain a declaration that, during some or all of the period while
the suspension has effect, a specified negotiating party or employee of the
employer:
(a) is not allowed to initiate a new
bargaining period in relation to specified matters that are dealt with by the
proposed collective agreement; or
(b) may initiate such a bargaining
period only on conditions specified in the declaration.
(7) An order under subsection (1)
terminating a bargaining period may, if the Commission considers it to be
appropriate, contain a declaration that, during a specified period beginning at
the time of the termination, a specified negotiating party or employee of the
employer:
(a) is not allowed to initiate a new
bargaining period in relation to specified matters that are dealt with by the
proposed collective agreement; or
(b) may initiate such a bargaining
period only on conditions specified in the declaration.
Extension of notice period required by subsection 434(3)
(8) In an order under subsection (1) suspending
a bargaining period, the Commission may, if it is satisfied, in relation to any
industrial action that might be taken (by virtue of section 434) after the
end of the period of suspension, that there are exceptional circumstances
justifying the period of written notice required by subsection 434(3) being
longer than 3 days, specify a longer period, of up to 7 days.
432
Suspension of bargaining periods—cooling off
Suspension if would assist in resolving matters at
issue
(1) The Commission must, by order, suspend a
bargaining period for a period specified in the order if:
(a) a negotiating party applies to the
Commission for the bargaining period to be suspended under this section; and
(b) protected action is being taken in
respect of the proposed collective agreement; and
(c) the Commission considers that the
suspension is appropriate, having regard to:
(i) whether suspending the
bargaining period would be beneficial to the negotiating parties because it
would assist in resolving the matters at issue; and
(ii) the duration of the
action; and
(iii) whether suspending the
bargaining period would be contrary to the public interest or inconsistent with
the objects of this Act; and
(iv) any other matters that
the Commission considers relevant.
Period of suspension
(2) The period of suspension specified in the
order must be a period that the Commission considers appropriate.
Extension of suspension
(3) The Commission must, by order, extend the
period of suspension by a specified period that the Commission considers
appropriate if:
(a) a negotiating party applies to the
Commission for the period of suspension to be extended; and
(b) the Commission considers that the
extension is appropriate, having regard to:
(i) the matters referred
to in paragraph (1)(c); and
(ii) whether the
negotiating parties, during the period of suspension, genuinely tried to reach
an agreement.
(4) The Commission must not make an order
under subsection (3) extending the period of suspension if that period has
previously been extended.
Negotiating parties must be given opportunity to be
heard
(5) The Commission must not make an order
under subsection (1) or (3) unless it has given the negotiating parties
the opportunity to be heard.
Commission to inform negotiating parties that they may
submit matters at issue for alternative dispute resolution
(6) If the Commission makes an order under subsection (1)
or (3), the Commission must send each of the negotiating parties a notice
informing the negotiating parties that they may agree to submit the matters at
issue to an alternative dispute resolution process conducted by the Commission
or another provider (see Part 13).
Extension of notice period required by subsection 434(3)
(7) In an order under subsection (1) or
(3), the Commission may, if it is satisfied, in relation to any industrial
action that might be taken (by virtue of section 434) after the end of the
period of suspension, that there are exceptional circumstances justifying the
period of written notice required by subsection 434(3) being longer than 3 days,
specify a longer period, of up to 7 days.
433
Suspension of bargaining periods—significant harm to third party
Suspension if industrial action threatens significant
harm to a person
(1) The Commission must, by order, suspend a
bargaining period for a period specified in the order if:
(a) industrial action is being taken
in respect of the proposed collective agreement; and
(b) an application for the bargaining
period to be suspended under this section is made to the Commission by or on
behalf of:
(i) an organisation,
person or body directly affected by the action (other than a negotiating
party); or
(ii) the Minister; and
(c) the Commission considers that the
action is adversely affecting the employer or employees of the employer; and
(d) the Commission considers that the
action is threatening to cause significant harm to any person (other than a
negotiating party); and
(e) the Commission considers that the
suspension is appropriate, having regard to:
(i) whether suspending the
bargaining period would be contrary to the public interest or inconsistent with
the objects of this Act; and
(ii) any other matters that
the Commission considers relevant.
(2) For the purposes of paragraph (1)(d),
in considering whether the action is threatening to cause significant harm to a
person, the Commission may have regard to the following:
(a) if the person is an employee—the
extent to which the action affects the interests of the person as an employee;
(b) the extent to which the person is
particularly vulnerable to the effects of the action;
(c) the extent to which the action
threatens to:
(i) damage the ongoing
viability of a business carried on by the person; or
(ii) disrupt the supply of
goods or services to a business carried on by the person; or
(iii) reduce the person’s
capacity to fulfil a contractual obligation; or
(iv) cause other economic
loss to the person;
(d) any other matters that the
Commission considers relevant.
Period of suspension
(3) The period of suspension specified in the
order must be a period that the Commission considers appropriate. The period of
suspension (as extended under subsection (4), if applicable) must not
exceed 3 months.
Extension of suspension
(4) The Commission must, by order, extend the
period of suspension by a specified period that the Commission considers
appropriate if:
(a) an application for the period of
suspension to be extended is made to the Commission by or on behalf of:
(i) an organisation,
person or body directly affected by the action (other than a negotiating
party); or
(ii) the Minister; and
(b) the Commission considers that the
extension is appropriate, having regard to the matters referred to in paragraphs (1)(c),
(d) and (e).
(5) The Commission must not make an order
under subsection (4) extending the period of suspension if that period has
previously been extended.
Negotiating parties must be given opportunity to be
heard
(6) The Commission must not make an order
under subsection (1) or (4) unless it has given the negotiating parties
the opportunity to be heard.
Commission to inform negotiating parties that they may
submit matters at issue for alternative dispute resolution
(7) If the Commission makes an order under subsection (1)
or (4), the Commission must send each of the negotiating parties a notice
informing the negotiating parties that they may agree to submit the matters at
issue to an alternative dispute resolution process conducted by the Commission
or another provider (see Part 13).
Extension of notice period required by subsection 434(3)
(8) In an order under subsection (1) or
(4), the Commission may, if it is satisfied, in relation to any industrial
action that might be taken (by virtue of section 434) after the end of the
period of suspension, that there are exceptional circumstances justifying the
period of written notice required by subsection 434(3) being longer than 3 days,
specify a longer period, of up to 7 days.
434
Industrial action without further protected action ballot after end of suspension
of bargaining period
(1) This section applies if:
(a) before a bargaining period was
suspended under subsection 430(1), 431(1), 432(1) or 433(1), industrial action
was authorised by a protected action ballot; and
(b) the ballot authorised industrial
action:
(i) some or all of which
had not been taken before the period of suspension began; or
(ii) that had not ended
before the period of suspension began; or
(iii) beyond the period of
suspension.
(2) After the period of suspension, as
extended under subsection 432(3) or 433(4) (if applicable), has ceased (whether
because the period ended or was revoked):
(a) a relevant employee (within the
meaning of Division 4) may organise, or engage in, that industrial action
without another protected action ballot; and
(b) a negotiating party that is an
organisation of employees may organise, or engage in, that industrial action
without another protected action ballot.
For the purposes of working out when that industrial
action may be organised, or engaged in, the period of suspension (including any
dates authorised by a protected action ballot as dates on which action is to be
taken) is to be ignored.
(3) However, that industrial action is not
protected action unless, after the period of suspension, the organisation, or
the employee, gives the employer at least the required written notice of the
intention to take the action. The notice must state the nature of the intended
action and the day when it will begin.
(4) For the purposes of subsection (3),
the required written notice is:
(a) 3 working days’ written notice; or
(b) if the Commission, in the order
under subsection 430(1), 431(1), 432(1) or 433(1) suspending the bargaining
period, or an order under subsection 432(3) or 433(4) extending the period of
suspension, specifies a higher number of days—that number of days’ written
notice.
Note: For the maximum number of days the suspension
order can specify, see subsection 430(14), 431(8), 432(7) or 433(8).
(5) Nothing in this section authorises
industrial action after the end of the period of suspension that is different
in type or duration from the industrial action that was authorised by the
protected action ballot.
Example 1: A protected action ballot authorised strike action
for 20 consecutive working days from a specified date. Fourteen working days
into the strike, the bargaining period was suspended for one month.
Under this section, once the period of
suspension ends, the initiating party could give the required written notice,
without another protected action ballot, of 6 further consecutive working days
of strike action (the balance of the strike action authorised).
Example 2: A protected action ballot authorised the
imposition of certain work bans every Monday, for a period of 8 consecutive
weeks starting from a specified date. After 3 weeks, the bargaining period was
suspended for a period of 2 weeks.
Under this section, once the period of
suspension ends, the initiating party could give the required written notice,
without another protected action ballot, that the work bans authorised by the
ballot will be imposed for 5 further consecutive Mondays (the balance of the
industrial action authorised).
Division 3—Protected action
Subdivision A—What is protected action?
435
Protected action
General
(1) Action by a person is protected
action if:
(a) the action is protected action
under subsection (2) or (3); and
(b) no provision of Subdivision B
excludes the action from being protected action; and
(c) subsection 434(3) does not exclude
the action from being protected action.
Employee and employee organisation actions
(2) During a bargaining period:
(a) an organisation of employees that
is a negotiating party; or
(b) a member of such an organisation
who is employed by the employer; or
(c) an officer or employee of such an
organisation acting in that capacity; or
(d) an employee who is a negotiating
party;
is entitled, for the purpose of:
(e) supporting or advancing claims
made in respect of the proposed collective agreement; or
(f) responding to industrial action
by the employer against employees whose employment will be subject to
the proposed collective agreement;
to organise or engage in industrial action against the
employer and, if the organisation, member, officer or employee does so, the
organising of, or engaging in, that industrial action is protected action.
Employer actions
(3) Subject to subsection (5), during a
bargaining period, the employer is entitled, for the purpose of:
(a) supporting or advancing claims
made by the employer in respect of the proposed collective agreement; or
(b) responding to industrial action by
any of the employees whose employment will be subject to the proposed
collective agreement;
to engage in industrial action against all or any of the
employees whose employment will be subject to the agreement and, if the
employer does so, the organising of, or engaging in, that industrial action is
protected action.
Note 1: The existence of this entitlement does not
affect any right of the employer to refuse to pay the employee where, under the
common law, the employer is permitted to do so because the employee has not
performed work as directed.
Note 2: The existence of this entitlement also does not
affect any authorisation of the employer to stand‑down the employee under
an award.
(4) If the employer engages in industrial
action against employees in accordance with subsection (3), the employer
is entitled to refuse to pay any remuneration to the employees in respect of
the period of the industrial action.
(5) The employer is not entitled to engage in
industrial action against employees under subsection (3) (and so the
industrial action will not be protected action) unless the continuity of the
employees’ employment, for such purposes as are prescribed by the regulations,
is not affected by the industrial action.
Subdivision B—Exclusions from protected action
436
Exclusion—claims in support of inclusion of prohibited content
Engaging in industrial action in
relation to a proposed collective agreement is not protected action if it is to
support or advance claims to include prohibited content in the agreement.
437
Exclusion—industrial action while bargaining period is suspended
Engaging in industrial action in
relation to a proposed collective agreement is not protected action if it is
engaged in while the bargaining period is suspended.
438
Exclusion—industrial action must not involve persons who are not protected for
that industrial action
(1) Engaging in industrial action in relation
to a proposed collective agreement is not protected action if:
(a) it is engaged in in concert with
one or more persons who are not protected persons for the industrial action; or
(b) it is organised other than solely
by one or more protected persons for the industrial action.
(2) Organising industrial action in relation
to a proposed collective agreement is not protected action if:
(a) it is organised in concert with
one or more persons who are not protected persons for the industrial action; or
(b) it is intended to be engaged in
other than solely by one or more protected persons for the industrial action.
(3) In this section:
protected person, for industrial
action in relation to a proposed collective agreement, means:
(a) an organisation of employees that
is a negotiating party to the proposed collective agreement; or
(b) a member of such an organisation
who is employed by the employer and whose employment will be subject to the
proposed collective agreement; or
(c) an officer or employee of such an
organisation acting in that capacity; or
(d) an employee who is a negotiating
party to the proposed collective agreement; or
(e) an employer who is a negotiating
party to the proposed collective agreement.
439
Exclusion—industrial action must not be in support of pattern bargaining claims
Engaging in or organising industrial
action is not protected action if:
(a) the industrial action is for the
purpose of supporting or advancing claims made by a negotiating party to a
proposed collective agreement; and
(b) the party is engaged in pattern
bargaining in relation to the proposed collective agreement.
Note: For other provisions relating to pattern
bargaining, see:
(a) section 431; and
(b) section 461; and
(c) section 497.
440
Exclusion—industrial action must not be taken until after nominal expiry date
of workplace agreements or workplace determinations
Engaging in or organising industrial
action in contravention of section 494 or 495 is not protected action.
441
Exclusion—notice of action to be given
Notice of employee and employee organisation actions
(1) Any action taken as mentioned in
subsection 435(2) by:
(a) an organisation of employees; or
(b) a member of such an organisation;
or
(c) an officer or employee of such an
organisation acting in that capacity; or
(d) an employee who is a negotiating
party;
is not protected action unless the requirements set out in
subsection (2) are met.
(2) The requirements are that:
(a) if the action is in response to,
and is taken after the start of, industrial action against employees by the
employer in respect of the proposed collective agreement—the organisation, or
the employee who is a negotiating party, has given the employer written notice
of the intention to take the action; or
(b) in any other case—the
organisation, or the employee who is a negotiating party, has given the
employer at least the required written notice of the intention to take the
action.
(3) For the
purposes of paragraph (2)(b), the required written notice is:
(a) 3 working days’ written notice; or
(b) if a ballot order made under
section 462 in respect of the action specifies a higher number of
days—that number of days’ written notice.
Note: For the maximum number of days the ballot
order can specify, see subsection 463(5).
Notice of employer actions
(4) If one or more of the negotiating parties
is an organisation of employees, any action taken as mentioned in subsection 435(3)
by the employer:
(a) is not protected action unless the
employer has given the other negotiating party or each of the other negotiating
parties:
(i) if the industrial
action is in response to, and takes place after the start of, industrial action
organised or engaged in by an organisation that is a negotiating party in
respect of the proposed collective agreement—written notice of the intended
industrial action; or
(ii) in any other case—at
least 3 working days’ written notice of the intended industrial action; and
(b) is not protected action in so far
as it relates to a particular employee unless:
(i) if subparagraph (a)(i)
applies—before the industrial action begins; or
(ii) in any other case—at
least 3 working days before the industrial action begins;
the employer has given written
notice to the particular employee, or has taken other reasonable steps to
notify the particular employee, of the intended industrial action.
(5) If one or more of the negotiating parties
is an employee whose employment will be subject to the proposed collective
agreement, any action taken as mentioned in subsection 435(3) by the employer
is not protected action in so far as it relates to a particular employee
unless:
(a) if the industrial action is
in response to, and takes place after the start of, industrial action organised
or engaged in by any of the employees who are negotiating parties in respect of
the proposed collective agreement—before the industrial action begins; or
(b) in any other case—at least 3
working days before the industrial action begins;
the employer has given written notice to the particular
employee, or has taken other reasonable steps to notify the particular
employee, of the intended industrial action.
Notice to state nature of intended action and start day
(6) A written notice or other notification
under this section must state the nature of the intended action and the day
when it will begin.
Limitations on when notice may be given
(7) A written notice or other notification
under this section cannot be given:
(a) if the notification relates to
action that must, in order to be protected action, be authorised by a protected
action ballot—before the declaration of the results of the ballot (see section 476);
or
(b) if the notification relates to
industrial action by an employer (whether the notification is to be given by
the employer, an organisation of employees or an employee)—before the start of
the bargaining period.
442 Employee
may appoint agent to give notice under section 441
If:
(a) a person referred to in paragraph 441(1)(d)
has appointed an agent under section 424 to initiate a bargaining period
in relation to a proposed collective agreement; and
(b) the person wishes to give notice
to an employer under section 441 of intention to take industrial action
relating to the proposed collective agreement without disclosing the person’s
identity to the person’s employer;
the notice may be given by the agent on the person’s
behalf.
443
Exclusion—requirement that employee organisation or employee comply with
Commission orders and directions
(1) If:
(a) an organisation of employees is a
negotiating party to a proposed collective agreement; and
(b) the Commission has, during the
bargaining period, made or given orders or directions that relate to, or that
relate to industrial action relating to, the making of the proposed collective
agreement or to a matter that has arisen in the negotiations for the proposed
collective agreement;
industrial action engaged in by a person who is a member
of the organisation is not protected action unless, before the person begins to
engage in the industrial action, the organisation has complied with the order
or direction so far as it applies to the organisation.
(2) If:
(a) an employee is a negotiating party
to a proposed collective agreement; and
(b) the Commission has, during the
bargaining period, made or given orders or directions that relate to, or that
relate to industrial action relating to, the making of the proposed collective
agreement or to a matter that has arisen in the negotiations for the proposed
collective agreement;
industrial action engaged in by the employee is not
protected action unless, before the employee begins to engage in the industrial
action, the employee has complied with the order or direction so far as it
applies to the employee.
444
Exclusion—requirement that employer genuinely try to reach agreement etc.
Industrial action engaged in by an
employer against employees is not protected action unless the employer has,
before the employer begins to engage in the industrial action:
(a) if the employees are members of an
organisation or organisations that are negotiating parties—genuinely tried to
reach agreement with the organisation or organisations; and
(b) if the employees are negotiating
parties—genuinely tried to reach agreement with the employees; and
(c) complied with all orders or
directions made or given by the Commission during the bargaining period that
relate to, or that relate to industrial action relating to, the making of the
proposed collective agreement or to a matter that has arisen in the
negotiations for the proposed collective agreement, so far as the orders or
directions apply to the employer.
445
Exclusion—employee and employee organisation action to be authorised by secret
ballot or be in response to employer action
Any action taken as mentioned in
subsection 435(2) by:
(a) an organisation of employees; or
(b) a member of such an organisation;
or
(c) an officer or employee of such an
organisation acting in that capacity; or
(d) an employee who is a negotiating
party;
is not protected action unless:
(e) the action is in response to
industrial action by the employer against employees whose employment will be
subject to the proposed collective agreement; or
(f) the action has been authorised by
a protected action ballot (see section 478).
Note: The question whether industrial action is
authorised by a protected action ballot is also affected by section 434.
446
Exclusion—employee organisation action must be duly authorised
(1) Engaging in industrial action by members
of an organisation of employees that is a negotiating party is not protected
action unless, before the industrial action begins:
(a) the industrial action is duly
authorised by a committee of management of the organisation or by someone
authorised by such a committee to authorise the industrial action; and
(b) if the rules of the organisation
provide for the way in which the industrial action is to be authorised—the
industrial action is duly authorised under those rules; and
(c) written notice of the giving of
the authorisation is given to a Registrar.
(2) Industrial action is taken, for the
purposes of this section, to be duly authorised under the rules of an
organisation of employees even though a technical breach has occurred in
authorising the industrial action, so long as the person or persons who committed
the breach acted in good faith.
(3) Examples of a technical breach in
authorising industrial action are as follows:
(a) a contravention of the rules of
the organisation;
(b) an error or omission in complying
with the requirements of this Act;
(c) participation, by a person not
eligible to do so, in the making of a decision by a committee of management, or
by members, of the organisation.
(4) Industrial action is taken, for the
purposes of this section, to have been duly authorised under the rules of an
organisation of employees, and to have been so authorised before the industrial
action began, unless:
(a) the Court declares in a proceeding
that the industrial action was not duly authorised under those rules; and
(b) the proceeding was brought in the
Court within 6 months after the notification in relation to the industrial
action was given to a Registrar under paragraph (1)(c).
(5) In so far as the rules of an organisation
of employees provide for the way in which industrial action that section 435
entitles the organisation to organise or engage in is to be authorised, the
rules do not contravene section 159 of the Registration and Accountability
of Organisations Schedule unless the manner provided for contravenes that
section.
Subdivision C—Significance of action being protected action
447
Immunity provisions
(1) Subject to subsection (2), no action
lies under any law (whether written or unwritten) in force in a State or
Territory in respect of any industrial action that is protected action unless
the industrial action has involved or is likely to involve:
(a) personal injury; or
(b) wilful or reckless destruction of,
or damage to, property; or
(c) the unlawful taking, keeping or
use of property.
(2) Subsection (1) does not prevent an
action for defamation being brought in respect of anything that occurred in the
course of industrial action.
Note: Subsection 496(13) provides that an order
under subsection 496(1) or (6) directing that industrial action stop or not
occur does not apply to protected action.
448
Employer not to dismiss employee etc. for engaging in protected action
(1) An employer must not:
(a) dismiss an employee, injure an
employee in his or her employment or alter the position of an employee to the
employee’s prejudice; or
(b) threaten to dismiss an employee,
injure an employee in his or her employment or alter the position of an
employee to the employee’s prejudice;
wholly or partly because the employee is proposing to
engage, is engaging, or has engaged, in protected action.
(2) Subsection (1) does not apply to any
of the following actions taken by the employer:
(a) standing‑down the employee;
(b) refusing to pay the employee, if:
(i) the refusal is in
accordance with section 507; or
(ii) under the common law,
the employer is permitted to do so because the employee has not performed work
as directed;
(c) action that is itself protected
action.
Civil remedy provisions
(3) Subsection (1) is a civil remedy
provision.
(4) The Court may make one or more of the
following orders in relation to a person who has contravened subsection (1):
(a) an order imposing a pecuniary
penalty on the person;
(b) injunctions, and any other orders,
that the Court considers necessary to stop the contravention or remedy its
effects.
(5) The pecuniary penalty under paragraph (4)(a)
cannot be more than 300 penalty units for a body corporate or 60 penalty units
in any other case.
(6) Other orders the Court may make under paragraph (4)(b)
include (but are not limited to):
(a) if the contravention was
constituted by dismissing an employee—an order to reinstate the person
dismissed to the position that the person occupied immediately before the
dismissal or to a position no less favourable than that position; and
(b) in any case—to pay, to the person
dismissed, injured or prejudiced, compensation for loss suffered as a result of
the dismissal, injury or prejudice.
(7) An application for an order under subsection (4)
may be made by:
(a) the employee concerned; or
(b) an organisation of employees of
which that employee is a member; or
(c) a workplace inspector; or
(d) any other person prescribed by the
regulations.
(8) In proceedings for an order under subsection (4),
it is to be presumed, unless the employer proves otherwise, that the alleged conduct
of the employer was carried out wholly or partly because the employee was
proposing to engage, was engaging, or had engaged, in protected action.
Note: For other provisions about civil remedy
provisions, see Division 3 of Part 14.
Division 4—Secret ballots on proposed protected action
Subdivision A—General
449
Object of Division and overview of Division
Object
(1) The object of this Division is to
establish a transparent process which allows employees directly concerned to
choose, by means of a fair and democratic secret ballot, whether to authorise
industrial action supporting or advancing claims by organisations of employees,
or by employees.
Overview of Division
(2) Under Division 3, industrial action
by employees is not protected action unless it has been authorised in advance
by a secret ballot held under this Division (a protected action ballot).
This Division establishes the steps that organisations of employees, or
employees, who wish to organise or engage in protected action must take in order
to:
(a) obtain an order from the
Commission that will authorise a protected action ballot to be held; and
(b) hold a protected action ballot
that may authorise the industrial action.
(3) The rule that industrial action by
employees is not protected action unless it has been authorised by a protected
action ballot does not apply to action in response to an employer engaging in
industrial action against the employees (see section 445).
450
Definitions
In this Division:
applicant means an applicant for a ballot
order.
applicant’s agent means an agent appointed by
an employee, or by a group of employees, under subsection 451(5).
authorised ballot agent, in relation to a
protected action ballot, means the person authorised by the Commission in the
ballot order to conduct the ballot.
authorised independent adviser, in relation
to a protected action ballot, means the person authorised by the Commission in
the ballot order to be the independent adviser for the ballot.
ballot order means an order made under
section 462 requiring a protected action ballot to be held.
declaration envelope means an envelope in the
form prescribed by the regulations on which a voter is required to make a
declaration containing the information prescribed by the regulations.
joint applicant means a person who is
participating, or has participated, in making a joint application under section 455.
party, in relation to an application for a
ballot order, means either of the following:
(a) the applicant;
(b) the employer of the relevant
employees.
prescribed number, in relation to relevant
employees, means:
(a) if there are fewer than 80
relevant employees—4; or
(b) if there are at least 80, but not
more than 5,000, relevant employees—5% of the number of such employees; or
(c) if there are more than 5,000
relevant employees—250.
protected action ballot means a ballot under
this Division.
relevant employee, in relation to proposed
industrial action against an employer in respect of a proposed collective
agreement, means:
(a) if an organisation of employees is
a negotiating party to the agreement—any member of the organisation who is
employed by the employer and whose employment will be subject to the agreement;
and
(b) if an employee is a negotiating
party to the agreement—any employee who is a negotiating party to the
agreement;
but does not include an employee who is bound by an ITEA
whose nominal expiry date has not passed.
roll of voters
means a list compiled:
(a) by the Commission under section 466;
or
(b) by an authorised ballot agent in
compliance with an order of the Commission under section 466.
Subdivision B—Application for order for protected action ballot to be held
451
Who may apply for a ballot order etc.
When application can be made
(1) A person referred to in subsection (3)
may, during a bargaining period, apply to the Commission for an order for a
ballot to be held to determine whether proposed industrial action has the
support of relevant employees.
Note: For the duration of a bargaining period, see
sections 427 (when it begins) and 428 (when it ends).
(2) However, if there are one or more
existing collective agreements binding on relevant employees, the application
must not be made before:
(a) if there is only one existing
collective agreement—the nominal expiry date of the existing collective
agreement; or
(b) if there are 2 or more existing
collective agreements—whichever is the last occurring of the nominal expiry
dates of those existing collective agreements.
Who can apply
(3) The following people may apply:
(a) if the bargaining period was
initiated by an organisation of employees—that organisation;
(b) if the bargaining period was
initiated by an employee or employees—any employee who is a negotiating party
to the proposed collective agreement, or a group of such employees acting
jointly.
Note: For joint applications, see section 455.
Employee applications need support of prescribed number
of employees
(4) An employee, or a group of such employees
acting jointly, cannot make an application unless the application has the
support of at least the prescribed number of relevant employees.
Note: Prescribed number is defined in
section 450.
Employee applicants can appoint agent
(5) A person or persons referred to in paragraph (3)(b)
who wish to make an application under this section without disclosing their
identities to their employer may appoint an agent to represent them for all
purposes connected with the application.
452
Contents of application
(1) The application must include the
following:
(a) the question or questions to be
put to the relevant employees in the ballot, including the nature of the
proposed industrial action;
(b) details of the types of employees
who are to be balloted;
(c) any details required by Rules of
the Commission (see subsection (3)).
(2) The application may include the name of a
person nominated by the applicant to conduct the ballot.
Note: The question of who conducts the ballot is
ultimately decided by the Commission—see paragraph 463(1)(e) and section 480.
(3) Without limiting the generality of
section 124, Rules of the Commission made under that section may deal
with:
(a) the matters to be included in an
application for a ballot order; and
(b) the form in which the application
is to be made.
453
Material to accompany application
(1) The application must be accompanied by:
(a) a copy of the notice given under
subsection 423(3) to initiate the relevant bargaining period; and
(b) a copy of the particulars that
accompanied that notice as required by section 426; and
(c) a declaration by the applicant
under subsection (4) of this section.
(2) If the applicant is an organisation of
employees, the application must be accompanied by a written notice showing that
the application has been duly authorised by a committee of management of the
organisation or by someone authorised by such a committee to authorise the
application.
(3) If the applicant is an employee, or a
group of employees, represented by an applicant’s agent, the application must
be accompanied by a document containing the name of the employee, or each of
those employees.
(4) The applicant’s declaration must state
that the industrial action to which the application relates is not for the
purpose of supporting or advancing claims to include in the proposed collective
agreement any prohibited content.
(5) The declaration must be in the form
prescribed by the regulations.
(6) A person commits an offence if:
(a) the person makes, or joins in
making, a declaration under subsection (4); and
(b) the declaration contains a
statement that is false or misleading in a material particular.
Penalty for contravention of this subsection: 30 penalty
units.
454
Notice of application
The applicant must give a copy of the
application (but not the material referred to in section 453) to:
(a) the other party; and
(b) any person nominated in the
application to conduct the ballot;
within 24 hours after lodging the application with the
Commission.
455
Joint applications
(1) If the bargaining period for the proposed
collective agreement was initiated by an employee, 2 or more employees who are
negotiating parties may make a joint application for a ballot order.
(2) An employee who has participated in
making a joint application may withdraw his or her name from the application before
the application is determined but cannot do so after the application is
determined by the Commission.
(3) If employees have made a joint
application, the name of another employee who is a negotiating party may,
before the application is determined, be joined to the application if the other
applicants consent.
(4) Without limiting the generality of
section 124, Rules of the Commission made under that section may deal
with:
(a) in the case of a provision of this
Act permitting an applicant for a ballot order to do any thing—how the
provision is to apply to joint applicants; and
(b) in the case of a provision of this
Act requiring an applicant for a ballot order to be given notice, or otherwise
informed, of any thing—how the requirement is to be fulfilled in relation to
joint applicants.
Subdivision C—Determination of application and order for ballot to be held
456
Commission may notify parties etc. of procedure
If:
(a) an application for a ballot order
is lodged with the Commission; and
(b) the Commission considers that
notifying the parties, or a person who may become the authorised ballot agent,
of the procedure to be followed by the Commission in dealing with that
application will not delay, and may expedite, the determination of the
application;
the Commission may notify the parties or person concerned
accordingly.
457
Commission to act quickly in relation to application etc.
(1) In exercising its powers under this
Division, the Commission:
(a) must act as quickly as is
practicable; and
(b) must, as far as is reasonably
possible, determine all applications made under this Division within 2 working
days after the application is made.
Note: In exercising its powers, the Commission is
also required to act according to equity, good conscience and the substantial
merits of the case, without regard to technicalities and legal forms (see
paragraph 110(1)(c)). It is not bound by the rules of evidence, and may inform
itself in any manner it considers just (see paragraph 110(1)(b)).
(2) However, the Commission must not
determine an application for a ballot order until it is satisfied that:
(a) the applicant has complied with
section 454; and
(b) the persons referred to in
subsections 458(1) and (2) have had a reasonable opportunity to make
submissions in relation to the application.
458
Parties and relevant employees may make submissions and apply for directions
(1) A party or a relevant employee may make
submissions, and may apply for directions, relating to:
(a) an application for a ballot order;
or
(b) any aspect of the conduct of a
protected action ballot.
(2) A person nominated in an application to
conduct a ballot may make submissions, and apply for directions, relating to
the application.
(3) An authorised ballot agent may make
submissions, and apply for directions, relating to any aspect of a protected
action ballot.
(4) The Commission may decline to consider a
person’s submission if the Commission is satisfied that the submission is
vexatious, frivolous, misconceived or lacking in substance.
459
Commission may make orders or give directions
(1) The Commission may make orders, or give
directions, in connection with:
(a) an application for a ballot order;
or
(b) any aspect of the conduct of a
protected action ballot.
(2) Without limiting subsection (1), the
Commission may make orders, or give directions, aimed at ensuring that a
protected action ballot is conducted expeditiously.
(3) In deciding whether to make an order, or
give a direction, under this section, and in deciding the content of any such
order or direction, the Commission must have regard to the desirability of the
ballot results being available to the parties within 10 days after the ballot
order is made.
460
Commission procedure regarding multiple applications
(1) If:
(a) more than one application for a
ballot order is before the Commission for determination; and
(b) the applications relate to
industrial action by employees of the same employer or by employees at the same
place of work; and
(c) the Commission considers that
determining the applications at the same time will not unreasonably delay the
determination of any of the applications;
the Commission may determine the applications at the same
time.
(2) If:
(a) the Commission has made an order
requiring a ballot to be held in relation to industrial action by employees of
an employer, or by employees at a place of work; and
(b) the Commission proposes to make
another order requiring a ballot to be held in relation to industrial action
against that employer, or at the same place of work; and
(c) the Commission considers that the
level of disruption of the employer’s business, or at the place of work (as the
case requires), could be reduced if the ballots were held at the same time; and
(d) the Commission considers that
requiring the ballots to be held at the same time will not unreasonably delay
the conduct of either ballot;
the Commission may make, or vary, the relevant orders so
as to require the ballots to be held at the same time.
461
Application not to be granted unless certain conditions are met
Commission must be satisfied of various matters
(1) The Commission must grant an application
for a ballot order if, and must not grant the application unless, it is
satisfied that:
(a) during the bargaining period, the
applicant genuinely tried to reach agreement with the employer of the relevant
employees; and
(b) the applicant is genuinely trying
to reach agreement with the employer; and
(c) the applicant is not engaged in
pattern bargaining.
Note 1: An application for a ballot order must comply
with the requirements set out in Subdivision B.
Note 2: To work out when a bargaining period began, see
section 427.
Note 3: For other provisions relating to pattern
bargaining, see:
(a) section 431; and
(b) section 439; and
(c) section 497.
When Commission has discretion to refuse application
(2) Despite subsection (1), the
Commission may refuse the application if it is satisfied:
(a) that granting the application
would be inconsistent with the object of this Division (see section 449);
or
(b) that the applicant, or a relevant
employee, has at any time contravened a provision of this Division or an order
made, or direction given, under this Division.
462
Grant of application—order for ballot to be held
If the Commission grants the
application, the Commission must order the applicant to hold a protected action
ballot.
463
Matters to be included in order
(1) An order for a protected action ballot to
be held must specify the following:
(a) the name of:
(i) if the applicant is an
organisation of employees—the organisation; or
(ii) if the applicant is an
employee, or a group of employees, represented by an applicant’s agent—the
applicant’s agent; or
(iii) if the applicant is an
employee, or a group of employees, not represented by an applicant’s agent—the
employee or employees;
(b) the types of employees who are to
be balloted;
(c) the voting method;
(d) the timetable for the ballot,
including:
(i) the day on which the
roll of voters is to close, which must be a day at least 2 working days before
the day on which the ballot is to be held, or is to start to be held; and
(ii) the day on which the
ballot is to close, and the time (the voting closing time) on
that day by which votes must be received (if the order specifies a postal
ballot) or by which votes must be cast (if the order specifies an attendance
ballot);
(e) the name of the person authorised
by the Commission to conduct the ballot;
(f) the name of the person (if any)
authorised by the Commission to be the independent adviser for the ballot;
(g) the question or questions to be
put to the relevant employees in the ballot, including the nature of the
proposed industrial action.
Note 1: Section 480 specifies who may be
authorised by the Commission to conduct protected action ballots.
Note 2: Section 481 specifies who may be
authorised by the Commission to be the independent adviser for a protected
action ballot.
(2) The order must specify a postal ballot as
the voting method unless:
(a) the order specifies another voting
method; and
(b) the Commission is satisfied that
the other voting method is more efficient and expeditious than a postal ballot.
(3) If the order specifies a postal ballot as
the voting method, it must specify that the voting must take place by way of
declaration voting. For this purpose, a person votes by way of declaration
voting if the person:
(a) marks his or her vote on a ballot
paper; and
(b) places the ballot paper in a
declaration envelope; and
(c) seals that envelope and signs his or
her name in the space provided on the back flap of that envelope; and
(d) places that envelope in an outer
envelope that is addressed to the authorised ballot agent; and
(e) posts the outer envelope so that
it reaches the authorised ballot agent before the voting closing time on the
day on which the ballot is to close.
(4) If the order specifies an attendance
ballot as the voting method, then:
(a) votes must be cast before the
voting closing time on the day on which the ballot is to close; and
(b) subject to paragraph (a):
(i) the order must specify
that the voting must take place during the voters’ meal‑time or other
breaks, or outside their hours of employment; and
(ii) the order may also
specify other rules about the times when voters may vote.
(5) If the Commission is satisfied, in
relation to the proposed industrial action that is the subject of the order,
that there are exceptional circumstances justifying the period of written
notice referred to in paragraph 441(2)(b) being longer than 3 days, the order
may specify a longer period, of up to 7 days.
464
Guidelines for ballot timetables
(1) The President may develop guidelines in
relation to appropriate timetables for the conduct of protected action ballots.
The President may consult the Australian Electoral Commission, and any other
person, in developing guidelines.
(2) Guidelines developed under this section
are not legislative instruments.
465
Power of Commission to require information relevant to roll of voters
(1) The Commission may order the employer of
the relevant employees, or the applicant, or both, to provide:
(a) a list of employees of the type
described in the application; and
(b) any other information that it is
reasonable for the Commission to require in order to assist in the compilation
of a roll of voters for the proposed ballot.
(2) The order may require the list, or other
information, to be provided to the Commission or to the authorised ballot
agent.
(3) The order may require the list, or other
information, to be provided in whatever form the Commission considers
appropriate.
466
Roll to be compiled by Commission or ballot agent
If the Commission makes a ballot order,
it must:
(a) compile a list of the names of the
persons who are eligible to be included on the roll of voters for the ballot
and provide that list, as the roll of voters, to the authorised ballot agent;
or
(b) order, by separate order, the
authorised ballot agent to compile the roll of voters for the ballot.
467
Eligibility to be included on the roll
(1) A person is eligible to be included on
the roll of voters for the ballot if, and only if:
(a) if the applicant is an
organisation of employees—the person:
(i) was a member of the
organisation on the day the ballot order was made; and
(ii) was employed by the
employer on the day the ballot order was made; and
(iii) will, or would but for
the operation of an ITEA that has passed its nominal expiry date, be subject to
the proposed collective agreement; or
(b) if the applicant is an employee,
or a group of employees—the person:
(i) was employed by the
employer on the day the ballot order was made; and
(ii) will, or would but for
the operation of an ITEA that has passed its nominal expiry date, be subject to
the proposed collective agreement.
(2) A person is not eligible to be included
on the roll of voters for the ballot if, on the day the ballot order was made,
the person was bound by an ITEA whose nominal expiry date had not passed.
468
Adding or removing names from the roll
(1) If:
(a) a person requests the authorised
ballot agent to include the person’s name on the roll of voters for a protected
action ballot; and
(b) the ballot agent is satisfied that
the person is eligible to be included on the roll; and
(c) the request is made before the day
on which the roll of voters is to close;
the ballot agent must add the person’s name to the roll.
(2) If:
(a) a person applies to the Commission
for a declaration that the person is eligible to be included on the roll of
voters for the ballot; and
(b) the Commission is satisfied that
the person is eligible to be included on the roll; and
(c) the application is made before the
day on which the roll of voters is to close;
the Commission must make the declaration and direct the
authorised ballot agent to include the person’s name on the roll.
(3) If:
(a) a party, the authorised ballot
agent, or a person whose name is on the roll of voters for a protected action
ballot, applies to the Commission for a declaration that a person whose name
has been included on the roll of voters for the ballot is not eligible to be so
included; and
(b) the application is made before the
day on which the roll of voters is to close; and
(c) the Commission is satisfied that
the person is not eligible to be so included;
the Commission must make the declaration and direct the
authorised ballot agent to remove the person’s name from the roll.
(4) A person’s name cannot be added to, or
removed from, the roll of voters for a protected action ballot after the day on
which the roll of voters is to close.
469
Variation of order
Variation sought by applicant
(1) An applicant for a ballot order may apply
to the Commission, at any time before the order expires, to vary the ballot
order.
Variation sought by ballot agent
(2) The authorised ballot agent for a
particular ballot may apply to the Commission, at any time before the ballot
has closed, to vary:
(a) the voting method specified in the
ballot order; or
(b) the timetable for the ballot
specified in the ballot order.
470
Expiry and revocation of order
(1) If a ballot has not been held within the
period specified in the ballot order, the order expires at the end of that
period.
(2) An applicant for a ballot order may apply
to the Commission, at any time before the order expires, to revoke the ballot
order.
(3) If the applicant makes an application
under subsection (2), the Commission must revoke the order.
471
Compliance with orders and directions
(1) A person to whom an order or a direction
under this Division is expressed to apply must comply with the order or
direction.
Civil remedy provisions
(2) Subsection (1) is a civil remedy
provision.
(3) The Court may order a person who has
contravened subsection (1) to pay a pecuniary penalty.
(4) The pecuniary penalty cannot be more than
300 penalty units for a body corporate or 60 penalty units in any other case.
(5) An application for an order under subsection (3)
may be made by:
(a) an employee who is eligible to be
included on the roll of voters for the protected action ballot concerned; or
(b) an employer of employees referred
to in paragraph (a); or
(c) an applicant for the order for the
protected action ballot concerned to be held; or
(d) a workplace inspector; or
(e) any other person prescribed by the
regulations.
Note: For other provisions about civil remedy
provisions, see Division 3 of Part 14.
472
Commission to notify parties and authorised ballot agent
(1) As soon as practicable after making a
ballot order, the Commission must ensure that a copy of the order is given to
each party and to the authorised ballot agent.
(2) As soon as practicable after varying a
ballot order, the Commission must ensure that a copy of the variation is given
to each party and to the authorised ballot agent.
(3) As soon as practicable after revoking a
ballot order, the Commission must ensure that a copy of the revocation is given
to each party and to the authorised ballot agent.
Subdivision D—Conduct and results of protected action ballot
473
Conduct of ballot
A ballot is not a protected action
ballot unless it is conducted by the authorised ballot agent for the ballot.
474
Form of ballot paper
The ballot paper must be in the
prescribed form and must include the following:
(a) the name of the applicant or the
applicant’s agent (as the case requires);
(b) the types of employees who are to
be balloted;
(c) the name of the ballot agent
authorised to conduct the ballot;
(d) the question or questions to be
put to the relevant employees in the ballot, including the nature of the proposed
industrial action;
(e) a statement that the voter’s vote
is secret and that the voter is free to choose whether or not to support the
proposed industrial action;
(f) instructions to the voter on how
to complete the ballot paper;
(g) the day on which the ballot is to
close.
475
Who can vote
A person cannot vote in a protected
action ballot unless the person’s name is on the roll of voters for the ballot.
476
Declaration of ballot results
As soon as practicable after the day on
which the ballot closes, the authorised ballot agent must, in writing:
(a) make a declaration of the results
of the ballot; and
(b) inform the parties and the
Industrial Registrar of the result.
477
Ballot reports
Report by authorised ballot agent
(1) As soon as practicable after the day on
which the ballot closes, the authorised ballot agent must give the Industrial
Registrar a written report about the conduct of the ballot.
Note: This subsection is a civil remedy provision:
see subsection (7).
(2) A report under subsection (1) must
set out details of:
(a) any complaints made to the
authorised ballot agent about the conduct of the ballot; and
(b) any irregularities in relation to
the conduct of the ballot that have come to the attention of the authorised
ballot agent.
(3) Subsection (2) does not limit subsection (1).
Report by authorised independent adviser
(4) As soon as practicable after the end of
the voting, the authorised independent adviser (if any) must give the
Industrial Registrar a written report about the conduct of the ballot.
Note: This subsection is a civil remedy provision:
see subsection (7).
(5) A report under subsection (4) must
set out details of:
(a) any complaints made to the
authorised independent adviser about the conduct of the ballot; and
(b) any irregularities in relation to
the conduct of the ballot that have come to the attention of the authorised
independent adviser.
(6) Subsection (5) does not limit subsection (4).
Civil remedy provisions
(7) Subsections (1) and (4) are civil
remedy provisions.
(8) The Court may order a person who has
contravened subsection (1) or (4) to pay a pecuniary penalty.
(9) The pecuniary penalty cannot be more than
300 penalty units for a body corporate or 60 penalty units in any other case.
(10) An application for an order under subsection (8)
may be made by:
(a) an employee who is eligible to be
included on the roll of voters for the protected action ballot concerned; or
(b) an employer of employees referred
to in paragraph (a); or
(c) an applicant for the order for the
protected action ballot concerned to be held; or
(d) a workplace inspector; or
(e) any other person prescribed by the
regulations.
Note: For other provisions about civil remedy
provisions, see Division 3 of Part 14.
Definitions
(11) In this section:
conduct, in relation to a protected action
ballot, includes, but is not limited to, the compilation of the roll of voters
for the ballot.
irregularity, in relation to the conduct of a
protected action ballot, includes, but is not limited to, an act or omission by
means of which the full and free recording of votes by all persons entitled to
record votes and by no other persons is, or is attempted to be, prevented or
hindered.
478
Effect of ballot
(1) Industrial action is authorised by a protected
action ballot if:
(a) the action was the subject of a
protected action ballot; and
(b) at least 50% of persons on the
roll of voters for the ballot voted in the ballot; and
(c) more than 50% of the votes validly
cast were votes approving the action; and
(d) the action commences during the 30‑day
period beginning on the date of the declaration of the results of the ballot.
Note: Industrial action must be authorised under
this Division if it is to be protected action under Division 3 (unless the
action is in response to industrial action by the employer)—see section 445.
(2) However, the action is not authorised to
the extent that it occurs after the end of the bargaining period referred to in
section 451.
Note: If another bargaining period is initiated
later, and industrial action is proposed for that later period, it can only be
authorised if a fresh application for a ballot order is granted, and the other
steps required by this Division are completed, during that later period.
(3) The Commission may, by order, extend the
30‑day period mentioned in paragraph (1)(d) by up to 30 days if the
employer and the applicant for the ballot order jointly apply to the Commission
for the period to be extended.
(4) The Commission must not make an order
under subsection (3) extending the 30‑day period if that period has
previously been extended.
479
Registrar to record questions put in ballot, and to publish results of ballot
(1) The Industrial Registrar must, in
relation to each protected action ballot that has been held, keep a record of:
(a) the questions put to voters in the
ballot; and
(b) the results of the ballot declared
by the authorised ballot agent under section 476.
(2) The Industrial Registrar must, as soon as
practicable after being informed of the results of a ballot by the authorised
ballot agent under section 476, publish the results.
Subdivision E—Authorised ballot agents and authorised independent advisers
480
Who may be an authorised ballot agent?
(1) In a ballot order, the Commission may
name as the authorised ballot agent:
(a) the Australian Electoral
Commission; or
(b) another person.
(2) The Commission must not name a person
other than the Australian Electoral Commission as the authorised ballot agent
for the ballot unless the Commission is satisfied that the person:
(a) is capable of ensuring the secrecy
and security of votes cast in the ballot; and
(b) is capable of ensuring that the
ballot will be fair and democratic; and
(c) will conduct the ballot
expeditiously; and
(d) is otherwise a fit and proper
person to conduct the ballot.
(3) The Commission must not name the
applicant as the authorised ballot agent for the ballot unless:
(a) the applicant nominates another
person to be the authorised independent adviser for the ballot; and
(b) the Commission names the other
person as the authorised independent adviser for the ballot.
Note: Section 481 specifies who may be
authorised by the Commission to be the independent adviser for a protected
action ballot.
(4) If the Commission is satisfied that a
person is not sufficiently independent of the applicant, the Commission must
not name the person as the authorised ballot agent for the ballot unless:
(a) the applicant nominates a third
person as the authorised independent adviser for the ballot; and
(b) the Commission names the third
person as the authorised independent adviser for the ballot.
Note: Section 481 specifies who may be
authorised by the Commission to be the independent adviser for a protected
action ballot.
(5) The regulations may prescribe:
(a) conditions that a person must meet
in order to satisfy the Commission that the person is a fit and proper person
to conduct a ballot; and
(b) factors to be taken into account
by the Commission in determining whether a person is a fit and proper person to
conduct a ballot.
481
Who may be an authorised independent adviser?
(1) In a ballot order, the Commission may
name a person nominated by the applicant as the authorised independent adviser.
(2) The Commission must not name a person as
the authorised independent adviser for the ballot unless the Commission is
satisfied that the person:
(a) is sufficiently independent of the
applicant; and
(b) is capable of giving the
authorised ballot agent:
(i) advice that is; and
(ii) recommendations that
are;
directed towards ensuring that
the ballot will be fair and democratic; and
(c) has consented to be so named.
(3) The regulations may prescribe factors to
be taken into account by the Commission in determining whether a person is
capable of giving an authorised ballot agent:
(a) advice that is; and
(b) recommendations that are;
directed towards ensuring that a protected action ballot
will be fair and democratic.
Subdivision F—Funding of ballots
482
Liability for cost of ballot
(1) The applicant for a ballot order is
liable for the cost of holding the ballot, whether or not the ballot is
completed.
(2) If the application for the ballot order
was made by joint applicants, each applicant is jointly and severally liable
for the cost of holding the ballot, whether or not the ballot is completed.
(3) Subsections (1) and (2) are, in
relation to completed ballots, subject to subsections 483(3) and (6).
(4) In this section:
cost of holding the ballot means:
(a) if the applicant, or one of the
applicants, is the authorised ballot agent—the costs incurred by the authorised
ballot agent in relation to the holding of the ballot; or
(b) otherwise—the amount the
authorised ballot agent charges to the applicant or applicants in relation to
the holding of the ballot.
483
Commonwealth has partial liability for cost of completed ballot
Authorised ballot agent someone other than the
Australian Electoral Commission
(1) If:
(a) the authorised ballot agent for
the ballot is not the Australian Electoral Commission; and
(aa) the ballot has been completed; and
(b) the applicant notifies the
Industrial Registrar of the cost of holding the ballot; and
(c) the applicant does so within a
reasonable time after the day on which the ballot closed;
the Industrial Registrar must determine how much (if any)
of that cost was reasonably and genuinely incurred in relation to the holding
of the ballot.
(2) If subsection (1) applies, the
Commonwealth is liable to pay to the authorised ballot agent 80% of the amount
determined under that subsection.
(3) The applicant is, to the extent of the
Commonwealth’s liability under subsection (2), discharged from liability
under section 482 for the cost of holding the ballot.
(4) The regulations may prescribe matters to
be taken into account by the Industrial Registrar in determining whether costs
are reasonably and genuinely incurred in relation to the holding of the ballot.
Authorised ballot agent the Australian Electoral
Commission
(5) If the authorised ballot agent for the
ballot is the Australian Electoral Commission, the Australian Electoral
Commission must certify, within a reasonable time after the completion of the
ballot, the amount of the reasonable costs charged by the Australian Electoral
Commission to the applicant in relation to holding the ballot.
(6) The applicant is, to the extent of 80% of
the amount certified under subsection (5), discharged from liability under
section 482 for the cost of holding the ballot.
Definition
(7) In this section:
cost of holding the ballot has the same
meaning as in section 482.
484
Liability for cost of legal challenges
(1) The regulations may make provision for
who is liable for costs incurred in relation to legal challenges to matters
connected with protected action ballots.
(2) The regulations may also make provision
for a person who is liable for costs referred to in subsection (1) to be
indemnified by another person for some or all of those costs.
(3) For the purposes of sections 482 and
483, costs of holding the ballot do not include costs referred to
in subsection (1) of this section.
Subdivision G—Miscellaneous
485
Identity of certain persons not to be disclosed by Commission
(1) The Commission must not disclose
information that the Commission has reasonable grounds to believe will identify
a person as:
(a) an applicant who is represented by
an applicant’s agent; or
(b) a relevant employee who was one of
the prescribed number of employees supporting an application for a ballot order
(as required by subsection 451(4)); or
(c) a person whose name appears on the
roll of voters for a protected action ballot; or
(d) a person who is a party to an ITEA.
(2) Each of the following is an exception to subsection (1):
(a) the disclosure is required or
authorised by this Act or by another Act, by regulations made for the purposes
of another provision of this Act, or by regulations made for the purposes of
another Act;
(b) the person whose identity is
disclosed has, in writing, authorised the disclosure.
486
Persons not to disclose identity of certain persons
(1) A person commits an offence if:
(a) the person discloses information;
and
(b) the information is protected
information; and
(c) the person has reasonable grounds
to believe that the information will identify another person as a person
referred to in paragraph 485(1)(a), (b), (c) or (d); and
(d) the disclosure is not made by the
person in the course of performing functions or duties:
(i) as a Registry
official; or
(ii) as, or on behalf of,
an authorised ballot agent; or
(iii) as an authorised
independent adviser; and
(e) the disclosure is not required or
authorised by this Act or by another Act, by regulations made for the purposes
of another provision of this Act, or by regulations made for the purposes of
another Act; and
(f) the person whose identity is
disclosed has not, in writing, authorised the disclosure.
Penalty: Imprisonment for 6 months.
(2) In this section:
protected information, in relation to a
person, means information that the person acquired:
(a) in the course of performing
functions or duties as a Registry official; or
(b) in the course of performing
functions or duties as, or on behalf of, an authorised ballot agent; or
(c) from a person referred to in paragraph (a)
or (b) who acquired the information as mentioned in paragraph (a) or (b).
Registry official means:
(a) the Industrial Registrar; or
(b) a member of the staff of the
Industrial Registry (including a Deputy Industrial Registrar).
487
Immunity if person acted in good faith on ballot results
(1) If:
(a) the results of a protected action
ballot, as declared by the authorised ballot agent, purported to authorise
particular industrial action; and
(b) an organisation or person, acting
in good faith on the declared ballot results, organised or engaged in that
industrial action; and
(c) it is subsequently determined that
the action was not authorised by the ballot;
no action lies against the organisation or person under
any law (whether written or unwritten) in force in a State or Territory in
respect of the action unless the action involved:
(d) personal injury; or
(e) wilful or reckless destruction of,
or damage to, property; or
(f) the unlawful taking, keeping or
use of property.
(2) Subsection (1) does not prevent an
action for defamation being brought in respect of anything that occurred in the
course of industrial action.
488
Limits on challenges etc. to ballot orders etc.
(1) An order of the Commission that a person
hold a protected action ballot, and any order, direction or decision of the
Commission in connection with the order:
(a) is final and conclusive; and
(b) must not be challenged, appealed
against, reviewed, quashed, set aside or called in question in any court on any
ground; and
(c) is not subject to mandamus,
prohibition, certiorari or injunction, or the making of a declaratory or other
order, in any court on any ground;
unless subsection (2) applies to the order or
decision.
(2) This subsection applies to an order for a
protected action ballot, or to an order, direction or decision of the
Commission in connection with the order, if:
(a) in proceedings relating to the
order, direction or decision, as the case requires, a person claims that
another person or persons:
(i) contravened this
Division, or an order or direction of the Commission under this Division, if
the contravention is not merely a technical breach; or
(ii) misled the Commission
(whether by a false statement or by an omission) in such a way as to affect the
order, direction or decision; and
(b) the court is satisfied that there
are reasonable grounds for the claim.
489
Limits on challenges etc. to ballots
(1) If a protected action ballot has been
conducted, or has purportedly been conducted:
(a) the declaration of the results of
the ballot is final and conclusive; and
(b) the declaration of the results of
the ballot must not be quashed or set aside by any court on any ground; and
(c) the conduct of the ballot, and the
declaration of the results of the ballot, must not be challenged, appealed
against, reviewed or called in question, as applicable, in any court on any
ground; and
(d) the conduct of the ballot, and the
declaration of the results of the ballot, are not subject to mandamus,
prohibition, certiorari or injunction, or the making of a declaratory or other
order, as applicable, in any court on any ground;
unless subsection (2) applies to the conduct or
declaration.
(2) This subsection applies to the conduct of
a protected action ballot, and to the declaration of the results of a ballot,
if:
(a) in proceedings relating to the
conduct or declaration, as the case requires, a person claims that another
person or persons:
(i) contravened this
Division, or an order or direction of the Commission under this Division, if
the contravention is not merely a technical breach; or
(ii) acted fraudulently in
relation to the conduct or declaration; or
(iii) acted in such a way as
to cause an irregularity in relation to the conduct or declaration, being an
irregularity that affected the outcome of the ballot; and
(b) the court is satisfied that there
are reasonable grounds for the claim.
(3) In this section:
conduct, in relation to a protected action
ballot, includes, but is not limited to, the compilation of the roll of voters
for the ballot.
irregularity, in relation to the conduct or
declaration of a protected action ballot, includes, but is not limited to, an
act or omission by means of which:
(a) the full and free recording of
votes by all persons entitled to record votes and by no other persons; or
(b) a correct ascertainment or
declaration of the results of the voting;
is, or is attempted to be, prevented or hindered.
490
Penalties not affected
Nothing in section 488 or 489 is to
be taken to prevent a penalty being imposed upon a person for a contravention
of this Act.
491
Preservation of roll of voters, ballot papers etc.
A person commits an offence if:
(a) the person has conducted a
protected action ballot; and
(b) the person was the authorised
ballot agent for the ballot; and
(c) the person fails to keep the
following for a period of one year after the day on which the ballot closed:
(i) the roll of voters;
(ii) all the ballot papers,
envelopes and other documents and records relevant to the ballot.
Penalty: Imprisonment for 6 months.
492
Conferral of function on Australian Electoral Commission
(1) If the Australian Electoral Commission is
the authorised ballot agent for a protected action ballot, it is a function of
the Australian Electoral Commission to conduct the ballot.
(2) If the Australian Electoral Commission
is:
(a) the ballot agent nominated in an
application for a ballot order; or
(b) the authorised ballot agent for
such a ballot;
the Australian Electoral Commission cannot make a
submission or an application to the Commission seeking to cease having that
status in relation to the ballot.
493
Regulations
The regulations may make provision in
relation to the following matters:
(a) the qualifications and appointment
of applicants’ agents;
(b) procedures to be followed in
relation to the conduct of a ballot, or class of ballot, under this Division;
(c) the qualifications, appointment,
powers and duties of scrutineers;
(d) the powers and duties of
authorised independent advisers;
(e) the manner in which ballot results
are to be published under section 479.
Division 5—Industrial action not to be engaged in before nominal expiry
date of workplace agreement or workplace determination
494
Industrial action etc. must not be taken before nominal expiry date of collective
agreement or workplace determinations
(1) From the day when:
(a) a collective agreement; or
(b) a workplace determination;
comes into operation until its nominal expiry date has
passed, an employee, organisation or officer covered by subsection (2)
must not organise or engage in industrial action (whether or not that action
relates to a matter dealt with in the agreement or determination).
Note 1: This subsection is a civil remedy provision:
see subsection (4).
Note 2: Action that contravenes this subsection is not
protected action (see section 440).
(2) For the purposes of subsection (1),
the following are covered by this subsection:
(a) an employee who is bound by the
agreement or determination;
(b) an organisation of employees that
is bound by the agreement or determination;
(c) an officer or employee of such an
organisation acting in that capacity.
(3) From the time when:
(a) a collective agreement; or
(b) a workplace determination;
is made until its nominal expiry date has passed, the
employer must not engage in industrial action against an employee whose
employment is subject to the agreement or determination (whether or not that
industrial action relates to a matter dealt with in the agreement or
determination).
Note 1: This subsection is a civil remedy provision:
see subsection (4).
Note 2: Action that contravenes this subsection is not
protected action (see section 440).
Civil remedy provisions
(4) Subsections (1) and (3) are civil
remedy provisions.
(5) The Court may make one or more of the
following orders in relation to a person who has contravened subsection (1)
or (3):
(a) an order imposing a pecuniary
penalty on the person;
(b) injunctions, and any other orders,
that the Court considers necessary to stop the contravention or remedy its
effects.
(6) The pecuniary penalty under paragraph (5)(a)
cannot be more than 300 penalty units for a body corporate or 60 penalty units
in any other case.
(7) An application for an order under subsection (5),
in relation to a contravention of subsection (1), may be made by:
(a) the employer concerned; or
(b) a workplace inspector; or
(c) any person affected by the
industrial action; or
(d) any other person prescribed by the
regulations.
(8) An application for an order under subsection (5),
in relation to a contravention of subsection (3), may be made by:
(a) the employee concerned; or
(b) an organisation of employees if:
(i) a member of the
organisation is employed by the employer concerned; and
(ii) the contravention
relates to, or affects, the member of the organisation or work carried on by
the member for that employer; or
(c) a workplace inspector; or
(d) any person affected by the
industrial action; or
(e) any other person prescribed by the
regulations.
Note: For other provisions about civil remedy
provisions, see Division 3 of Part 14.
495
Industrial action must not be taken before nominal expiry date of ITEA
(1) From the day when an ITEA comes
into operation until its nominal expiry date, the employee must not engage in
industrial action in relation to the employment to which the ITEA relates.
Note 1: This subsection is a civil remedy provision:
see subsection (3).
Note 2: Action that contravenes this subsection is not
protected action: see section 440.
(2) From the day when an ITEA comes
into operation until its nominal expiry date, the employer must not engage in
industrial action against the employee.
Note 1: This subsection is a civil remedy provision:
see subsection (3).
Note 2: Action that contravenes this subsection is not
protected action (see section 440).
Civil remedy provisions
(3) Subsections (1) and (2) are civil
remedy provisions.
(4) The Court may make one or more of the
following orders in relation to a person who has contravened subsection (1)
or (2):
(a) an order imposing a pecuniary
penalty on the person;
(b) injunctions, and any other orders,
that the Court considers necessary to stop the contravention or remedy its
effects.
(5) The pecuniary penalty under paragraph (4)(a)
cannot be more than 300 penalty units for a body corporate or 60 penalty units
in any other case.
(6) An application for an order under subsection (4),
in relation to a contravention of subsection (1), may be made by:
(a) the employer concerned; or
(b) a workplace inspector; or
(c) any other person prescribed by the
regulations.
(7) An application for an order under subsection (4),
in relation to a contravention of subsection (2), may be made by:
(a) the employee concerned; or
(b) an organisation of employees that
represents that employee if:
(i) that employee has
requested the organisation to apply on that employee’s behalf; and
(ii) a member of the
organisation is employed by that employee’s employer; and
(iii) the organisation is
entitled, under its eligibility rules, to represent the industrial interests of
that employee in relation to work carried on by that employee for the employer;
or
(c) a workplace inspector; or
(d) any other person prescribed by the
regulations.
Note: For other provisions about civil remedy provisions,
see Division 3 of Part 14.
Division 6—Orders and injunctions against industrial action
496
Orders and injunctions against industrial action—general
Orders relating to action by federal‑system
employees and employers
(1) If it appears to the Commission that
industrial action by an employee or employees, or by an employer, that is not,
or would not be, protected action:
(a) is happening; or
(b) is threatened, impending or
probable; or
(c) is being organised;
the Commission must make an order that the industrial
action stop, not occur and not be organised.
Orders relating to action by non‑federal system
employees and employers
(2) If it appears to the Commission that
industrial action by a non‑federal system employee or non‑federal
system employees, or by a non‑federal system employer:
(a) is:
(i) happening; or
(ii) threatened, impending
or probable; or
(iii) being organised; and
(b) will, or would, be likely to have
the effect of causing substantial loss or damage to the business of a constitutional
corporation;
the Commission must make an order that the relevant
industrial action stop, not occur and not be organised.
(3) For the purposes of subsection (2),
and other provisions of this Act as they relate to orders under that
subsection:
(a) non‑federal system
employee means a person who is an employee, within the ordinary meaning
of that word, but who is not covered by the definition of employee in
subsection 5(1); and
(b) non‑federal system
employer means a person who is an employer, within the ordinary meaning
of that word, but who is not covered by the definition of employer in
subsection 6(1); and
(c) section 420 (which defines industrial
action) applies as if references in that section to employees and
employers were instead references to non‑federal system employees and non‑federal
system employers.
Order may be made on application or on Commission’s own
initiative
(4) The Commission may make an order under subsection (1)
or (2) on its own initiative, or on the application of:
(a) a person who is affected (whether
directly or indirectly), or who is likely to be affected (whether directly or
indirectly), by the industrial action; or
(b) an organisation of which a person
referred to in paragraph (a) is a member.
Applications generally to be heard and determined
within 48 hours
(5) As far as practicable, the Commission
must hear and determine an application for an order under subsection (1)
or (2) within 48 hours after the application is made.
Interim orders if applications cannot be heard and
determined within 48 hours
(6) If the Commission is unable to determine
an application for an order under subsection (1) or (2) within the period
referred to in subsection (5), the Commission must (within that period)
make an interim order to stop and prevent engagement in, and organisation of,
the industrial action referred to in subsection (1) or (2).
(7) However, the Commission must not make
such an interim order if the Commission is satisfied that it would be contrary
to the public interest to do so.
(8) An interim order is to have effect until
the application is determined.
Commission does not have to specify the industrial
action
(9) In ordering under subsection (1),
(2) or (6) that industrial action stop, not occur and not be organised, the
Commission does not have to specify the particular industrial action.
Obligation to comply with orders
(10) A person to whom an order under subsection (1),
(2) or (6) is expressed to apply must comply with the order.
(11) Subsection (10) is a civil remedy
provision.
(12) The Court may, on application by a person
affected by an order of the Commission under subsection (1), (2) or (6),
grant an injunction on such terms as the Court considers appropriate if it is
satisfied that another person:
(a) has engaged in conduct that
constitutes a contravention of subsection (10); or
(b) is proposing to engage in conduct
that would constitute such a contravention.
Note: For other provisions about civil remedy
provisions, see Division 3 of Part 14.
Orders do not apply to protected action
(13) An order under subsection (1), or
under subsection (6) that relates to an application for an order under subsection (1),
does not apply to protected action.
497
Injunction against industrial action if pattern bargaining engaged in in
relation to proposed collective agreement
The Court may grant an injunction in
such terms as the Court considers appropriate if, on application by any person,
the Court is satisfied that:
(a) industrial action in relation to a
proposed collective agreement is being engaged in, or is threatened,
impending or probable; and
(b) the industrial action is or would
be for the purpose of supporting or advancing claims made by a negotiating
party to the proposed collective agreement; and
(c) the party is engaged in pattern
bargaining in relation to the proposed collective agreement.
Note: For other provisions relating to pattern
bargaining, see:
(a) section 431; and
(b) section 439; and
(c) section 461.
Division 7—Ministerial declarations terminating bargaining periods
498
Minister’s declaration
Making of declaration
(1) The Minister may make a written
declaration terminating a specified bargaining period, or specified bargaining
periods, if the Minister is satisfied that:
(a) industrial action is being taken,
or is threatened, impending or probable; and
(b) the industrial action is adversely
affecting, or would adversely affect, the employer or employers who are
negotiating parties, or employees of the employer or employers; and
(c) the industrial action is
threatening, or would threaten:
(i) to endanger the life,
the personal safety or health, or the welfare, of the population or of part of
it; or
(ii) to cause significant
damage to the Australian economy or an important part of it.
Note: See also Division 8 (about workplace
determinations once a bargaining period has been terminated).
(2) The declaration takes effect on the day
that it is made.
Making persons aware of the declaration
(3) The Minister must publish the declaration
in the Gazette.
(4) The Minister must inform the Commission
of the making of the declaration.
(5) The Minister must, as soon as reasonably
practicable, take all reasonable steps to make the negotiating parties to the
proposed collective agreement or agreements concerned aware:
(a) of the making of the declaration;
and
(b) of the effect of Division 8
(about workplace determinations once a bargaining period has been terminated);
and
(c) that the negotiating parties may
agree to submit the matters at issue to an alternative dispute resolution
process conducted by the Commission or another provider (see Divisions 4
and 6 of Part 13).
Restriction on initiating new bargaining period
(6) The Minister may specify in the
declaration that, during a specified period beginning on the day that the
declaration is made, a specified person:
(a) is not allowed to initiate a new
bargaining period in relation to specified matters that are dealt with by the
proposed collective agreement or agreements concerned; or
(b) may initiate such a bargaining
period only on specified conditions.
Declaration not a legislative instrument
(7) A declaration made under subsection (1)
is not a legislative instrument.
499
Minister’s directions to remove or reduce the threat
(1) If the Minister makes a declaration under
498, the Minister may make the following kinds of written directions if the
Minister is satisfied that they are reasonably directed to removing or reducing
the threat referred to in paragraph 498(1)(c):
(a) directions requiring specified
negotiating parties, or specified employees of an employer who is a negotiating
party, to take specified actions;
(b) directions requiring specified
negotiating parties, or specified employees of an employer who is a negotiating
party, to refrain from taking specified actions.
Making persons aware of the directions
(2) The Minister must, as soon as reasonably
practicable, take all reasonable steps to make the specified persons concerned
aware of the directions.
Directions not legislative instruments
(3) Directions made under subsection (1)
are not legislative instruments.
Compliance with directions
(4) A person must comply with a direction
under this section.
Civil remedy provisions
(5) Subsection (4) is a civil remedy
provision.
(6) The Court may order a person who has
contravened subsection (4) to pay a pecuniary penalty.
(7) The pecuniary penalty cannot be more than
300 penalty units for a body corporate or 60 penalty units in any other case.
(8) An application for an order under subsection (6)
may be made by a workplace inspector.
Note: For other provisions about civil remedy
provisions, see Division 3 of Part 14.
Division 8—Workplace determinations
500
Application of Division
This Division applies if a bargaining
period has been terminated:
(a) on the ground set out in
subsection 430(3); or
(b) because a declaration has been
made under Division 7.
501
Definitions
In this Division:
matters at issue means the matters that were
at issue during the bargaining period.
negotiating period has the meaning given by
section 502.
502
Negotiating period
(1) The negotiating period is
the period that:
(a) starts on the day on which the
bargaining period was terminated; and
(b) ends:
(i) if the Commission has
not extended the period under subsection (2)—21 days after that day; or
(ii) if the Commission has
so extended the period—42 days after that day.
(2) The Commission must extend the period if:
(a) all of the negotiating parties
apply to the Commission for an extension under this subsection within 21 days
after the day on which the bargaining period was terminated; and
. (b) the negotiating parties have not
settled the matters at issue (whether or not by making a workplace agreement).
503
When Full Bench must make workplace determination
(1) The Commission must make a determination
(a workplace determination) under this section if:
(a) the negotiating period has ended;
and
(b) the negotiating parties have not
settled the matters at issue (whether or not by making a workplace agreement).
(2) The workplace determination can be made
only by a Full Bench.
(3) The Full Bench must make the workplace
determination as quickly as practicable after the end of the negotiating
period.
(4) For the purposes of paragraph (1)(b),
the negotiating parties are taken not to have settled the matters at issue if:
(a) the negotiating parties make a
workplace agreement purporting to settle the matters at issue; and
(b) the workplace agreement is not
approved in accordance with section 340.
(5) Workplace determinations are not
legislative instruments.
504
Content of workplace determination
(1) The workplace determination must contain
terms that, in the opinion of the Full Bench, deal with the matters at issue.
(2) The workplace determination comes into
operation on the day on which it is made.
(3) The workplace determination must contain
a term specifying a nominal expiry date for the determination that is no later
than 5 years after the date on which the determination commences operating.
(4) The workplace determination must not
contain prohibited content.
(5) In deciding which terms to include in the
workplace determination, the Full Bench must have regard to the following
factors only:
(a) the matters at issue;
(b) the merits of the case;
(c) the interests of the negotiating
parties and the public interest;
(d) how productivity might be improved
in the business or part of the business concerned;
(e) the extent to which the conduct of
the negotiating parties during the bargaining period was reasonable;
(f) incentives to encourage parties
to pursue negotiated outcomes at a later stage;
(g) the employer’s capacity to pay;
(h) decisions of the AFPC;
(i) any other factors specified in
the regulations.
(6) The workplace determination must
require disputes about matters arising under the determination to be dealt with
in accordance with the model dispute resolution process (see Part 13).
(7) The workplace determination must not
contain any terms other than those required by this section.
505
Who is bound by a workplace determination?
A workplace determination binds:
(a) the negotiating parties referred
to in subsection 503(1)(b); and
(b) all employees whose employment is
subject to the determination.
506
Act applies to workplace determination as if it were a collective agreement
(1) Subject to this section, this Act applies
to the workplace determination as if it were a collective agreement in
operation.
(2) The following provisions do not apply to
the workplace determination:
(a) section 351 (persons bound by
workplace agreements);
(b) Subdivision A of
Division 7 of Part 8 (content of workplace agreements);
(c) Division 8 of Part 8
(varying workplace agreements).
(3) Subdivision B of Division 9 of Part 8
(termination by approval (pre‑lodgment procedures)) applies in relation
to the workplace determination, but only after the determination has passed its
nominal expiry date.
(4) Despite subsection 347(5), the
workplace determination ceases to be in operation in relation to an employee if
a collective agreement that binds the employee comes into operation, even if
this happens before the nominal expiry date of the determination.
Division 9—Payments in relation to periods of industrial action
507
Payments not to be made or accepted in relation to periods of industrial action
(1) This section applies if an employee
engaged, or engages, in industrial action (whether or not protected action) in
relation to an employer on a day.
(2) The employer must not make a payment to
an employee in relation to:
(a) if the total duration of the
industrial action on that day is less than 4 hours—4 hours of that day; or
(b) otherwise—the total duration of
the industrial action on that day.
Note: This subsection is a civil remedy provision:
see subsection (6).
(3) If:
(a) the industrial action is during a
shift (or other period of work); and
(b) the shift (or other period of
work) occurs partly on 1 day and partly on the next day;
then, for the purposes of this section, the shift is taken
to be a day and the remaining parts of the days are taken not to be part of
that day.
Example: An employee, who is working a shift from 10 pm on Tuesday until 7 am on Wednesday, engages in industrial action from 11 pm on Tuesday until 1 am on Wednesday. That industrial action would prevent the
employer making a payment to the employee in relation to 4 hours of the shift,
but would not prevent the employer from making a payment in relation to the
remaining 5 hours of the shift.
(4) For the purposes of subsection (3),
overtime is taken not to be a separate shift.
(5) An employee must not accept a payment
from an employer if the employer would contravene subsection (2) by making
the payment.
Note: This subsection is a civil remedy provision:
see subsection (6).
Civil remedy provisions
(6) Subsections (2) and (5) are civil
remedy provisions.
(7) The Court may make one or more of the
following orders in relation to a person who has contravened subsection (2)
or (5):
(a) an order imposing a pecuniary
penalty on the person;
(b) injunctions, and any other orders,
that the Court considers necessary to stop the contravention or remedy its
effects;
(c) any other consequential orders.
(8) The pecuniary penalty under paragraph (7)(a)
cannot be more than 300 penalty units for a body corporate or 60 penalty units
in any other case.
(9) An application for an order under subsection (7)
may be made by:
(a) a workplace inspector; or
(b) a person who has an interest in
the matter; or
(c) any other person prescribed by the
regulations.
Note: For other provisions about civil remedy
provisions, see Division 3 of Part 14.
(10) A regulation prescribing persons for the
purposes of paragraph (9)(c) may limit its application to specified
circumstances.
508
Organisations not to take action for payments in relation to periods of
industrial action
(1) An organisation, or an officer, member or
employee of an organisation, must not:
(a) make a claim for an employer to
make a payment to an employee in relation to a day during which the employee
engaged, or engages, in industrial action; or
(b) organise or engage in, or threaten
to organise or engage in, industrial action against an employer with intent to
coerce the employer to make such a payment.
Note: This subsection is a civil remedy provision:
see subsection (4).
(2) For the purposes of subsection (1),
action done by one of the following bodies or persons is taken to have been
done by an organisation:
(a) the committee of management of the
organisation;
(b) an officer, employee or agent of
the organisation acting in that capacity;
(c) a member or group of members of
the organisation acting under the rules of the organisation;
(d) a member of the organisation, who
performs the function of dealing with an employer on behalf of the member and
other members of the organisation, acting in that capacity.
(3) Paragraphs (2)(c) and (d) do not
apply if:
(a) a committee of management of the
organisation; or
(b) a person authorised by the
committee; or
(c) an officer of the organisation;
has taken reasonable steps to prevent the action.
Civil remedy provisions
(4) Subsection (1) is a civil remedy
provision.
(5) The Court may make one or more of the
following orders in relation to a person who has contravened subsection (1):
(a) an order imposing a pecuniary
penalty on the person;
(b) an order requiring the person to
pay to the employer concerned compensation of such amount as the Court thinks
appropriate;
(c) injunctions, and any other orders,
that the Court considers necessary to stop the contravention or remedy its
effects;
(d) any other consequential orders.
(6) The pecuniary penalty under paragraph (5)(a)
cannot be more than 300 penalty units for a body corporate or 60 penalty units
in any other case.
(7) The Court must not make an order under paragraph (5)(b)
if the employer concerned has contravened subsection 507(2) in connection with
the contravention of subsection (1) of this section.
(8) An application for an order under subsection (5)
may be made by:
(a) the employer concerned; or
(b) a workplace inspector; or
(c) a person who has an interest in
the matter; or
(d) any other person prescribed by the
regulations.
Note: For other provisions about civil remedy
provisions, see Division 3 of Part 14.
(9) A regulation prescribing persons for the
purposes of paragraph (8)(d) may limit its application to specified
circumstances.
509
Persons not to coerce people for payments in relation to periods of industrial
action
(1) A person must not take, or threaten to
take, action that would have the effect of directly or indirectly prejudicing
the engagement, or possible engagement, of another person as an independent
contractor with the intention of coercing the other person to make a payment to
an employee of the other person in relation to a day on which the employee
engaged or engages in industrial action (whether or not protected action).
Civil remedy provisions
(2) Subsection (1) is a civil remedy
provision.
(3) The Court may make one or more of the
following orders in relation to a person who has contravened subsection (1):
(a) an order imposing a pecuniary
penalty on the person;
(b) injunctions, and any other orders,
that the Court considers necessary to stop the contravention or remedy its
effects;
(c) any other consequential orders.
(4) The pecuniary penalty under paragraph (3)(a)
cannot be more than 300 penalty units for a body corporate or 60 penalty units
in any other case.
(5) An application for an order under subsection (3)
may be made by:
(a) the other person referred to in subsection (1);
or
(b) a workplace inspector; or
(c) a person who has an interest in
the matter; or
(d) any other person prescribed by the
regulations.
Note: For other provisions about civil remedy
provisions, see Division 3 of Part 14.
(6) A regulation prescribing persons for the
purposes of paragraph (5)(d) may limit its application to specified
circumstances.
Interpretation
(7) In this section, a reference to an
independent contractor is not confined to a natural person.
Part 10—Awards
Division 1—Preliminary
510
Objects of Part
The objects of this Part are:
(a) to ensure that minimum safety net
entitlements are protected through a system of enforceable awards maintained by
the Commission; and
(c) to ensure that the Commission
performs its functions under this Part in a way that:
(i) encourages the making
of agreements between employers and employees at the workplace or enterprise
level; and
(ii) protects the
competitive position of young people in the labour market, promotes youth
employment, youth skills and community standards, and assists in reducing youth
unemployment.
511
Performance of functions by the Commission
(1) The Commission must perform its functions
under this Part in a way that furthers the objects of this Act and, in
particular, the objects of this Part.
(2) In performing its functions under this
Part, the Commission must have regard to:
(a) the desirability of high levels of
productivity, low inflation, creation of jobs and high levels of employment;
and
(b) decisions of the AFPC, and, in
particular, the need to ensure that Commission decisions are not inconsistent
with AFPC decisions; and
(c) the importance of providing
minimum safety net entitlements that do not act as a disincentive to bargaining
at the workplace level.
512
Extraterritorial extension
(1) This Part, and the rest of this Act so
far as it relates to this Part, extend:
(a) to an employee outside Australia
who meets any of the conditions in this section; and
(b) to the employee’s employer
(whether the employer is in or outside Australia); and
(c) to acts, omissions, matters and
things relating to the employee (whether they are in or outside Australia).
Note: In this context, Australia
includes the Territory of Christmas Island, the Territory of Cocos (Keeling) Islands
and the coastal sea. See section 15B and paragraph 17(a) of the Acts
Interpretation Act 1901.
In Australia’s exclusive economic zone
(2) One condition is that the employee is in Australia’s
exclusive economic zone and either:
(a) is an employee of an Australian
employer and is not prescribed by the regulations as an employee to whom this
subsection does not apply; or
(b) is an employee prescribed by the
regulations as an employee to whom this subsection applies.
Note: The regulations may prescribe the employee by
reference to a class. See subsection 13(3) of the Legislative Instruments
Act 2003.
On Australia’s continental shelf outside exclusive
economic zone
(3) Another condition is that the employee:
(a) is outside the outer limits of
Australia’s exclusive economic zone, but is in, on or over a part of
Australia’s continental shelf prescribed by the regulations for the purposes of
this subsection, in connection with the exploration of the continental shelf or
the exploitation of its natural resources; and
(b) meets the requirements that are
prescribed by the regulations for that part.
Note: The regulations may prescribe different
requirements relating to different parts of Australia’s continental shelf. The
regulations may need to do so to give effect to Australia’s international
obligations.
Outside Australia’s exclusive economic zone and
continental shelf
(4) Another condition is that the employee:
(a) is neither in Australia’s
exclusive economic zone nor in, on or over a part of Australia’s continental
shelf described in paragraph (3)(a); and
(b) is an Australian‑based
employee of an Australian employer; and
(c) is not prescribed by the
regulations as an employee to whom this subsection does not apply.
Definition
(5) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
Division 2—Terms that may be included in awards
Subdivision A—Allowable award matters
513
Allowable award matters
(1) Subject to this Part, an award may
include terms about the following matters (allowable award matters)
only:
(a) ordinary time hours of work and
the time within which they are performed, rest breaks, notice periods and
variations to working hours;
(b) incentive‑based payments and
bonuses;
(c) annual leave loadings;
(d) ceremonial leave;
(e) leave for the purpose of seeking
other employment after the giving of a notice of termination by an employer to
an employee;
(f) observance of days declared by or
under a law of a State or Territory to be observed generally within that State
or Territory, or a region of that State or Territory, as public holidays by
employees who work in that State, Territory or region, and entitlements of
employees to payment in respect of those days;
(g) days to be substituted for, or a
procedure for substituting, days referred to in paragraph (f);
(h) monetary allowances for:
(i) expenses incurred in
the course of employment; or
(ii) responsibilities or
skills that are not taken into account in rates of pay for employees; or
(iii) disabilities
associated with the performance of particular tasks or work in particular
conditions or locations;
(i) loadings for working overtime or
for shift work;
(j) penalty rates;
(k) redundancy pay, within the meaning
of subsection (4);
(l) stand‑down provisions;
(m) dispute settling procedures, but
only as provided by section 514;
(n) type of employment, such as full‑time
employment, casual employment, regular part‑time employment and shift
work;
(o) conditions for outworkers, but
only to the extent necessary to ensure that their overall conditions of
employment are fair and reasonable in comparison with the conditions of
employment specified in a relevant award or awards for employees who perform
the same kind of work at an employer’s business or commercial premises.
Note 1: The matters referred to in subsection 513(1)
have a meaning that is affected by section 515.
Note 2: Entitlements relating to certain matters that
were allowable award matters immediately before the reform commencement are
preserved under Division 3.
(2) A matter referred to in subsection (1)
is an allowable award matter only to the extent that the matter pertains to the
relationship between employers bound by the award and employees of those
employers.
(3) An award may include terms about the
matters referred to in subsection (1) only to the extent that the terms
provide minimum safety net entitlements.
(4) For the purposes of paragraph (1)(k),
redundancy pay means redundancy pay in relation to a termination
of employment that is:
(a) by an employer of 15 or more
employees; and
(b) either:
(i) at the initiative of
the employer and on the grounds of operational requirements; or
(ii) because the employer
is insolvent.
(5) For the purposes of paragraph (4)(a):
(a) whether an employer employs 15 or
more employees, or fewer than 15 employees, is to be worked out as at the time
(the relevant time):
(i) when notice of the
redundancy is given; or
(ii) when the redundancy
occurs;
whichever happens first; and
(b) a reference to employees includes
a reference to:
(i) the employee who
becomes redundant and any other employee who becomes redundant at the relevant
time; and
(ii) any casual employee
who, at the relevant time, has been engaged by the employer on a regular and
systematic basis for at least 12 months (but not including any other casual
employee).
(6) For the purposes of paragraph (1)(o):
conditions does not include pay.
outworker means an employee who, for the
purposes of the business of the employer, performs work at private residential
premises or at other premises that are not business or commercial premises of
the employer.
514
Dispute settling procedures
(1) Each award is taken to include a term
that specifies a model dispute resolution process in the same terms as the
model dispute resolution process set out in Division 1 of Part 13,
and a term providing for any other dispute settling process or procedure is
taken not to be about an allowable award matter for the purposes of paragraph 513(1)(m).
(2) The dispute settling process included in
an award may only be used to resolve disputes:
(a) about matters arising under the
award; and
(b) between persons bound by the
award.
515
Matters that are not allowable award matters
(1) For the purposes of subsection 513(1),
matters that are not allowable award matters within the meaning of that
subsection include, but are not limited to, the following:
(a) rights of an organisation of
employers or employees to participate in, or represent an employer or employee
in, the whole or part of a dispute settling procedure, unless the organisation
is the representative of the employer’s or employee’s choice;
(b) conversion from casual employment
to another type of employment;
(c) the number or proportion of
employees that an employer may employ in a particular type of employment;
(d) prohibitions (whether direct or
indirect) on an employer employing employees in a particular type of
employment;
(e) the maximum or minimum hours of
work for regular part‑time employees;
(f) restrictions on the range or
duration of training arrangements;
(g) restrictions on the engagement of
independent contractors and requirements relating to the conditions of their
engagement;
(h) restrictions on the engagement of
labour hire workers, and requirements relating to the conditions of their
engagement, imposed on an entity or person for whom the labour hire worker
performs work under a contract with a labour hire agency;
(i) union picnic days;
(j) tallies in the meat industry;
(k) dispute resolution training leave;
(l) trade union training leave.
(2) Paragraph (1)(e) does not prevent
any of the following being included in an award:
(a) terms setting a minimum number of
consecutive hours that an employer may require a regular part‑time
employee to work;
(b) terms facilitating a regular
pattern in the hours worked by regular part‑time employees.
(3) Paragraph (1)(g) does not limit the
operation of paragraph 513(1)(o).
(4) In this section:
labour hire agency means an entity or a
person who conducts a business that includes the employment or engagement of
workers for the purpose of supplying those workers to another entity or person
under a contract with that other entity or person.
labour hire worker means a person:
(a) who:
(i) is employed by a
labour hire agency; or
(ii) is engaged by a labour
hire agency as an independent contractor; and
(b) who performs work for another
entity or person under a contract between that entity or person and the labour
hire agency.
Note: In this Part, references to independent
contractors are not confined to natural persons (see subsection 4(2)).
516
Matters provided for by the Australian Fair Pay and Conditions Standard
(1) A matter for which provision is made by
the Australian Fair Pay and Conditions Standard is not an allowable award
matter, except as mentioned in subsection (2).
(2) Despite subsection (1), an award may
include a term about ordinary time hours of work.
Note: An award may also include preserved award terms
(see section 520).
517
Awards may not include terms involving discrimination and preference
To the extent that a term of an award
requires or permits, or has the effect of requiring or permitting, any conduct
that would contravene Part 16, it is taken not to be about allowable award
matters.
518
Awards may not include certain terms about rights of entry
To the extent that a term of an award
requires or authorises an officer or employee of an organisation:
(a) to enter premises:
(i) occupied by an
employer that is bound by the award; or
(ii) in which work to which
the award applies is being carried on; or
(b) to inspect or view any work,
material, machinery, appliance, article, document or other thing on such
premises; or
(c) to interview an employee on such
premises;
it is taken not to be about allowable award matters.
519
Awards may not include enterprise flexibility provisions
To the extent that a term of an award is
an enterprise flexibility provision within the meaning of section 113A of
this Act as in force immediately before the reform commencement, it is taken
not to be about allowable award matters.
Subdivision B—Other terms that are permitted to be in awards
520
Preserved award terms
An award may include preserved award
terms (see Division 3).
521
Facilitative provisions
(1) An award may include a facilitative
provision that allows agreement at the workplace or enterprise level, between
employers and employees (including individual employees), on how a term in the
award about an allowable award matter or a preserved award term is to operate.
(2) A facilitative provision must not require
agreement between a majority of employees and an employer, but must permit
agreement between an individual employee and an employer, on how a term in an
award about an allowable award matter or a preserved award term is to operate.
(3) A facilitative provision may only operate
in respect of an allowable award matter or a preserved award term.
(4) A facilitative provision is of no effect
to the extent that it does not comply with subsections (2) and (3).
522
Incidental and machinery terms
(1) An award may include terms that are:
(a) incidental to an allowable award
matter about which there is a term in the award; and
(b) essential for the purpose of
making a particular term operate in a practical way.
(2) For the purposes of this section, to the
extent that a term of an award is about a matter that is not an allowable award
matter because of the operation of section 515, 517, 518 or 519, the term
is not, and cannot be, incidental to an allowable award matter, and is of no
effect to that extent.
(3) However, to avoid doubt, paragraph 515(1)(g)
does not limit the operation of subsections (1) and (4) to the extent that
those subsections relate to the matter referred to in paragraph 513(1)(o).
(4) An award may include machinery provisions
including, but not limited to, provisions about the following:
(a) commencement;
(b) definitions;
(c) titles;
(d) arrangement;
(e) employers, employees and organisations;
(f) term of the award.
523
Anti‑discrimination clauses
An award may include a model anti‑discrimination
clause.
524
Boards of reference
(1) An award may include, in accordance with subsection (2),
a term:
(a) appointing, or giving power to
appoint, for the purposes of the award, a board of reference consisting of a
person or 2 or more persons; and
(b) assigning to the board of
reference functions as described in subsection (4).
(2) A term of an award that appoints, or
gives power to appoint, a board of reference is taken:
(a) to continue in effect after the
reform commencement, to the extent that it complies with subsection (4);
and
(b) to cease to have effect after the
reform commencement, to the extent that it does not comply with subsection (4).
(4) A term of an award that appoints, or
gives power to appoint, a board of reference:
(a) may confer upon the board of
reference an administrative function in respect of allowing, approving, fixing
or dealing with, in the manner and subject to the conditions specified in the
award, a matter or thing that, under the award, may from time to time be
required to be allowed, approved, fixed or dealt with; and
(b) must not confer upon the board of
reference a function of settling or determining disputes about any matter
arising under the award.
(5) A function conferred under subsection (4)
may relate only to allowable award matters or terms permitted by this
Subdivision to be included in the award.
(6) A board of reference may consist of or include
a Commissioner.
(7) Subject to this section, the regulations
may make provision in relation to:
(a) a particular board of reference;
or
(b) boards of reference in general;
including, but not limited to, the functions and powers of
the board or boards.
Subdivision C—Terms in awards that cease to have effect
525
Terms in awards that cease to have effect after the reform commencement
(1) Immediately after the reform
commencement, a term of an award ceases to have effect to the extent that it is
about matters that are not allowable award matters, except to the extent (if
any) that the term is permitted by Subdivision B to be included in the award.
(2) This section does not affect the
operation of preserved award terms.
Subdivision D—Regulations relating to part‑time employees
526
Award conditions for part‑time employees
(1) The
regulations may do either or both of the following in relation to an award:
(a) provide for the award to have
effect so that a part‑time employee is entitled to conditions to which a
full‑time employee is entitled under the award;
(b) provide for the award to have
effect so that conditions to which a part‑time employee is otherwise
entitled under the award (including because of paragraph (a)) are adjusted
(in accordance with the regulations or a method set out in the regulations) in
proportion to the hours worked by the part‑time employee.
(2) The award has effect accordingly.
Division 3—Preserved award entitlements
527
Preservation of certain award terms
(1) A term, or more than one term, of an
award is a preserved award term if:
(a) the term or terms are about a
matter referred to in subsection (2); and
(b) the term or terms were in effect
immediately before the reform commencement.
Note: Section 525, which provides for certain
terms of awards to cease immediately after the reform commencement, does not
affect the operation of preserved award terms—see subsection 525(2).
(2) For the purposes of paragraph (1)(a),
the matters are as follows:
(a) annual leave;
(b) personal/carer’s leave;
(c) parental leave, including
maternity and adoption leave;
(d) long service leave;
(e) notice of termination;
(f) jury service;
(g) superannuation.
(3) If a term of an award referred to in subsection (1)
is about both matters referred to in subsection (2) and other matters, it
is taken to be a preserved award term only to the extent that it is about the
matters referred to in subsection (2).
(4) If more than one term of an award is
about a matter referred to in subsection (2), then those terms, taken
together, constitute the preserved award term of that award about that matter.
(6) A preserved award term continues to have
effect for the purposes of this Act.
Note: Preserved award terms may not be varied.
(7) In this section:
personal/carer’s leave includes war service
sick leave, infectious diseases sick leave and other like forms of sick leave.
(8) The regulations may provide that for the
purposes of subsection (2):
(a) the matter referred to in paragraph (2)(c)
does not include one or both of the following:
(i) special maternity
leave (within the meaning of section 265);
(ii) the entitlement
under section 268 to transfer to a safe job or to take paid leave; and
(b) personal/carer’s leave
does not include one or both of the following:
(i) compassionate leave
(within the meaning of section 257);
(ii) unpaid carer’s leave
(within the meaning of section 244).
Note: The effect of excluding a form of leave or an
entitlement in relation to a matter is that the entitlement in relation to that
form of leave or matter under the Australian Fair Pay and Conditions Standard
will automatically apply.
(9) Regulations under subsection (8) may
be expressed to apply generally or in respect of employees engaged in specified
types of employment, such as full‑time employment, part‑time
employment, casual employment, regular part‑time employment or shift
work.
529
When preserved award entitlements have effect
(1) This section applies to an employee if:
(a) the employee’s employment is
regulated by an award that includes a preserved award term about a matter; and
(b) the employee has an entitlement
(the preserved award entitlement) in relation to that matter
under the preserved award term.
(2) If:
(a) the preserved award term is about
a matter referred to in paragraph 527(2)(a), (b) or (c); and
(b) the employee’s preserved award
entitlement in relation to the matter is more generous than the employee’s
entitlement in relation to the corresponding matter under the Australian Fair
Pay and Conditions Standard;
the employee’s entitlement under the Australian Fair Pay
and Conditions Standard is excluded, and the employee’s preserved award
entitlement has effect in accordance with the preserved award term. Otherwise,
the employee’s entitlement under the Australian Fair Pay and Conditions
Standard has effect.
Note: See section 530 for the meaning of more
generous.
(3) If:
(a) the preserved award term is about
a matter referred to in paragraph 527(2)(a), (b) or (c) and the employee has no
entitlement in relation to the corresponding matter under the Australian Fair
Pay and Conditions Standard; or
(b) the preserved award term is about
a matter referred to in paragraph 527(2)(d), (e), (f) or (g);
the employee’s preserved award entitlement has effect in
accordance with the preserved award term.
Note: Subsection 16(2) provides that State laws
dealing with long service leave, jury service or superannuation (among other
things) are not excluded by this Act, but section 17 provides that awards
prevail over State laws to the extent of any inconsistency.
530
Meaning of more generous
(1) Whether an employee’s entitlement under a
preserved award term in relation to a matter is more generous
than the employee’s entitlement in relation to the corresponding matter under
the Australian Fair Pay and Conditions Standard:
(a) is as specified in, or as worked
out in accordance with a method specified in, regulations made under this
paragraph; or
(b) to the extent that regulations
made under paragraph (a) do not so specify—is to be ascertained in
accordance with the ordinary meaning of the term more generous.
(2) If a matter to which an entitlement under
a preserved award term relates does not correspond directly to a matter to
which the Australian Fair Pay and Conditions Standard relates, regulations made
under paragraph (1)(a) may nevertheless specify that the matters
correspond for the purposes of this Division.
531
Modifications that may be prescribed—personal/carer’s leave
(1) The
regulations may provide that a preserved award term about personal/carer’s
leave is to be treated as a separate preserved award term about separate
matters, to the extent that the preserved award term is about any of the
following:
(a) war service sick leave;
(b) infectious diseases sick leave;
(c) any other like form of sick leave.
(2) If the regulations so provide, sections 527,
529 and 530 have effect in relation to each separate matter.
Note: There is no entitlement in relation to war
service sick leave, infectious diseases sick leave or any other like form of
sick leave under the Australian Fair Pay and Conditions Standard, so there is
no corresponding matter for the purposes of subsection 529(3).
532
Modifications that may be prescribed—parental leave
(1) The regulations may provide that a
preserved award term about parental leave is to be treated as being about
separate matters to the extent that it is about paid and unpaid parental leave.
(2) If the regulations provide that a
preserved award term about parental leave is to be treated as being about
separate matters to the extent that it is about paid and unpaid parental leave:
(a) sections 527 and 529 have
effect in relation to each separate matter; and
(b) in accordance with section 266,
the entitlement that an employee would have to unpaid parental leave under the
Australian Fair Pay and Conditions Standard is reduced by any amount of paid
parental leave to which the employee is entitled under the preserved award
term.
Note 1: There is no entitlement in relation to paid parental
leave under the Australian Fair Pay and Conditions Standard, so there is no
corresponding matter for the purposes of subsection 529(3).
Note 2: Paragraph (b) does not have the effect of
reducing entitlements. It simply ensures that the operation of section 266
is not affected by treating paid and unpaid parental leave separately under the
regulations.
533
Preserved award terms—employers bound after reform commencement
An employer that was not bound by a
particular award immediately before the reform commencement, but is
subsequently bound by the award under section 557, is not bound by any
preserved award terms included in the award.
Division 5—Variation and revocation of awards
Subdivision A—Variation of awards
552
Variation of awards—general
(1) The Commission must not make an order
varying an award except:
(c) if the variation is essential to
the maintenance of minimum safety net entitlements (see section 553); or
(d) on a ground set out in section 554;
or
(e) to bind additional employers,
employees or organisations in accordance with section 557; or
(f) under section 812; or
(g) in circumstances prescribed by the
regulations for the purposes of this paragraph.
(2) The Commission must not vary a preserved
award term.
(3) The Commission must not vary a
facilitative provision within the meaning of section 521 except on a
ground set out in section 554.
(4) The Commission must not vary a term taken
to be included in an award by section 514 (which deals with dispute
settling procedures).
553
Variation of awards if essential to maintain minimum safety net entitlements
(1) An employer, employee or organisation
bound by an award may apply to the Commission for an order varying the award on
the ground that that the variation is essential to the maintenance of minimum
safety net entitlements.
(2) If an application is made under subsection (1),
the Commission must take such steps as it thinks appropriate to ensure that
each employer, employee and organisation bound by the award, and any other interested
persons and bodies, are made aware of the application.
(3) The Minister may intervene in relation to
the application.
(4) The Commission may make an order under
this subsection varying the award only if the Commission is satisfied that:
(a) the variation is essential to the
maintenance of minimum safety net entitlements; and
(b) all of the following conditions
are met:
(i) the award as varied
would not be inconsistent with decisions of the AFPC;
(ii) the award as varied
would provide only minimum safety net entitlements for employees bound by the
award;
(iv) the making of the
variation would not operate as a disincentive to agreement‑making at the
workplace level;
(v) such other requirements
prescribed by the regulations (if any) for the purposes of this paragraph have
been satisfied.
554
Variation of awards—other grounds
(1) The Commission may, if it considers that
an award or a term of an award is ambiguous or uncertain, make an order varying
the award so as to remove the ambiguity or uncertainty.
(2) If an award is referred to the Commission
under section 46PW of the Human Rights and Equal Opportunity Commission
Act 1986, the Commission must convene a hearing to review the award.
(3) In a review under subsection (2):
(a) the Commission must take such
steps as it thinks appropriate to ensure that each employer, employee and
organisation bound by the award is made aware of the hearing; and
(b) the Sex Discrimination
Commissioner may intervene in the proceeding.
(4) If the Commission considers that an award
reviewed under subsection (2) is a discriminatory award, the Commission
must take the necessary action to remove the discrimination by making an order
varying the award.
(5) The Commission may, on application by an
employer or organisation bound by an award, make an order varying a term of the
award referring by name to an employer or organisation bound by the award:
(a) to reflect a change in the name of
the employer or organisation; or
(b) if:
(i) the registration of
the organisation has been cancelled; or
(ii) the employer or
organisation has ceased to exist;
to omit the reference to its
name.
(6) The onus of demonstrating that an award
should be varied as set out in an application under subsection (5) rests
with the applicant.
(7) In this section:
discriminatory award means an award that:
(a) has been referred to the
Commission under section 46PW of the Human Rights and Equal Opportunity
Commission Act 1986; and
(b) requires a person to do any act
that would be unlawful under Part II of the Sex Discrimination Act 1984,
except for the fact that the act would be done in direct compliance with the
award.
For the purposes of this definition, the fact that an act
is done in direct compliance with the award does not of itself mean that the
act is reasonable.
Subdivision B—Revocation of awards
556 Revocation of awards—award obsolete or no
longer capable of operating
(1A) The Commission must not make an order
revoking an award except in accordance with this section.
(1) An employer, employee or organisation
bound by an award may apply to the Commission to have the award revoked on the
ground that the award is obsolete or is no longer capable of operating.
(2) If an application is made under subsection (1),
the Commission must take such steps as it thinks appropriate to ensure that
each employer, employee and organisation bound by the award is made aware of
the application.
(3) The Commission must make an order
revoking the award if it is satisfied that:
(a) the award is obsolete or is no
longer capable of operating; and
(b) revocation of the award would not
be contrary to the public interest.
Division 6—Binding additional employers, employees and organisations to
awards
557 Binding additional employers, employees and
organisations to an award
(1) The Commission may make an order varying
an award to bind an employer, employee or organisation to the award.
Note 1: Item 4 of Schedule 4 to the Workplace
Relations Amendment (Work Choices) Act 2005 provides for the employers,
employees and organisations bound by awards.
Note 2: An award may also be varied to bind eligible
entities and employers under Division 7.
(2) The Commission may make an order varying
an award under subsection (1) only in accordance with this Division.
558 Application to be bound by an award—agreement
between employer and employees
(1) An employer may apply to the Commission
for an order varying a specified award to bind the employer and a specified
class or specified classes of employees of the employer.
(2) If an application is made under subsection (1),
the Commission must take such steps as it thinks appropriate to ensure that
each employer, employee and organisation bound by the award is made aware of
the application.
(3) The Commission may make an order varying
the award as specified in the application if it is satisfied that:
(a) a valid majority of the employees
of the employer who would be bound by the award support the application; and
(b) the award is appropriate to
regulate the terms and conditions of employment of those employees; and
(c) the employer is not already bound
by an award that regulates the terms and conditions of employment of those
employees.
(4) The Commission may make the order without
holding a hearing unless the Commission considers that it cannot be satisfied
of the matters referred to in paragraphs (3)(a) and (b) based on the
information provided.
559 Application to be bound by an award—no
agreement between employer and employees
(1) An employer, or an employee or employees
of an employer, may apply to the Commission for an order varying an award
specified in the application to bind the employer and a specified class or
specified classes of employees of the employer.
(2) An employer may make an application under
subsection (1) even if a valid majority of the employees of the employer
who would be bound by the award do not support the application.
(3) An employee or employees of an employer
may make an application under subsection (1) even if the employer does not
support the application.
(4) If an application is made under subsection (1),
the Commission must take such steps as it thinks appropriate to ensure that
each employer, employee and organisation bound by the award is made aware of
the application.
(5) The Commission may make an order varying
the award as specified in the application only if the Commission is satisfied:
(a) that the employer, and the
employees of the employer who would be bound by the award, have been unable to
make a workplace agreement, despite having made reasonable efforts to do so;
and
(b) the award is appropriate to govern
the terms and conditions of employment of those employees; and
(c) the employer is not already bound
by an award that regulates the terms and conditions of employment of those
employees.
(6) An organisation may make an application
under subsection (1) on behalf of an employee or employees, and may
represent the employee or employees in proceedings relating to the application,
if:
(a) the employee or employees have
requested that the organisation do so; and
(b) the organisation is entitled
(under its eligibility rules) to represent the interests of the employee or
employees.
(7) In this section:
protected action has the meaning given by
section 435.
reasonable efforts does not require the
taking of protected action.
560 Application to be bound by an award—new
organisations
(1) A new organisation may apply to the
Commission for an order varying an award to bind the organisation.
(2) If an application is made under subsection (1),
the Commission must take such steps as it thinks appropriate to ensure that
each employer, employee and organisation bound by the award, and any other
interested persons and bodies, are made aware of the application.
(3) The Minister may intervene in relation to
the application.
(4) The Commission may make the order if the
Commission is satisfied that:
(a) the new organisation has at least
one member bound by the award whose industrial interests the new organisation
is entitled (under its eligibility rules) to represent; and
(b) the making of the order is
necessary to enable the new organisation to represent properly the industrial
interests of those of its members who are bound by the award; and
(c) the award regulates an industry in
respect of which the new organisation has traditionally been entitled to
represent the industrial interests of its members.
(5) In this section:
new organisation means:
(a) an association granted
registration as an organisation under the Registration and Accountability of
Organisations Schedule on or after the reform commencement; or
(b) a transitionally registered
association registered under clause 2 of Schedule 10.
561 Application by new organisation to be bound by
an award—when application may be made
An application under subsection 560(1)
must be made within the period of one year commencing on the day on which the
new organisation was registered under the Registration and Accountability of
Organisations Schedule or Schedule 10.
562
Process for valid majority of employees
The regulations may prescribe the
meaning of, or the method for establishing what constitutes, a valid majority
of the employees of an employer or of a class of employees of an employer, for
the purposes of this Division.
563
General provisions
(1) Without limiting the way in which a class
of employees may be described for the purposes of this Division, the class may
be described by reference to a particular industry or particular kinds of work.
(2) For the purposes of making an order
binding an employer, employee or organisation to an award:
(a) employers may be specified by name
or by inclusion in a specified class or specified classes; and
(b) employees must be specified by
inclusion in a specified class or specified classes; and
(c) organisations must be specified by
name.
Division 7—Outworkers
564
Definitions
In this Division:
eligible entity means any of the following
entities, other than in the entity’s capacity as an employer:
(a) a constitutional corporation;
(b) the Commonwealth;
(c) a Commonwealth authority;
(d) a body corporate incorporated in a
Territory;
(e) a person or entity (which may be
an unincorporated club) that carries on an activity (whether of a commercial,
governmental or other nature) in a Territory in Australia, in connection with
the activity carried on in the Territory.
outworker term means a term of an award that
is:
(a) about the matter referred to in
paragraph 513(1)(o); or
(b) incidental to such a matter, and
included in the award as permitted by section 522; or
(c) a machinery provision in respect
of such a matter included in the award as permitted by section 522.
566
Binding additional eligible entities and employers
(1) An organisation, an eligible entity or an
employer may apply to the Commission for an order varying an award that
includes outworker terms to bind an eligible entity or an employer to the
award, but only in relation to the outworker terms.
(2) If an application is made under subsection (1),
the Commission must take such steps as it thinks appropriate to ensure that
each employer, employee and organisation bound by the award, and any other
interested persons and bodies, are made aware of the application.
(3) The Minister may intervene in relation to
the application.
(4) If an application is made under subsection (1),
the Commission may make the order if it is satisfied that:
(a) the eligible entity or employer
operates in an industry to which the award relates; and
(b) the eligible entity or employer is
not already bound by an award that includes outworker terms in respect of such
an industry in relation to those terms; and
(c) making the order is consistent
with the objective of protecting the overall conditions of employment of
outworkers.
Division 8—Technical matters
567
Making and publication of awards and award‑related orders
(1) An award or award‑related order
must:
(a) be reduced to writing; and
(b) be signed by:
(i) in the case of an
award or order made by a Full Bench—at least one member of the Full Bench; or
(ii) in the case of any
other order—at least one member of the Commission; and
(c) show the day on which it is
signed.
(2) If the Commission makes an award or an
award‑related order, the Commission must promptly give to a Registrar:
(a) a copy of the award or order; and
(b) written reasons for the award or
order; and
(c) a list specifying the employers,
employees and organisations bound by the award or order.
(3) A Registrar who receives a copy of an
award or an award‑related order under subsection (2) must promptly:
(a) make available a copy of the award
or order and the written reasons received by a Registrar in respect of the
making of the award or order to each employer, employee and organisation shown
on the list given to the Registrar under paragraph (2)(c); and
(b) ensure that a copy of the award or
order and the written reasons received by the Registrar in respect of the
making of the award or order are available for inspection at each registry; and
(c) ensure that the award or order and
any written reasons received by the Registrar in respect of the making of the
award or order are published as soon as practicable.
568
Awards and award‑related orders must meet certain requirements
(1) The Commission must, when making an award
or an award‑related order, if it considers it appropriate, ensure that
the award or order:
(a) does not include matters of detail
or process that are more appropriately dealt with by agreement at the workplace
or enterprise level; and
(b) does not prescribe work practices
or procedures that restrict or hinder the efficient performance of work; and
(c) does not include terms that have
the effect of restricting or hindering productivity, having regard to fairness
to employees.
(2) The Commission must, when making an award
or an award‑related order, ensure that the award or order:
(a) where appropriate, includes
facilitative provisions that allow agreement at the workplace or enterprise
level, between employers and employees (including individual employees), on how
the award terms are to apply; and
(b) includes terms providing for the
employment of regular part‑time employees; and
Note: Clauses 15.3.1 to 15.3.5 of the Hospitality
Industry—Accommodation, Hotels, Resorts and Gaming Award 1998 provide a model
(see the Award Simplification Decision at P7500).
(c) is expressed in plain English and
is easy to understand in structure and content; and
(d) does not include terms that are
obsolete or that need updating; and
(e) does not include terms that
discriminate against an employee because of, or for reasons including, race,
colour, sex, sexual preference, age, physical or mental disability, marital
status, family responsibilities, pregnancy, religion, political opinion,
national extraction or social origin.
(3) An award or an award‑related order
does not discriminate against an employee for the purposes of paragraph (2)(e)
merely because:
(a) it discriminates, in respect of
particular employment, on the basis of the inherent requirements of that
employment; or
(b) it discriminates, in respect of
employment as a member of the staff of an institution that is conducted in
accordance with the teachings or beliefs of a particular religion or creed:
(i) on the basis of those
teachings or beliefs; and
(ii) in good faith.
569
Registrar’s powers if member ceases to be a member
If:
(a) a member of the Commission ceases
to be a member at a time after an award or an award‑related order has
been made by the Commission constituted by the member; and
(b) at that time, the award or order
has not yet been reduced to writing or has been reduced to writing but has not
yet been signed by the member;
the Registrar must reduce the award or order to writing,
sign it and seal it with the seal of the Commission, and the award or order has
effect as if it had been signed by the member of the Commission.
570
Form of awards
An award or an award‑related order
is to be framed so as best to express the decision of the Commission and to
avoid unnecessary technicalities.
571
Date of awards
The date of an award or an award‑related
order is the day on which the award or order was signed under section 567.
572
Commencement of awards
(1) An award or an award‑related order
is to be expressed to come into force on a specified day.
(2) Unless the Commission is satisfied that
there are exceptional circumstances, the day specified in an award or an award‑related
order for the purposes of subsection (1) must not be earlier than the date
of the award or order.
573
Continuation of awards
An award continues in force until it is
revoked under section 556.
574
Awards of Commission are final
(1) Subject to this Act, an award or an award‑related
order (including an award or order made on appeal):
(a) is final and conclusive; and
(b) must not be challenged, appealed
against, reviewed, quashed or called in question in any court; and
(c) is not subject to prohibition,
mandamus or injunction in any court on any account.
(2) An award or an award‑related order
is not invalid because it was made by the Commission constituted otherwise than
as provided by this Act.
575
Reprints of awards as varied
A document purporting to be a copy of a
reprint of an award as varied, and purporting to have been printed by the
Government Printer, is in all courts evidence of the award as varied.
576
Expressions used in awards
Unless the contrary intention appears in
an award or an award‑related order, an expression used in the award or
order has the same meaning as it has in an Act because of the Acts
Interpretation Act 1901 or as it has in this Act.
Part 10A—Award modernisation
Division 1—Preliminary
576A
Object of Part
(1) The object of this Part is to provide for
the Commission to make modern awards in accordance with an award modernisation
request.
(2) Modern awards:
(a) must be simple to understand and
easy to apply, and must reduce the regulatory burden on business; and
(b) together with any legislated
employment standards, must provide a fair minimum safety net of enforceable
terms and conditions of employment for employees; and
(c) must be economically sustainable,
and promote flexible modern work practices and the efficient and productive
performance of work; and
(d) must be in a form that is
appropriate for a fair and productive workplace relations system that promotes
collective enterprise bargaining but does not provide for statutory individual
employment agreements; and
(e) must result in a certain, stable
and sustainable modern award system for Australia.
Division 2—Award modernisation process
576B
Commission’s award modernisation function
(1) It is a function of the Commission to
carry out one or more award modernisation processes.
(2) In performing its functions under this
Part, the Commission must have regard to the following factors:
(a) promoting the creation of jobs,
high levels of productivity, low inflation, high levels of employment and
labour force participation, national and international competitiveness, the
development of skills and a fair labour market;
(b) protecting the position in the
labour market of young people, employees with a disability and employees to
whom training arrangements apply;
(c) the needs of the low‑paid;
(d) the desirability of reducing the
number of awards operating in the workplace relations system;
(e) the need to help prevent and
eliminate discrimination on the grounds of race, colour, sex, sexual
preference, age, physical or mental disability, marital status, family
responsibilities, pregnancy, religion, political opinion, national extraction
or social origin, and to promote the principle of equal remuneration for work
of equal value;
(f) the need to assist employees to
balance their work and family responsibilities effectively, and to improve
retention and participation of employees in the workforce;
(g) the safety, health and welfare of
employees;
(h) relevant rates of pay in
Australian Pay and Classification Scales and transitional awards;
(i) minimum wage decisions of the
Australian Fair Pay Commission;
(j) the representation rights, under
this Act or the Registration and Accountability of Organisations Schedule, of
organisations and transitionally registered associations.
(3) In this
section:
transitional award has the same meaning as in
Schedule 6.
transitionally registered association has the
same meaning as in Schedule 10.
576C
Award modernisation request
(1) An award modernisation process must be
carried out in accordance with a written request (an award modernisation
request) made to the President by the Minister.
(2) An award modernisation request must
specify:
(a) the award modernisation process
that is to be carried out; and
(b) the time by which the award
modernisation process must be completed, which must not be later than 2 years
after the making of the request; and
(c) any other matter relating to the
award modernisation process that the Minister considers appropriate.
(3) Without limiting subsection (2), an
award modernisation request may also do any of the following:
(a) require the Commission to prepare
progress reports on specified matters relating to the award modernisation
process and make them available as required by the request;
(b) specify matters (in addition to
those referred to in subsection 576J(1) and sections 576K and 576M) about
which terms may be included in modern awards;
(c) require the Commission to include
in a modern award terms about particular matters, being matters about which
terms may be included in a modern award;
(d) give directions about how, or
whether, the Commission is to deal with particular matters about which terms
may be included in a modern award.
(4) The Minister may, by written instrument,
vary or revoke an award modernisation request.
(5) If the Minister makes an instrument
varying an award modernisation request, the instrument may also specify a later
time for the completion of the award modernisation process requested. The later
time:
(a) may be more than 2 years after the
making of the award modernisation request; but
(b) must not be more than 2 years
after the making of the instrument varying the award modernisation request.
(6) Neither of the following is a legislative
instrument:
(a) an award modernisation request;
(b) an instrument made under
subsection (4).
576D
Award modernisation request to be published
(1) As soon as practicable after receiving an
award modernisation request, or an instrument varying or revoking an award
modernisation request, the President must give a copy of the request or
instrument to a Registrar.
(2) As soon as practicable after a Registrar
receives a copy of a request or an instrument under subsection (1), the
Registrar must publish the request or instrument as follows:
(a) if requirements relating to
publication are prescribed by the regulations—in accordance with those
requirements;
(b) if no such requirements are
prescribed—in such manner as the Registrar thinks appropriate.
576E
Procedure for carrying out award modernisation process
(1) As soon as practicable after receiving an
award modernisation request, the President must establish one or more Full
Benches to carry out the award modernisation process requested.
(2) For the purpose of enabling the award
modernisation process to be carried out, the President may, at any time while
the award modernisation process is being carried out:
(a) give each Full Bench established
under subsection (1) directions for carrying out the award modernisation
process; and
(b) allocate specified tasks in
relation to the award modernisation process to any member of the Commission,
and give directions about how those tasks are to be carried out.
(3) For the purpose of carrying out the award
modernisation process and subject to any directions given by the President
under subsection (2), the procedure of a Full Bench is within the absolute
discretion of the Full Bench.
(4) Without limiting subsection (3), a
Full Bench may inform itself in any way it thinks appropriate, including by:
(a) undertaking or commissioning
research; or
(b) consulting with any other person,
body or organisation in any manner it considers appropriate.
(5) To avoid doubt, subsection (4) does
not limit the powers of a Full Bench under other provisions of this Act.
Note: For example, Division 4 of Part 3
confers powers on the Commission that may be applicable in the context of award
modernisation.
576F
Completion of award modernisation process
The Commission must complete an award
modernisation process by the time allowed by the award modernisation request
relating to the award modernisation process.
Note: The time by which an award modernisation
process must be completed may be varied under subsection 576C(5).
576G
Full Bench must make modern awards
(1) A Full Bench must make one or more modern
awards to give effect to the outcome of an award modernisation process.
Note 1: A modern award must comply with
Divisions 3, 4 and 5.
Note 2: Section 576Y deals with the commencement
of a modern award.
(2) A modern award must be consistent with
the award modernisation request to which the modern award relates.
(3) The Commission must not make a modern
award other than under subsection (1).
(4) A modern award is not a legislative
instrument.
576H
Commission may vary modern awards
The Commission may make an order varying
a modern award if the variation is consistent with the award modernisation
request to which the modern award relates.
Division 3—Terms of modern awards
Subdivision A—Terms that may be included in modern awards
576J
Matters that may be dealt with by modern awards
General
(1) A modern award may include terms about
any of the following matters:
(a) minimum wages (including wage
rates for junior employees, employees with a disability and employees to whom
training arrangements apply), and:
(i) skill‑based
classifications and career structures; and
(ii) incentive‑based
payments, piece rates and bonuses;
Note: Employee with a disability and junior
employee are defined in subsection (3).
(b) type of employment, such as full‑time
employment, casual employment, regular part‑time employment and shift
work, and the facilitation of flexible working arrangements, particularly for
employees with family responsibilities;
(c) arrangements for when work is
performed, including hours of work, rostering, notice periods, rest breaks and
variations to working hours;
(d) overtime rates;
(e) penalty rates, including for any
of the following:
(i) employees working
unsocial, irregular or unpredictable hours;
(ii) employees working on
weekends or public holidays;
(iii) shift workers;
(f) annualised wage or salary
arrangements that:
(i) have regard to the
patterns of work in an occupation, industry or enterprise; and
(ii) provide an alternative
to the separate payment of wages, or salaries, and other monetary entitlements;
and
(iii) include appropriate
safeguards to ensure that individual employees are not disadvantaged;
(g) allowances,
including for any of the following:
(i) expenses incurred in
the course of employment;
(ii) responsibilities or
skills that are not taken into account in rates of pay;
(iii) disabilities
associated with the performance of particular tasks or work in particular
conditions or locations;
(h) leave, leave loadings and
arrangements for taking leave;
(i) superannuation;
(j) procedures for consultation,
representation and dispute settlement.
Other matters
(2) A modern award may also include terms
about any other matter specified in the award modernisation request to which
the modern award relates.
Definitions
(3) In this section:
employee with a disability means an employee
who is qualified for a disability support pension as set out in section 94
or 95 of the Social Security Act 1991, or who would be so qualified but
for paragraph 94(1)(e) or 95(1)(c) of that Act.
Note: This definition includes employees under the
Supported Wage System endorsed by the Commission in the Full Bench decision
dated 10 October 1994 (print L5723).
junior employee means an employee who is
under the age of 21.
576K
Terms providing for outworkers
(1) In this section:
outworker means:
(a) an employee who, for the purposes
of the business of the employer, performs work at private residential premises
or at other premises that are not business or commercial premises of the
employer; or
(b) an
individual who is a party to a contract for services, and who, for the purposes
of the contract, performs work:
(i) in the textile,
clothing or footwear industry; and
(ii) at private residential
premises or at other premises that are not business or commercial premises of
the other party to the contract or (if there are 2 or more other parties to the
contract) of any of the other parties to the contract.
(2) A modern award may include either or both
of the following:
(a) terms relating to the conditions
under which an employer may employ employees who are outworkers (including
terms relating to the pay or conditions of the outworkers);
(b) terms relating to the conditions
under which an eligible entity (within the meaning of Division 4) may
arrange for work to be carried out for the entity (either directly or
indirectly) by outworkers (including terms relating to the pay or conditions of
the outworkers).
Note: In paragraph (2)(a), employee and
employer have the meanings given by subsections 5(1) and 6(1).
576L
Terms may only provide a fair minimum safety net
A modern award may include terms about
the matters referred to in subsection 576J(1) or (2) or section 576K only
to the extent that the terms provide a fair minimum safety net.
576M
Incidental and machinery terms
(1) A modern award may include terms that
are:
(a) incidental to a term that is
required or permitted to be in the modern award; and
(b) essential for the purpose of
making a particular term operate in a practical way.
(2) A modern award may include machinery
provisions including, but not limited to, provisions about the following:
(a) commencement;
(b) definitions;
(c) titles;
(d) arrangement;
(e) employers, employees and
organisations;
(f) duration of the modern award.
576N
Terms must be in accordance with award modernisation request
(1) A modern award must include a term about
a matter referred to in subsection 576J(1) or (2) or section 576K or 576M
if the award modernisation request to which the modern award relates requires
the modern award to include a term about that matter.
(2) A term of a modern award about a matter
referred to in subsection 576J(1) or (2) or section 576K or 576M must be
consistent with any directions in relation to the matter specified in the award
modernisation request to which the modern award relates.
Subdivision B—Terms that must not be included in modern awards
576P
Terms not permitted by Subdivision A
A modern award must not include terms
other than those permitted or required by Subdivision A.
576Q
Terms that breach freedom of association provisions
A modern award must not include a term
that requires or permits, or has the effect of requiring or permitting, any
conduct that would contravene Part 16 (Freedom of association).
576R
Terms about right of entry
A modern award must not include a term
that requires or authorises an officer or employee of an organisation to do any
of the following:
(a) enter premises:
(i) occupied by an
employer that is bound by the modern award; or
(ii) in which work to which
the modern award applies is being carried on;
(b) inspect or view any work, material,
machinery, appliance, article, document or other thing on such premises;
(c) interview an employee on such
premises.
576S
Terms that are discriminatory
(1) A modern award must not include terms
that discriminate against an employee because of, or for reasons including,
race, colour, sex, sexual preference, age, physical or mental disability,
marital status, family responsibilities, pregnancy, religion, political
opinion, national extraction or social origin.
(2) A modern award does not discriminate
against an employee for the purposes of subsection (1) merely because:
(a) it discriminates, in respect of
particular employment, on the basis of the inherent requirements of that
employment; or
(b) it discriminates, in respect of
employment as a member of the staff of an institution that is conducted in
accordance with the teachings or beliefs of a particular religion or creed:
(i) on the basis of those
teachings or beliefs; and
(ii) in good faith.
(3) A modern award does not discriminate
against an employee for the purposes of subsection (1) merely because it
includes terms providing for minimum wages for:
(a) all junior employees, or a class
of junior employees; or
(b) all employees with a disability,
or a class of employees with a disability; or
(c) all employees to whom training
arrangements apply, or a class of employees to whom training arrangements
apply.
(4) In this section:
employee with a disability has the same
meaning as in section 576J.
junior employee has the same meaning as in section 576J.
576T
Terms that contain State‑based differences
(1) A modern
award must not include terms and conditions of employment that:
(a) are determined by reference to
State or Territory boundaries; or
(b) do not have effect in each State
and Territory.
(2) Despite subsection (1), a modern
award may include terms and conditions of employment of the kind referred to in
subsection (1) for a period of up to 5 years starting on the day on which
the modern award commences.
(3) If, at the end of the period of 5 years
starting on the day on which a modern award commences, the modern award
includes terms and conditions of employment of the kind referred to in
subsection (1), those terms and conditions of employment cease to have
effect at the end of that period.
Division 4—Who is bound by modern awards
576U
Definitions
In this Division:
eligible entity means any of the following
entities, other than in the entity’s capacity as an employer:
(a) a constitutional corporation;
(b) the Commonwealth;
(c) a Commonwealth authority;
(d) a body corporate incorporated in a
Territory;
(e) a person or entity (which may be
an unincorporated club) that carries on an activity (whether of a commercial,
governmental or other nature) in a Territory in Australia, in connection with
the activity carried on in the Territory.
Note: In this context, Australia
includes the Territory of Christmas Island and the Territory of Cocos (Keeling)
Islands. See paragraph 17(a) of the Acts Interpretation Act 1901.
enterprise award means an award that
regulates the terms and conditions of employment in a single business only
(being the single business specified in the award).
outworker term means a term of a modern award
that is:
(a) about a matter referred to in
section 576K; or
(b) incidental to such a matter, and
included in the modern award as permitted by subsection 576M(1); or
(c) a machinery provision in respect
of such a matter, and included in the modern award as permitted by subsection
576M(2).
576V
Who is bound by a modern award
Modern award binds employers, employees etc. that it is
expressed to bind
(1) A modern award binds, in accordance with
its terms, the employers, employees, organisations and eligible entities that
it is expressed to bind.
Modern award must be expressed to bind specified
employers and employees
(2) A modern award must be expressed to bind
the following:
(a) specified employers;
(b) specified employees of employers
bound by the modern award, in respect of work that is expressed to be regulated
by the modern award.
Modern award must be expressed not to bind employers
bound by enterprise awards
(3) A modern award must be expressed not to
bind an employer who is bound by an enterprise award in respect of an employee
to whom the enterprise award applies.
Modern award may be expressed to bind organisations
(4) A modern award may be expressed to bind
one or more specified organisations in respect of all or specified employees or
employers who are bound by the modern award.
Modern award may be expressed to bind eligible entities
or employers in relation to outworker terms
(5) In addition to the employers, employees
and organisations that a modern award is expressed to bind, the modern award
may be expressed to bind, but only in relation to outworker terms included in
the modern award, an eligible entity or an employer that operates in an
industry:
(a) to which the modern award relates;
or
(b) in respect of which the outworker
terms are applicable.
Modern award must be in accordance with award
modernisation request
(6) The power of the Commission under
subsections (2), (3), (4) and (5) must be exercised in accordance with the
award modernisation request to which the modern award relates.
Specification of employers, employees etc. by name or
class
(7) For the
purposes of subsections (2), (3), (4) and (5):
(a) employers may be specified by name
or by inclusion in a specified class or specified classes; and
(b) employees must be specified by
inclusion in a specified class or specified classes; and
(c) organisations must be specified by
name; and
(d) eligible entities may be specified
by name or by inclusion in a specified class or specified classes.
(8) Without limiting the way in which a class
may be described for the purposes of subsection (7), the class may be
described by reference to a particular industry or particular kinds of work.
Division 5—Technical matters
576W
Formal requirements of modern awards and variation orders
(1) A modern award or an order varying a
modern award must:
(a) be in writing; and
(b) be signed by:
(i) if the President is a
member of the Full Bench making the modern award or order—the President; or
(ii) if the President is
not a member of the Full Bench making the modern award or order—the member of
the Full Bench who has seniority under section 65; and
(c) state the day on which it is
signed.
(2) A modern award must:
(a) have a unique title; and
(b) have a table of contents; and
(c) be expressed in plain English and
be easy to understand in structure and content; and
(d) not include terms that are
obsolete.
576X
When is a modern award or variation order made
A modern award or an order varying a
modern award is made on the day on which the modern award or order is signed
under paragraph 576W(1)(b).
576Y
Commencement of modern awards and variation orders
(1) A modern award or an order varying a
modern award must be expressed to commence on:
(a) if the modern award or order is
made before the start‑up day—the start‑up day; or
(b) in any other case—a day that is
not earlier than the day on which the modern award or order is made.
Note: Start‑up day is defined in
subsection (3).
(2) A modern award, or an order varying a
modern award, that has not yet commenced must include a statement to this
effect.
(3) For the purposes of this section, the start‑up
day is:
(a) unless paragraph (b) applies,
1 January 2010; or
(b) if a later date is prescribed by
the regulations—that later date.
576Z
Modern awards and variation orders must be published
(1) As soon as practicable after the
Commission makes a modern award or an order varying a modern award, the
Commission must give to a Registrar:
(a) a copy of the modern award or
order; and
(b) written reasons for the modern
award or order; and
(c) a statement specifying the
employers, employees, organisations and eligible entities bound by the modern
award or order.
(2) As soon as practicable after a Registrar
receives a copy of a modern award or an order varying a modern award under
subsection (1), the Registrar must:
(a) give notice to the employers,
employees, organisations and eligible entities specified in the statement
referred to paragraph (1)(c) of the making of the modern award or order;
and
(b) ensure that a copy of the modern
award or order, and the written reasons for the modern award or order, are
available for inspection at each registry; and
(c) ensure that the modern award or
order, and the written reasons for the modern award or order, are published.
(3) The Registrar must give the notice
required by paragraph (2)(a):
(a) in accordance with any
requirements prescribed by the regulations; or
(b) if no such requirements are
prescribed—in such manner as the Registrar thinks appropriate.
(4) In this section:
eligible entity has the same meaning as in
section 576U.
576ZA
Modern awards and variation orders are final
(1) A modern
award or an order varying a modern award:
(a) is final and conclusive; and
(b) must not be challenged, appealed
against, reviewed, quashed or called in question in any court; and
(c) is not subject to prohibition,
mandamus or injunction in any court on any account.
(2) A modern award or an order varying a
modern award is not invalid because it was made by the Commission constituted
otherwise than as provided by this Act.
576ZB
Expressions used in modern awards and variation orders
Unless the contrary intention appears in
a modern award or an order varying a modern award, an expression used in the
modern award or order has the same meaning as it has in an Act because of the Acts
Interpretation Act 1901 or as it has in this Act.
Part 11—Transmission of business rules
Division 1—Introductory
577
Object
The object of this Part is to provide
for the transfer of employer obligations under certain instruments when the
whole, or a part, of a person’s business is transmitted to another person.
578
Simplified outline
(1) Division 2 describes the
transmission of business situation this Part is designed to deal with. It
identifies the old employer, the new employer, the business
being transferred, the time of transmission and the transferring
employees.
(2) Divisions 3 to 6 deal with the
transmission of particular instruments as follows:
(a) Division 3 deals with the
transmission of ITEAs;
(b) Division 4 deals with the
transmission of collective agreements;
(c) Division 5 deals with the
transmission of awards;
(d) Division 6 deals with the
transmission of APCSs.
(3) Division 7 deals with what happens
with entitlements under the Australian Fair Pay and Conditions Standard when
there is a transmission of business.
(4) Division 8 deals with notification
requirements, the lodgment of notices with the Workplace Authority Director and
the enforcement of employer obligations by pecuniary penalties.
(5) Division 9 allows regulations to be
made to deal with other transmission of business issues.
579
Definitions
In this
Part:
business being transferred has the meaning
given by subsection 580(2).
Court means the Federal Court of Australia or
the Federal Magistrates Court.
instrument means:
(a) an ITEA; or
(b) a collective agreement; or
(c) an award; or
(d) an APCS.
new employer has the meaning given by
subsection 580(1).
old employer has the meaning given by
subsection 580(1).
operational reasons has the meaning given by
subsection 643(9).
parental leave has the same meaning as in
subsection 316(3).
time of transmission has the meaning given by
subsection 580(3).
transferring employee has the meaning
given by sections 581 and 582.
transmission period has the meaning given by
subsection 580(4).
Division 2—Application of Part
580
Application of Part
(1) This Part applies if a person (the new
employer) becomes the successor, transmittee or assignee of the whole,
or a part, of a business of another person (the old employer).
(2) The business, or the part of the
business, to which the new employer is successor, transmittee or assignee is
the business being transferred for the purposes of this Part.
(3) The time at which the new employer
becomes the successor, transmittee or assignee of the business being
transferred is the time of transmission for the purposes of this
Part.
(4) The period of 12 months after the time of
transmission is the transmission period for the purposes of this
Part.
581
Transferring employees
(1) A person is a transferring employee
for the purposes of this Part if:
(a) the person is employed by the old
employer immediately before the time of transmission; and
(b) the person:
(i) ceases to be employed
by the old employer; and
(ii) becomes employed by
the new employer in the business being transferred;
within 2 months after the time
of transmission.
(2) A person is also a transferring
employee for the purposes of this Part if:
(a) the person is employed by the old
employer at any time within the period of 1 month before the time of
transmission; and
(b) the person’s employment with the
old employer is terminated by the old employer before the time of transmission
for genuine operational reasons or for reasons that include genuine operational
reasons; and
(c) the person becomes employed by the
new employer in the business being transferred within 2 months after the time
of transmission.
(3) In applying section 582 and
Divisions 3 to 7 in relation to a person who is a transferring employee
under subsection (2) of this section, a reference in those provisions to a
particular state of affairs existing immediately before the time of
transmission is to be read as a reference to that state of affairs existing
immediately before the person last ceased to be an employee of the old
employer.
582
Transferring employees in relation to particular instrument
(1) A transferring employee is a transferring
employee in relation to a particular instrument if:
(a) the instrument applied to the
transferring employee’s employment with the old employer immediately before the
time of transmission; and
(b) when the transferring employee
becomes employed by the new employer, the nature of the transferring employee’s
employment with the new employer is such that the instrument is capable of
applying to employment of that nature.
(2) The transferring employee ceases to be a transferring
employee in relation to the instrument if:
(a) the transferring employee ceases
to be employed by the new employer after the time of transmission; or
(b) the nature of the transferring
employee’s employment with the new employer changes so that the instrument is
no longer capable of applying to employment of that nature; or
(c) the transmission period ends.
Paragraph (c) does not apply if the instrument is an
APCS.
(3) This section applies to a preserved APCS
as if it were an instrument.
Division 3—Transmission of ITEA
583
Transmission of ITEA
New employer bound by ITEA in operation
(1) If:
(a) immediately before the time of
transmission:
(i) the old employer; and
(ii) an employee;
were bound by an ITEA that was
in operation; and
(b) the employee is a transferring
employee in relation to the ITEA;
the new employer is bound by the ITEA by force of this
section.
Note: The new employer must notify the transferring
employee and lodge a copy of the notice with the Workplace Authority Director
(see sections 602 and 603).
Transferring employee considered an existing employee
for the purposes of eligibility to make an ITEA
(1A) For the purposes of applying
section 326 to a transferring employee in relation to a new employer:
(a) treat the employee as being in an
employment relationship with the employer; and
(b) assume that subparagraphs
326(2)(b)(i) and (ia) do not apply to the employee.
Period for which new employer remains bound
(2) The new employer remains bound by the ITEA,
by force of this section, until whichever of the following first occurs:
(a) the ITEA is terminated (see
Division 9 of Part 8 as modified by section 584);
(b) the ITEA ceases to be in operation
because it is replaced by another ITEA between the new employer and the
transferring employee (see paragraph 347(4)(b));
(c) the transferring employee ceases
to be a transferring employee in relation to the ITEA;
(d) the transmission period ends.
Old employer’s rights and obligations that arose before
time of transmission not affected
(3) This section does not affect the rights
and obligations of the old employer that arose before the time of transmission.
584
Termination of transmitted ITEA
The ITEA cannot be terminated under
subsection 392(2) or 393(2) during the transmission period (even if the ITEA
has passed its nominal expiry date).
Division 4—Transmission of collective agreement
Subdivision A—General
585
Transmission of collective agreement
New employer bound by collective agreement in operation
(1) If:
(a) immediately before the time of
transmission:
(i) the old employer; and
(ii) employees of the old
employer;
were bound by a collective
agreement that was in operation; and
(b) there is at least one transferring
employee in relation to the collective agreement;
the new employer is bound by the collective agreement by
force of this section.
Note 1: The new employer must notify transferring
employees and lodge a copy of a notice with the Workplace Authority Director
(see sections 602 and 603).
Note 2: See also section 586 for the interaction
between the collective agreement and other industrial instruments.
Period for which new employer remains bound
(2) The new employer remains bound by the
collective agreement, by force of this section, until whichever of the
following first occurs:
(a) the collective agreement is
terminated (see Division 9 of Part 8 as modified by section 588);
(b) there cease to be any transferring
employees in relation to the collective agreement;
(c) the new employer ceases to be
bound by the collective agreement in relation to all the transferring employees
in relation to the collective agreement;
(d) the transmission period ends.
Note: Paragraph (c)—see subsection (3).
Period for which new employer remains bound in relation
to particular transferring employee
(3) The new employer remains bound by the
collective agreement in relation to a particular transferring employee, by
force of this section, until whichever of the following first occurs:
(b) the collective agreement ceases to
be in operation in relation to the transferring employee’s employment with the
new employer because it has been replaced by another collective agreement in
relation to the transferring employee’s employment with the new employer (see
subsection 347(5) as modified by subsection 587(3));
(c) the employer ceases to be bound by
the collective agreement under subsection (2).
New employer bound only in relation to employment of
transferring employees in the business being transferred
(4) The new employer is bound by the
collective agreement, by force of this section, only in relation to the
employment, in the business being transferred, of employees who are transferring
employees in relation to the collective agreement.
New employer bound subject to Commission order
(5) Subsections (1), (2) and (3) have
effect subject to any order of the Commission under section 590.
Old employer’s rights and obligations that arose before
time of transmission not affected
(6) This section does not affect the rights
and obligations of the old employer that arose before the time of transmission.
586
Interaction rules
Transmitted agreement
(1) This section applies if subsection 585(1)
applies to a collective agreement (the transmitted collective agreement).
Existing collective agreement
(2) If:
(a) the new employer is bound by a
collective agreement (the existing collective agreement)
immediately before the time of transmission; and
(b) a person is a transferring
employee in relation to the transmitted collective agreement; and
(c) the existing collective agreement
would, but for this subsection, apply, according to its terms, to the
transferring employee when the transferring employee becomes employed by the
new employer;
the existing collective agreement does not apply to the
transferring employee.
(3) Subsection (2) ceases to apply at
the end of the transmission period.
587
Transmitted collective agreement ceasing in relation to transferring employee
Transmitted agreement
(1) This section applies if subsection 585(1)
applies to a collective agreement (the transmitted collective agreement).
Replacement collective agreement
(3) Despite subsection 347(5), the
transmitted collective agreement ceases to be in operation in relation to a
transferring employee if the transmitted collective agreement has been replaced
by another collective agreement in relation to the employee (even if the
transmitted collective agreement has not passed its nominal expiry date).
588
Termination of transmitted collective agreement
Transmitted agreement
(1) This section applies if subsection 585(1)
applies to a collective agreement (the transmitted collective agreement).
Modified operation of subsection 392(2)
(2) The transmitted collective agreement
cannot be terminated under subsection 392(2) during the transmission period
(even if the transmitted collective agreement has passed its nominal expiry
date).
Special rule for transmitted workplace determination
(4) If the transmitted collective agreement
is a workplace determination, subsection 506(3) ceases to apply to the
transmitted collective agreement at the time of transmission.
Note 1: Subsection 506(1) provides that this Act
generally applies to a workplace determination as if it were a collective
agreement.
Note 2: Subsection 506(3) would otherwise prevent the
transmitted workplace determination from being terminated under Subdivision B
of Division 9 of Part 8 before it had passed its nominal expiry date.
Subdivision B—Commission’s powers
589
Application and terminology
(1) The Subdivision applies if:
(a) a person is bound by a collective
agreement; and
(b) another person:
(i) becomes at a later
time; or
(ii) is likely to become at
a later time;
the successor, transmittee or
assignee of the whole, or a part, of the business of the person referred to in paragraph (a).
(2) For the purposes of this Subdivision:
(a) the outgoing employer
is the person referred to in paragraph (1)(a); and
(b) the incoming employer
is the person first referred to in paragraph (1)(b); and
(c) the business concerned
is the business, or the part of the business, to which the incoming employer
becomes, or is likely to become, the successor, transmittee or assignee; and
(d) the transfer time is
the time at which the incoming employer becomes, or is likely to become, the
successor, transmittee or assignee of the business concerned.
590
Commission may make order
(1) The Commission may make an order that the
incoming employer:
(a) is not, or will not be, bound by
the collective agreement; or
(b) is, or will be, bound by the
collective agreement, but only to the extent specified in the order.
The order must specify the day from which the order takes
effect. That day must not be before the day on which the order is made or
before the transfer time.
(2) Without limiting paragraph (1)(b),
the Commission may make an order under that paragraph that the incoming
employer is, or will be, bound by the collective agreement but only for the
period specified in the order.
(3) To avoid doubt, the Commission cannot
make an order under subsection (1) that would have the effect of extending
the transmission period.
591
When application for order can be made
An application for an order under
subsection 590(1) may be made before, at or after the transfer time.
592
Who may apply for order
(1) Before the transfer time, an application
for an order under subsection 590(1) may be made only by the outgoing employer.
(2) At or after the transfer time, an
application for an order under subsection 590(1) may be made only by:
(a) the incoming employer; or
(b) a transferring employee in
relation to the collective agreement; or
(c) an organisation of employees that
is bound by the collective agreement; or
(d) an organisation of employees that:
(i) is entitled, under its
eligibility rules, to represent the industrial interests of a transferring
employee; and
(ii) has been requested by
the transferring employee to apply for the order on the transferring employee’s
behalf.
593
Applicant to give notice of application
The applicant for an order under
subsection 590(1) must take reasonable steps to give written notice of the
application to the persons who may make submissions in relation to the application
(see section 594).
594
Submissions in relation to application
(1) Before deciding whether to make an order
under subsection 590(1) in relation to the collective agreement, the Commission
must give the following an opportunity to make submissions:
(a) the applicant;
(b) before the transfer time—the
persons covered by subsection (2);
(c) at and after the transfer time—the
persons covered by subsection (3).
(2) For the purposes of paragraph (1)(b),
this subsection covers:
(a) an employee of the outgoing
employer:
(i) who is bound by the
collective agreement; and
(ii) who is employed in the
business concerned; and
(b) the incoming employer; and
(c) an organisation of employees that
is bound by the collective agreement; and
(d) an organisation of employees that:
(i) is entitled, under its
eligibility rules, to represent the industrial interests of an employee
referred to in paragraph (a); and
(ii) has been requested by
the employee to make submissions on the employee’s behalf in relation to the
application for the order under subsection 590(1).
(3) For the
purposes of paragraph (1)(c), this subsection covers:
(a) the
incoming employer; and
(b) a transferring employee in
relation to the collective agreement; and
(c) an organisation of employees that
is bound by the collective agreement; and
(d) an organisation of employees that:
(i) is entitled, under its
eligibility rules, to represent the industrial interests of a transferring
employee; and
(ii) has been requested by
the transferring employee to make submissions on the transferring employee’s
behalf in relation to the application for the order under subsection 590(1).
Division 5—Transmission of award
595
Transmission of award
New employer bound by award
(1) If:
(a) the old employer was, immediately
before the time of transmission, bound by an award that regulated the
employment of employees of the old employer; and
(b) there is at least one transferring
employee in relation to the award; and
(c) but for this section, the new employer
would not be bound by the award in relation to the transferring employees in
relation to the award;
the new employer is bound by the award by force of this
section.
Note 1: Paragraph (c)—the award might already bind
the new employer, for example, because the new employer happens to be a
respondent to the award.
Note 2: The new employer must notify transferring
employees and lodge a copy of a notice with the Workplace Authority Director
(see sections 602 and 603).
Note 3: See also section 596 for the interaction
between the award and other industrial instruments.
Period for which new employer remains bound
(2) The new employer remains bound by the
award, by force of this section, until whichever of the following first occurs:
(a) the award is revoked;
(b) there cease to be any transferring
employees in relation to the award;
(c) the new employer ceases to be
bound by the award in relation to all the transferring employees in relation to
the award;
(d) the transmission period ends.
Note: Paragraph (c)—see subsection (3).
Period for which new employer remains bound in relation
to particular transferring employee
(3) The new employer remains bound by the
award in relation to a particular transferring employee, by force of this
section, until whichever of the following first occurs:
(b) the award ceases to be in
operation in relation to the transferring employee’s employment with the new
employer because a collective agreement comes into operation, after the time of
transmission, in relation to the transferring employee’s employment with the
new employer (see subsection 597(3));
(c) the employer ceases to be bound by
the award under subsection (2).
New employer bound only in relation to employment of
transferring employees
(4) The new employer is bound by the award,
by force of this section, only in relation to the employment of employees who
are transferring employees in relation to the award.
Commission order
(5) Subsections (1), (2) and (3) have
effect subject to any order of the Commission.
(6) To avoid doubt, the Commission cannot
make an order under subsection (5) that would have the effect of extending
the transmission period.
Old employer’s rights and obligations that arose before
time of transmission not affected
(7) This section does not affect the rights
and obligations of the old employer that arose before the time of transmission.
596
Interaction rules
Transmitted award
(1) This section applies if subsection 595(1)
applies to an award (the transmitted award).
Collective agreement
(2) Despite section 349 but subject to subsection (3),
a collective agreement that is in operation at the time of transmission does
not have effect in relation to an employee’s employment while the transmitted
award operates, in accordance with subsection 595(1), in relation to that
employment.
Note 1: But for subsection (2), section 349
would have the effect that the transmitted award would not have effect in
relation to the employee’s employment while a collective agreement operates in
relation to that employment.
Note 2: Section 597 modifies the operation of
section 349 in relation to collective agreements that come into operation
after the time of transmission.
(3) Despite subsection 595(1), if the
employee agrees that the collective agreement is to operate in relation to that
employment:
(a) the collective agreement comes
into operation in relation to that employment; and
(b) the transmitted award ceases to be
in operation in relation to that employment in accordance with subsection 597(3).
597
Transmitted award ceasing in relation to transferring employee
Transmitted award
(1) This section applies if subsection 595(1)
applies to an award (the transmitted award).
Collective agreement
(3) Despite section 349, the transmitted
award ceases to be in operation in relation to a transferring employee’s
employment with the new employer if a collective agreement comes into operation
in relation to the transferring employee’s employment with the new employer
after the time of transmission.
Note: Section 349 provides that an award is
normally only suspended while a collective agreement is in operation. The
effect of subsection (3) of this section is to terminate the operation of
the transmitted award in relation to the transferring employee when the
collective agreement is made.
Division 6—Transmission of APCS
598
Transmission of APCS
New employer bound by APCS
(1) If:
(a) immediately before the time of
transmission, an employee’s employment with the old employer was covered by an
APCS; and
(b) the employee is a transferring
employee in relation to the APCS; and
(c) but for this section, the
transferring employee’s employment with the new employer would not be covered
by the APCS;
the transferring employee’s employment with the new
employer is covered by the APCS by force of this section.
Employee ceasing to be transferring employee
(2) The transferring employee’s employment
with the new employer ceases to be covered by the APCS, by force of this
section, if the employee ceases to be a transferring employee in relation to
the APCS.
Old employer’s rights and obligations that arose before
time of transmission not affected
(3) This section does not affect the rights
and obligations of the old employer that arose before the time of transmission.
Division 6A—Transmission of preserved redundancy provisions from
workplace agreements
598A
Transmission of preserved redundancy provisions from workplace agreements
(1) If:
(a) immediately before the time of
transmission:
(i) the old employer; and
(ii) an employee;
were bound, under section 399A
or because of a previous application of this section, by a redundancy provision
that was previously included in a workplace agreement that was terminated; and
(b) the employee is a transferring
employee;
the new employer is bound by the redundancy provision in
relation to the transferring employee by force of this section.
Note: The new employer must notify the transferring
employee and lodge a copy of the notice with the Workplace Authority Director
(see sections 603A and 603B).
(2) Subject to subsection (3), the
redundancy provision prevails over any other redundancy provision included in
any other instrument that would otherwise have effect, to the extent of any
inconsistency.
Period for which new employer remains bound
(3) The new employer remains bound by the
redundancy provision in relation to the transferring employee, by force of this
section, until the earliest of the following:
(a) the end of the period of 24 months
from the time that the workplace agreement referred to in paragraph (1)(a)
ceased operating;
(b) the time when the transferring
employee ceases to be employed by the new employer;
(c) the time when another workplace
agreement comes into operation in relation to the new employer and the
transferring employee.
Old employer’s rights and obligations that arose before
time of transmission not affected
(4) This section does not affect the rights
and obligations of the old employer that arose before the time of transmission.
Definitions
(5) In this section:
instrument means any of the following:
(a) a workplace agreement;
(b) a pre‑reform certified
agreement (within the meaning of Schedule 7);
(c) a preserved State agreement;
(d) a notional agreement preserving
State awards;
(e) an award.
redundancy provision means any of the
following kinds of provisions:
(a) a provision relating to redundancy
pay in relation to a termination of employment;
(b) a provision that is incidental to
a provision relating to redundancy pay in relation to a termination of employment;
(c) a machinery provision that is in
respect of a provision relating to redundancy pay in relation to a termination
of employment;
where the termination is at the initiative of the employer
and on the grounds of operational requirements, or because the employer is
insolvent.
Division 7—Entitlements under the Australian Fair Pay and Conditions
Standard
599
Parental leave entitlements
(1) At the time of transmission:
(a) the new employer becomes liable
for a transferring employee’s entitlements (if any) in relation to parental
leave that are:
(i) entitlements under the
Australian Fair Pay and Conditions Standard; and
(ii) entitlements for which
the old employer was liable immediately before the time of transmission; and
(b) the old employer ceases to be
liable for those entitlements.
(2) The following count as service with the
new employer for the purpose of working out a transferring employee’s
entitlement to parental leave under the Australian Fair Pay and Conditions
Standard:
(a) the transferring employee’s
service with the old employer that counted for the purposes of working out the
transferring employee’s entitlement to parental leave;
(b) any service with a previous
employer that the old employer recognised as service with the old employer for
the purposes of working out the transferring employee’s entitlement to parental
leave.
(3) If:
(a) documentation for parental leave,
required under Division 6 of Part 7, is given to the old employer by
a transferring employee before the time of transmission; and
(b) the leave applied for has not
started before the time of transmission; and
(c) the entitlement to that leave
arises under the Australian Fair Pay and Conditions Standard; and
(d) the old employer notifies the new
employer of the documentation under subsection (4);
the documentation is treated as if it had been given to
the new employer.
(4) The old employer must notify the new
employer of:
(a) any person who:
(i) is, or who is likely
to be, a transferring employee; and
(ii) is on parental leave
at the time of transmission on the basis of an entitlement under the Australian
Fair Pay and Conditions Standard; and
(b) documentation for parental leave
that is given to the old employer before the time of transmission by a person
who is, or is likely to be, a transferring employee if the documentation was
given to the old employer on the basis of an entitlement under the Australian
Fair Pay and Conditions Standard.
The notification must be given in writing within 14 days
after the time of transmission.
Note: This is a civil remedy provision, see section 605.
600
New employer assuming liability for particular entitlements
(1) This section applies if the new employer
agrees, in writing, before the time of transmission:
(a) to assume liability for; or
(b) to recognise continuity of service
in relation to;
a transferring employee’s entitlements in relation to a
particular matter.
(2) At the time of transmission:
(a) the new employer becomes liable
for the transferring employee’s entitlements (if any):
(i) that accrued under the
Australian Fair Pay and Conditions Standard in relation to that matter before
the time of transmission; and
(ii) that are not
entitlements in relation to parental leave; and
(iii) for which the old
employer was liable immediately before the time of transmission; and
(b) the old employer ceases to be
liable for those accrued entitlements.
(3) The following count as service with the
new employer for the purpose of working out the transferring employee’s
entitlements under the Australian Fair Pay and Conditions Standard in relation
to that matter:
(a) the transferring employee’s
service with the old employer that counted for the purposes of working out the
transferring employee’s entitlements in relation to that matter;
(b) any service with a previous
employer that the old employer recognised as service with the old employer for
the purposes of working out the transferring employee’s entitlements in
relation to that matter.
601
New employer assuming entitlements generally
(1) This section also applies if the new
employer agrees in writing before the time of transmission:
(a) to assume liability for a
transferring employee’s entitlements generally; or
(b) to recognise continuity of service
in relation to a transferring employee generally.
(2) At the time of transmission:
(a) the new employer becomes liable
for the transferring employee’s entitlements (if any):
(i) that accrued under the
Australian Fair Pay and Conditions Standard before the time of transmission;
and
(ii) that are not
entitlements in relation to parental leave; and
(iii) for which the old
employer was liable immediately before the time of transmission; and
(b) the old employer ceases to be
liable for those accrued entitlements.
(3) The following count as service with the
new employer for the purpose of working out the transferring employee’s
entitlements under the Australian Fair Pay and Conditions Standard in relation
to a particular matter:
(a) the transferring employee’s
service with the old employer that counted for the purposes of working out the
transferring employee’s entitlements in relation to that matter;
(b) any service with a previous
employer that the old employer recognised as service with the old employer for
the purposes of working out the transferring employee’s entitlements in
relation to that matter.
Division 7A—Application of no‑disadvantage test
601A
No decision under section 346D at time of transmission
(1) This section applies if a workplace
agreement that is in operation becomes binding upon a new employer and a
transferring employee or transferring employees, because of the operation of
section 583 or 585, before the Workplace Authority Director has decided
whether the agreement passes the no‑disadvantage test under
section 346D.
(2) Subject to subsection (4), for the
purposes of deciding under section 346D whether the workplace agreement
passes the no‑disadvantage test, references to the employer in the
following provisions:
(a) section 346D;
(b) the definitions of relevant
collective instrument and relevant general instrument in
section 346E;
(c) section 346J;
are taken to be references to the old employer.
(3) If:
(a) the Workplace Authority Director
has been notified that the workplace agreement is binding on the new employer
and the transferring employee or transferring employees; and
(b) the Workplace Authority Director
is required to give a notice under section 346M, 346U or 346Z to the
employer in relation to the workplace agreement;
the Workplace Authority Director must give the notice to
both the old employer and the new employer.
(4) If the Workplace Authority Director
decides under section 346D that the workplace agreement does not pass the
no‑disadvantage test:
(a) references in section 346W to
the employer bound by the workplace agreement are taken to be references to the
new employer; and
(b) to avoid doubt, if the new
employer subsequently lodges a variation of the workplace agreement under
section 346W then, for the purposes of deciding under section 346Z
whether the workplace agreement as varied passes the no‑disadvantage
test, references to the employer in the following provisions:
(i) section 346D;
(ii) the definitions of relevant
collective instrument and relevant general instrument in
section 346E;
(iii) section 346J;
are taken to be references to
the old employer.
Note 1: The employment arrangements that have effect in
relation to the new employer and the transferring employee or transferring
employees are as set out in section 601D.
Note 2: The compensation payable to the transferring
employees under section 346ZG by both the old employer and the new
employer is as specified in subsections 346ZG(2), (3) and 601G(1).
601B
No decision on a varied agreement under section 346Z at time of
transmission
(1) This section applies if a workplace
agreement as varied becomes binding upon a new employer and a transferring
employee or transferring employees, because of the operation of
section 583 or 585, before the Workplace Authority Director has decided
whether the agreement as varied passes the no‑disadvantage test under
section 346Z.
(2) For the purposes of deciding under
section 346Z whether the workplace agreement as varied passes the no‑disadvantage
test, references to the employer in the following provisions:
(a) section 346D;
(b) the definitions of relevant
collective instrument and relevant general instrument in
section 346E;
(c) section 346J;
are taken to be references to the old employer.
(3) If:
(a) the Workplace Authority Director
has been notified that the workplace agreement is binding upon the new employer
and a transferring employee or transferring employees; and
(b) the Workplace Authority Director
is required to give a notice under section 346Z to the employer in
relation to the workplace agreement;
the Workplace Authority Director must give the notice to
both the old employer and the new employer.
601C
Employees still employed by old employer
To avoid doubt, if a workplace agreement
becomes binding upon a new employer and a transferring employee or transferring
employees because of the operation of section 583 or 585, Division 5A
of Part 8 has effect, to the extent that the workplace agreement continues
to bind:
(a) the old employer; and
(b) an employee or employees who are
not transferring employees;
according to its terms.
601D
Employment arrangements if a workplace agreement ceases to operate because
it does not pass no‑disadvantage test
(1) This section applies if:
(a) on a particular day (the cessation
day), a workplace agreement (the original agreement)
ceases to operate under section 346W or 346ZA because the original
agreement does not pass the no‑disadvantage test; and
(b) during the period beginning when
the original agreement was lodged and ending on the cessation day, the original
agreement became binding upon a new employer and a transferring employee or
transferring employees because of the operation of section 583 or 585 in
relation to a business being transferred; and
(c) the cessation day occurs during
the transmission period in relation to the business being transferred.
Note: If the cessation day occurs after the
transmission period ends, the rules in Divisions 3, 4, 5 and 6 of this
Part will have effect according to their terms.
(2) Despite subsection 346ZB(2), the new
employer and the transferring employee or transferring employees who were bound
by the original agreement immediately before the cessation day are taken, on
and from the cessation day, to be bound by:
(a) the instrument:
(i) that, but for the
original agreement having come into operation, would have bound the old
employer and the transferring employee or transferring employees immediately
before the time of transmission; and
(ii) that was capable of
binding the new employer after the time of transmission under this Part,
Schedule 6 or Schedule 9; or
(b) if there is no instrument of a
kind referred to in paragraph (a) in relation to the old employer and one
or more of the transferring employees—the designated award (within the meaning
of Division 5A of Part 8) in relation to that employee or those
employees.
(3) If, but for the original agreement having
come into operation, the old employer would have been bound, immediately before
the time of transmission, under a designated provision relating to the
agreement, by a redundancy provision in relation to a transferring employee or
transferring employees whose employment was subject to the original agreement,
the new employer is taken:
(a) to be bound under
section 598A or clause 27A of Schedule 9, as the case requires,
on and from the cessation day, by the redundancy provision in relation to the
transferring employee or transferring employees; and
(b) to continue to be so bound until
the earliest of the following:
(i) the end of the period
of 24 months beginning on the first day on which the old employer became bound,
under the designated provision, by the redundancy provision;
(ii) the time when the
employee ceases to be employed by the new employer;
(iii) the time when another
workplace agreement comes into operation in relation to the transferring
employee or the transferring employees and the new employer.
(4) If the original agreement is a workplace
agreement as varied under Division 8 of Part 8, the workplace
agreement as in force before the variation was lodged is, despite
section 346ZE, capable of being an instrument described in
paragraph (2)(a).
(5) In this section:
designated provision has the same meaning as
in section 346ZD.
instrument means any of the following:
(a) a workplace agreement;
(b) an award;
(c) a pre‑reform certified
agreement (within the meaning of Schedule 7);
(d) a transitional Victorian reference
award (within the meaning of Part 7 of Schedule 6);
(e) a transitional award (within the
meaning of Schedule 6) other than a Victorian reference award (within the
meaning of that Schedule) to the extent that the award regulates excluded
employers in respect of the employment of employees in Victoria;
(f) a preserved State
agreement (within the meaning of Schedule 8);
(g) a notional agreement preserving
State awards (within the meaning of Schedule 8).
redundancy provision has the same
meaning as in section 346ZD.
601E
Effect of section 601D in relation to instruments
If, because of the operation of section 601D,
a new employer and a transferring employee or transferring employees are taken
to be bound by an instrument, the instrument is taken, despite any other
provision of this Act, to have effect in relation to the new employer and the
transferring employee or employees throughout the period:
(a) beginning on the cessation day;
and
(b) ending at the end of the
transmission period in relation to the business being transferred;
as if the new employer and the transferring employee or
transferring employees had become bound by the instrument under
Division 3, 4, 5 or 6 of this Part or Schedule 6 or Schedule 9,
as the case requires.
601F
Regulations may make provision for operation of revived instruments
The regulations may make provision for
and in relation to the operation of instruments that are taken to bind an
employer and the employees because of the operation of section 601D.
601G
Compensation in respect of no‑disadvantage test period
(1) If, because of the operation of
section 583 or 585, a workplace agreement to which section 346ZG
applies bound an old employer and a new employer in relation to the employment
of a transferring employee during the no‑disadvantage test period for
that agreement, section 346ZG applies with the following modifications:
(a) the transferring employee is
entitled to be paid compensation by the old employer in respect of the period
or periods during which the employee was employed by the old employer, worked
out in accordance with the assumptions set out in subsection 346ZG(3); and
(b) the transferring employee is
entitled to be paid compensation by the new employer in respect of the period
or periods during which the employee was employed by the new employer, worked
out in accordance with the assumptions set out in subsection 346ZG(3), subject
to the following modifications:
(i) subparagraph
346ZG(3)(a)(i) is taken to refer to the instrument described in paragraph
601D(2)(a); and
(ii) a reference in
paragraph 346ZG(3)(b) to a designated provision is taken to be a reference to
section 598A or clause 27A of Schedule 9, as the case requires.
(2) In this section:
no‑disadvantage test period has the
same meaning as in section 346ZG.
601H Notice requirements in
relation to transmission of business
(1) This
section applies if:
(a) a new employer is bound by a
workplace agreement (the transmitted workplace agreement) in
relation to a transferring employee because of section 583 or 585; and
(b) as at the time of transmission,
the Workplace Authority Director has not yet decided whether the transmitted
workplace agreement passes the no‑disadvantage test under
section 346D or 346Z.
(2) The old employer must take reasonable
steps to give a written notice to the Workplace Authority Director that:
(a) identifies the transmitted workplace
agreement; and
(b) states whether or not the old
employer remains bound by the transmitted workplace agreement in relation to
the employment of any employees; and
(c) specifies the date on which the
transmission period in relation to the business being transferred ends; and
(d) specifies the name and address of
the new employer.
(3) Subsection (2) is a civil remedy
provision.
Note: See Division 11 of Part 8 for
provisions on enforcement.
Division 8—Notice requirements and enforcement
602
Informing transferring employees about transmission of instrument
(1) This section applies if:
(a) an employer is bound by an
instrument (the transmitted instrument) in relation to a
transferring employee by force of:
(i) section 583 (ITEA);
or
(ii) section 585
(collective agreement); or
(iii) section 595
(award); and
(b) a person is a transferring
employee in relation to the transmitted instrument.
The provision referred to in paragraph (a) is the transmission
provision.
(2) Within 28 days after the transferring
employee starts being employed by the employer, the employer must take
reasonable steps to give the transferring employee a written notice that
complies with subsection (3).
Note: This is a civil remedy provision, see section 605.
(3) The notice must:
(a) identify the transmitted
instrument; and
(b) state that the employer is bound
by the transmitted instrument; and
(c) specify the date on which the
transmission period for the transmitted instrument ends; and
(d) state that the employer will
remain bound by the transmitted instrument until the end of the transmission
period unless the transmitted instrument is terminated, or otherwise ceases to
be in operation, before the end of that period; and
(e) specify the kinds of instruments
(if any) that can replace, or exclude the operation of, the transmitted
instrument; and
(f) identify:
(i) any provisions of the
Australian Fair Pay and Conditions Standard; or
(ii) any other instrument;
that the employer intends to be
the source for terms and conditions that will apply to the matters that are
dealt with by the transmitted instrument when the transmitted instrument ceases
to bind the employer; and
(g) identify any collective agreement
or award that binds:
(i) the employer; and
(ii) employees of the
employer who are not transferring employees in relation to the transmitted
instrument;
and that would bind the
transferring employee but for the transmission provision.
(4) Subject to subsection (5), if the
notice under subsection (3) identifies an instrument under paragraph (3)(g),
the employer must give the transferring employee a copy of the instrument
together with the notice.
Note: This is a civil remedy provision, see section 605.
(5) Subsection (4) does not apply if:
(a) the transferring employee is able
to easily access a copy of the instrument in a particular way; and
(b) the notice under subsection (3)
tells the transferring employee that a copy of the instrument is accessible in
that way.
Note: Paragraph (a)—the copy may be available,
for example, on the Internet.
(6) Subsection (2) does not apply if:
(a) the transmitted instrument is an
award and the new employer and the transferring employee become bound by a
collective agreement at the time of transmission or within 14 days after the
time of transmission; or
(b) the transmitted instrument is an
ITEA and the new employer and the transferring employee become bound by an ITEA
within 14 days after the time of transmission.
603
Lodging copy of notice with Workplace Authority Director
Only one transferring employee
(1) If an
employer:
(a) gives a notice under subsection 602(2)
to a transferring employee in relation to an ITEA; or
(b) gives a notice under subsection 602(2)
to the only person who is a transferring employee in relation to a collective
agreement or award;
the employer must lodge a copy of the notice with the Workplace
Authority Director within 14 days after the notice is given to the transferring
employee. The copy must be lodged in accordance with subsection (4).
Note 1: This is a civil remedy provision, see section 605.
Note 2: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
Multiple transferring employees and notices all given
on the one day
(2) If:
(a) an employer gives a number of
notices under subsection 602(2) to people who are transferring employees in
relation to a collective agreement or award; and
(b) all of those notices are given on
the one day;
the employer must lodge a copy of one of those notices
with the Workplace Authority Director within 14 days after that notice is
given. The copy must be lodged in accordance with subsection (4).
Note 1: This is a civil remedy provision, see section 605.
Note 2: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
Multiple transferring employees and notices given on
different days
(3) If:
(a) an employer gives a number of
notices under subsection 602(2) to people who are transferring employees in
relation to a collective agreement or award; and
(b) the
notices are given on different days;
the employer must lodge a copy of the notice, or one of
the notices that was given on the earliest of those days, with the Workplace
Authority Director within 14 days after that notice is given. The copy must be
lodged in accordance with subsection (4).
Note 1: This is a civil remedy provision, see section 605.
Note 2: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
Lodgment with Workplace Authority Director
(4) A notice is lodged with the Workplace
Authority Director in accordance with this subsection only if it is actually
received by the Workplace Authority Director.
Note: This means that section 29 of the Acts
Interpretation Act 1901 (to the extent that it deals with the time of
service of documents) does not apply to lodgment of a notice.
603A
Informing transferring employees about transmission of preserved redundancy
provisions
(1) This section applies if an employer is
bound, by force of section 598A, by one or more redundancy provisions
(within the meaning of that section) in relation to a transferring employee.
(2) Within 28 days after the transferring
employee starts being employed by the employer, the employer must take
reasonable steps to give the transferring employee a written notice that
complies with subsection (3).
Note: This is a civil remedy provision, see section 605.
(3) The notice must:
(a) identify the redundancy provision
or redundancy provisions; and
(b) state that the employer is bound
by the provision or provisions; and
(c) specify the date that is 24 months
after the time that the workplace agreement that included the provision or
provisions ceased operating; and
(d) state that the employer will
remain bound by the provision or provisions until that date, or an earlier date
in accordance with subsection 598A(3).
(4) Subsection (2) does not apply if a
workplace agreement comes into operation in relation to the employer and the
transferring employee within 14 days of the time of transmission.
603B
Lodging copy of notice about preserved redundancy provisions with Workplace
Authority Director
(1) If an employer gives a notice under
section 603A to a transferring employee, the employer must lodge a copy of
the notice with the Workplace Authority Director within the period specified in
subsection (2). The copy must be lodged in accordance with subsection (3).
Note 1: This is a civil remedy provision, see section 605.
Note 2: Sections 137.1 and 137.2 of the Criminal
Code create offences for providing false or misleading information or
documents.
(2) The notice must be lodged within 14 days
after the day specified in paragraph (a) or (b):
(a) if the employer gives a notice to
an employee in respect of a redundancy provision that was included in an ITEA—the
day on which that notice is given; or
(b) if the employer gives one or more
notices to one or more employees in respect of a redundancy provision that was
included in a collective agreement—the earliest day on which a notice was
given.
Lodgment with Workplace Authority Director
(3) A notice is lodged with the Workplace
Authority Director in accordance with this subsection only if it is actually received
by the Workplace Authority Director.
Note: This means that section 29 of the Acts
Interpretation Act 1901 (to the extent that it deals with the time of
service of documents) does not apply to lodgment of a notice.
604 Workplace
Authority Director must issue receipt for lodgment
(1) If a notice is lodged under section 603
or 603B, the Workplace Authority Director must issue a receipt for the
lodgment.
(2) The receipt must state that the notice
was lodged under section 603 or 603B (as the case requires) on a
particular day.
(3) The Workplace Authority Director must
give a copy of the receipt to the person who lodged the notice under section 603
or 603B.
605
Civil penalties
(1) The following are civil remedy
provisions for the purposes of this section:
(a) subsection 599(4);
(b) subsections 602(2) and (4);
(c) subsections 603(1), (2) and (3);
(d) subsection 603A(2);
(e) subsection 603B(1).
Note: Division 3 of Part 14 contains other
provisions relevant to civil remedies.
(2) The Court may order a person who has
contravened a civil remedy provision to pay a pecuniary penalty.
(3) The penalty cannot be more than 300
penalty units for a body corporate or 60 penalty units in other cases.
(4) An application for an order under subsection (2)
in relation to subsection 599(4) (parental leave entitlements) may be made by:
(a) a transferring employee mentioned
in that subsection; or
(b) an organisation of employees that
is entitled, under its eligibility rules, to represent the industrial interests
of a transferring employee mentioned in that subsection and has been requested
by the transferring employee to apply for the order on the transferring
employee’s behalf; or
(c) a workplace inspector; or
(d) the new employer mentioned in that
subsection.
(5) An
application for an order under subsection (2) in relation to an instrument,
or in relation to a preserved redundancy provision that was previously included
in an instrument, listed in the following table may be made by a person
specified in the item of the table relating to that kind of instrument:
|
Item
|
Instrument
|
People with standing to
apply for order
|
|
1
|
ITEA
|
(a) the transferring employee; or
(b) an organisation of employees that is entitled, under its
eligibility rules, to represent the industrial interests of the transferring
employee and has been requested by the transferring employee to apply for the
order on the transferring employee’s behalf; or
(c) a workplace inspector
|
|
2
|
collective agreement
|
(a) the transferring employee; or
(b) an organisation of employees that is bound by the
agreement or the redundancy provision; or
(c) an organisation of employees that is entitled, under its
eligibility rules, to represent the industrial interests of a transferring
employee and has been requested by the transferring employee to apply for the
order on the transferring employee’s behalf; or
(d) a workplace inspector
|
|
3
|
award
|
(a) a transferring employee; or
(b) an organisation of employees that is entitled, under its
eligibility rules, to represent the industrial interests of a transferring
employee; or
(c) a workplace inspector
|
Division 9—Miscellaneous
606
Regulations
The regulations may make provision in
relation to the effects that the succession, transmission or assignment of a
business, or a part of a business, have on the obligations of employers and the
terms and conditions of employees.
Part 12—Minimum entitlements of employees
Division 1—Entitlement to meal breaks
607
Meal breaks
An employer must not require an employee
to work for more than 5 hours continuously without an unpaid interval of at
least 30 minutes for a meal.
Note: Compliance with this section is dealt with in Part 14.
608
Displacement of entitlement to meal breaks
Section 607 does not apply in
relation to particular employment of an employee while any of the following
operates in relation to the employee in relation to the employment:
(a) an award;
(b) a workplace agreement;
(c) an industrial instrument
prescribed by the regulations.
609
Model dispute resolution process
The model dispute resolution process
applies to a dispute under this Division.
Note: The model dispute resolution process is set
out in Part 13.
610
Extraterritorial extension
(1) This Division, and the rest of this Act
so far as it relates to this Division, extend:
(a) to an employee outside Australia
who meets any of the conditions in this section; and
(b) to the employee’s employer
(whether the employer is in or outside Australia); and
(c) to acts, omissions, matters and
things relating to the employee (whether they are in or outside Australia).
Note: In this context, Australia
includes the Territory of Christmas Island, the Territory of Cocos (Keeling) Islands
and the coastal sea. See section 15B and paragraph 17(a) of the Acts
Interpretation Act 1901.
Employee in Australia’s exclusive economic zone
(2) One condition is that the employee is in Australia’s
exclusive economic zone and either:
(a) is an employee of an Australian
employer and is not prescribed by the regulations as an employee to whom this
subsection does not apply; or
(b) is an employee prescribed by the
regulations as an employee to whom this subsection applies.
Note: The regulations may prescribe the employee by
reference to a class. See subsection 13(3) of the Legislative Instruments
Act 2003.
On Australia’s continental shelf outside exclusive
economic zone
(3) Another condition is that the employee:
(a) is outside the outer limits of
Australia’s exclusive economic zone, but is in, on or over a part of
Australia’s continental shelf prescribed by the regulations for the purposes of
this subsection, in connection with the exploration of the continental shelf or
the exploitation of its natural resources; and
(b) meets the requirements that are
prescribed by the regulations for that part.
Note: The regulations may prescribe different
requirements relating to different parts of Australia’s continental shelf. The
regulations may need to do so to give effect to Australia’s international
obligations.
Outside Australia’s exclusive economic zone and
continental shelf
(4) Another condition is that the employee:
(a) is neither in Australia’s
exclusive economic zone nor in, on or over a part of Australia’s continental
shelf described in paragraph (3)(a); and
(b) is an Australian‑based employee
of an Australian employer; and
(c) is not prescribed by the
regulations as an employee to whom this subsection does not apply.
Definition
(5) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
Division 2—Entitlement to public holidays
611
Definition of public holiday
In this Division:
public holiday means:
(a) each of these days:
(i) 1 January (New
Year’s Day);
(ii) 26 January
(Australia Day);
(iii) Good Friday;
(iv) Easter Monday;
(v) 25 April (Anzac
Day);
(vi) 25 December
(Christmas Day);
(vii) 26 December
(Boxing Day); and
(aa) a day that, under (or in
accordance with a procedure under) a law of a State or Territory, is
substituted for a day referred to in paragraph (a); and
(b) any other day declared by or under
a law of a State or Territory to be observed generally within the State or
Territory, or a region of that State or Territory, as a public holiday by
people who work in that State, Territory or region, other than:
(ii) a union picnic day; or
(iii) a day, or kind of day,
that is excluded by regulations made for the purposes of this paragraph from
counting as a public holiday.
612
Entitlement to public holidays
(1) An employee is entitled to a day off on a
public holiday, subject to subsections (2) and (3).
(2) An employer may request an employee to
work on a particular public holiday.
(3) The employee may refuse the request (and
take the day off) if the employee has reasonable grounds for doing so.
(4) A term to the contrary in:
(a) a workplace agreement; or
(b) an award;
has no effect.
Note: Compliance with this section is dealt with in Part 14.
613
Reasonableness of refusal
In determining whether an employee has
reasonable grounds for refusing a request to work on a public holiday, regard
must be had to:
(a) the nature of the work performed
by the employee; and
(b) the type of employment (for
example, whether full‑time, part‑time, casual or shift work); and
(c) the nature of the employer’s
workplace or enterprise (including its operational requirements); and
(d) the employee’s reasons for
refusing the request; and
(e) the employee’s personal
circumstances (including family responsibilities); and
(f) whether the employee is entitled
to additional remuneration or other benefits as a consequence of working on the
public holiday; and
(g) whether a workplace agreement,
award, other industrial instrument, contract of employment or written guideline
or policy that regulates the employee’s employment contemplates that the
employer might require work on public holidays, or particular public holidays;
and
(h) whether the employee has
acknowledged or could reasonably expect that the employer might require work on
public holidays, or particular public holidays; and
(i) the amount of notice in advance
of the public holiday given by the employer when making the request; and
(j) the amount of notice in advance
of the public holiday given by the employee in refusing the request; and
(k) whether an emergency or other
unforeseen circumstances are involved; and
(l) any other relevant factors.
614
Model dispute resolution process
The model dispute resolution process
applies to a dispute under this Division.
Note: The model dispute resolution process is set
out in Part 13.
615
Employer not to prejudice employee for reasonable refusal
(1) An employer must not, for the reason, or
for reasons including the reason, that an employee has refused on reasonable
grounds to work on a particular public holiday, do or threaten to do any of the
following:
(a) dismiss an employee;
(b) injure an employee in his or her
employment;
(c) alter the position of an employee
to the employee’s prejudice.
(2) Subsection (1) is a civil remedy
provision.
616
Penalties etc. for contravention of section 615
(1) The Court, or the Federal Magistrates
Court, on application by an eligible person, may make one or more of the
following orders in relation to an employer who has contravened section 615:
(a) an order imposing a pecuniary
penalty on the employer;
(b) an order requiring the employer to
pay a specified amount to the employee as compensation for damage suffered by
the employee as a result of the contravention;
(c) any other order that the court
considers appropriate.
(2) The maximum pecuniary penalty under paragraph (1)(a)
is 300 penalty units if the employer is a body corporate and otherwise 60
penalty units.
(3) The orders that may be made under paragraph (1)(c)
include:
(a) injunctions; and
(b) any other orders that the court
considers necessary to stop the conduct or remedy its effects.
(4) In this section:
eligible person means any of the following:
(a) a workplace inspector;
(b) an employee affected by the
contravention;
(c) an organisation of employees that:
(i) has been requested in
writing, by the employee concerned, to apply on the employee’s behalf; and
(ii) has a member employed
by the employee’s employer; and
(iii) is entitled, under its
eligibility rules, to represent the industrial interests of the employee in
relation to work carried on by the employee for the employer;
(d) a person prescribed by the
regulations for the purposes of this paragraph.
(5) A regulation prescribing persons for the
purposes of paragraph (d) of the definition of eligible person
may provide that a person is prescribed only in relation to circumstances
specified in the regulation.
617
Burden of proof in relation to reasonableness of refusal
In establishing, for the purposes of an
application under section 616, whether an employee’s refusal to work on a
particular public holiday was on reasonable grounds, the burden of proof lies
on the applicant.
618
Proof not required of the reason for conduct
(1) If:
(a) in an application under section 616
relating to a person’s conduct, it is alleged that the conduct was, or is
being, carried out for a particular reason; and
(b) for the person to carry out the
conduct for that reason would constitute a contravention of section 615;
it is presumed, in proceedings under this Division arising
from the application, that the conduct was, or is being, carried out for that
reason, unless the person proves otherwise.
(2) This section does not apply in relation
to the granting of an interim injunction.
Note: See section 838 for interim injunctions.
619
Extraterritorial extension
(1) This Division, and the rest of this Act
so far as it relates to this Division, extend:
(a) to an employee outside Australia
who meets any of the conditions in this section; and
(b) to the employee’s employer (whether
the employer is in or outside Australia); and
(c) to acts, omissions, matters and
things relating to the employee (whether they are in or outside Australia).
Note: In this context, Australia
includes the Territory of Christmas Island, the Territory of Cocos (Keeling) Islands
and the coastal sea. See section 15B and paragraph 17(a) of the Acts
Interpretation Act 1901.
In Australia’s exclusive economic zone
(2) One condition is that the employee is in Australia’s
exclusive economic zone and either:
(a) is an employee of an Australian
employer and is not prescribed by the regulations as an employee to whom this
subsection does not apply; or
(b) is an employee prescribed by the
regulations as an employee to whom this subsection applies.
Note: The regulations may prescribe the employee by
reference to a class. See subsection 13(3) of the Legislative Instruments
Act 2003.
On Australia’s continental shelf outside exclusive
economic zone
(3) Another condition is that the employee:
(a) is outside the outer limits of
Australia’s exclusive economic zone, but is in, on or over a part of
Australia’s continental shelf that is prescribed by the regulations for the
purposes of this subsection, in connection with the exploration of the
continental shelf or the exploitation of its natural resources; and
(b) meets the requirements that are
prescribed by the regulations for that part.
Note: The regulations may prescribe different
requirements relating to different parts of Australia’s continental shelf. The
regulations may need to do so to give effect to Australia’s international
obligations.
Definition
(4) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
Division 3—Equal remuneration for work of equal value
620
Object
The object of this Division is to give
effect, or further effect, to:
(a) the Anti‑Discrimination
Conventions; and
(b) the Equal Remuneration
Recommendation, 1951, which the General Conference of the International Labour
Organisation adopted on 29 June 1951 and is also known as Recommendation
No. 90; and
(c) the Discrimination (Employment and
Occupation) Recommendation, 1958, which the General Conference of the
International Labour Organisation adopted on 25 June 1958 and is also
known as Recommendation No. 111.
Note: Employer, employee
and employment have their ordinary meaning in this Division. See
sections 5, 6 and 7 and Schedule 2.
621
Relationship of this Division to other laws providing alternative remedies
(1) The Commission must not deal with an
application under this Division if the Commission is satisfied that there is
available to the applicant, or to the employees whom the applicant represents,
an adequate alternative remedy that:
(a) exists under a law of the
Commonwealth (other than this Division) or under a law of a State or Territory;
and
(b) will ensure, for the employees
concerned, equal remuneration for work of equal value.
(2) The Commission must not deal with an
application under this Division for an order to secure equal remuneration for
work of equal value for an employee if proceedings for an alternative remedy:
(a) to secure such remuneration for
the employee; or
(b) against unequal remuneration for
work of equal value for the employee;
have begun:
(c) under another provision of this
Act; or
(d) under another law of the
Commonwealth; or
(e) under a law of a State or
Territory.
(3) Subsection (2) does not prevent the
Commission from dealing with an application under this Division if the proceedings
for the alternative remedy:
(a) have
been discontinued by the party who initiated the proceedings; or
(b) have failed for want of
jurisdiction.
(4) If an application has been made for an
order under this Division to secure equal remuneration for work of equal value
for an employee, a person is not entitled to take proceedings for an
alternative remedy under a provision or law of a kind referred to in subsection (2):
(a) to secure such remuneration for
the employee; or
(b) against unequal remuneration for
work of equal value for the employee.
(5) Subsection (4) does not prevent the
taking of proceedings for an alternative remedy if the proceedings under this
Division:
(a) have been discontinued by the
party who initiated the proceedings; or
(b) have failed for want of
jurisdiction.
(6) A remedy under a law of the Commonwealth,
a State or a Territory relating to discrimination in relation to employment,
that consists solely of compensation for past actions, is not an alternative
remedy, or an adequate alternative remedy, for the purposes of this section.
622
Relationship of this Division to AFPC decisions and the Australian Fair Pay and
Conditions Standard
(1) The Commission is to have regard to
decisions of the AFPC in making orders under this Division.
(2) The Commission must not deal with an
application for an order under this Division, to the extent to which the
application is for an order relating to a basic periodic rate of pay, a basic
piece rate of pay or casual loading, if:
(a) the group of employees who would
be covered by the order applied for; and
(b) the comparator group of employees;
are both entitled to a rate of pay that is equal to the
applicable guaranteed rate of pay under the provisions of the Australian Fair
Pay and Conditions Standard contained in Division 2 of Part 7.
(3) To avoid doubt, subsection (2) does
not apply if employees in one or both of the groups are entitled to a rate of
pay higher than the applicable guaranteed rate.
(4) The Commission must not deal with an
application for an order under this Division, to the extent to which the
application is for an order relating to a basic periodic rate of pay, a basic
piece rate of pay or casual loading, if:
(a) the group of employees who would
be covered by the order applied for is entitled to a rate of pay that is higher
than the rate of pay the group would be entitled to under the provisions of the
Australian Fair Pay and Conditions Standard contained in Division 2 of Part 7;
and
(b) the comparator group of employees
is entitled to a rate of pay that is equal to the applicable guaranteed rate of
pay under the provisions of the Australian Fair Pay and Conditions Standard
contained in Division 2 of Part 7.
(5) To avoid doubt, subsection (4) does
not apply if the comparator group of employees is entitled to a rate of pay
higher than the applicable guaranteed rate.
(6) To avoid doubt, subsections (2) and
(4) apply regardless of the source of the employee’s entitlement to be paid the
rate of pay.
(7) In this section:
basic periodic rate of pay has the same
meaning as in Division 2 of Part 7.
basic piece rate of pay has the same meaning
as in Division 2 of Part 7.
casual loading has the same meaning as in
Division 2 of Part 7.
comparator group of employees means employees
whom the applicant contends are performing work of equal value to the work
performed by the employees to whom the application relates.
623
Equal remuneration for work of equal value
(1) A reference in this Division to equal
remuneration for work of equal value is a reference to equal remuneration
for men and women workers for work of equal value.
(2) An expression has in subsection (1)
the same meaning as in the Equal Remuneration Convention.
Note: Article
1 of the Convention provides that the term “equal remuneration for men and
women workers for work of equal value” refers to rates of remuneration
established without discrimination based on sex.
624
Orders requiring equal remuneration
(1) Subject to this Division, the Commission
may make such orders as it considers appropriate to ensure that, for employees
covered by the orders, there will be equal remuneration for work of equal
value.
(2) Without limiting subsection (1), an
order under this Division may provide for such increases in rates (other than
those set by the AFPC) of remuneration (within the meaning of the Equal
Remuneration Convention) as the Commission considers appropriate to ensure
that, for employees covered by the order, there will be equal remuneration for
work of equal value.
(3) However, the Commission may make an order
under this Division only if:
(a) the Commission is satisfied that,
for the employees to be covered by the order, there is not equal remuneration
for work of equal value; and
(b) the order can reasonably be regarded
as appropriate and adapted to giving effect to one or more of the following:
(i) the Anti‑Discrimination
Conventions;
(ii) the provisions of
Recommendations referred to in paragraphs 620(b) and (c).
625
Orders only on application
The Commission must only make such an
order if it has received an application for the making of an order under this
Division from:
(a) an employee, or a trade union
whose rules entitle it to represent the industrial interests of employees, to
be covered by the order; or
(b) the Sex Discrimination
Commissioner.
626
Conciliation or mediation
(1) If an application is made for an order
under this Division, the Commission must, before starting to hear and determine
the matter to which the application relates:
(a) attempt to settle the matter by
conciliation; or
(b) at the request or with the consent
of both the applicant and any employer of employees who, if the order applied
for were made, would be covered by it—refer the matter for mediation by an
independent person specified in the request or consent.
(2) The Commission may order:
(a) the applicant, or a representative
of the applicant; and
(b) each employer of employees who, if
the order applied for were made, would be covered by it, or a representative of
those employers;
to attend the conciliation or mediation.
(3) The Commission may order that the
employees who, if the order applied for were made, would be covered by it, or a
representative of those employees, be allowed to attend the conciliation or
mediation.
(4) The Commission may order that:
(a) the applicant; or
(b) each employer of employees who, if
the order applied for were made, would be covered by it;
inform the employees concerned of:
(c) the making of the application for
an order under this Division; and
(d) the details of the application and
the order applied for; and
(e) the time and place at which
conciliation or mediation will take place.
627 If
conciliation or mediation is unsuccessful
(1) If:
(a) the Commission forms the view that
all reasonable attempts to settle the matter, or part of the matter, to which
the application relates by conciliation have been unsuccessful; or
(b) if the Commission referred the
matter to an independent person for mediation—the independent person informs
the Commission that all reasonable attempts to settle the matter, or part of
the matter, by mediation have been unsuccessful;
the Commission must advise accordingly the applicant and
each employer of employees who, if the order applied for were made, would be covered
by it.
(2) The Commission may order that:
(a) the applicant; or
(b) each employer of employees who, if
the order applied for were made, would be covered by it;
inform the employees concerned of the Commission’s advice
under subsection (1).
(3) If the Commission advises persons under subsection (1),
the Commission is to proceed to hear and determine the matter, or part, that
was not settled.
628
Hearing of matter by member who conducted conciliation
(1) If a member of the Commission has
exercised conciliation powers under section 626 in relation to a matter,
the member must not hear or determine, or take part in the hearing or
determination of, the matter if a person who was present at the conciliation
objects.
(2) The member is not taken to have exercised
conciliation powers in relation to the matter merely because:
(a) the member arranged for a
conference of the parties or their representatives to be presided over by the
member, but the conference did not take place or was not presided over by the
member; or
(b) the member arranged for the
parties or their representatives to confer among themselves at a conference at
which the member was not present.
629
Immediate or progressive introduction of equal remuneration
The order may implement equal
remuneration for work of equal value when the order takes effect. However, if
it is not deemed feasible to implement it immediately, the order may implement
it in stages (as provided in the order).
630
Employer not to reduce remuneration
(1) An employer must not reduce an employee’s
remuneration (within the meaning of the Equal Remuneration Convention) for the
reason, or for reasons including the reason, that an application or order has
been made under this Division.
(2) If subsection (1) is contravened,
the purported reduction is of no effect.
631
Employer not to prejudice employee
(1) An employer must not, for the reason, or
for reasons including the reason, that an application or order has been made
under this Division, do or threaten to do any of the following:
(a) dismiss an employee;
(b) injure an employee in his or her
employment;
(c) alter the position of an employee
to the employee’s prejudice.
(2) Subsection (1) is a civil remedy
provision.
632
Penalties etc. for contravention of section 631
(1) The Court, or the Federal Magistrates
Court, on application by an eligible person, may make one or more of the
following orders in relation to a person (the defendant) who has
contravened section 631:
(a) an order imposing a pecuniary
penalty on the defendant;
(b) an order requiring the defendant
to pay a specified amount to another person as compensation for damage suffered
by the other person as a result of the contravention;
(c) any other order that the court
considers appropriate.
(2) The maximum pecuniary penalty under paragraph (1)(a)
is 300 penalty units if the defendant is a body corporate and otherwise 60 penalty
units.
(3) The orders that may be made under paragraph (1)(c)
include:
(a) injunctions; and
(b) any other orders that the court
considers necessary to stop the conduct or remedy its effects.
(4) In this section:
eligible person means any of the following:
(a) a workplace inspector;
(b) a person affected by the
contravention;
(c) an organisation of employees that:
(i) has been requested in
writing, by the employee concerned, to apply on the employee’s behalf; and
(ii) has a member employed
by the employee’s employer; and
(iii) is entitled, under its
eligibility rules, to represent the industrial interests of the employee in
relation to work carried on by the employee for the employer;
(d) the Sex Discrimination
Commissioner;
(e) a person prescribed by the
regulations for the purposes of this paragraph.
(5) A regulation prescribing persons for the
purposes of paragraph (e) of the definition of eligible person
may provide that a person is prescribed only in relation to circumstances
specified in the regulation.
633
Proof not required of the reason for conduct
(1) If:
(a) in an application under section 632
relating to a person’s conduct, it is alleged that the conduct was, or is
being, carried out for a particular reason; and
(b) for the person to carry out the
conduct for that reason would constitute a contravention of section 631;
it is presumed, in proceedings under this Division arising
from the application, that the conduct was, or is being, carried out for that
reason, unless the person proves otherwise.
(2) This section does not apply in relation
to the granting of an interim injunction.
Note: See section 838 for interim injunctions.
634
Extraterritorial extension
(1) This Division, and the rest of this Act
so far as it relates to this Division, extends to an employee whose
remuneration is determined by or under this Act, a law of a State or Territory
or a contract of employment made in Australia, even though one or both of the
following apply:
(a) the employee is employed wholly or
partly in work outside Australia;
(b) the employee’s employer operates,
exists, is incorporated, or is otherwise established, outside Australia.
Note: In this context, Australia
includes the Territory of Christmas Island, the Territory of Cocos (Keeling) Islands
and the coastal sea. See section 15B and paragraph 17(a) of the Acts
Interpretation Act 1901.
(2) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
Division 4—Termination of employment
Subdivision A—Object, application and definitions
635
Object
(1) The principal object of this Division is:
(a) to establish procedures for
conciliation in relation to certain matters relating to the termination or
proposed termination of an employee’s employment in certain circumstances; and
(b) to provide, if the conciliation
process is unsuccessful, for recourse to arbitration or to a court depending on
the grounds on which the conciliation was sought; and
(c) to provide for remedies
appropriate to a case where, on arbitration, a termination is found to be
harsh, unjust or unreasonable; and
(d) to provide for sanctions where, on
recourse to a court, a termination or proposed termination is found to be
unlawful; and
(e) by those procedures, remedies and
sanctions, and by orders made in the circumstances set out in Subdivision D, to
assist in giving effect to the Termination of Employment Convention.
(2) The procedures and remedies referred to
in paragraphs (1)(a) and (b), and the manner of deciding on and working
out such remedies, are intended to ensure that, in the consideration of an
application in respect of a termination of employment, a “fair go all round” is
accorded to both the employer and employee concerned.
Note: The expression “fair go all round” was used by
Sheldon J in in re Loty and Holloway v Australian Workers’ Union [1971]
AR (NSW) 95.
636 Meaning
of employee, employer and employment
In this Division, unless the contrary
intention appears:
employee means:
(a) to the extent that a provision
applies to, or in relation to, the termination of employment of an employee
within the meaning of subsection 5(1)—an employee within the meaning of that
subsection; or
(b) otherwise—an employee within the
ordinary meaning of the expression.
employer means:
(a) to the extent that a provision
applies to, or in relation to, the termination of employment of an employee
within the meaning of subsection 5(1)—an employer within the meaning of
subsection 6(1); or
(b) otherwise—an employer within the
ordinary meaning of the expression.
employment means:
(a) to the extent that a provision
applies to, or in relation to, the termination of employment of an employee
within the meaning of subsection 5(1)—employment within the meaning of
subsection 7(1); or
(b) otherwise—the employment of an
employee (within the ordinary meaning of the expression) by an employer (within
the ordinary meaning of the expression).
637
Application
(1) Subdivision B applies, in so far as it
relates to an application to the Commission for relief in relation to the
termination of employment of an employee on the ground that that termination
was harsh, unjust or unreasonable, if the employee concerned was, before the
termination, an employee within the meaning of subsection 5(1).
(2) Subdivision B applies, in so far as it
relates to an application to the Commission for relief in relation to the
termination of employment of an employee on the ground of a contravention of
all or any of sections 659, 660 and 661, if the employee concerned is an
employee in relation to whose termination of employment Subdivision C applies
in accordance with this section.
(3) Subdivisions C and D apply in relation to
the termination of employment of an employee.
(4) Without prejudice to their effect apart
from this subsection, Subdivisions C and D also apply in relation to the
termination of employment of an employee within the meaning of subsection 5(1).
(5) Without prejudice to their effect apart
from this subsection, Subdivisions C and D also apply in relation to the
termination of employment of an employee for the purpose of assisting in giving
effect to the Termination of Employment Convention.
(6) Without prejudice to its effect apart
from this subsection, section 659 also applies in relation to the
termination of employment of an employee for the purpose of giving effect to
the conventions and recommendation referred to in that section.
638
Exclusions
Exclusions from Subdivisions B, D and E and sections 660
and 661
(1) The following kinds of employee are
excluded from the operation of Subdivisions B, D and E and sections 660
and 661:
(a) an employee engaged under a
contract of employment for a specified period of time;
(b) an employee engaged under a
contract of employment for a specified task;
(c) an employee serving a period of
probation, if the duration of the period or the maximum duration of the period,
as the case may be, is determined in advance and, either:
(i) the period, or the
maximum duration, is 3 months or less; or
(ii) the period, or the
maximum duration:
(A) is more
than 3 months; and
(B) is
reasonable, having regard to the nature and circumstances of the employment;
(d) a casual employee engaged for a
short period, within the meaning of subsection (4);
(e) a trainee whose employment under a
traineeship agreement or an approved traineeship:
(i) is for a specified
period; or
(ii) is, for any other
reason, limited to the duration of the agreement;
(f) an
employee:
(i) who is not employed
under award‑derived conditions (see subsection 642(6)); and
(ii) to whom subsection (6)
or (7) applies;
(g) an employee engaged on a seasonal
basis, within the meaning of subsection (8).
Note 1: The expression employee engaged under a
contract of employment for a specified period of time (used in paragraph (a))
has been addressed in a number of cases before the Industrial Relations Court
of Australia, including, in particular, Cooper v Darwin Rugby League Inc (1994)
57 IR 238, Andersen v Umbakumba Community Council (1994) 126 ALR 121, D’Lima
v Board of Management, Princess Margaret Hospital for Children (1995‑1996)
64 IR 19 and Fisher v Edith Cowan University (unreported judgment of
Madgwick J, 12 November 1996, No. WI 1061 of 1996).
Note 2: An employee who is excluded from the provisions
of the Act specified in this subsection may still be eligible to apply for a
remedy in relation to the termination of employment under a provision of a
State law that is not excluded under section 16.
Note 3: The definitions in section 642 apply for
the purposes of this section.
(2) Despite the exclusion of an employee from
the operation of Subdivisions B and E because of subsection (1):
(a) the employee may make an
application under section 643 for relief in respect of the termination of
his or her employment on the ground of an alleged contravention of section 659;
and
(b) if the employee does so, those
Subdivisions have effect, in so far as they relate to that application, as if
the employee had not been excluded from their operation.
(3) Subsection (1) does not apply to an
employee engaged under a contract of a kind mentioned in paragraph (1)(a)
or (b) if a substantial purpose of the engagement of the employee under a
contract of that kind is, or was at the time of the employee’s engagement, to
avoid the employer’s obligations under Subdivision B or D or section 660
or 661.
(4) For the purpose of paragraph (1)(d),
a casual employee is taken to be engaged for a short period unless:
(a) subject to subsection (5)—the
employee is engaged by a particular employer on a regular and systematic basis
for a sequence of periods of employment during a period of at least 12 months;
and
(b) the employee has, or but for a
decision by the employer to terminate the employee’s employment, would have
had, a reasonable expectation of continuing employment by the employer.
(5) If:
(a) a casual employee was engaged by a
particular employer on a regular and systematic basis for a sequence of periods
during a period (the first period of employment) of less than 12
months; and
(b) at the end of the first period of
employment, the casual employee ceased, on the employer’s initiative, to be so
engaged by the employer; and
(c) the employer subsequently again
engages the employee on a regular and systematic basis for a further sequence
of periods during a period (the second period of employment) that
starts not more than 3 months after the end of the first period of employment;
and
(d) the total length of the first
period of employment and the second period of employment is at least 12 months;
paragraph (4)(a) is taken to be satisfied in relation
to the employment of the employee.
(6) For the purposes of subparagraph (1)(f)(ii),
this subsection applies to an employee if:
(a) the employee’s remuneration
immediately before the termination of employment was not wholly or partly
determined on the basis of commission or piece rates; and
(b) the rate of remuneration
applicable to the employee immediately before the termination exceeds a rate
specified, or worked out in a manner specified, in the regulations (the specified
rate).
(7) For the purposes of subparagraph (1)(f)(ii),
this subsection applies to an employee if:
(a) the employee’s remuneration
immediately before the termination of employment was wholly or partly
determined on the basis of commission or piece rates; and
(b) in accordance with the
regulations, the rate of remuneration that is taken to be applicable to the
employee immediately before the termination exceeds the specified rate.
(8) For the purposes of paragraph (1)(g),
an employee is engaged on a seasonal basis if the employee is engaged to
perform work for the duration of a specified season.
(9) For the purposes of subsection (8),
a season is a period that:
(a) is determined at the commencement
of the employee’s engagement (the commencement time); and
(b) begins at the commencement time;
and
(c) ends at a time in the future that:
(i) is uncertain at the
commencement time; and
(ii) is related to the
nature of the work to be performed by the employee; and
(iii) is objectively
ascertainable when it occurs.
Note: Examples of seasons are:
(a) the part of a year characterised by particular
conditions of weather or temperature;
(b) the part of a year when a product is best or
available;
(c) the part of a year marked by certain
conditions, festivities or other activities.
(10) The regulations may provide that a
particular period is, or is not, a season for the purposes of subsection (8).
Exclusions from sections 660 and 661 and Subdivision
D
(11) The following kinds of employee are
excluded from the operation of sections 660 and 661 and Subdivision D:
(a) a casual employee, except a casual
employee engaged for a short period within the meaning of subsection (4);
(b) a daily hire employee:
(i) who is performing work
in the building and construction industry (including work in, or in connection
with, the erection, repair, renovation, maintenance, ornamentation or
demolition of buildings or structures); or
(ii) who is performing work
in the meat industry in, or in connection with, the slaughter of livestock;
(c) a weekly hire employee who is
performing work in, or in connection with, the meat industry and whose
termination of employment is determined solely by seasonal factors.
Note 1: An employee who is excluded from the provisions
of the Act specified in this subsection may still be eligible to apply for a
remedy in relation to the termination of employment under a provision of a
State law that is not excluded under section 16.
Note 2: The definitions in section 642 apply for
the purposes of this section.
Relationship between subsections (1) and (11)
(12) If, but for this subsection, an employee
would be covered by both subsections (1) and (11), the employee is taken
only to be covered by subsection (1) (and so is subject to the broader
range of exclusions provided for by that subsection).
639
Regulations may provide for additional exclusions
The regulations may exclude from the
operation of specified provisions of this Division specified classes of
employees included in any of the following classes:
(a) employees whose terms and
conditions of employment are governed by special arrangements providing
particular protection in respect of termination of employment either generally
or in particular circumstances;
(b) employees in relation to whom the
operation of the provisions causes or would cause substantial problems because
of:
(i) their particular
conditions of employment; or
(ii) the size or nature of
the undertakings in which they are employed.
640
People’s rights, liabilities and obligations the same as if certain provisions
of the regulations had been valid
(1) In this section:
invalid provisions means paragraph 30B(1)(d),
and subregulation 30B(3), of the Workplace Relations Regulations as purportedly
amended by the relevant amending regulations.
relevant amending regulations means the
Workplace Relations Regulations (Amendment), Statutory Rules 1996 No. 307.
(2) Subject to subsection (3), the
rights and liabilities of all persons are, by force of this section, declared
to be, and always to have been, the same as if:
(a) section 170CC of this Act, as
in force during the period (the validation period):
(i) starting immediately
before the time when the relevant amending regulations purported to commence;
and
(ii) ending on the
commencement of this section;
had authorised the making of
regulations containing the invalid provisions (in addition to what that section
actually authorised to be dealt with in regulations); and
(b) a regulation in the same terms as
regulation 30B of the Workplace Relations Regulations, as purportedly amended
by the relevant amending regulations:
(i) had been made, and had
commenced, immediately after the start of the validation period for the
purposes of section 170CC as having effect as mentioned in paragraph (a);
and
(ii) had been amended by
regulations in the same terms as, and commencing at the same time as, the
provisions of the Workplace Relations Regulations (Amendment), Statutory Rules
1997 No. 101, that purported to amend regulation 30B; and
(iii) had not subsequently
been amended during the validation period.
(3) This section does not affect rights or
liabilities arising between parties to proceedings heard and finally determined
by the Commission or a court at or before the commencement of this section, to
the extent that those rights or liabilities arose from, or were affected by,
the invalidity of the invalid provisions.
641
Extraterritorial extension
(1) This Division, and the rest of this Act
so far as it relates to this Division, extend to the termination, or proposed
termination, of the employment of an Australian‑based employee even
though one or both of the following apply:
(a) the employee was employed outside
Australia at the time of the termination, the proposed time of termination or
the time of the making of the proposal to terminate;
(b) the act causing termination, or
the proposal to terminate, occurred outside Australia.
Note: In this context, Australia
includes the Territory of Christmas Island, the Territory of Cocos (Keeling)
Islands and the coastal sea. See section 15B and paragraph 17(a) of the Acts
Interpretation Act 1901.
(2) However, subsection (1) does not
apply in relation to the employee if either:
(a) all the following conditions are
met at the time of the termination, the proposed time of termination or the
time of the making of the proposal to terminate:
(i) the employee’s
employer is not an Australian employer;
(ii) the employee’s primary
place of work is in Australia’s exclusive economic zone or Australia’s
continental shelf;
(iii) the employee is not
prescribed by the regulations as an employee in relation to whom subsection (1)
applies despite this subsection; or
(b) the employee is prescribed by the
regulations as an employee in relation to whom subsection (1) does not
apply.
(3) In this section:
Australian‑based employee means a person
who would be an Australian‑based employee (as defined in subsection 4(1))
if the definition of employee in section 636 applied to the
definition of Australian‑based employee in that subsection.
Australian employer means a person who would
be an Australian employer (as defined in subsection 4(1)) if the definition of employer
in section 636 applied to the definition of Australian employer
in that subsection.
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
642
Definitions
(1) In this Division:
Court means the Federal
Court of Australia or the Federal Magistrates Court.
daily hire employee means an employee:
(a) whose employment:
(i) is regulated by an
award or a workplace agreement; and
(ii) under the award or
workplace agreement is, or is normally, apart from the application to the
employee of this Division:
(A) terminated
at the end of each day or shift; or
(B) able to
be terminated by the employer giving to the employee not more than 1 day’s
notice; and
(b) who is working in an industry or
occupation which, on 16 November 1994, was subject to an award, State
award, State employment agreement or old IR agreement which provided for the
termination of an employee’s employment in the circumstances referred to in sub-subparagraph (a)(ii)(A)
or (B).
relevant training award, in relation to an
agreement, means:
(a) if the agreement commenced before
the commencement of this definition—the award known as the National Training
Wage Interim Award 1994, as in force on 16 November 1994; or
(b) if the agreement commences on or
after the commencement of this definition—whichever of the following is in
force when the agreement commences:
(i) the award known as the
National Training Wage Award 2000; or
(ii) a later award that
covers substantially the same subject matter as is covered by the award
referred to in subparagraph (i).
termination or termination of
employment means termination of employment at the initiative of the
employer.
Territory employee means any person employed
in a Territory other than Norfolk Island.
trainee means an employee (other than an
apprentice) who is bound by a traineeship agreement.
traineeship agreement means
an agreement between an employer and an employee:
(a) that is consistent with the
relevant training award; and
(b) that is registered:
(i) with the relevant
State or Territory training authority; or
(ii) under a law of a State
or Territory relating to the training of employees.
(2) For the purposes of paragraph (b) of
the definition of daily hire employee in subsection (1), award,
old IR agreement, State award and State
employment agreement have the meanings given by subsection 4(1) of this
Act as in force immediately before the reform commencement.
(3) For the purposes of this Division, termination
or termination of employment does not include demotion in
employment if:
(a) the demotion does not involve a
significant reduction in the remuneration or duties of the demoted employee;
and
(b) the demoted employee remains
employed with the employer who effected the demotion.
(4) For the purposes of this Division, the
resignation of an employee is taken to constitute the termination of the
employment of that employee at the initiative of the employer if the employee can
prove, on the balance of probabilities, that the employee did not resign
voluntarily but was forced to do so because of conduct, or a course of conduct,
engaged in by the employer.
(5) An expression used in this Subdivision or
Subdivision C or D has the same meaning as in the Termination of Employment
Convention.
(6) For the purposes of this Division, an
employee is taken to be employed under award‑derived conditions if the
employer is bound:
(a) in relation to the employee’s
wages and conditions of employment—by an award or a workplace agreement; or
(b) in relation to:
(i) the employee’s
wages—by an APCS; and
(ii) in relation to the
employee’s conditions of employment—by an award or a workplace agreement.
Subdivision B—Application to Commission for relief in respect of
termination of employment
643
Application to Commission to deal with termination under this Subdivision
(1) Subject to subsections (5), (6), (8)
and (10), an employee whose employment has been terminated by the employer may
apply to the Commission for relief in respect of the termination of that
employment:
(a) on the ground that the termination
was harsh, unjust or unreasonable; or
(b) on the ground of an alleged
contravention of section 659, 660 or 661; or
(c) on any combination of grounds in paragraph (b)
or on a ground or grounds in paragraph (b) and the ground in paragraph (a).
(2) Subject to subsection (13), an
employee whose employment is proposed to be terminated by the employer may
apply to the Commission for relief on the ground of an alleged contravention of
section 660.
(3) Subject to subsection (13), if:
(a) an employee’s employment has been
terminated by the employer; and
(b) a trade union’s rules entitle it
to represent the industrial interests of the employee;
the union may, on behalf of the employee, apply to the
Commission for relief on the ground or grounds of an alleged contravention of
one or more of sections 659 and 661.
(4) Subject to subsection (13), if an
employee’s employment has been terminated, or is proposed to be terminated, by
the employer:
(a) an inspector; or
(b) a trade union:
(i) whose members include
the employee; and
(ii) whose rules entitle it
to represent the industrial interests of the employee; or
(c) an officer or employee of such a
union—if the union’s rules authorise the officer or employee to act on the
union’s behalf;
may apply to the Commission for relief on the ground of an
alleged contravention of section 660.
(5) An application under subsection (1)
may not be made:
(a) on the ground referred to in paragraph (1)(a)
or on grounds that include that ground—unless, under subsection 637(1),
Subdivision B applies to that application; or
(b) on a ground referred to in paragraph (1)(b)—unless
Subdivision C applies to that application.
(6) An application under subsection (1)
must not be made on the ground referred to in paragraph (1)(a), or on
grounds that include that ground, unless the employee concerned had completed
the qualifying period of employment with the employer at the earlier of the
following times:
(a) the time when the employer gave
the employee the notice of termination;
(b) the time when the employer
terminated the employee’s employment.
(7) For the purposes of subsection (6),
the qualifying period of employment is:
(a) 6 months; or
(b) a shorter period, or no period,
determined by written agreement between the employee and employer before the
commencement of the employment; or
(c) a longer period determined by
written agreement between the employee and employer before the commencement of
the employment, being a reasonable period having regard to the nature and
circumstances of the employment.
(8) An application under subsection (1)
must not be made on the ground referred to in paragraph (1)(a), or on
grounds that include that ground, if the employee’s employment was terminated
for genuine operational reasons or for reasons that include genuine operational
reasons.
(9) For the purposes of subsection (8), operational
reasons are reasons of an economic, technological, structural or
similar nature relating to the employer’s undertaking, establishment, service
or business, or to a part of the employer’s undertaking, establishment, service
or business.
(10) An application under subsection (1)
must not be made on the ground referred to in paragraph (1)(a), or on
grounds that include that ground, if, at the relevant time, the employer
employed 100 employees or fewer, including:
(a) the employee whose employment was
terminated; and
(b) any casual employee who had been
engaged by the employer on a regular and systematic basis for at least 12
months;
but not including any other casual employee.
(11) For the purposes of calculating the number
of employees employed by an employer as mentioned in subsection (10),
related bodies corporate (within the meaning of section 50 of the
Corporations Act 2001) are taken to be one entity.
(12) For the purposes of subsection (10):
(a) the relevant time is
the time when the employer gave the employee the notice of termination, or the
time when the employer terminated the employee’s employment, whichever happened
first; and
(b) for the purposes of calculating
the number of employees employed by the employer, employee has
the same meaning as in paragraph (b) of the definition of that term in
section 636.
(13) An application under subsection (2),
(3) or (4) may not be made on a ground referred to in that subsection unless
Subdivision C applies to that application.
(14) An application under subsection (1)
or (3) must be lodged within 21 days after the day on which the termination
took effect, or within such period as the Commission allows on an application
made during or after those 21 days.
(15) An application under subsection (2)
or (4) must be lodged within 21 days after the employee is given notice of the
decision to terminate the employee’s employment, or within such period as the
Commission allows on an application made during or after those 21 days.
Note: In Brodie‑Hanns
v MTV Publishing Ltd (1995) 67 IR 298 the Industrial Relations Court of
Australia set down principles relating to the exercise of its discretion under
a similarly worded provision of the Industrial Relations Act 1988.
(16) An application under subsection (1),
(2), (3) or (4) may be discontinued by the applicant in accordance with rules
made under section 124. The applicant may do so whether or not the
employer and the employee have agreed to settle the matter.
644
Fees for lodging applications under section 643
Applications in respect of which a fee is payable
(1) A fee is payable for the lodging of an
application under subsection 643(1), (2), (3) or (4).
Note: This has effect subject to subsection (7)
(which deals with hardship).
Amount of fee if application is lodged in first
financial year
(2) If the application is lodged at a time
that is:
(a) after the commencement of this
section; and
(b) in the first financial year that
ends after that commencement;
the amount of the fee is $50.
Amount of fee if application is lodged in later
financial year
(3) If the application is lodged in a later
financial year (the year of lodgment), the amount of the fee is
to be worked out by:
(a) taking the amount of the fee for
an application lodged in the previous financial year; and
(b) multiplying that amount by the
indexation factor for the year of lodgment (see subsection (4)); and
(c) rounding the result to the nearest
multiple of 10 cents (rounding up if the result is exactly half‑way in
between).
(4) For the purposes of subsection (3),
the indexation factor for the year of lodgment is worked out
using the following formula (then rounded under subsection (5)):

where:
index number, for a quarter, means the All
Groups Consumer Price Index Number (being the weighted average of the 8 capital
cities) published by the Australian Statistician for that quarter.
most recent March year means the period of 12
months ending on 31 March in the financial year that occurred immediately
before the year of lodgment.
previous March year means the period of 12
months immediately preceding the most recent March year.
quarter means a period of 3 months ending on
31 March, 30 June, 30 September or 31 December.
(5) The result under subsection (4) must
be rounded up or down to 3 decimal places (rounding up if the result is
exactly half‑way in between).
(6) Calculations under subsection (4):
(a) are to be made using only the
index numbers published in terms of the most recently published reference base
for the Consumer Price Index; and
(b) are to be made disregarding index
numbers that are published in substitution for previously published index
numbers (unless the substituted numbers are published to take account of
changes in the reference base).
Fee not payable in case of hardship
(7) If a Registrar is satisfied that the
person lodging the application will suffer serious hardship if the person is
required to pay the fee, no fee is payable for lodging the application.
Refund of fee if application discontinued in certain
circumstances
(8) If:
(a) the fee has been paid; and
(b) the application is subsequently
discontinued as mentioned in subsection 643(16); and
(c) either:
(i) at the time the
application is discontinued, the application has not yet been listed for
attention by the Commission; or
(ii) if the application
has, at or before that time, been listed for attention by the Commission on a
specified date or dates—the discontinuance occurs at least 2 days before that
date or the earlier of those dates;
an amount equal to the fee is to be repaid by the
Commonwealth to the person who paid it.
645
Motions for dismissal of application for want of jurisdiction
(1) A respondent may move for the dismissal
of an application under section 643 on the ground that the application is
outside the jurisdiction of the Commission at any time, including a time before
the Commission has begun dealing with the application.
(2) If:
(a) the respondent moves for the
dismissal of an application on such a ground and has not previously so moved;
and
(b) the respondent so moves before the
matter is referred for conciliation by the Commission;
the Commission must deal with the motion before taking any
action, or any further action, on that application, unless the respondent
indicates that the matter may be dealt with at a later time.
(3) If the respondent moves for the dismissal
of an application on such a ground, having already so moved on a previous
occasion, the Commission must deal with the motion but may do so at any time it
considers appropriate.
(4) If a respondent has moved for the
dismissal of an application made, or purported to have been made, under
subsection 643(1):
(a) on the ground referred to in
paragraph 643(1)(a); or
(b) on grounds that include that
ground;
subsection (5) applies to the application.
(5) If the Commission is satisfied that an application
to which this subsection applies cannot be made under subsection 643(1) on the
ground referred to in paragraph 643(1)(a):
(a) because the employee is excluded
from the operation of Subdivision B by section 638; or
(b) because of the operation of
subsection 643(6) (which relates to qualifying periods); or
(c) because of the operation of
subsection 643(10) (which relates to employers of 100 employees or fewer);
the Commission must:
(d) if paragraph (4)(a)
applies—make an order dismissing the application; or
(e) if paragraph (4)(b)
applies—make an order dismissing the application to the extent that it is made
on the ground referred to in paragraph 643(1)(a).
(6) If:
(a) a respondent has moved for the
dismissal of an application to which subsection (5) applies; and
(b) the Commission is not satisfied as
mentioned in paragraph (5)(a), (b) or (c) in relation to the application;
the Commission must make an order refusing the motion for
dismissal.
(7) The Commission is not required to hold a
hearing in relation to the making of an order under subsection (5) or (6).
646
Applications that are frivolous, vexatious or lacking in substance
(1) If:
(a) an application is made, or
purported to have been made, under subsection 643(1):
(i) on the ground referred
to in paragraph 643(1)(a); or
(ii) on grounds that
include that ground; and
(b) the respondent moves for dismissal
of the application on the ground that it is frivolous, vexatious or lacking in
substance; and
(c) the Commission is satisfied that
the application is frivolous, vexatious or lacking in substance, in relation to
the ground referred to in paragraph 643(1)(a);
the Commission must:
(d) if subparagraph (a)(i)
applies—make an order dismissing the application; or
(e) if subparagraph (a)(ii)
applies—make an order dismissing the application to the extent that it is made
on the ground referred to in paragraph 643(1)(a).
(2) If:
(a) an application is made, or
purported to have been made, under subsection 643(1):
(i) on the ground referred
to in paragraph 643(1)(a); or
(ii) on grounds that
include that ground; and
(b) the respondent moves for dismissal
of the application on the ground that it is frivolous, vexatious or lacking in
substance; and
(c) the Commission is not satisfied
that the application is frivolous, vexatious or lacking in substance, in
relation to the ground referred to in paragraph 643(1)(a);
the Commission must:
(d) if subparagraph (a)(i)
applies—make an order refusing the motion for dismissal; or
(e) if subparagraph (a)(ii)
applies—make an order refusing the motion for dismissal, to the extent that the
application is made on the ground referred to in paragraph 643(1)(a).
(3) The Commission is not required to hold a
hearing in relation to the making of an order under subsection (1) or (2).
647
Extension of time applications may be decided without a hearing
If:
(a) an employee whose employment has
been terminated by an employer makes an application (the extension of
time application) under subsection 643(14) requesting the Commission to
allow an application to be lodged under subsection 643(1) after the period of
21 days after the termination took effect; and
(b) the proposed application under
subsection 643(1) is an application:
(i) on the ground referred
to in paragraph 643(1)(a); or
(ii) on grounds that
include that ground;
the Commission is not required to hold a hearing in
relation to the extension of time application.
648
Matters that do not require a hearing
(1) The Commission must, in deciding whether
or not to hold a hearing for the purposes of deciding:
(a) whether to make an order under
subsection 645(5) or (6) or 646(1) or (2); or
(b) whether to grant an extension of
time application within the meaning of section 647;
take into account the cost that would be caused to the
business of the employer concerned by requiring the employer to attend a
hearing.
(2) If the Commission decides not to hold a
hearing, the Commission must, before making a decision:
(a) invite the employee and the
employer concerned to provide further information that relates to whether the
order should be made or the extension of time granted; and
(b) take account of any such
information.
(3) If, as a result of information provided
as mentioned in subsection (2), the Commission considers that it would be
desirable to hold a hearing, the Commission may do so.
(4) An invitation under paragraph (2)(a)
must:
(a) be given by notice in writing to
the employee and the employer concerned; and
(b) specify the time by which the
information referred to in the invitation is to be provided.
649
Dismissal of application relating to termination for operational reasons
(1) If:
(a) an application is made, or is
purported to have been made, under subsection 643(1):
(i) on the ground referred
to in paragraph 643(1)(a); or
(ii) on grounds that
include that ground; and
(b) either:
(i) the respondent has
moved for the dismissal of the application on the ground that the application
is outside the jurisdiction of the Commission because the employee’s employment
was terminated for genuine operational reasons or for reasons that include
genuine operational reasons; or
(ii) it appears to the
Commission, on the face of all the materials before it, that the employee’s
employment may have been terminated for genuine operational reasons or for
reasons that include genuine operational reasons;
the Commission must hold a hearing to deal with the
operational reasons issue before taking any further action in relation to the
application, other than dealing with a matter on the papers as provided by
section 645, 646, 647 or 648.
(2) If, as a result of the hearing, the
Commission is satisfied that the operational reasons relied on by the
respondent were genuine, the Commission must:
(a) if subparagraph (1)(a)(i)
applies—make an order dismissing the application; or
(b) if subparagraph (1)(a)(ii)
applies—make an order dismissing the application to the extent that it is made
on the ground referred to in paragraph 643(1)(a).
(3) Subject to any right of appeal to a Full
Bench of the Commission, a finding by the Commission that it is not satisfied
that the operational reasons relied on by the respondent were genuine is final
and binding between the parties in any proceedings before the Commission.
(4) To avoid doubt, this section does not
require the Commission to hold a hearing in relation to an application that has
been dismissed under subsection 645(5) or 646(1).
(5) In this section:
operational reasons has the meaning given by
subsection 643(9).
650
Conciliation
(1) When an application is lodged with the
Commission, the Commission must attempt to settle the matter to which the
application relates by conciliation.
(2) If the Commission is satisfied that all
reasonable attempts to settle the matter by conciliation are, or are likely to
be, unsuccessful so far as concerns at least one ground of the application, the
Commission:
(a) must issue a certificate in
writing stating that it is so satisfied in respect of that ground or each such
ground; and
(b) must indicate to the parties the
Commission’s assessment of the merits of the application in so far as it
relates to that ground or to each such ground; and
(c) if the Commission thinks fit, may
recommend that the applicant elect not to pursue a ground or grounds of the
application (whether or not also recommending other means of resolving the
matter); and
(d) if the Commission considers,
having regard to all the materials before the Commission, that the application
has no reasonable prospect of success, it must advise the parties accordingly.
(3) If:
(a) the ground or one of the grounds
of the application is the ground referred to in paragraph 643(1)(a); and
(b) the Commission has indicated that
the applicant’s claim in respect of the ground so referred has no reasonable
prospect of success;
the Commission must invite the applicant to provide
further information in support of that ground within a period specified by the
Commission.
(4) If, in relation to an application to
which subsection (3) applies:
(a) the applicant does not provide
further information regarding the applicant’s claim in respect of the ground
referred to in paragraph 643(1)(a); or
(b) after consideration of the
original application and the further material provided by the applicant in
support of that ground;
the Commission concludes that the application has no
reasonable prospect of success at arbitration, it must issue a certificate to
that effect.
(5) If the Commission issues a certificate
under subsection (4) in respect of an applicant’s claim in respect of the
ground referred to in paragraph 643(1)(a), the application is dismissed,
insofar as it relates to that ground, with effect from the date of issue of the
certificate.
651
Elections to proceed to arbitration or to begin court proceedings
(1) If the certificate given by the
Commission under subsection 650(2) identifies only the ground referred to in
paragraph 643(1)(a) as a ground where conciliation is, or is likely to be,
unsuccessful, the applicant must elect either to proceed to arbitration to
determine whether the termination was harsh, unjust or unreasonable or not to
proceed.
Note: If a certificate under subsection 650(2)
identifies both the ground in paragraph 643(1)(a) and a ground or grounds of an
alleged contravention of Subdivision C, and the Commission has issued a
certificate under subsection 650(4) in relation to the ground in paragraph 643(1)(a),
an applicant must make an election as if the certificate under subsection 650(2)
identified only the ground or grounds in Subdivision C.
(2) If the certificate given by the
Commission under subsection 650(2) identifies only:
(a) the ground referred to in
paragraph 643(1)(a); and
(b) the ground of an alleged
contravention of section 661;
as grounds where conciliation is, or is likely to be,
unsuccessful, the applicant must elect to do either, both, or neither of the
following:
(c) to proceed to arbitration to
determine whether the termination was harsh, unjust or unreasonable;
(d) to begin proceedings in a court of
competent jurisdiction for an order under section 665 in respect of the
alleged contravention of section 661.
(3) If the certificate given by the
Commission under subsection 650(2) identifies:
(a) the ground referred to in
paragraph 643(1)(a); and
(b) a ground or grounds of an alleged
contravention of one or more of sections 659 and 660;
as grounds where conciliation is, or is likely to be,
unsuccessful, the applicant must elect to do either or neither of the
following:
(c) to proceed to arbitration to
determine whether the termination was harsh, unjust or unreasonable;
(d) to begin proceedings in the Court
for an order under section 665 in respect of the alleged contravention, or
of any one or more of the alleged contraventions.
(4) If the certificate given by the Commission
under subsection 650(2) identifies only a ground or grounds of an alleged
contravention of one or more of sections 659, 660 and 661 as the ground or
grounds where conciliation is, or is likely to be, unsuccessful, the applicant
must elect to do either, both or neither of the following:
(a) so far as concerns an alleged
contravention of a section or sections other than section 661—to begin
proceedings in the Court for an order under section 665 in respect of the
alleged contravention, or of any one or more of the alleged contraventions;
(b) so far as concerns an alleged
contravention of section 661—to begin proceedings in a court of competent
jurisdiction for an order under section 665 in respect of the alleged
contravention.
(5) If the certificate given by the
Commission under subsection 650(2) identifies:
(a) the ground referred to in
paragraph 643(1)(a); and
(b) the ground of an alleged
contravention of section 661; and
(c) a ground or grounds of an alleged
contravention of one or more of sections 659 and 660;
as grounds where conciliation is, or is likely to be,
unsuccessful, the applicant must elect:
(d) to do either or both of the things
permitted in subsection (2); or
(e) to do either or both of the things
permitted in subsection (4); or
(f) to do none of those things.
(6) An
election under subsection (1), (2), (3), (4) or (5) must:
(a) be
made in writing; and
(b) be lodged with the Commission:
(i) if the certificate
given by the Commission under subsection 650(2) identifies the ground of an
alleged contravention of section 659 as a ground on which conciliation is,
or is likely to be, unsuccessful (whether or not one or more other grounds are
so identified)—not later than 28 days after the day of issue of the
certificate; or
(ii) in any other case—not
later than 7 days after the day of issue of the certificate.
(7) If an applicant fails to lodge with the
Commission an election under subsection (1), (2), (3), (4) or (5) within
the period required under subsection (6), the application concerned is
taken to have been discontinued by the applicant at the end of that period.
(8) The Commission must not, under any
provision of this Act, extend the period within which an election is required
by subsection (6) to be lodged, other than as mentioned in subsection (9).
(9) The Commission may accept an election
referred to in subparagraph (6)(b)(i) that is lodged out of time if the
Commission considers that it would be unfair not to do so, and, if the
Commission accepts such an election, the original application is taken not to
have been discontinued in spite of subsection (7).
(10) An appeal to a Full Bench under section 120 may
not be made in relation to the discontinuance of an application under subsection (7).
652
Arbitration
(1) If:
(a) the Commission has issued a
certificate under subsection 650(2) regarding conciliation of an application
relating to a termination of employment; and
(b) the applicant has made an election
under subsection 651(1), (2), (3) or (5) to proceed to arbitration to determine
whether the termination was harsh, unjust or unreasonable;
the Commission may so proceed to arbitrate the matter.
(2) Neither the making of an election under
subsection 651(1), (2), (3) or (5) to proceed to arbitration nor the
commencement of that arbitration prevents further conciliation of the matter
being attempted, or the parties from settling the matter, at any time before an
order is made under section 654.
(3) In determining, for the purposes of the
arbitration, whether a termination was harsh, unjust or unreasonable, the
Commission must have regard to:
(a) whether there was a valid reason
for the termination related to the employee’s capacity or conduct (including
its effect on the safety and welfare of other employees); and
(b) whether the employee was notified
of that reason; and
(c) whether the employee was given an
opportunity to respond to any reason related to the capacity or conduct of the
employee; and
(d) if the termination related to
unsatisfactory performance by the employee—whether the employee had been warned
about that unsatisfactory performance before the termination; and
(e) the degree to which the size of
the employer’s undertaking, establishment or service would be likely to impact
on the procedures followed in effecting the termination; and
(f) the degree to which the absence
of dedicated human resource management specialists or expertise in the
undertaking, establishment or service would be likely to impact on the
procedures followed in effecting the termination; and
(g) any other matters that the
Commission considers relevant.
653
Exercise of arbitration powers by member who has exercised conciliation powers
(1) If a member of the Commission has
exercised conciliation powers in relation to an application under this
Division, the member must not exercise, or take part in the exercise of,
arbitration powers in relation to the application if a party to the arbitration
proceeding objects.
(2) The member is not taken to have exercised
conciliation powers in relation to the application merely because:
(a) the member arranged for a
conference of the parties or their representatives to be presided over by the
member, but the conference did not take place or was not presided over by the
member; or
(b) the member arranged for the
parties or their representatives to confer among themselves at a conference at
which the member was not present.
654
Remedies on arbitration
(1) Subject to this section, the Commission
may, on completion of the arbitration, make an order that provides for a remedy
of a kind referred to in subsection (3), (4) or (7) if it has determined
that the termination was harsh, unjust or unreasonable.
(2) The Commission must not make an order
under subsection (1) unless the Commission is satisfied, having regard to
all the circumstances of the case including:
(a) the effect of the order on the
viability of the employer’s undertaking, establishment or service; and
(b) the length of the employee’s
service with the employer; and
(c) the remuneration that the employee
would have received, or would have been likely to receive, if the employee’s
employment had not been terminated; and
(d) the efforts of the employee (if
any) to mitigate the loss suffered by the employee as a result of the
termination; and
(e) any other matter that the
Commission considers relevant;
that the remedy ordered is appropriate.
(3) If the Commission considers it
appropriate, the Commission may make an order requiring the employer to
reinstate the employee by:
(a) reappointing the employee to the
position in which the employee was employed immediately before the termination.
(b) appointing the employee to another
position on terms and conditions no less favourable than those on which the
employee was employed immediately before the termination.
(4) If the Commission makes an order under subsection (3)
and considers it appropriate to do so, the Commission may also make:
(a) any order that the Commission
thinks appropriate to maintain the continuity of the employee’s employment; and
(b) subject to subsections (5)
and (6)—any order that the Commission thinks appropriate to cause the employer
to pay to the employee an amount in respect of the remuneration lost, or likely
to have been lost, by the employee because of the termination.
(5) In determining an amount for the purposes
of an order under paragraph (4)(b), the Commission must have regard to:
(a) the amount of any income earned by
the employee from employment or other work during the period between the
termination and the making of the order for reinstatement; and
(b) the amount of any income
reasonably likely to be so earned by the employee during the period between the
making of the order for reinstatement and the actual reinstatement.
(6) If, as a result of an application under
section 663, a court has awarded an amount of damages for a failure to
give notice of a termination as required by section 661, any amount
ordered to be paid by the Commission under paragraph (4)(b) in respect of
the termination is to be reduced accordingly.
(7) If the Commission thinks that the
reinstatement of the employee is inappropriate, the Commission may, if the
Commission considers it appropriate in all the circumstances of the case, make
an order requiring the employer to pay the employee an amount ordered by the
Commission in lieu of reinstatement.
(8) Subject to subsections (9), (10), (11)
and (12), in determining an amount for the purposes of an order under subsection (7),
the Commission must have regard to all the circumstances of the case including:
(a) the effect of the order on the
viability of the employer’s undertaking, establishment or service; and
(b) the length of the employee’s
service with the employer; and
(c) the remuneration that the employee
would have received, or would have been likely to receive, if the employee’s
employment had not been terminated; and
(d) the efforts of the employee (if
any) to mitigate the loss suffered by the employee as a result of the
termination; and
(e) any misconduct of the employee
that contributed to the employer’s decision to terminate the employee’s
employment; and
(f) any other matter that the
Commission considers relevant.
(9) An amount ordered by the Commission under
subsection (4) or (7) to be paid to an employee may not include a
component by way of compensation for shock, distress or humiliation, or other
analogous hurt, caused to the employee by the manner of terminating the
employee’s employment.
(10) If the Commission is satisfied that
misconduct of the employee contributed to the employer’s decision to terminate
the employee’s employment, the Commission must reduce the amount it would
otherwise fix under subsection (7) by an appropriate amount on account of
the misconduct.
(11) In fixing an amount under subsection (7)
for an employee who was employed under award‑derived conditions (see
subsection 642(6)) immediately before the termination, the Commission must not
fix an amount that exceeds the total of the following amounts:
(a) the total amount of remuneration:
(i) received by the
employee; or
(ii) to which the employee
was entitled;
(whichever is higher) for any
period of employment with the employer during the period of 6 months
immediately before the termination (other than any period of leave without full
pay); and
(b) if the employee was on leave
without pay or without full pay while so employed during any part of that
period—the amount of remuneration taken to have been received by the employee
for the period of leave in accordance with the regulations.
(12) In fixing an amount under subsection (7)
for an employee who was not employed under award‑derived conditions (see
subsection 642(6)) immediately before the termination, the Commission must not
fix an amount that exceeds:
(a) the total of the amounts determined
under subsection (11) if the employee were an employee covered by the
subsection; or
(b) the amount of $32,000, as indexed
from time to time in accordance with a formula prescribed by the regulations;
whichever is the lower amount.
(13) For the avoidance of doubt, an order by
the Commission under paragraph (4)(b) or under subsection (7) may
permit the employer concerned to pay the amount required in instalments
specified in the order.
655
Orders made on arbitration are binding
Subject to any right of appeal to a Full
Bench of the Commission, an order made by the Commission under section 654
is final and binding between the parties.
656
Representatives to disclose contingency fee agreements
Representatives other than legal practitioners
(1) In a proceeding before the Commission,
the Commission must ask a representative appearing on behalf of a party to the
proceeding if the representative has been retained by the party under a costs
arrangement as to the representative’s costs.
Legal practitioners
(2) In a proceeding before the Commission,
the Commission must ask a legal practitioner appearing on behalf of a party to
the proceeding if the practitioner has been retained by the party under a
contingency fee agreement as to the practitioner’s costs.
Obligation of representative or practitioner
(3) If the representative or legal
practitioner has been retained under a costs arrangement or contingency fee
agreement (as the case may be), the representative or practitioner must inform
the Commission of that fact.
No effect on law relating to legal professional
privilege
(4) This section does not affect the law
relating to legal professional privilege.
Definitions in this section
(5) In this section:
costs arrangement means an arrangement
between people under which:
(a) a person agrees to provide
representation for another person before the Commission; and
(b) the payment of all, or a
substantial proportion, of the representative’s costs is contingent on the
outcome of the proceeding before the Commission in which the representative
represents the person.
proceeding before the Commission means one of
the following proceedings in respect of an application under section 643
by an employee whose employment has been terminated on the ground, or on
grounds that include the ground, that the termination was harsh, unjust or
unreasonable:
(a) a proceeding for dismissal of the
application on the ground that the application is outside jurisdiction;
(b) conciliation proceedings under
section 650;
(c) arbitration proceedings under
section 652.
representative means a person, other than a
legal practitioner, appearing on behalf of a party to a proceeding before the
Commission.
657
Commission may dismiss application if applicant fails to attend
If an applicant in a proceeding relating
to an application under section 643 fails to attend the proceeding, the
Commission, after giving the applicant reasonable notice and a reasonable
opportunity to be heard, may dismiss the application under section 643.
658
Commission may order payment of costs
(1) If the Commission is satisfied:
(a) that a person (first party):
(i) made an application
under section 643; or
(ii) began proceedings
relating to an application; and
(b) the first party did so in
circumstances where it should have been reasonably apparent to the first party
that he or she had no reasonable prospect of success in relation to the
application or proceeding;
the Commission may, on application under this section by
the other party to the application or proceeding, make an order for costs
against the first party.
(2) If the Commission is satisfied that a
party (first party) to a proceeding relating to an application
under section 643 has acted unreasonably in failing:
(a) to discontinue the proceeding; or
(b) to agree to terms of settlement
that could lead to the discontinuance of the application;
the Commission may, on an application under this section
by the other party to the proceeding, make an order for costs against the first
party.
(3) If the Commission is satisfied:
(a) that a party (first party)
to a proceeding relating to an application made under section 643 caused
costs to be incurred by the other party to the proceeding; and
(b) that the first party caused the
costs to be incurred because of the first party’s unreasonable act or omission
in connection with the conduct of the proceeding;
the Commission may, on an application by the other party
under this section, make an order for costs against the first party.
(4) If the Commission is satisfied:
(a) that a person (the representative)
representing a party to a proceeding relating to an application made under
section 643 caused costs to be incurred by the other party to the
proceeding; and
(b) that the representative caused the
costs to be incurred because of the representative’s unreasonable act or
omission in connection with the conduct of the proceeding;
the Commission may, on an application by the other party,
make an order for costs against the representative.
(5) In making a decision under this section,
the Commission may have regard to any certificate issued or advice given under
section 650 and whether a party pursued a course of action contrary to any
such certificate or advice.
(6) An application for an order for costs
under this section must be made within 14 days after the determination,
discontinuance, settlement or dismissal of the application under section 643
or proceeding relating to an application under section 643 (as the case
may be).
(7) A schedule of costs may be prescribed in
relation to items of expenditure likely to be incurred in respect of:
(a) an application to the Commission
under section 643; and
(b) a proceeding in respect of an
application under section 643.
(8) Without limiting, by implication, the
generality of the items of expenditure for which the schedule may provide,
those items may include:
(a) legal and professional costs and
disbursements; and
(b) expenses arising from the
representation of a party by a person or organisation other than on a legal
professional basis; and
(c) expenses of witnesses.
(9) If a schedule of costs is prescribed for
the purposes of subsection (7), then, in awarding costs under this
section, the Commission:
(a) is not limited to the items of
expenditure appearing in the schedule; but
(b) if an item does appear in the
schedule—must not award costs in respect of that item at a rate or of an amount
in excess of the rate or amount appearing in the schedule.
(10) For the purposes of this section, the
following proceedings are examples of proceedings relating to an
application under section 643 in respect of which the Commission
may make an order for costs:
(a) a proceeding for dismissal of an
application under section 643 on the ground that the application is
outside jurisdiction;
(b) conciliation proceedings under
section 650;
(c) arbitration proceedings under
section 652;
(d) an appeal to the Full Bench from
an order of the Commission under section 654 or a costs order under
section 658;
(e) a proceeding concerning an
application for costs by one party in respect of another party’s application
for costs.
Subdivision C—Unlawful termination of employment by employer
659
Employment not to be terminated on certain grounds
(1) In addition to the principal object of
this Division set out in section 635, the additional object of this
section is to make provisions that are intended to assist in giving effect to:
(a) the Convention concerning
Discrimination in respect of Employment and Occupation, a copy of the English
text of which is set out in Schedule 1 to the Human Rights and Equal
Opportunity Commission Act 1986; and
(b) the Family Responsibilities
Convention; and
(c) the Termination of Employment
Recommendation, 1982, which the General Conference of the International Labour
Organisation adopted on 22 June 1982 and is also known as Recommendation
No. 166.
(2) Except as provided by subsection (3)
or (4), an employer must not terminate an employee’s employment for any one or
more of the following reasons, or for reasons including any one or more of the
following reasons:
(a) temporary absence from work
because of illness or injury within the meaning of the regulations;
(b) trade union membership or
participation in trade union activities outside working hours or, with the
employer’s consent, during working hours;
(c) non‑membership of a trade
union;
(d) seeking office as, or acting or
having acted in the capacity of, a representative of employees;
(e) the filing of a complaint, or the
participation in proceedings, against an employer involving alleged violation
of laws or regulations or recourse to competent administrative authorities;
(f) race, colour, sex, sexual
preference, age, physical or mental disability, marital status, family
responsibilities, pregnancy, religion, political opinion, national extraction
or social origin;
(g) refusing to negotiate in
connection with, make, sign, extend, vary or terminate an ITEA;
(h) absence from work during maternity
leave or other parental leave;
(i) temporary absence from work
because of the carrying out of a voluntary emergency management activity, where
the absence is reasonable having regard to all the circumstances.
(3) Subsection (2) does not prevent a
matter referred to in paragraph (2)(f) from being a reason for terminating
employment if the reason is based on the inherent requirements of the
particular position concerned.
(4) Subsection (2) does not prevent a
matter referred to in paragraph (2)(f) from being a reason for terminating
a person’s employment as a member of the staff of an institution that is
conducted in accordance with the doctrines, tenets, beliefs or teachings of a
particular religion or creed, if the employer terminates the employment in good
faith to avoid injury to the religious susceptibilities of adherents of that
religion or creed.
(5) To avoid doubt, if:
(a) an employer terminates an
employee’s employment; and
(b) the reason, or a reason, for the
termination is that the position held by the employee no longer exists, or will
no longer exist; and
(c) the reason, or a reason, that the
position held by the employee no longer exists, or will no longer exist, is the
employee’s absence, or proposed or probable absence, during maternity leave or
other parental leave;
the employee’s employment is taken, for the purposes of paragraph (2)(h),
to have been terminated for the reason, or for reasons including the reason, of
absence from work during maternity leave or other parental leave.
(6) For the purposes of this section, an
employee carries out a voluntary emergency management activity
if, and only if:
(a) the employee carries out an
activity that involves dealing with an emergency or natural disaster; and
(b) the employee carries out the
activity on a voluntary basis; and
(c) the employee is a member of, or has
a member‑like association with, a recognised emergency management body;
and
(d) either:
(i) the employee was
requested by or on behalf of the body to carry out the activity; or
(ii) no such request was
made, but it would be reasonable to expect that, if the circumstances had
permitted the making of such a request, it is likely that such a request would
have been made.
(7) For the purposes of paragraph (6)(b),
an employee carries out an activity on a voluntary basis even if the employee
directly or indirectly takes or agrees to take:
(a) an honorarium; or
(b) a gratuity; or
(c) a similar payment;
wholly or partly for carrying out the activity.
(8) In this section:
body includes a part of a body.
designated disaster plan means a plan that:
(a) is for coping with emergencies
and/or disasters; and
(b) is prepared by the Commonwealth, a
State or a Territory.
recognised emergency management body means:
(a) a body that has a role or function
under a designated disaster plan; or
(b) a fire‑fighting, civil
defence or rescue body; or
(c) any other body a substantial
purpose of which involves:
(i) securing the safety of
persons or animals in an emergency or natural disaster; or
(ii) protecting property in
an emergency or natural disaster; or
(iii) otherwise responding
to an emergency or natural disaster; or
(d) a body specified in the
regulations;
but does not include a body that was established, or is
continued in existence, for the purpose, or for purposes that include the
purpose, of enabling one or more employees to obtain the protection of subsection (2).
660
Employer to notify CES of proposed terminations in certain cases
(1) This section applies if an employer
decides to terminate the employment of 15 or more employees for reasons of an
economic, technological, structural or similar nature, or for reasons including
such reasons.
(2) As soon as practicable after so deciding
and before terminating an employee’s employment because of the decision, the
employer must give to the body (if any) prescribed by regulations made for the
purposes of this subsection or, failing the prescription of such a body, to the
Secretary of the Department, a written notice of the intended terminations, in
a form prescribed by the regulations, that sets out:
(a) the reasons for the terminations;
and
(b) the number and categories of
employees likely to be affected; and
(c) the time when, or the period over
which, the employer intends to carry out the terminations.
(3) The employer must not terminate an
employee’s employment pursuant to the decision unless the employer has complied
with subsection (2).
661
Employer to give notice of termination
(1) Subject to subsection (8), an
employer must not terminate an employee’s employment unless:
(a) the employee has been given the
required period of notice (see subsections (2) and (3)); or
(b) the employee has been paid the
required amount of compensation instead of notice (see subsections (4) and
(5)); or
(c) the employee is guilty of serious
misconduct, that is, misconduct of such a nature that it would be unreasonable
to require the employer to continue the employment of the employee concerned
during the required period of notice (see subsection (7)).
(2) The required period of notice is to be
worked out as follows:
(a) first work out the period of
notice using the table at the end of this subsection; and
(b) then increase the period of notice
by 1 week if the employee:
(i) is over 45 years old;
and
(ii) has completed at least
2 years of continuous service with the employer.
|
Employee’s period of continuous service with the
employer
|
Period of notice
|
|
Not more than 1 year
|
At least 1 week
|
|
More than 1 year but not more than 3 years
|
At least 2 weeks
|
|
More than 3 years but not more than 5 years
|
At least 3 weeks
|
|
More than 5 years
|
At least 4 weeks
|
(3) For the purposes of subsection (2),
the regulations may prescribe events or other matters that must be disregarded,
or must in prescribed circumstances be disregarded, in ascertaining a period of
continuous service.
(4) The required amount of compensation
instead of notice must equal or exceed the total of all amounts that, if the
employee’s employment had continued until the end of the required period of
notice, the employer would have become liable to pay to the employee because of
the employment continuing during that period.
(5) That total must be worked out on the
basis of:
(a) the employee’s ordinary hours of
work (even if they are not standard hours); and
(b) the amounts ordinarily payable to
the employee in respect of those hours, including (for example) allowances,
loading and penalties; and
(c) any other amounts payable under
the employee’s contract of employment.
(6) The regulations may make provision for or
in relation to amounts that are taken to be payable under a contract of
employment for the purposes of paragraph (5)(c) in relation to an employee
whose remuneration before the termination was determined wholly or partly on
the basis of commission or piece rates.
(7) Without limiting the generality of the
reference to serious misconduct in paragraph (1)(c), the regulations may
identify:
(a) particular conduct; or
(b) conduct in particular
circumstances;
that falls within that reference.
(8) The regulations may exclude from the
operation of this section terminations of employment occurring in specified
circumstances that relate to the succession, assignment or transmission of the
business of the employer concerned.
662
Contravention of this Subdivision not an offence
A contravention of section 659, 660
or 661 is not an offence.
663
Application to courts in relation to alleged contravention of section 659,
660 or 661
(1) Subject to subsection (5), an
employee may apply under this section to the Court for an order under section 665
in respect of an alleged contravention of one or more of sections 659 and 660
by his or her employer.
(2) Subject to subsection (5), an
employee may apply under this section to the Court or to an eligible court as
defined in section 717 for an order under section 665 in respect of
an alleged contravention of section 661 by his or her employer.
(3) Subject to subsection (5), a trade
union that has made an application under section 643 on behalf of an
employee on the ground of an alleged contravention of one or more of sections 659
and 661 may apply to a court under this section for an order under section 665
in respect of that alleged contravention or each of those alleged
contraventions.
(4) Subject to subsection (5), an
inspector, a trade union, or a trade union officer or employee who has made an
application under section 643 in respect of an alleged contravention of
section 660 may apply to the Court under this section for an order
under section 665 in respect of that alleged contravention.
(5) An application under subsection (1),
(2), (3) or (4) in respect of an alleged contravention of section 659, 660
or 661 may not be made to a court unless the applicant:
(a) has received a certificate under
subsection 650(2) regarding conciliation of an application made wholly or
partly on the ground of the alleged contravention; and
(b) has elected under section 651
to begin proceedings in that court for an order under section 665 in
respect of the alleged contravention.
(6) The application must be made within 14
days after the lodgment of an election under subsection 651(6), or within such
period as a court allows on an application made during or after those 14 days.
Note: In Brodie‑Hanns v MTV Publishing Ltd (1995)
67 IR 298, the Industrial Relations Court of Australia set down principles
relating to the exercise of its discretion under a similarly worded provision
of the Industrial Relations Act 1988.
664
Proof of issues in relation to alleged contravention of section 659
In any proceedings under section 663
relating to a termination of employment in contravention of section 659
for a reason (a proscribed reason) set out in a paragraph of subsection (2)
of that section:
(a) it is not necessary for the
employee to prove that the termination was for a proscribed reason; but
(b) it is a defence in the proceedings
if the employer proves that the termination was for a reason or reasons that do
not include a proscribed reason (other than a proscribed reason to which
subsection 659(3) or (4) applies).
665
Orders available to courts
(1) If the Court is satisfied that an
employer has contravened section 659 in relation to the termination of
employment of an employee, the Court may make one or more of the following
orders:
(a) an order imposing on the employer
a penalty of not more than $10,000;
(b) an order requiring the employer to
reinstate the employee;
(c) subject to subsections (2), (3),
(4) and (5), an order requiring the employer to pay to the employee
compensation of such amount as the Court thinks appropriate;
(d) any other order that the Court
thinks necessary to remedy the effect of such a termination;
(e) any other consequential orders.
(2) An amount of compensation ordered by the
Court under paragraph (1)(c) or (d) to be paid to an employee may not
include a component by way of compensation for shock, distress or humiliation,
or other analogous hurt, caused to the employee by the manner of terminating
the employee’s employment.
(3) In fixing an amount under paragraph (1)(c)
for an employee who was employed under award‑derived conditions
immediately before the termination, the Court must not fix an amount that
exceeds the total of the following amounts:
(a) the total amount of remuneration:
(i) received by the
employee; or
(ii) to which the employee
was entitled;
(whichever is higher) for any
period of employment with the employer during the period of 6 months
immediately before the termination (other than any period of leave without full
pay); and
(b) if the employee was on leave
without pay or without full pay while so employed during any part of that
period—the amount of remuneration taken to have been received by the employee
for the period of leave in accordance with the regulations.
(4) In fixing an amount under paragraph (1)(c)
for an employee who was not employed under award‑derived conditions
immediately before the termination, the Court must not fix an amount that
exceeds:
(a) the total of the amounts
determined under subsection (3) if the employee were an employee covered
by the subsection; or
(b) the amount of $32,000, as indexed
from time to time in accordance with a formula prescribed by the regulations;
whichever is the lower amount.
(5) For the avoidance of doubt, an order by
the Court under paragraph (1)(c) or (d) may permit the employer concerned
to pay the amount required in instalments specified in the order.
(6) If the Court is satisfied that an
employer has contravened section 660 in relation to a decision to
terminate the employment of employees, the Court may make either or both of the
following orders:
(a) an order imposing on the employer
a penalty of not more than $1,000;
(b) an order requiring the employer
not to terminate the employment of employees pursuant to the decision, except
as permitted by the order.
(7) Subject to subsection (8), if a
court to which an application is made under subsection 663(2) or (3) is
satisfied that an employer has contravened section 661 in relation to the
termination of the employment of an employee, that court may make an order
requiring the employer to pay to the employee an amount of damages equal to the
amount which, if it had been paid by the employer to the employee when the
employment was terminated, would have resulted in the employer not contravening
that section.
(8) If the Commission has made an order under
subsection 654(4) requiring the employer to pay to the employee an amount in
respect of the remuneration lost, or likely to have been lost, by the employee
because of the termination, an order under subsection (7) of this section
must not be made.
(9) A court to which an application is made
under section 663 must not grant an injunction in respect of a proposed
contravention of section 659, 660 or 661.
Note: As well as the remedies provided in this
Subdivision for contravention of section 659, 660 or 661, there are
provisions in other parts of the Act that relate, in part, to termination of
employment. See, in particular, sections 448 and 792.
666
Costs
(1) Subject to this section, a party to a
proceeding under section 663 must not be ordered to pay costs incurred by
any other party to the proceeding unless the court hearing the matter is
satisfied that the first‑mentioned party:
(a) instituted the proceeding
vexatiously or without reasonable cause; or
(b) caused the costs to be incurred by
that other party because of an unreasonable act or omission of the first‑mentioned
party in connection with the conduct of the proceeding.
(2) Subsection (1) does not empower a
court to award costs in circumstances specified in that subsection if the court
does not have the power to do so.
(3) In this section:
costs includes all legal and professional
costs and disbursements and expenses of witnesses.
667
Small claims procedure
Section 724 applies to a proceeding
under section 663 in respect of an alleged contravention of section 661
that is started by a person or a trade union in a magistrate’s court in the
same way as section 724 applies to an action under section 720 that
is started in a magistrate’s court.
Subdivision D—Commission orders after employer fails to consult trade
union about terminations
668
Orders by Commission where employer fails to consult trade union about
terminations
(1) Subsection (2) applies if the
Commission is satisfied that an employer has, on or after 26 February
1994, decided to terminate the employment of 15 or more employees for reasons
of an economic, technological, structural or similar nature, or for reasons
including such reasons, and that:
(a) the employer did not, as soon as
practicable after so deciding and in any event before terminating an employee’s
employment pursuant to the decision, inform each trade union of which any of
the employees was a member, and which represented the industrial interests of
such of those employees as were members, about:
(i) the terminations and
the reasons for them; and
(ii) the number and
categories of employees likely to be affected; and
(iii) the time when, or the
period over which, the employer intended to carry out the terminations; or
(b) the employer did not, as soon as
practicable after so deciding and in any event before terminating an employee’s
employment pursuant to the decision, give each such trade union an opportunity
to consult with the employer on:
(i) measures to avert the
termination, or avert or minimise the terminations; and
(ii) measures (such as
finding alternative employment) to mitigate the adverse effects of the
termination or terminations.
(2) Subject to subsection (3), the
Commission may make whatever orders it thinks appropriate, in the public
interest, in order to put the employees whose employment was terminated
pursuant to the decision, and each such trade union, in the same position (as
nearly as can be done) as if:
(a) if paragraph (1)(a)
applies—the employer had so informed the trade union; and
(b) if paragraph (1)(b)
applies—the employer had so given the trade union such an opportunity.
(3) The power to make orders under subsection (2)
does not include the power to make orders for any of the following:
(a) reinstatement of an employee;
(b) withdrawal of a notice of
termination if the notice period has not expired;
(c) payment of an amount in lieu of
reinstatement;
(d) payment of severance pay;
(e) disclosure of confidential
information or commercially sensitive information relating to the employer,
unless the recipient of such information gives an enforceable undertaking not
to disclose the information to any other person;
(f) disclosure of personal
information relating to a particular employee, unless the employee has given
written consent to the disclosure of the information and the disclosure is in
accordance with that consent.
(4) Subsections (1) and (2) do not apply
in relation to a trade union if the employer could not reasonably be expected
to have known at the time of the decision that one or more of the employees
were members of the trade union.
(5) For the purposes of subsection (3), commercially
sensitive information, confidential information and personal
information have their ordinary meanings unless the regulations provide
otherwise.
669
Orders only on application
The Commission must not make an order
under section 668 unless it has received an application for the making of
the order from:
(a) an employee or trade union whose
position is to be affected by the order as mentioned in subsection 668(2); or
(b) a trade union whose rules entitle
it to represent the industrial interests of such employees.
670
Powers and procedures of Commission for dealing with applications
The Commission may, in relation to an
application for an order under section 668, attempt to settle the matter
to which the application relates by conciliation.
671 No
order if alternative remedy exists
The Commission must refrain from
considering an application, or from determining it, if the Commission is satisfied
that there is available to the applicant, or to the employees whom the
applicant represents, an alternative remedy under machinery:
(a) that exists under a law of the
Commonwealth (other than this Division) or under a law of a State or Territory;
and
(b) by which effect will be given to
the requirements of Article 13 of the Termination of Employment Convention in
relation to the employees and trade unions concerned.
Subdivision E—Rights relating to termination of employment
672
Limitation on applications alleging termination on paragraph 643(1)(a) grounds
(1) An application under subsection 643(1)
alleging termination of employment on the ground referred to in paragraph 643(1)(a),
or grounds that include that ground, must not be made if other termination
proceedings have already been commenced in respect of the termination of
employment, unless the other termination proceedings:
(a) have been discontinued by the
employee who commenced the proceedings; or
(b) have failed for want of
jurisdiction.
Note: Subsection (3) defines other
termination proceedings.
(2) An employee must not commence other
termination proceedings in respect of a termination of employment if an
application under subsection 643(1) alleging termination of employment on the
ground referred to in paragraph 643(1)(a), or on grounds that include that
ground, has already been made, unless the application:
(a) has been discontinued by the
employee; or
(b) has failed for want of
jurisdiction.
(3) In this section:
other termination proceedings means
proceedings, in respect of a termination of the employment of an employee:
(a) for a remedy in respect of the
termination:
(i) under a provision of
this Act other than section 643; or
(ii) under another law of
the Commonwealth; or
(iii) under a provision of a
law of a State or Territory that is not excluded by section 16; and
(b) that allege that the termination
was unlawful for any reason (other than a failure by the employer to provide a
benefit to which the employee was entitled on the termination).
Note: Section 16 provides for the exclusion of
certain State and Territory laws.
(4) Without limiting subsection (3), other
termination proceedings includes an inquiry in respect of a complaint
(the HREOC complaint):
(a) made under the Human Rights and
Equal Opportunity Commission Act 1986; and
(b) that relates to the termination of
employment of an employee (whether or not as a result of an amendment of the
complaint).
(5) For the purposes of this section, an
employee commences other termination proceedings of a kind referred to in subsection (4):
(a) unless paragraph (b)
applies—when the employee makes the HREOC complaint; or
(b) if the HREOC complaint
constitutes, or would constitute, other termination proceedings only as a result
of an amendment of the complaint—when the complaint is amended.
(6) For the avoidance of doubt, a proceeding
seeking compensation, or the imposition of a penalty, because an employer has
failed, in relation to a termination of employment, to meet an obligation:
(a) to give adequate notice of the
termination; or
(b) to provide a severance payment as
a result of the termination; or
(c) to provide any other entitlement
payable as a result of the termination;
is taken to be a proceeding alleging that the termination
was unlawful because of a failure to provide a benefit to which the employee
was entitled on the termination.
673 No
second applications under section 643 concerning same termination to be
made
An application must not be made under
section 643 in relation to a termination of employment of an employee
where a previous application under section 643 was made in respect of the
same termination unless the second application corrects an error in the
previous application, or the Commission considers that it would be fair to
accept the second application.
674
Limitation on applications alleging unlawful termination
(1) An application alleging unlawful
termination of employment must not be made by an employee if other termination
proceedings have already been commenced in respect of the termination of
employment, unless the other termination proceedings:
(a) have been discontinued by the
employee; or
(b) have failed for want of
jurisdiction.
Note: Subsection (3) defines an application
alleging unlawful termination and other termination proceedings.
(2) An employee must not commence other
termination proceedings in respect of a termination of employment if an
application alleging unlawful termination of the employment has already been
made, unless the application:
(a) has been discontinued by the
employee; or
(b) has failed for want of
jurisdiction.
(3) In this section:
application alleging unlawful termination
means an application under section 643, in respect of a termination of
employment, on the ground that the termination constitutes a contravention of
section 659 because it was done for a reason set out in subsection 659(2).
other termination proceedings means
proceedings, in respect of a termination of employment:
(a) for a remedy in respect of the
termination:
(i) under a provision of
this Act other than section 643; or
(ii) under another law of
the Commonwealth; or
(iii) under a provision of a
law of a State or Territory that is not excluded by section 16; and
(b) that allege that the termination
was:
(i) harsh, unjust or
unreasonable (however described); or
(ii) unlawful;
for any reason (other than a
failure by the employer to provide a benefit to which the employee was entitled
on the termination).
Note: Section 16 provides for the exclusion of
certain State or Territory laws.
(4) Without limiting subsection (3), other
termination proceedings includes an inquiry in respect of a complaint
(the HREOC complaint):
(a) made under the Human Rights and
Equal Opportunity Commission Act 1986; and
(b) that relates to the termination of
employment of an employee (whether or not as a result of an amendment of the
complaint).
(5) For the purposes of this section, an
employee commences other termination proceedings of a kind referred to in subsection (4):
(a) unless paragraph (b)
applies—when the employee makes the HREOC complaint; or
(b) if the HREOC complaint
constitutes, or would constitute, other termination proceedings as a result of
an amendment of the complaint—when the complaint is amended.
Subdivision F—Unmeritorious or speculative proceedings
675
Definitions
In this
Subdivision:
adviser means:
(a) a person or body engaged for fee
or reward to represent an applicant or a respondent in an unfair termination
application, including a person or body so engaged under a contingency fee
agreement, or under a costs arrangement within the meaning of subsection 656(5);
or
(b) a person who is an employee,
official or agent of a registered organisation of employees and who represents
an applicant or a respondent in an unfair termination application in that
capacity.
encourage, in relation to a course of action,
means the promotion of that course of action as distinct from a failure to
dissuade from that course of action.
unfair termination application means an
application for relief under section 643 by an employee whose employment
has been terminated, on the ground, or on grounds that include the ground, that
the termination was harsh, unjust or unreasonable.
676
Advisers not to encourage applicants to make, or to pursue, certain
applications
(1) An adviser must not encourage an employee
to make or pursue an unfair termination application if, on the facts that have
been disclosed or that ought reasonably to have been apparent to the adviser, the
adviser should have been, or should have become, aware that there was no
reasonable prospect of success in respect of the application.
(2) An adviser must not encourage an employer
to continue to oppose an unfair termination application if, on the facts that
have been disclosed or that ought reasonably to have been apparent to the
adviser, the adviser should have been, or should have become, aware that there
was no reasonable prospect of the respondent defending the action.
677
Applications to the Court
(1) An application may be made to the Court
for an order under section 679 in respect of a contravention of section 676.
(2) The application may be made by:
(a) the
applicant in respect of an unfair termination application; or
(b) a
respondent to such an application; or
(c) the Minister; or
(d) the Registrar; or
(e) an organisation of employees or
employers that represented a party in proceedings at first instance in respect
of the unfair termination application.
(3) An application under this section for an
order in respect of a contravention of section 676 may only be made
after the relevant unfair termination application has been determined,
dismissed or discontinued.
(4) Nothing in this Subdivision implies that,
for the purposes of an application under this section, the law relating to
legal professional privilege is abrogated, or in any way affected.
678
Evidentiary matters
In any proceeding for an order in
respect of a contravention of section 676 in respect of an unfair
termination application, the Court must not determine that there was no
reasonable prospect of success in respect of the application or no reasonable
prospect of the respondent defending the action unless it has had regard:
(a) to the outcome of the application
before the Commission; and
(b) to the contents of any certificate
issued by the Commission under subsection 650(2) and, where applicable, subsection (4).
679
Order that the Court may make
In respect of contraventions of section 676,
the Court may, if the Court considers it appropriate in all the circumstances
of the case, make an order imposing on the adviser who contravened that section
a penalty:
(a) if the adviser is a body
corporate—of not more than $10,000; or
(b) if the adviser is not a body
corporate—of not more than $2,000.
Division 5—Orders and proceedings
680
Orders to be in writing
An order of the Commission under this
Part must be in writing.
681
When orders take effect
An order of the Commission under this
Part takes effect from the date of the order or a later date specified in the
order.
682
Compliance with orders
(1) An order under this Part is, unless the
order provides otherwise, taken to bind all employers and employees of the kind
covered by the order (whether or not named or described in the order).
(2) In addition to any other right that an
employee covered by an order under this Part may have under Part 14:
(a) the employee may apply to the
Court or the Federal Magistrates Court to enforce the order by injunction or
otherwise as the Court or the Federal Magistrates Court thinks fit; and
(b) if the order is an order under
Subdivision B of Division 4—the employee may apply to an eligible court as
defined in section 717 to enforce the order by injunction.
683
Variation and revocation of orders
(1) The Commission may vary or revoke an
order under this Part on application by:
(a) any employer, or representative of
an employer, covered by the order (whether or not named or described in the
order); or
(b) any employee, or representative of
any employee, to whom the order relates (whether or not named or described in
the order).
(2) If the Commission is satisfied, on an
application under this section, that an order under Division 3 should be
varied or revoked because of a change in circumstances, the Commission must
vary or revoke the order accordingly.
(3) Subsection (2) does not limit the
Commission’s powers under subsection (1).
(4) This section does not apply to an order
under subsection 645(5) or section 646 or to a decision on an extension of
time application within the meaning of section 647.
684
Representation of employers
Without limiting the operation of
paragraphs 100(11)(b) and 854(10)(b), an employer that is a party to a
proceeding under this Part before the Commission, the Court or the Federal
Magistrates Court may be represented by a member, officer or employee of an
association of employers of which the employer is a member.
685
Appeals to Full Bench
(1) An appeal to a Full Bench under section 120 may
be instituted by any person who is entitled under section 683 to apply for
the variation or revocation of an order under this Part.
(2) For the avoidance of doubt, an appeal to
a Full Bench under section 120 in relation to an order made by the
Commission under Subdivision B of Division 4 may be made only on the
grounds that the Commission was in error in deciding to make the order.
(3) An appeal to a Full Bench under section 120 may
not be made in relation to an order under subsection 645(5) or section 646
or in relation to a decision on an extension of time application within the
meaning of section 647.
686
Inconsistency with awards or other orders of Commission
Any award or order of the Commission or
workplace agreement that is inconsistent with an order under this Part does not
have effect to the extent of the inconsistency.
687
Meaning of employee and employer
To avoid doubt, the expression employee
or employer, when used in a provision of this Division,
is taken to have the same meaning as in the provision of this Act to which the
provision of this Division relates.
Division 6—Parental leave
688
Object and application of Division
The object of this Division is to give
effect, or further effect, to:
(a) the Family Responsibilities
Convention; and
(b) the Workers with Family
Responsibilities Recommendation, 1981, which the General Conference of the
International Labour Organisation adopted on 23 June 1981 and is also
known as Recommendation No. 165;
by providing for a system of unpaid parental leave, and a system
of unpaid adoption leave, that will help men and women workers who have
responsibilities in relation to their dependent children:
(c) to prepare for, enter, participate
in or advance in economic activity; and
(d) to reconcile their employment and family
responsibilities.
Note: Employer, employee
and employment have their ordinary meaning in this Division. See
sections 5, 6 and 7 and Schedule 2.
689
Entitlement to parental leave
The provisions of Division 6 of Part 7
are taken to apply in relation to an employee:
(a) who is not an employee within the
meaning of subsection 5(1); and
(b) if the employee is a casual
employee—who would be an eligible casual employee within the meaning of
Division 6 of Part 7, if he or she were an employee within the
meaning of subsection 5(1);
as if he or she were an employee to whom Division 6
of Part 7 applied.
Note 1: Employees within the meaning of subsection 5(1)
are entitled to the key minimum entitlements of employment provided by the
Australian Fair Pay and Conditions Standard. These include an entitlement to
parental leave (see Division 6 of Part 7).
Note 2: Compliance with this section is dealt with in Part 14.
690
Division supplements other laws
This Division is intended to supplement,
not to override, entitlements under other Commonwealth, State and Territory
legislation and awards.
691
Model dispute resolution process
The model dispute resolution process
applies to a dispute under this Division.
Note: The model dispute resolution process is set
out in Part 13.
Division 7—Stand downs
691A
Employer may stand down employees in certain circumstances
(1) This section applies if:
(a) an employee employed by an
employer cannot usefully be employed during a period because of a particular
circumstance; and
(b) that circumstance is:
(i) a strike; or
(ii) a breakdown of
machinery; or
(iii) a stoppage of work for
any cause for which the employer cannot reasonably be held responsible; and
(c) either:
(i) there is no contract
of employment, and no industrial instrument, that binds the employer in respect
of the employment of the employee and that contains provision for the standing
down of the employee during that period because of that circumstance; or
(ii) a contract of
employment, or industrial instrument, that binds the employer in respect of the
employment of the employee contains provision for the standing down of the
employee during that period because of that circumstance, but the employer’s
right to stand down the employee is dependent on the employer having to apply
to the Commission, a State industrial authority or another person or body for
an order or determination (however described) authorising the employer to stand
down the employee.
(2) If this section applies, the employer:
(a) may stand down the employee during
the period referred to in paragraph (1)(a) because of the circumstance
referred to in that paragraph; and
(b) if the employer stands down the
employee under paragraph (a) of this subsection—may deduct payment for the
period during which the employee is stood down.
(3) A period during which an employee is
stood down under subsection (2) does not break the employee’s continuity
of service.
(4) A period during which an employee is
stood down under subsection (2) counts as service for all purposes.
(5) A provision of a contract of employment
or an industrial instrument that provides as mentioned in subparagraph (1)(c)(ii)
has no effect. However, this section does not otherwise affect the operation of
any provision of a contract of employment or industrial instrument that
provides for the standing down of employees.
(6) In this section:
industrial instrument means any of the
following:
(a) a workplace agreement;
(b) an award;
(c) a pre‑reform AWA;
(d) a pre‑reform certified agreement
(within the meaning of Schedule 7);
(e) a preserved State agreement;
(f) a notional agreement preserving
State awards;
(g) a workplace determination;
(h) an employment agreement (within
the meaning of Division 12 of Part 21);
(i) an exceptional matters order
(within the meaning of Schedule 7);
(j) a section 170MX award
(within the meaning of Schedule 7);
(k) an old IR agreement (within the
meaning of Schedule 7);
(l) an AWA (within the meaning of
Schedule 7A).
691B
Prohibition of unauthorised stand downs
(1) An employer must not stand down an
employee from his or her employment if the stand down is not authorised by:
(a) subsection 691A(2); or
(b) a provision of a contract of
employment, or an industrial instrument (within the meaning of section 691A),
that is binding on the employer in respect of the employment of the employee
(other than a provision that is rendered of no effect by subsection 691A(5)).
Note 1: Compliance with this subsection is dealt with
as follows:
(a) the model dispute resolution process applies
(see subsection (2));
(b) the Court may grant an injunction (see subsection (3));
(c) the compliance provisions of Part 14
apply.
Note 2: If the standing down of an employee is not
authorised as mentioned in this subsection, the employee may recover any lost
wages by taking appropriate enforcement action (whether under this Act or
otherwise).
(2) The model dispute resolution process
(other than section 697) applies to a dispute under subsection (1).
Note: The model dispute resolution process is set
out in Part 13.
(3) The Court, or the Federal Magistrates
Court, on application by an employee who has been stood down or by an
inspector, may grant an injunction requiring the employer of the employee to
cease contravening (or not to contravene) subsection (1).
691C
Extraterritorial extension
(1) This Division, and the rest of this Act
so far as it relates to this Division, extend:
(a) to an employee outside Australia
who meets any of the conditions in this section; and
(b) to the employee’s employer
(whether the employer is in or outside Australia); and
(c) to acts, omissions, matters and
things relating to the employee or the employee’s employment (whether those
acts, omissions, matters or things are in or outside Australia).
Note: In this context, Australia
includes the Territory of Christmas Island, the Territory of Cocos (Keeling) Islands
and the coastal sea. See section 15B and paragraph 17(a) of the Acts
Interpretation Act 1901.
Employee in Australia’s exclusive economic zone
(2) One condition is that the employee is in Australia’s
exclusive economic zone and either:
(a) is an employee of an Australian
employer and is not prescribed by the regulations as an employee to whom this
subsection does not apply; or
(b) is an employee prescribed by the
regulations as an employee to whom this subsection applies.
Note: The regulations may prescribe the employee by
reference to a class. See subsection 13(3) of the Legislative Instruments
Act 2003.
On Australia’s continental shelf outside exclusive
economic zone
(3) Another condition is that the employee:
(a) is outside the outer limits of
Australia’s exclusive economic zone, but is in, on or over a part of
Australia’s continental shelf prescribed by the regulations for the purposes of
this subsection, in connection with the exploration of the continental shelf or
the exploitation of its natural resources; and
(b) meets the requirements that are
prescribed by the regulations for that part.
Note: The regulations may prescribe different requirements
relating to different parts of Australia’s continental shelf. The regulations
may need to do so to give effect to Australia’s international obligations.
Outside Australia’s exclusive economic zone and
continental shelf
(4) Another condition is that the employee:
(a) is neither in Australia’s
exclusive economic zone nor in, on or over a part of Australia’s continental
shelf described in paragraph (3)(a); and
(b) is an Australian‑based
employee of an Australian employer; and
(c) is not prescribed by the
regulations as an employee to whom this subsection does not apply.
(5) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
Part 13—Dispute resolution processes
Division 1—Preliminary
692
Object
The objects of this Part are:
(a) to encourage employers and
employees who are parties to a dispute to resolve it at the workplace level;
and
(b) to introduce greater flexibility
for the resolution of disputes by allowing the parties to determine the best
forum in which to resolve them.
693
Court process
The fact that the model dispute
resolution process, an alternative dispute resolution process or any other
dispute resolution process applies in relation to a dispute does not affect any
right of a party to the dispute to take court action to resolve it.
Division 2—Model dispute resolution process
694
Model dispute resolution process
(1) This Division sets out the model
dispute resolution process.
(2) The model dispute resolution process does
not apply in relation to a particular dispute, unless it applies in relation to
that dispute because of a provision of this Act, other than one contained in
this Division, or a term of an award, a workplace agreement or a workplace
determination.
Note: The model dispute resolution process applies
in relation to a variety of disputes, including:
(a) disputes about entitlements under the
Australian Fair Pay and Conditions Standard (see section 175); and
(b) disputes about the terms of a workplace
agreement, where the agreement itself includes the model dispute resolution
process or is taken to include that process (see section 353); and
(c) disputes about the application of a workplace
determination (see section 504); and
(d) disputes about the application of awards (see
section 514); and
(e) disputes under Division 1 of Part 12,
which deals with meal breaks (see section 609); and
(f) disputes under Division 2 of Part 12,
which deals with public holidays (see section 614); and
(g) disputes under Division 6 of Part 12,
which deals with parental leave (see section 691).
695
Resolving dispute at workplace level
The parties to a dispute must genuinely
attempt to resolve the dispute at the workplace level.
Note: This may involve an affected employee first
discussing the matter in dispute with his or her supervisor, then with more
senior management.
696
Where dispute cannot be resolved at workplace level
Alternative dispute resolution process using an agreed
provider
(1) If a matter in dispute cannot be resolved
at the workplace level, a party to the dispute may elect to use an alternative
dispute resolution process in an attempt to resolve the matter.
(2) The alternative dispute resolution
process is to be conducted by a person agreed between the parties in dispute on
the matter.
Where parties cannot agree on a provider
(3) If the parties cannot reach agreement on
who is to conduct the alternative dispute resolution process, a party to the
dispute on the matter may notify the Industrial Registrar of that fact.
(4) On receiving notification under subsection (3),
the Industrial Registrar must provide the parties with the prescribed
information.
(5) If the parties cannot agree on who is to
conduct the alternative dispute resolution process within the consideration
period, a party to the dispute on the matter may apply to the Commission to
have the alternative dispute resolution process conducted by the Commission.
(6) If an alternative dispute resolution
process is used to resolve a dispute on a matter, the parties to the dispute
must genuinely attempt to resolve the dispute using that process.
(7) In this section:
consideration period is a period beginning on
the last day on which the Industrial Registrar gives the prescribed information
to a party to the dispute on the matter and ending 14 days later.
697
Conduct during dispute
(1) An employee who is a party to a dispute
must, while the dispute is being resolved:
(a) continue to work in accordance
with his or her contract of employment, unless the employee has a reasonable
concern about an imminent risk to his or her health or safety; and
(b) comply with any reasonable
direction given by his or her employer to perform other available work, either
at the same workplace or at another workplace.
(2) In directing an employee to perform other
available work, an employer must have regard to:
(a) the provisions (if any) of the law
of the Commonwealth or of a State or Territory dealing with occupational health
and safety that apply to that employee or that other work; and
(b) whether that work is appropriate
for the employee to perform.
Division 3—Alternative dispute resolution process conducted by
Commission under model dispute resolution process
698
Alternative dispute resolution process
An alternative dispute resolution
process is a procedure for the resolution of disputes, and includes:
(a) conferencing; and
(b) mediation; and
(c) assisted negotiation; and
(d) neutral evaluation; and
(e) case appraisal; and
(f) conciliation; and
(g) arbitration, or other
determination of the rights and obligations of the parties in dispute; and
(h) a procedure or service specified
in the regulations.
699
Application
(1) A person may apply to the Commission to
have an alternative dispute resolution process conducted by the Commission
under this Division in relation to a matter or matters in dispute if:
(a) the dispute is one that may
(whether under an award, a workplace determination, a workplace agreement, a
provision of this Act or otherwise) be resolved using the model dispute
resolution process; and
(b) the parties to the dispute on the
matter or matters have been unable to resolve the dispute at the workplace
level.
(2) An application to have an alternative
dispute resolution process conducted by the Commission under this Division
must:
(a) be in the form (if any) prescribed
by the regulations; and
(b) describe the matter, or matters,
in dispute in relation to which the alternative dispute resolution process is
to be conducted; and
(c) be signed by the party to the
dispute on that matter or those matters who is making the application; and
(d) specify that the alternative
dispute resolution process is to be conducted under the model dispute
resolution process.
(3) The Commission may request the parties to
provide further information about:
(a) the matter or
matters in dispute; and
(b) the steps taken to resolve the
matter at the workplace level.
(4) The Commission may do either of the
following in relation to an application under this section:
(a) allow the amendment, on any terms
that it thinks appropriate, of the application;
(b) correct, amend or waive any error,
defect or irregularity whether in substance or form in the application.
700
Refusing application
(1) The Commission must refuse to conduct an
alternative dispute resolution process under this Division in relation to a
matter if:
(a) the dispute is not one that may be
resolved using the model dispute resolution process; or
(b) the matter is the subject of
proceedings or has already been settled as a result of proceedings, whether
before a court or another body, under a law of the Commonwealth or of a State
or Territory relating to the prevention of discrimination or to equal
opportunity.
(2) The Commission may refuse to conduct an
alternative dispute resolution process under this Division if the parties in
dispute on the matter have not made a genuine attempt:
(a) to resolve the dispute at the
workplace level; or
(b) to reach agreement on who would
conduct the alternative dispute resolution process.
701
Commission’s powers
(1) If the Commission conducts an alternative
dispute resolution process under this Division, the Commission must take such
action as is appropriate to assist the parties to resolve the matter.
(2) The action that the Commission may take
includes:
(a) arranging conferences of the
parties or their representatives at which the Commission is present; and
(b) arranging for the parties or their
representatives to confer among themselves at conferences at which the
Commission is not present.
(3) The Commission must, as far as is
practicable, act:
(a) quickly; and
(b) in a way that avoids unnecessary
technicalities and legal forms; and
(c) if the parties have agreed that an
aspect of the process is to be conducted in a particular way—subject to subsection (4),
in accordance with that agreement.
(4) The Commission does not have power:
(a) to compel a person to do anything;
or
(b) to arbitrate the matter, or
matters, in dispute; or
(c) to otherwise determine the rights
or obligations of a party to the dispute; or
(d) to make an award in relation to
the matter, or matters, in dispute; or
(e) to make an order in relation to
the matter, or matters, in dispute; or
(f) to appoint a board of reference.
(5) The Commission does not have the power to
do any of the things mentioned in paragraph (4)(a), (d), (e) or (f), even
if the parties agree that the Commission should do it.
(6) The Commission may, subject to any
reasonable limitations imposed by the Commission, permit a party to the dispute
on the matter to be represented in the alternative dispute resolution process.
(7) If the parties request the Commission to
make recommendations about particular aspects of a matter about which they are
unable to reach agreement, then the Commission may make recommendations about
those aspects of the matter.
(8) Subdivision B of Division 4 of Part 3
of this Act does not apply in relation to the conduct of the alternative
dispute resolution process by the Commission under this Division.
702
Privacy
(1) The Commission must conduct the
alternative dispute resolution process in private.
(2) The Commission must not disclose or use
any information or document that is given to the Commission in the course of
conducting the alternative dispute resolution process to any person, unless:
(a) the information or document is
disclosed or used for the purpose of conducting the process; or
(b) the parties to the process consent
to the disclosure or use; or
(c) the information or document is
disclosed or used in circumstances specified in regulations made for the
purposes of this paragraph; or
(d) the disclosure or use is otherwise
required or authorised by law.
(3) Evidence of anything said, or any act
done, in the alternative dispute resolution process is not admissible in
proceedings relating to the dispute:
(a) in any court; or
(b) before a person authorised by a
law of the Commonwealth or of a State or Territory to hear evidence; or
(c) before a person authorised by the consent
of the parties to hear evidence;
unless:
(d) the parties agree to the evidence
being admissible; or
(e) the evidence is admitted in
circumstances specified in regulations made for the purposes of this paragraph.
703
When alternative dispute resolution process complete
The alternative dispute resolution
process is completed when:
(a) the parties agree that the matters
in dispute are resolved; or
(b) the party who elected to use the
alternative dispute resolution process has informed the Commission that the
party no longer wishes to continue with the process.
Division 4—Alternative dispute resolution process used to resolve other
disputes
704
Application
(1) A person may apply to the Commission to
have an alternative dispute resolution process conducted by the Commission
under this Division in relation to a matter or matters in dispute if:
(a) the dispute on the matter or
matters arises in the course of bargaining in relation to a proposed collective
agreement (as defined for the purposes of Part 9); and
(b) all parties to the dispute agree
that the process is to be conducted by the Commission.
(2) An application to have an alternative
dispute resolution process conducted by the Commission under this Division
must:
(a) be in the form (if any) prescribed
by the regulations; and
(b) describe the matter, or matters,
in dispute in relation to which the alternative dispute resolution process is
to be conducted; and
(c) be signed by the party to the
dispute on that matter or those matters who is making the application; and
(d) specify that the alternative
dispute resolution process is to be conducted in relation to a dispute on a
matter or matters arising in the course of bargaining in relation to a proposed
collective agreement (as defined for the purposes of Part 9).
(3) The Commission may request the parties to
provide further information about the matter or matters in dispute.
705
Grounds on which Commission must refuse application
The Commission must refuse to conduct
the alternative dispute resolution process if the circumstances mentioned in
subsection 704(1) do not exist.
706
Powers of the Commission
(1) If the Commission conducts an alternative
dispute resolution process under this Division, the Commission must take such
action as is appropriate to assist the parties to resolve the matter.
(2) The action that the Commission may take
includes:
(a) arranging conferences of the
parties or their representatives at which the Commission is present; and
(b) arranging for the parties or their
representatives to confer among themselves at conferences at which the
Commission is not present.
(3) The Commission must, as far as is
practicable, act:
(a) quickly; and
(b) in a way that avoids unnecessary
technicalities and legal forms; and
(c) if the parties have agreed that an
aspect of the process is to be conducted in a particular way—subject to subsection (4),
in accordance with that agreement.
(4) The Commission does not have power:
(a) to compel a person to do anything;
or
(b) to arbitrate the matter, or
matters, in dispute; or
(c) to otherwise determine the rights
or obligations of a party to the dispute; or
(d) to make an award in relation to
the matter, or matters, in dispute; or
(e) to make an order in relation to
the matter, or matters, in dispute; or
(f) to appoint a board of reference.
(5) The Commission does not have power to do
any of the things mentioned in subsection (4), even if the parties agree
that the Commission should do it.
(6) The Commission may, subject to any reasonable
limitations imposed by the Commission, permit a party to the dispute on the
matter to be represented in the alternative dispute resolution process.
(7) If the parties request the Commission to
make recommendations about particular aspects of a matter about which they are
unable to reach agreement, then the Commission may make recommendations about
those aspects of the matter.
(8) Subdivision B of Division 4 of Part 3
of this Act does not apply in relation to the conduct of the alternative dispute
resolution process by the Commission under this Division.
707
Privacy
(1) The Commission must conduct the
alternative dispute resolution process in private.
(2) The Commission must not disclose or use
any information or document that is given to the Commission in the course of
conducting the alternative dispute resolution process to any person, unless:
(a) the information or document is
disclosed or used for the purpose of conducting the process; or
(b) the parties to the process consent
to the disclosure or use; or
(c) the information or document is
disclosed or used in circumstances specified in regulations made for the
purposes of this paragraph; or
(d) the disclosure or use is otherwise
required or authorised by law.
(3) Evidence of anything said, or any act
done, in the alternative dispute resolution process is not admissible in
proceedings relating to the dispute:
(a) in any court; or
(b) before a person authorised by a
law of the Commonwealth or of a State or Territory to hear evidence; or
(c) before a person authorised by the
consent of the parties to hear evidence;
unless:
(d) the parties agree to the evidence
being admissible; or
(e) the evidence is admitted in
circumstances specified in regulations made for the purposes of this paragraph.
708
When alternative dispute resolution process complete
The alternative dispute resolution
process is completed when the parties agree that the matters in dispute are
resolved.
Division 5—Dispute resolution process conducted by the Commission under
workplace agreement
709
Application
(1) A person may apply to the Commission to
have a dispute resolution process conducted by the Commission under this
Division in relation to a matter or matters in dispute if:
(a) the dispute is one that, under the
terms of a workplace agreement, may be resolved using a dispute resolution
process conducted by the Commission; and
(b) any steps that, under the terms of
agreement, must be taken before the matter is referred to the Commission have
been taken.
(2) An application to have a dispute
resolution process conducted by the Commission under this Division must:
(a) be in the form (if any) prescribed
by the regulations; and
(b) describe the matter, or matters,
in dispute in relation to which the dispute resolution process is to be
conducted; and
(c) be signed by the party to the
dispute on that matter or those matters who is making the application; and
(d) specify that the dispute
resolution process is to be conducted under the terms of a workplace agreement and
not under the model dispute resolution process.
(3) The Commission may request the parties to
provide further information about:
(a) the matter or matters in dispute;
and
(b) the steps that have been taken to
resolve the dispute.
Note: Under section 353, a workplace agreement
must include a dispute resolution process. That process may be something other
than the model dispute resolution process, and may involve applying to have the
Commission conduct an alternative dispute resolution process.
710 Grounds
on which Commission must refuse application
The
Commission must refuse to conduct a dispute resolution process under this
Division in relation to a matter in dispute if:
(a) the dispute is not one that, under
the terms of the workplace agreement, may be resolved using a dispute
resolution process conducted by the Commission; or
(b) any of the steps that, under the
terms of agreement, must be taken before the matter is referred to the
Commission have not been taken; or
(c) the matter is the subject of
proceedings or has already been settled as a result of proceedings, whether
before a court or another body, under a law of the Commonwealth or of a State
or Territory relating to the prevention of discrimination or to equal
opportunity.
711
Commission’s powers
(1) In conducting the dispute resolution
process under this Division, the Commission has, subject to subsection (2),
the functions and powers:
(a) given to it under the workplace
agreement; or
(b) otherwise agreed by the parties.
(2) The Commission does not have the power to
make orders.
(3) The Commission must, as far as is
practicable, act:
(a) quickly; and
(b) in a way that avoids unnecessary
technicalities and legal forms; and
(c) if the parties have agreed, either
in the workplace agreement or otherwise, that an aspect of the process is to be
conducted in a particular way—in accordance with that agreement.
(4) Subdivision B of Division 4 of Part 3
of this Act does not apply in relation to the conduct of the dispute resolution
process by the Commission under this Division.
712
Privacy
(1) The Commission must conduct the dispute
resolution process in private.
(2) The Commission must not disclose or use
any information or document that is given to the Commission in the course of
conducting the dispute resolution process to any person, unless:
(a) the information or document is
disclosed or used for the purpose of conducting the process; or
(b) the parties to the process consent
to the disclosure or use; or
(c) the information or document is
disclosed or used in circumstances specified in regulations made for the
purposes of this paragraph; or
(d) the disclosure or use is otherwise
required or authorised by law.
(3) Evidence of anything said, or any act
done, in the dispute resolution process is not admissible in any proceedings
relating to the dispute:
(a) in any court; or
(b) before a person authorised by a
law of the Commonwealth or of a State or Territory to hear evidence; or
(c) before a person authorised by the
consent of the parties to hear evidence;
unless:
(d) the parties agree to the evidence
being admissible; or
(e) the evidence is admitted in
circumstances specified in regulations made for the purposes of this paragraph.
Division 6—Dispute resolution process conducted by another provider
713
Application of this Division
This Division applies to a dispute
resolution process in relation to a dispute on a matter or matters that is not
conducted by the Commission.
714
Representation
(1) If the dispute resolution process is an
alternative dispute resolution process, the person conducting the process may
allow a party to be represented in the process if the person conducting the
process believes that it is appropriate to do so.
(2) The person conducting the dispute resolution
process may set reasonable limits on the conduct of the representative in
relation to the process.
(3) If:
(a) the dispute resolution process is
conducted under the terms of a workplace agreement; and
(b) the agreement makes provision for
a party to the dispute to be represented in the process;
the person conducting the dispute resolution process must
allow the party to be represented in accordance with the agreement.
715
Privacy
(1) The person conducting the dispute
resolution process must do so in private.
(2) A person who is conducting, or has
conducted, a dispute resolution process must not disclose or use any
information or document that is given to the person in the course of conducting
that process to any person, unless:
(a) the information or document is
disclosed or used for the purpose of conducting the process; or
(b) the parties to the process consent
to the disclosure or use; or
(c) the information or document is
disclosed or used in circumstances specified in regulations made for the
purposes of this paragraph; or
(d) the disclosure or use is otherwise
required or authorised by law.
(3) Subsections (1) and (2) are civil
remedy provisions.
(4) Evidence of anything said, or any act
done, in the dispute resolution process is not admissible in proceedings
relating to the dispute:
(a) in any court; or
(b) before a person authorised by a
law of the Commonwealth or of a State or Territory to hear evidence; or
(c) before a person authorised by the
consent of the parties to hear evidence;
unless:
(d) the parties agree to the evidence
being admissible; or
(e) the evidence is admitted in
circumstances specified in regulations made for the purposes of this paragraph.
(5) The Court may make an order imposing a
pecuniary penalty on a person who has contravened subsection (1) or (2).
(6) The pecuniary penalty cannot be more than
300 penalty units for a body corporate or 60 penalty units in any other case.
(7) An application for an order under subsection (5)
may be made by:
(a) a party to the dispute in relation
to which the dispute resolution process is conducted; or
(b) an organisation that has at least
one member who is an employee bound by the agreement, and that is entitled to
represent the industrial interests of at least one such employee; or
(c) a workplace inspector; or
(d) any other person prescribed by the
regulations.
Note: For other provisions about civil remedy
provisions, see Division 3 of Part 14.
716
Where anti‑discrimination or equal opportunity proceedings in progress
A person must not conduct an alternative
dispute resolution process in relation to a dispute on a matter if the matter
is the subject of proceedings or has already been settled as a result of
proceedings, whether before a court or another body, under a law of the
Commonwealth or of a State or Territory relating to the prevention of
discrimination or to equal opportunity.
Part 14—Compliance
Division 1—Definitions
717
Definitions
In this Part:
applicable provision, in relation to a
person, means:
(a) a term of one of these that
applies to the person:
(i) an ITEA;
(ii) the Australian Fair
Pay and Conditions Standard;
(iii) an award;
(iv) a collective agreement;
(v) an order of the
Commission (except one made under Division 4 of Part 9); and
(aa) section 346ZG (no‑disadvantage
test compensation); and
(b) section 607 (meal breaks);
and
(c) section 612 (public
holidays); and
(d) section 689 (extended
entitlement to parental leave); and
(e) subsection 691B(1) (prohibition of
unauthorised stand downs).
Note 1: Workplace determinations are treated for the
purposes of the Act as if they were collective agreements (see section 506).
Undertakings are treated the same way (see section 394). Preserved
redundancy provisions are treated as if they were workplace agreements (see for
example section 399A). This means that a term of one of these is an
applicable provision for the purposes of this Part.
Note 2: Division 4 of Part 9 deals with
protected action ballots. Breaches of orders made under that Division are dealt
with under section 471.
eligible court means:
(a) the Court; or
(b) the Federal Magistrates Court; or
(c) a District, County or Local Court;
or
(d) a magistrate’s court; or
(e) the Industrial Relations Court of
South Australia; or
(f) any other State or Territory
court that is prescribed by the regulations.
Division 2—Penalties and other remedies for contravention of applicable
provisions
718
Standing to apply for penalties or remedies under this Division
(1) The table sets out the persons who may
apply for a penalty or other remedy under this Division in relation to a breach
of an applicable provision.
|
Standing
|
|
Item
|
If the applicable
provision is...
|
These persons may
apply...
|
|
1
|
a term of an ITEA
|
(a) an employer that is bound by the ITEA;
(b) an employee who is bound by the ITEA;
(c) an organisation of employees that represents an employee
who is bound by the ITEA (subject to subsection (5));
(d) an inspector
|
|
2
|
a term of the Australian Fair Pay and Conditions Standard
|
(a) an employee whose employment is subject to the Standard;
(b) an organisation of employees (subject to subsection (6));
(c) an inspector
|
|
3
|
a term of an award
|
(a) an employer that is bound by the award;
(b) an employee whose employment is subject to the award;
(c) an organisation of employers that has a member affected
by the breach;
(d) an organisation of employees, a member of which is
employed by the respondent employer and whose industrial interests the
organisation is entitled, under its eligibility rules, to represent in
relation to work carried on by the member for the employer;
(da)if the term is an outworker
term (within the meaning of Division 7 of Part 10)—a person or
eligible entity (within the meaning of Division 7 of Part 10) that
is bound by the award;
(e) an inspector
|
|
4
|
a term of a collective agreement
|
(a) an employer that is bound by the agreement;
(b) an employee who is bound by the agreement;
(c) an organisation of employees (subject to subsection (6));
(d) an inspector
|
|
5
|
a term of an order of the Commission
|
(a) a person who is bound by the order;
(b) an organisation of employers that has a member affected
by the breach;
(c) an organisation of employees, a member of which is
employed by the respondent employer and whose industrial interests the organisation
is entitled, under its eligibility rules, to represent in relation to work
carried on by the member for the employer;
(d) an inspector
|
|
5A
|
section 346ZG (no‑disadvantage test
compensation)
|
(a) an employee to whom section 346ZG applies;
(b) an organisation of employees (subject to
subsection (6));
(c) an inspector
|
|
6
|
section 607 (meal breaks)
|
(a) an employee to whom section 607 applies;
(b) an organisation of employees (subject to subsection (6));
(c) an inspector
|
|
6A
|
section 612 (public holidays)
|
(a) an employee to whom section 612 applies;
(b) an organisation of employees (subject to subsection (6));
(c) an inspector
|
|
7
|
section 689 (extended entitlement to parental leave)
|
(a) an employee to whom section 689 applies;
(b) an organisation of employees (subject to subsection (6));
(c) an inspector
|
|
8
|
subsection 691B(1) (prohibition of unauthorised stand
downs)
|
(a) an employee to whom subsection 691B(1) applies;
(b) an inspector
|
Note 1: Workplace determinations are treated for the
purposes of this Act as if they were collective agreements (see section 506).
Undertakings are treated the same way (see section 394). This means that
they are covered by table item 4.
(2) For the purposes of table items 2,
3, 4, 5A, 6, 6A, 7 and 8 in subsection (1), a reference to an employee is
a reference to an employee who is affected by the breach of the applicable
provision.
(3) For the purposes of table items 3
and 4 in subsection (1), a reference to an employer is a reference to an
employer that is affected by the breach of the applicable provision.
(4) For the purposes of table item 5 in subsection (1),
a reference to a person bound by the order is a reference to a person bound by
the order who is affected by the breach of the order.
(5) An organisation of employees that
represents an employee who is bound by an ITEA must not apply on behalf of the
employee for a penalty or other remedy under this Division in relation to a
breach of an applicable provision of the ITEA unless:
(a) the employee has requested, in
writing, the organisation to apply on the employee’s behalf; and
(b) a member of the organisation is
employed by the employee’s employer; and
(c) the organisation is entitled,
under its eligibility rules, to represent the industrial interests of the
employee in relation to work carried on by the employee for the employer.
(6) An organisation of employees must not
apply for a penalty or other remedy under this Division in relation to a breach
of an applicable provision that is:
(a) a term of the Australian Fair Pay
and Conditions Standard; or
(b) a term of a collective agreement;
or
(ba) section 346ZG; or
(c) section 607; or
(d) section 612; or
(e) section 689;
unless:
(f) a member of the organisation is
employed by the respondent employer; and
(g) the breach relates to, or affects,
the member of the organisation or work carried on by the member for the
employer.
719
Imposition and recovery of penalties
(1) An eligible court may impose a penalty in
accordance with this Division on a person if:
(a) the person is bound by an
applicable provision; and
(b) the person breaches the provision.
(2) Subject to subsection (3), where:
(a) 2 or more breaches of an
applicable provision are committed by the same person; and
(b) the breaches arose out of a course
of conduct by the person;
the breaches shall, for the purposes of this section, be
taken to constitute a single breach of the term.
(3) Subsection (2) does not apply to a
breach of an applicable provision that is committed by a person after an
eligible court has imposed a penalty on the person for an earlier breach of the
provision.
(4) The maximum penalty that may be imposed
under subsection (1) for a breach of an applicable provision is:
(a) 60 penalty units for an
individual; or
(b) 300 penalty units for a body
corporate.
(5) If, in a proceeding under this section in
relation to an ITEA, it appears to the eligible court that a party to the ITEA
has suffered loss or damage as a result of a breach of the ITEA by the other
party, the court may order the other party to pay the amount of the loss or
damage to the first‑mentioned party.
(6) Where, in a proceeding against an
employer under this section, it appears to the eligible court that an employee
of the employer has not been paid an amount that the employer was required to
pay under an applicable provision (except a term of an ITEA), the court may
order the employer to pay to the employee the amount of the underpayment.
(7) Where, in a proceeding against an
employer under this section, it appears to the eligible court that the employer
has not paid an amount to a superannuation fund that the employer was required,
under an applicable provision (except a term of an ITEA), to pay on behalf of a
person, the court may order the employer to make a payment to or in respect of
that person for the purpose of restoring the person, as far as practicable, to
the position that the person would have been in had the employer not failed to
pay the amount to the superannuation fund.
(8) Without limiting the generality of subsection (7),
the eligible court may order that the employer pay to the superannuation fund
referred to in subsection (7), or another superannuation fund, an amount
equal to the amount (in this subsection called the unpaid amount)
that the employer failed to pay together with such additional amount as, in the
opinion of the court, represents the return that would have accrued in respect
of the unpaid amount had it been duly paid by the employer.
(9) An order must not be made under subsection (6)
or (7) in relation to so much of an underpayment as relates to any period more
than 6 years before the commencement of the proceeding.
(10) A proceeding under this section in
relation to a breach of an applicable provision must be commenced not later
than 6 years after the commission of the breach.
720
Recovery of wages etc.
If an employer is required by an
applicable provision (except a term of an ITEA) to pay an amount to an employee
or to pay an amount to a superannuation fund on behalf of an employee, the
employee, or an inspector on behalf of the employee, may, not later than 6
years after the employer was required to make the payment to the employee or
fund, sue for the amount of the payment in an eligible court.
721
Damages for breach of ITEA
(1) A party to an ITEA who suffers loss or
damage as a result of a breach of the ITEA by the other party may recover the
amount of the loss or damage in an eligible court.
(2) The action must be brought within 6 years
after the date on which the cause of action arose.
722
Interest up to judgment
(1) In exercising its powers under subsection
719(5) or (6) or in a proceeding under section 720 or 721, the eligible
court must, upon application, unless good cause is shown to the contrary,
either:
(a) order that there be included in
the sum for which an order is made or judgment given, interest at such rate as
the eligible court thinks fit on the whole or any part of the money for the
whole or any part of the period between the date when the cause of action arose
and the date on which the order is made or judgment entered; or
(b) without
proceeding to calculate interest in accordance with paragraph (a), order
that there be included in the sum for which an order is made or judgment given,
a lump sum instead of any such interest.
(2) Subsection (1) does not:
(a) authorise the giving of interest
upon interest or of a sum instead of such interest; or
(b) apply in relation to any debt upon
which interest is payable as of right whether by virtue of an agreement or
otherwise; or
(c) authorise the giving of interest,
or a sum instead of interest, otherwise than by consent, upon any sum for which
judgment is given by consent.
723
Interest on judgment
A debt under a judgment or order of an
eligible court made under subsection 719(5) or (6) or section 720 or 721
carries interest from the date on which the judgment is entered or order made
at such rate as would apply under section 52 of the Federal Court of
Australia Act 1976 if the debt were a judgment debt to which that section
applies.
724
Plaintiffs may choose small claims procedure in magistrates’ courts
If:
(a) a person starts an action under
section 720 or 721 in a magistrate’s court; and
(b) the person indicates, in a manner
prescribed by the regulations under this Act or by rules of court relating to
that court, that he or she wants a small claims procedure to apply;
the action is to be dealt with under section 725.
725
Small claims procedure
(1) If an action is to be dealt with under
this section, subsections (2), (3) and (4) apply in relation to the
action.
(2) The
procedure is governed by the following conditions:
(a) the court may not award an amount
exceeding $5,000 or such higher amount as is prescribed;
(b) the court may act in an informal
manner, is not bound by any rules of evidence, and may act without regard to
legal forms and technicalities;
(c) at
any stage of the action, the court may amend the papers initiating the action
if sufficient notice is given to any party adversely affected by the amendment;
(d) a person is not entitled to be
represented by counsel or solicitor unless the court permits;
(e) if the court permits a party to be
represented by counsel or solicitor, the court may, if it thinks fit, do so
subject to conditions designed to ensure that no other party is unfairly
disadvantaged.
(3) In a case heard in a court of a
Territory:
(a) despite paragraphs (2)(d) and
(e), the regulations made under this Act may prohibit or restrict legal
representation of the parties; and
(b) the regulations made under this
Act may provide for the representation of a party in specified circumstances by
an officer or employee of an organisation of employees or of an organisation or
association of employers.
(4) In a case heard in a court of a State:
(a) despite paragraphs (2)(d) and
(e), if, in a particular proceeding in that court (whatever the nature of the
proceeding), the law of the State prohibits or restricts legal representation
of the parties—the regulations made under this Act may prohibit or restrict
legal representation of the parties to the same extent as that law; and
(b) if, in a particular proceeding in
that court (whatever the nature of the proceeding), the law of the State allows
representation of a party in that court in some circumstances by officials of
bodies representing interests related to the matters in dispute—the regulations
made under this Act may provide for representation of a party in specified
circumstances by an officer or employee of an organisation of employees or of an
organisation or association of employers.
726
Unclaimed moneys
(1) Where:
(a) an
employee has left the employment of an employer without having been paid an
amount to which the employee is entitled under an applicable provision; and
(b) the
employer is unable to pay the amount to the former employee because the
employer does not know the former employee’s whereabouts;
the employer may pay the amount to the Commonwealth.
(2) The Commonwealth holds the amount in
trust for the former employee.
(3) Payment of the amount to the Commonwealth
is a sufficient discharge to the employer, as against the former employee, for
the amount paid.
Division 3—General provisions relating to civil remedies
727
Operation of this Division
(1) This Division sets out rules that apply
for the purposes of these provisions:
(a) section 719; and
(b) another provision of this Act that
is declared (whether by that provision or by another provision of this Act) to
be a civil remedy provision (whether or not for the purposes of a particular
segment of this Act); and
(c) another provision of this Act that
provides a remedy for a contravention of a provision referred to in paragraph (b).
(2) Those provisions are called the civil
remedy provisions.
728
Involvement in contravention treated in same way as actual contravention
(1) A person who is involved in a
contravention of a civil remedy provision is treated as having contravened that
provision.
(2) For this purpose, a person is involved
in a contravention of a civil remedy provision if, and only if, the
person:
(a) has aided, abetted, counselled or
procured the contravention; or
(b) has induced the contravention,
whether by threats or promises or otherwise; or
(c) has been in any way, by act or
omission, directly or indirectly, knowingly concerned in or party to the
contravention; or
(d) has conspired with others to
effect the contravention.
729
Civil evidence and procedure rules for civil remedy orders
A court hearing a proceeding under a
civil remedy provision must apply the rules of evidence and procedure for civil
matters.
730
Recovery of pecuniary penalties
A pecuniary penalty payable under a
civil remedy provision may be recovered as a debt due to the person to whom the
penalty is payable.
731
Civil proceedings after criminal proceedings
A court must not make an order under a
civil remedy provision requiring a person to pay a pecuniary penalty if the
person has been convicted of an offence constituted by conduct that is
substantially the same as the conduct in relation to which the order would be
made.
732
Criminal proceedings during civil proceedings
(1) Proceedings for an order under a civil
remedy provision requiring a person to pay a pecuniary penalty are stayed if:
(a) criminal proceedings are started
or have already been started against the person for an offence; and
(b) the offence is constituted by
conduct that is substantially the same as the conduct in relation to which the
order would be made.
(2) The proceedings for the order may be
resumed if the person is not convicted of the offence. Otherwise, the
proceedings for the order are dismissed.
733
Criminal proceedings after civil proceedings
Criminal proceedings may be started
against a person for conduct that is substantially the same as conduct in
relation to which an order under a civil remedy provision requiring the person
to pay a pecuniary penalty could be made regardless of whether such an order
has been made against the person.
734
Evidence given in proceedings for pecuniary penalty not admissible in criminal
proceedings
Evidence of information given or
evidence of production of documents by an individual is not admissible in
criminal proceedings against the individual if:
(a) the individual previously gave the
evidence or produced the documents in proceedings for an order under a civil
remedy provision requiring the individual to pay a pecuniary penalty (whether
or not the order was made); and
(b) the conduct alleged to constitute
the offence is substantially the same as the conduct in relation to which the
order was sought.
However, this does not apply to a criminal proceeding in
respect of the falsity of the evidence given by the individual in the
proceedings under the civil remedy provision.
735
Civil double jeopardy
If a person is ordered to pay a
pecuniary penalty under a civil remedy provision in respect of particular
conduct, the person is not liable to be ordered to pay a pecuniary penalty
under some other provision of a law of the Commonwealth law in respect of that
conduct.
Part 15—Right of entry
Division 1—Preliminary
736
Objects of this Part
In addition to the object set out in
section 3, this Part has the following objects:
(a) to establish a framework that
balances:
(i) the right of
organisations to represent their members in the workplace, hold discussions
with potential members and investigate suspected breaches of industrial laws,
industrial instruments and OHS laws; and
(ii) the right of occupiers
of premises and employers to conduct their businesses without undue
interference or harassment;
(b) to ensure that permits to enter
premises and inspect records are only held by persons who understand their
rights and obligations under this Part and who are fit and proper persons to
exercise those rights;
(c) to ensure that occupiers of
premises and employers understand their rights and obligations under this Part;
(d) to ensure that permits are
suspended or revoked where rights granted under this Part are misused.
737
Definitions
In this Part:
affected employee means:
(a) in relation to the entry onto
premises under section 747 to investigate a suspected breach—an employee
for whom all the following are satisfied:
(i) the employee carries
out work on the premises;
(ii) the employee is a
member of the permit holder’s organisation;
(iii) the suspected breach
relates to, or affects, the employee or the work; and
(b) in relation to the entry onto
premises under section 760 to hold discussions—an employee for whom all
the following are satisfied:
(i) the employee carries
out work on the premises;
(ii) the employee is a
member of the permit holder’s organisation or is eligible to become a member of
that organisation;
(iii) the employee is one of
the employees with whom the discussions are to be held.
affected employer means an employer of
affected employees.
authority documents, in relation to the entry
onto premises by a permit holder, means:
(a) if the permit holder entered the
premises in reliance on an entry notice:
(i) the permit holder’s
permit; and
(ii) the entry notice; or
(b) if the permit holder entered the
premises in reliance on an exemption certificate:
(i) the permit holder’s
permit; and
(ii) the exemption
certificate; or
(c) if the permit holder entered the
premises in reliance on an order of the Commission:
(i) the permit holder’s
permit; and
(ii) the order.
Commonwealth place means a place referred to
in paragraph 52(i) of the Constitution, other than the seat of government.
conduct includes an omission.
Court means the Federal Court of Australia or
the Federal Magistrates Court.
entry notice means an entry notice in the
form approved under section 738.
exemption certificate means an exemption
certificate under section 750.
industrial law
means:
(a) this Act; or
(b) the Registration and Accountability
of Organisations Schedule; or
(c) a law of the Commonwealth, however
designated, that regulates the relationships between employers and employees;
or
(d) a State or Territory industrial
law.
official, in relation to an organisation,
means an officer or employee of the organisation.
OHS law means a law of a State or Territory
prescribed by the regulations for the purposes of this definition.
permit means a permit under this Part.
permit holder means a person who holds a
permit.
permit holder’s organisation, in relation to
a permit, means the organisation in respect of which the permit was issued.
repealed Part IX means Part IX of
this Act, as in force at any time before the reform commencement.
738
Form of entry notice
(1) The Industrial Registrar must, in
writing, approve a form of entry notice for the purposes of this section.
(2) The form:
(a) must require the following matters
to be specified by the person using the form:
(i) the premises that are
proposed to be entered;
(ii) the organisation in
respect of which the relevant permit was issued;
(iii) any other matters
prescribed by the regulations; and
(b) must include any other information
prescribed by the regulations.
(3) Subsection (2) does not, by
implication, limit the matters that may be contained in, or required by, the
form.
739
Extraterritorial extension
In Australia’s exclusive economic zone
(1) This Part, and the rest of this Act so
far as it relates to this Part, extend to premises that:
(a) are in Australia’s exclusive economic
zone; and
(b) are owned or occupied by an
Australian employer.
This subsection has effect subject to Australia’s
obligations under international law concerning jurisdiction over ships that fly
the flag of a foreign country and aircraft registered under the law of a
foreign country.
On Australia’s continental shelf outside exclusive
economic zone
(2) This Part, and the rest of this Act so
far as it relates to this Part, extend to premises that:
(a) are outside the outer limits of
Australia’s exclusive economic zone, but in, on or over a part of Australia’s
continental shelf prescribed for the purposes of this subsection; and
(b) are connected with the exploration
of the continental shelf or the exploitation of its natural resources; and
(c) meet the requirements that are
prescribed by the regulations for that part.
Note: The regulations may prescribe different
requirements relating to different parts of Australia’s continental shelf. The
regulations may need to do so to give effect to Australia’s international
obligations.
Definition
(3) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
Division 2—Issue of permits
740
Issue of permit
(1) An organisation may apply to a Registrar
for the issue of a permit to an official of the organisation. The application
must be in writing.
(2) The Registrar may issue a permit to the
official named in the application.
(3) The permit:
(a) must include any conditions that
are imposed by the Registrar under section 741; and
(b) must include any conditions that
are applicable under section 770 at the time of issue.
(4) The regulations may make provision in
relation to the following matters:
(a) the form of an application for a
permit;
(b) the declarations and other
documents that must accompany the application;
(c) verification, by statutory
declaration, of those documents;
(d) the form of a permit.
Note: Under the Criminal Code and the Statutory
Declarations Act 1959, penalties apply to false statements etc.
741
Imposition of permit conditions at time of issue
(1) At the time of issuing a permit, a
Registrar may impose conditions that limit the circumstances in which the
permit has effect.
Note: For example, the conditions could limit the
premises to which the permit applies or the time of day when the permit
operates.
(2) In deciding whether to impose conditions,
a Registrar must have regard to the matters specified in subsection 742(2).
742
Permit not to be issued in certain cases
Official not a fit and proper person
(1) A Registrar must not issue a permit to an
official unless the Registrar is satisfied that the official is a fit and
proper person to hold the permit.
(2) For the purposes of subsection (1),
the Registrar must have regard to the following matters:
(a) whether the official has received
appropriate training about the rights and responsibilities of a permit holder;
(b) whether the official has ever been
convicted of an offence against an industrial law;
(c) whether the official has ever been
convicted of an offence against a law of the Commonwealth, a State, a Territory
or a foreign country, involving:
(i) entry onto premises;
or
(ii) fraud or dishonesty;
or
(iii) intentional use of
violence against another person or intentional damage or destruction of
property;
(d) whether the official, or any other
person, has ever been ordered to pay a penalty under this Act or any other
industrial law in respect of conduct of the official;
(e) whether any permit issued to the
official under this Part, or under the repealed Part IX, has been revoked
or suspended or made subject to conditions;
(f) whether a court, or other person
or body, under a State or Territory industrial law or an OHS law, has
cancelled, suspended or imposed conditions on a right of entry for industrial
or occupational health and safety purposes that the official had under that
law;
(g) whether a court, or other person
or body, under a State or Territory industrial law or an OHS law, has
disqualified the official from exercising, or applying for, a right of entry
for industrial or occupational health and safety purposes under that law;
(h) any other matters that the
Registrar considers relevant.
Note: Part VIIC
of the Crimes Act 1914 includes provisions that, in certain
circumstances, relieve persons from the requirement to disclose spent
convictions and require persons aware of such convictions to disregard them.
Banning order or disqualification applies under this
Part
(3) A Registrar must not issue a permit to an
official:
(a) during a disqualification period
specified by a Registrar under section 744; or
(b) if the issue is prevented by a
Commission order under section 770 or 772.
Disqualification etc. applies under State law
(4) A Registrar must not issue a permit to an
official at a time when:
(a) a suspension, imposed by a court
or other person or body, applies under a State or Territory industrial law or
an OHS law to a right of entry for industrial or occupational health and safety
purposes that the official has under that law; or
(b) a disqualification, imposed by a
court or other person or body, prevents the official from exercising, or
applying for, a right of entry for industrial or occupational health and safety
purposes under a State or Territory industrial law or an OHS law.
Division 3—Expiry, revocation, suspension etc. of permits
743
Expiry of permit
Unless earlier revoked, a permit expires
at the earlier of the following times:
(a) at the end of the third
anniversary of the date of issue;
(b) when the permit holder ceases to
be an official of the organisation that applied for the permit.
744
Revocation, suspension etc. by Registrar
(1) A workplace inspector, or a person
prescribed by the regulations, may apply to a Registrar to take action under
this section against a permit holder. The application must be made in
accordance with the regulations.
(2) On application made under subsection (1),
the Registrar may do any of the following in relation to one or more permits
held by the permit holder:
(a) revoke the permit (whether or not
the permit is already suspended);
(b) suspend the permit for a specified
period;
(c) impose conditions on the permit
(whether or not the permit is already suspended).
(3) In exercising powers under subsection (2),
the Registrar must have regard to the matters specified in subsection 742(2).
Registrar must revoke or suspend in certain
circumstances
(4) If the Registrar is satisfied that any of
the things mentioned in subsection (5) has happened since the first of the
permits was issued, then the Registrar must take the following action in
relation to each permit held by the permit holder:
(a) if the permit expires before the
end of the minimum disqualification period—the Registrar must revoke the
permit;
(b) if
the permit does not expire before the end of the minimum disqualification
period—the Registrar must either:
(i) revoke the permit; or
(ii) suspend the permit for
a period that does not end earlier than the end of the minimum disqualification
period.
The Registrar must also specify a disqualification period
for the purposes of section 742. The disqualification period cannot be
shorter than the minimum disqualification period.
(5) The things are:
(a) the permit holder was found, in
proceedings under this Act, to have contravened section 768; or
(b) the permit holder, or another
person, was ordered to pay a penalty under this Act in respect of a
contravention of this Part by the permit holder; or
(c) a court, or other person or body,
under a State or Territory industrial law, cancelled or suspended a right of
entry for industrial purposes that the permit holder had under that law; or
(d) a court, or other person or body,
under a State or Territory industrial law, disqualified the permit holder from
exercising, or applying for, a right of entry for industrial purposes under
that law; or
(e) the holder has, in exercising a
right of entry under an OHS law, engaged in conduct that was not authorised by
that law.
(6) The Commission may make an order quashing
or varying the revocation or suspension of a permit if:
(a) the permit was revoked or
suspended on grounds set out in paragraph (5)(b) or (e); and
(b) the Commission is satisfied, on
application by the permit holder, that the revocation or suspension was harsh
or unreasonable in the circumstances.
Definition
(7) In this section:
minimum disqualification period, in relation
to action by a Registrar under subsection (4) (the current action),
means:
(a) if a Registrar has never previously
taken action against the permit holder under that subsection—the period of 3
months starting when the current action is taken; or
(b) if a Registrar has previously
taken action against the permit holder under that subsection on only one
occasion—the period of 12 months starting when the current action is taken; or
(c) if a Registrar has previously
taken action against the permit holder under that subsection on at least 2
occasions—the period of 5 years starting when the current action is taken.
745 Revoked
etc. permit must be returned to Registrar
(1) If any of the following happens to a
permit, then the permit holder must within 7 days return the permit to a
Registrar:
(a) the permit is revoked;
(b) the permit expires;
(c) the permit is suspended;
(d) conditions are imposed on the
permit after it is issued.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 8 for enforcement.
(3) In the case of a suspended permit, a
Registrar must, on application by the permit holder or the permit holder’s
organisation, return the permit to the permit holder after the end of the
suspension period if the Registrar is satisfied that the permit is then still
in force.
Note: In the meantime the permit might have been
revoked or might have expired.
746
Extra conditions to be endorsed on permit
If conditions are imposed on a permit by
a Registrar under section 744 or by the Commission under section 770,
then the permit ceases to have effect until the Registrar endorses those
conditions on the permit.
Division 4—Right of entry to investigate suspected breaches
747
Right of entry to investigate breach
Right of entry for breach of Commonwealth industrial
law etc.
(1) If a permit holder for an organisation
suspects, on reasonable grounds, that a breach has occurred, or is occurring,
of:
(a) this Act; or
(b) an ITEA; or
(c) an award or collective agreement
or an order of the Commission under this Act, being an award, collective
agreement or order that is binding on the permit holder’s organisation; or
(d) an employee collective agreement,
or an employer greenfields agreement, that is binding on an employee who is a
member of the permit holder’s organisation;
then, for the purpose of investigating the suspected
breach, the permit holder may, during working hours, enter premises if:
(e) work is being carried out on the
premises by one or more employees who are members of the permit holder’s
organisation; and
(f) the suspected breach relates to,
or affects, that work or any of those employees.
No right to investigate ITEA breach unless employee
requests
(2) Paragraph (1)(b) does not apply
unless the employee who is a party to the ITEA makes a written request to the
organisation to investigate the breach.
748
Rights of permit holder after entering premises
(1) This section applies if a permit holder
has entered premises under section 747 for the purpose of investigating a
suspected breach.
Inspection of work etc. and interviewing employees
(2) While on the premises, the permit holder
may, for the purpose of investigating the suspected breach:
(a) during working hours, inspect or
view any work, material, machinery, or appliance, that is relevant to the
suspected breach; and
(b) during working hours, interview
the following persons about the suspected breach:
(i) employees who are
members of the permit holder’s organisation;
(ii) employees who are
eligible to become members of the permit holder’s organisation.
(3) For the avoidance of doubt, a refusal or
failure by a person to participate in an interview under this section is not to
be treated as conduct covered by section 149.1 of the Criminal Code.
Inspection of records while on the premises
(4) While on the premises, the permit holder
may, for the purpose of investigating the suspected breach, require an affected
employer to allow the permit holder, during working hours, to inspect and make
copies of, any records relevant to the suspected breach (other than non‑member
records) that:
(a) are kept on the premises by the
employer; or
(b) are accessible from a computer
that is kept on the premises by the employer.
Inspection of records at later time
(5) The permit holder may, for the purpose of
investigating the suspected breach, by notice in writing, require an affected
employer, on a later day or days specified in the notice:
(a) to produce, or allow access to,
all records, or particular records, relevant to the suspected breach (other
than non‑member records), either at the premises or at another place that
is agreed between the permit holder and the employer; and
(b) to allow the permit holder, during
working hours, to inspect and make copies of, any of those records.
The permit holder may give the notice while on the
premises or within 5 days after the day on which the permit holder entered the
premises.
(6) A day specified in a notice to an
employer under subsection (5) cannot be earlier than 14 days after the
notice is given to the employer.
(7) Before issuing a requirement to an
affected employer under subsection (4) or (5), the permit holder must
produce the permit holder’s authority documents for inspection by the employer.
(8) If a permit holder has given a notice to
an employer under subsection (5) requiring the employer to produce, or
allow access to, records at the premises, then the permit holder is entitled to
enter the premises during working hours for the purpose of inspecting and
copying the records in accordance with the notice.
Note: The Privacy Act 1998 has rules about
the disclosure of personal information.
Application to Commission for access to non‑member
records
(9) The permit holder may, for the purposes
of investigating the suspected breach, apply to the Commission for either or
both of the following orders:
(a) an order to allow the permit
holder to enter the premises and to inspect and make copies of non‑member
records that are relevant to the suspected breach;
(b) an order to require an affected
employer to produce, or allow access to, such records for inspection and
copying.
(10) The Commission may make such an order if
it is satisfied that the order is necessary to investigate the suspected
breach. Before doing so, the Commission must have regard to the conditions (if
any) that apply to the permit holder’s permit.
(11) An application for an order under subsection (9):
(a) must be in accordance with the
regulations; and
(b) must set out the grounds on which
the application is made.
Definitions
(12) In this
section:
non‑member record means a record that:
(a) relates to the employment of a
person who is not a member of the permit holder’s organisation; and
(b) does not also relate to the
employment of a person who is a member of the permit holder’s organisation.
record relevant to the suspected breach means
a record:
(a) that is relevant to the suspected
breach; and
(b) that is of the following kind:
(i) a time sheet;
(ii) a pay sheet;
(iii) any other record or
document, other than an ITEA.
749
Limitation on rights—entry notice or exemption certificate
(1) Section 747 does not authorise entry
to premises unless:
(a) the conditions in subsection (2)
of this section are satisfied; or
(b) the conditions in subsection (3)
of this section are satisfied.
(2) The conditions are:
(a) the permit holder gave an entry
notice to the occupier of the premises and gave the notice during working hours
at least 24 hours, but not more than 14 days, before the entry; and
(b) the entry notice specifies section 747
as the section that authorises the entry; and
(c) the entry notice specifies
particulars of the suspected breach or breaches; and
(d) the entry is on a day specified in
the entry notice.
(3) The conditions are:
(a) the entry is on a day specified in
an exemption certificate under section 750 and the premises are the
premises specified in the exemption certificate; and
(b) the permit holder gave a copy of
the exemption certificate to the occupier of the premises not more than 14 days
before the entry.
(4) Conduct after entry is not authorised by
section 748 unless the conduct is for the purpose of investigating a suspected
breach identified in the permit holder’s authority documents.
750
Exemption from requirement to provide entry notice
(1) An organisation may apply to a Registrar
for an exemption certificate in respect of the entry onto premises under
section 747 to investigate a suspected breach.
(2) If the Registrar is satisfied that there
are reasonable grounds for believing that advance notice of entry onto the
premises under section 747 might result in the destruction, concealment or
alteration of relevant evidence, then the Registrar must issue an exemption
certificate in respect of entry onto those premises.
(3) An exemption certificate must:
(a) specify the premises to which it
applies; and
(b) specify the organisation to which
it relates; and
(c) specify the day or days on which
it operates; and
(d) specify particulars of the
suspected breach or breaches to which it relates; and
(e) specify section 747 as the
section that authorises the entry.
(4) The regulations may make provision in
relation to the following matters:
(a) the form of an application for an
exemption certificate;
(b) the form of an exemption
certificate.
751
Limitation on rights—failure to comply with requests of occupier or affected
employer
(1) This Division does not authorise a permit
holder to enter, or remain on, premises if the permit holder fails to produce
the permit holder’s authority documents for inspection when requested to do so
by an affected employer or by the occupier of the premises.
(2) This Division does not authorise a permit
holder to enter, or remain on, premises if:
(a) an affected employer or the
occupier of the premises requests the permit holder to comply with an
occupational health and safety requirement that applies to the premises; and
(b) the request is a reasonable
request; and
(c) the permit holder fails to comply
with the request.
Note: The Commission may make an order under section 771
if the request is unreasonable.
(3) This Division does not authorise a permit
holder to enter, or remain on, premises if:
(a) an affected employer or the
occupier of the premises requests the permit holder to do either or both of the
following:
(i) to conduct interviews
in a particular room or area of the premises;
(ii) to take a particular
route to reach a particular room or area of the premises; and
(b) the request is a reasonable
request; and
(c) the permit holder fails to comply
with the request.
Note: The Commission may make an order under section 771
if the request is unreasonable.
(4) For the purposes of subsection (3),
if an affected employer or the occupier requests the permit holder to hold
discussions in a particular room or area, or to take a particular route to
reach a particular room or area, the request is not unreasonable only because
it is not the room, area or route that the permit holder would have chosen.
752
Limitation on rights—residential premises
This Division does not authorise a
person to enter any part of premises that is used for residential purposes.
753
Limitation on rights—permit conditions
(1) A permit holder’s rights under this
Division in respect of a permit are subject to any conditions that apply to the
permit.
(2) Subsection (1) does not apply to
rights of a permit holder under an order by the Commission under section 748.
754
Burden of proving reasonable grounds for suspecting breach
Whenever it is relevant to determine
whether a permit holder had reasonable grounds for suspecting a breach, as
mentioned in section 747, the burden of proving the existence of reasonable
grounds lies on the person asserting the existence of those grounds.
Division 5—Entry for OHS purposes
755
OHS entries to which this Division applies
(1) This Division has effect in relation to a
right to enter premises under an OHS law if:
(a) the premises are occupied or
otherwise controlled by:
(i) a constitutional
corporation; or
(ii) the Commonwealth; or
(b) the premises are located in a
Territory; or
(c) the premises are, or are located
in, a Commonwealth place; or
(d) the right relates to requirements
to be met by:
(i) a constitutional
corporation or the Commonwealth in its capacity as an employer; or
(ii) an employee of a
constitutional corporation or the Commonwealth; or
(iii) a contractor providing
services for a constitutional corporation or the Commonwealth; or
(e) the right relates to conduct
engaged in, or activity undertaken or controlled, by:
(i) a constitutional
corporation or the Commonwealth in its capacity as an employer; or
(ii) an employee of a
constitutional corporation or the Commonwealth; or
(iii) a contractor providing
services for a constitutional corporation or the Commonwealth; or
(f) the exercise of the right will
have a direct effect on:
(i) a constitutional
corporation or the Commonwealth in its capacity as an employer; or
(ii) an employee of a
constitutional corporation or the Commonwealth; or
(iii) a contractor providing
services for a constitutional corporation or the Commonwealth.
(2) In this
section:
constitutional
corporation includes:
(a) a Commonwealth authority; and
(b) a body corporate incorporated in a
Territory.
756
Permit required for OHS entry
(1) An official of an organisation who has a
right under an OHS law to enter premises must not exercise that right unless
the official:
(a) holds a permit under this Part;
and
(b) exercises the right during working
hours.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 8 for enforcement.
757
Rights to inspect employment records after entering premises
(1) A person who:
(a) is required to enter premises
under an OHS law in accordance with section 756; and
(b) has a right under the OHS law to
inspect or otherwise access employment records on the premises;
must not exercise the right unless he or she has complied
with subsection (2).
(2) At least 24 hours before the entry, the
person must have given the occupier of the premises written notice of his or
her intention to exercise the right and the reasons for doing so.
(3) Subsection (1) is a civil remedy
provision.
Note: See Division 8 for enforcement.
Definition
(4) In this section:
employment record means a record relating to
the employment of an employee:
(a) that relates to any of the
following matters:
(i) hours of work;
(ii) overtime;
(iii) remuneration or other
benefits;
(iv) leave;
(v) superannuation
contributions;
(vi) termination of
employment;
(vii) type of employment (for
example, permanent, temporary, casual, full‑time or part‑time);
(viii) personal details of
the employee;
(ix) any other matter
prescribed by the regulations; or
(b) that sets out the kind of
industrial instrument that regulates the employment of the employee (for
example, an ITEA, a collective agreement, an award or a contract of
employment).
758
Limitation on OHS entry—failure to comply with requests of occupier
(1) A permit holder must not enter, or remain
on, premises under an OHS law unless the permit holder produces his or her
permit for inspection when requested to do so by the occupier of the premises.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 8 for enforcement.
(3) A permit holder must not enter, or remain
on, premises under an OHS law if:
(a) the occupier of the premises
requests the permit holder to comply with an occupational health and safety
requirement that applies to the premises; and
(b) the request is a reasonable
request; and
(c) the permit holder fails to comply
with the request.
Note: The Commission may make an order under section 771
if the request is unreasonable.
(4) Subsection (3) is a civil remedy
provision.
Note: See Division 8 for enforcement.
759
Limitation on OHS entry—permit conditions
A permit holder’s right to enter
premises under an OHS law in accordance with section 756 is subject to any
conditions that apply to the permit.
Division 6—Right of entry to hold discussions with employees
760
Right of entry to hold discussions with employees
A permit holder for an organisation may
enter premises for the purposes of holding discussions with any eligible
employees who wish to participate in those discussions. For this purpose, eligible
employee means any employee who:
(a) on the premises, carries out work
that is covered by an award or collective agreement that is binding on the
permit holder’s organisation; and
(b) is a member of the permit holder’s
organisation or is eligible to become a member of that organisation.
761
Limitation on rights—times of entry and discussions
The permit holder may only enter the
premises under section 760 during working hours and may only hold the
discussions during the employees’ mealtime or other breaks.
762
Limitation on rights—conscientious objection certificates
(1) This Division does not authorise entry to
premises, or subsequent conduct on the premises, if all of the following
conditions are satisfied:
(a) no more than 20 employees are
employed to work at the premises;
(b) all the employees at the premises
are employed by an employer who is the holder of a conscientious objection
certificate in force under section 180 of the Registration and
Accountability of Organisations Schedule, that has been endorsed by a Registrar
under subsection (2) of this section, or under section 285C of the
repealed Part IX;
(c) none of the employees employed at
the premises is a member of an organisation.
(2) A Registrar may, on the application of an
employer, endorse a certificate issued to that employer under section 180
of the Registration and Accountability of Organisations Schedule if the
Registrar is satisfied that the employer is a practising member of a religious
society or order whose doctrines or beliefs preclude membership of an
organisation or body other than the religious society or order of which the
employer is a member.
(3) An application under subsection (2)
may be made at the time of an application under section 180 of the
Registration and Accountability of Organisations Schedule or at any later time.
(4) The endorsement of a Registrar under subsection (2)
remains in force for the period that the certificate remains in force.
Note: A certificate issued under section 180 of
the Registration and Accountability of Organisations Schedule remains in force
for the period (not exceeding 12 months) specified in the certificate, but may
be renewed. A Registrar’s endorsement under subsection (2) does not remain
in force when a certificate is renewed, but a new application for endorsement
may be made.
763
Limitation on rights—entry notice
This Division does not authorise entry
to premises, or subsequent conduct on the premises, unless all the following
conditions are satisfied:
(a) the permit holder gave an entry
notice to the occupier of the premises at least 24 hours, but not more than 14
days, before the entry;
(b) the entry notice specifies section 760
as the section that authorises the entry;
(c) the entry is on a day specified in
the entry notice.
764
Limitation on rights—residential premises
This Division does not authorise a
person to enter any part of premises that is used for residential purposes.
765
Limitation on rights—failure to comply with requests of occupier or affected
employer
(1) This Division does not authorise a permit
holder to enter, or remain on, premises if the permit holder fails to produce
the permit holder’s authority documents for inspection when requested to do so by
an affected employer or by the occupier of the premises.
(2) This Division does not authorise a permit
holder to enter, or remain on, premises if:
(a) an affected employer or the
occupier of the premises requests the permit holder to comply with an occupational
health and safety requirement that applies to the premises; and
(b) the request is a reasonable
request; and
(c) the permit holder fails to comply
with the request.
Note: The Commission may make an order under section 771
if the request is unreasonable.
(3) This Division does not authorise a permit
holder to enter, or remain on, premises if:
(a) an affected employer or the
occupier of the premises requests the permit holder to do either or both of the
following:
(i) to hold discussions in
a particular room or area of the premises;
(ii) to take a particular
route to reach a particular room or area of the premises; and
(b) the request is a reasonable
request; and
(c) the permit holder fails to comply
with the request.
Note: The Commission may make an order under section 771
if the request is unreasonable.
(4) For the purposes of subsection (3),
if an affected employer or the occupier requests the permit holder to hold
discussions in a particular room or area, or to take a particular route to
reach a particular room or area, the request is not unreasonable only because
it is not the room, area or route that the permit holder would have chosen.
766
Limitation on rights—permit conditions
A permit holder’s rights under this
Division in respect of a permit are subject to any conditions that apply to the
permit.
Division 7—Prohibitions
767
Hindering, obstruction etc. in relation to this Part
(1) A permit holder exercising, or seeking to
exercise, rights:
(a) under section 747, 748 or 760;
or
(b) under an OHS law in accordance
with section 756 or 757;
must not intentionally hinder or obstruct any person, or
otherwise act in an improper manner.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 8 for enforcement.
(3) A person must not refuse or unduly delay
entry to premises by a permit holder who is entitled to enter the premises:
(a) under section 747, subsection
748(8) or (10) or section 760; or
(b) under an OHS law in accordance
with section 756.
(4) Subsection (3) is a civil remedy
provision.
Note: See Division 8 for enforcement.
(5) An employer must not refuse or fail to
comply with a requirement under subsection 748(4) or (5).
(6) Subsection (5) is a civil remedy
provision.
Note: See Division 8 for enforcement.
(7) A person must not otherwise intentionally
hinder or obstruct a permit holder exercising rights:
(a) under section 747, 748 or 760;
or
(b) under an OHS law in accordance
with section 756 or 757.
(8) Subsection (7) is a civil remedy
provision.
Note: See Division 8 for enforcement.
(9) To avoid doubt, a failure to agree on a
place as mentioned in paragraph 748(5)(a) does not constitute hindering or
obstructing a permit holder exercising rights under section 748.
(10) Without limiting subsection (7), that
subsection:
(a) extends to hindering or
obstructing that occurs after the entry notice is given but before the permit
holder enters the premises; and
(b) applies whether or not the person
who is hindering or obstructing knows at the time which permit holder will be
exercising the rights in respect of the entry notice.
Note: For example, if an entry notice is given to
the occupier and a person then destroys, conceals or manufactures evidence
relating to the suspected breach, that conduct would amount to hindering or
obstructing.
768
Misrepresentations about right of entry
(1) A person must not, in the circumstances
mentioned in subsection (2), engage in conduct:
(a) with the intention of giving a
second person the impression; or
(b) reckless as to whether a second
person would get the impression;
that the first person, or a third person, is authorised by
this Part to do a particular thing.
(2) The circumstances are:
(a) the first person or the third
person (as the case requires) is not authorised by this Part to do that thing;
and
(b) the first person knows, or has
reasonable grounds to believe, that the first person or the third person (as
the case requires) is not authorised by this Part to do that thing.
(3) Subsection (1) is a civil remedy
provision.
Note: See Division 8 for enforcement.
Division 8—Enforcement
769
Penalties etc. for contravention of civil remedy provisions
(1) The Court, on application by an eligible
person, may make one or more of the following orders in relation to a person (the
defendant) who has contravened a civil remedy provision of this
Part:
(a) an order imposing a pecuniary
penalty on the defendant;
(b) an order requiring the defendant
to pay a specified amount to another person as compensation for damage suffered
by the other person as a result of the contravention;
(c) any other order that the Court
considers appropriate.
(2) The maximum pecuniary penalty under paragraph (1)(a)
is 300 penalty units if the defendant is a body corporate and otherwise 60
penalty units.
(3) The orders that may be made under paragraph (1)(c)
include:
(a) injunctions; and
(b) any other orders that the Court
considers necessary to stop the conduct or remedy its effects.
(4) Each of the following is an eligible
person for the purposes of this section:
(a) a workplace inspector;
(b) a person affected by the
contravention;
(c) a person prescribed by the
regulations for the purposes of this paragraph.
(5) A regulation prescribing persons for the
purposes of paragraph (4)(c) may provide that a person is prescribed only
in relation to circumstances specified in the regulation.
Note: Division 3 of Part 14 contains other
provisions relevant to civil remedies.
Division 9—Powers of the Commission
770
Orders by Commission for abuse of system
(1) If the Commission is satisfied that an
organisation, or any official of an organisation, has abused the rights
conferred by this Part, then the Commission may make whatever orders it
considers appropriate to restrict the rights of the organisation, or officials
of the organisation, under this Part.
(2) The Commission may make the orders:
(a) on its own initiative; or
(b) on application by a workplace
inspector.
(3) The orders may include:
(a) an order that revokes or suspends
some or all of the permits that have been issued in respect of the
organisation; and
(b) an order that imposes limiting
conditions on some or all of the permits that have been issued in respect of
the organisation or that might in future be issued in respect of the organisation;
and
(c) an order that bans, for a
specified period, the issue of permits in respect of the organisation, either
generally or to specified persons.
For the purposes of this subsection, limiting
condition means a condition that limits the circumstances in which a
permit has effect.
(4) An organisation, or an official of an
organisation, who is subject to an order under this section must comply with
the order.
(5) Subsection (4) is a civil remedy
provision.
Note: See Division 8 for enforcement.
(6) The powers of the Commission under this
section are exercisable by:
(a) the President; or
(b) a Presidential Member assigned by
the President for the purposes of the matter concerned; or
(c) a Full Bench, if the President so
directs.
(7) Without limiting subsection (1), a
permit holder abuses rights conferred by this Part if, in exercising rights
under Division 6, the permit holder engages in recruitment conduct that is
unduly disruptive, either because the permit holder’s exercise of powers of
entry is excessive in the circumstances or for some other reason.
(8) In this section:
recruitment conduct means encouraging
employees to become members of an organisation.
771
Unreasonable requests by occupier or affected employer
(1) If the Commission is satisfied that:
(a) an affected employer or the
occupier of premises has made a request to a permit holder as mentioned in
section 751, 758 or 765; and
(b) the request is not a reasonable
request;
then the Commission may make whatever orders it considers
appropriate in respect of the rights of the organisation, or officials of the
organisation, to investigate breaches as mentioned in section 747, to
enter premises under an OHS law in accordance with section 756 or to hold
discussions with employees as mentioned in section 760, as the case
requires.
Note: Unreasonable requests might amount to a breach
of subsection 767(7).
(2) Without limiting subsection (1), the
Commission may order that, for a specified period, the permit holder who was
exercising or seeking to exercise rights under section 748 or 760 or under
an OHS law in accordance with section 756 or 757 is entitled to enter
specified premises, or a specified part of specified premises, for a specified
period, and exercise those rights.
(3) The powers of the Commission under this
section are exercisable by:
(a) the President; or
(b) a Presidential Member assigned by
the President for the purposes of the matter concerned; or
(c) a Full Bench, if the President so
directs.
(4) The Commission may make an order under
this section on its own initiative or on application in accordance with the
regulations.
772
Disputes about the operation of this Part
(1) The Commission may make orders for the
purposes of settling disputes about the operation of this Part.
(2) The Commission may make orders under subsection (1)
on application by:
(a) a permit holder; or
(b) a permit holder’s organisation; or
(c) an affected employer; or
(d) an occupier of, or an employer who
employs employees who carry out work on, OHS premises.
(3) In making orders under subsection (1),
the Commission:
(a) must have regard to fairness
between the parties concerned; and
(b) must not confer rights that are
additional to, or inconsistent with, rights exercisable under this Part.
(4) However, the Commission does have power,
under subsection (1), to:
(a) revoke or suspend a permit issued
to a person under this Part; or
(b) impose limiting conditions on a
permit issued to a person under this Part.
If the Commission does so, it may make any order that it
considers appropriate, for the purpose of settling the dispute, about the issue
of any further permit to the person, or of any permit or further permit to any
other person, under this Part.
(5) In this section:
limiting condition means a condition that
limits the circumstances in which a permit has effect.
OHS premises means premises in relation to
which a person must hold a permit in order to exercise a right of entry under
an OHS law.
773
Powers of inspection
(1) For the purposes of dealing with a
proceeding under this Part, a member of the Commission may at any time during
working hours do one or more of the following:
(a) enter prescribed premises;
(b) inspect or view any work,
material, machinery, appliance, article, document or other thing on the
prescribed premises;
(c) interview, on the prescribed
premises, any employee who is usually engaged in work on the prescribed
premises.
(2) In this section:
prescribed premises
means premises in relation to which a person must hold a permit in order to
exercise a right of entry under:
(a) this Part; or
(b) an OHS law.
774
Parties to proceedings
The Commission may direct that parties
be joined or struck out as parties to proceedings under this Part.
775
Kinds of orders
The orders that the Commission may make
under this Part include the following:
(a) orders by consent of the parties
to the proceedings;
(b) provisional or interim orders;
(c) orders including, or varying
orders to include, a provision to the effect that engaging in conduct in breach
of a specified term of the order is to be taken to constitute the commission of
a separate breach of the term on each day on which the conduct continues.
776
Relief not limited to claim
In making an order in proceedings under
this Part, the Commission is not restricted to the specific relief claimed by
the parties concerned, but may include in the order anything which the
Commission considers necessary or expedient for the purposes of dealing with
the proceeding.
777
Publishing orders
(1) If the Commission makes an order under
this Part, the Commission must promptly:
(a) reduce the order to writing that:
(i) is signed by at least
one member of the Commission; and
(ii) shows the day on which
it is signed; and
(b) give to a Registrar:
(i) a copy of the order;
and
(ii) a list specifying each
party who appeared at the hearing of the proceeding concerned.
(2) The Commission must ensure that an order
under this Part is expressed in plain English and is easy to understand in
structure and content.
(3) A Registrar who receives a copy of an
order under subsection (1) must promptly:
(a) provide a copy of:
(i) the order; and
(ii) any written reasons
received by the Registrar for the order;
to each party shown on the list
given to the Registrar under subparagraph (1)(b)(ii); and
(b) ensure that copies of each of the
following are available for inspection at each registry:
(i) the order;
(ii) any written reasons
received by the Registrar for the order.
(4) The Industrial Registrar must ensure that
the following are published as soon as practicable:
(a) an order under this Part;
(b) any written reasons for the order
that are received by a Registrar.
(5) If a member of the Commission ceases to
be a member:
(a) after an order under this Part has
been made by the Commission constituted by the member; but
(b) before the order has been reduced
to writing or before it has been signed by the member;
a Registrar must reduce the order to writing, sign it and
seal it with the seal of the Commission, and the order has effect as if it had
been signed by the member of the Commission.
Part 16—Freedom of association
Division 1—Preliminary
778
Objects of Part
In addition to the object set out in
section 3, this Part has the following objects:
(a) to ensure that employers,
employees and independent contractors are free to become, or not become,
members of industrial associations;
(b) to ensure that employers,
employees and independent contractors are not discriminated against or
victimised because they are, or are not, members or officers of industrial
associations;
(c) to provide effective relief to
employers, employees and independent contractors who are prevented or inhibited
from exercising their rights to freedom of association;
(d) to provide effective remedies to
penalise and deter persons who engage in conduct which prevents or inhibits
employers, employees or independent contractors from exercising their rights to
freedom of association.
779
Definitions
(1) In this Part:
bargaining services means services provided
by (or on behalf of) an industrial association in relation to an agreement, or
a proposed agreement, under Part 8 (including the negotiation, making,
approval, lodgment, operation, extension, variation or termination of the agreement).
bargaining services fee means a fee (however
described) payable:
(a) to an industrial association; or
(b) to someone else in lieu of an
industrial association;
wholly or partly for the provision, or purported
provision, of bargaining services, but does not include membership dues.
Commonwealth place means a place referred to
in paragraph 52(i) of the Constitution, other than the seat of government.
conduct includes an omission.
Court means the Federal Court of Australia or
the Federal Magistrates Court.
industrial association means:
(a) an association of employees and/or
independent contractors, or an association of employers, that is registered or
recognised as such an association (however described) under an industrial law;
or
(b) an association of employees and/or
independent contractors a principal purpose of which is the protection and
promotion of their interests in matters concerning their employment, or their
interests as independent contractors, as the case requires; or
(c) an association of employers a
principal purpose of which is the protection and promotion of their interests
in matters concerning employment and/or independent contractors;
and includes a branch of such an association, and an
organisation.
industrial body means:
(a) the Commission; or
(b) a court or commission, however
designated, exercising under an industrial law powers and functions
corresponding to those conferred on the Commission by this Act; or
(c) a court or commission, however
designated, exercising under an industrial law powers and functions
corresponding to those conferred on the Commission by the Registration and
Accountability of Organisations Schedule.
industrial instrument means an award or
agreement, however designated, that:
(a) is made under or recognised by an
industrial law; and
(b) concerns the relationship between
an employer and the employer’s employees, or provides for the prevention or
settlement of a dispute between an employer and the employer’s employees.
industrial law means this Act, the
Registration and Accountability of Organisations Schedule or a law, however
designated, of the Commonwealth or of a State or Territory that regulates the
relationships between employers and employees or provides for the prevention or
settlement of disputes between employers and employees.
objectionable provision has the meaning given
by section 810.
office, in relation to an organisation or
industrial association or a branch of an organisation or industrial
association, has the meaning given by section 781.
officer, in relation to an industrial
association, means:
(a) a person who holds an office in
the association; or
(b) a delegate or other representative
of the association; or
(c) an employee of the association.
organisation includes a branch of an
organisation.
threat means a threat of any kind, whether
direct or indirect and whether express or implied.
(2) For the purposes of this Part, the
following conduct is taken to be conduct of an industrial association:
(a) conduct of the committee of management
of the industrial association;
(b) conduct of an officer or agent of
the industrial association acting in that capacity;
(c) conduct of a member, or group of
members, of the industrial association where the conduct is authorised by:
(i) the rules of the
industrial association; or
(ii) the committee of
management of the industrial association; or
(iii) an officer or agent of
the industrial association acting in that capacity;
(d) conduct of a member of the
industrial association, who performs the function of dealing with an employer
on behalf of the member and other members of the industrial association, acting
in that capacity.
(3) Paragraphs (2)(c)
and (d) do not apply if:
(a) a committee of management of the
industrial association; or
(b) a person authorised by the
committee; or
(c) an officer of the industrial
association;
has taken reasonable steps to prevent the action.
(4) A reference in this Part, or in
regulations made for the purposes of this Part, to an independent contractor is
not confined to a natural person.
780
Meaning of industrial action
For the purposes of this Part, section 420
has effect as if the words employer, employee and employment
had their ordinary meaning.
781
Meaning of office
(1) In this Part:
office, in relation to an association, means:
(a) an office of president, vice
president, secretary or assistant secretary of the association; or
(b) the office of a voting member of a
collective body of the association, being a collective body that has power in
relation to any of the following functions:
(i) the management of the
affairs of the association;
(ii) the determination of
policy for the association;
(iii) the making, alteration
or rescission of rules of the association;
(iv) the enforcement of
rules of the association, or the performance of functions in relation to the
enforcement of such rules; or
(c) an office the holder of which is,
under the rules of the association, entitled to participate directly in any of
the functions referred to in subparagraphs (b)(i) and (iv), other than an
office the holder of which participates only in accordance with directions
given by a collective body or another person for the purpose of implementing:
(i) existing policy of the
association; or
(ii) decisions concerning
the association; or
(d) an office the holder of which is,
under the rules of the association, entitled to participate directly in any of
the functions referred to in subparagraphs (b)(ii) and (iii); or
(e) the office of a person holding
(whether as trustee or otherwise) property:
(i) of the association; or
(ii) in which the
association has a beneficial interest.
(2) In subsection (1):
association means an organisation or branch
of an organisation, or an industrial association or branch of an industrial
association.
(3) A reference in this Part to an office in
an organisation or industrial association includes a reference to an office in
a branch of the organisation or association.
Division 2—Conduct to which this Part applies
782
Application
Divisions 3 to 8 of this Part apply
only to the extent provided in this Part.
783
Organisations
This Part applies to:
(a) conduct by an organisation; and
(b) conduct by an officer of an
organisation acting in that capacity; and
(c) conduct carried out with a purpose
or intent relating to a person’s membership or non‑membership of an
organisation.
784
Matters arising under this Act or the Registration and Accountability of
Organisations Schedule
(1) This Part applies to conduct carried out
with a purpose or intent relating to a person’s participation or non‑participation
(in any capacity) in:
(a) any proceedings under this Act; or
(b) any other activity provided for by
this Act; or
(c) any proceedings under the
Registration and Accountability of Organisations Schedule; or
(d) any other activity provided for by
the Registration and Accountability of Organisations Schedule.
(2) This Part applies to conduct carried out
with a purpose or intent relating to:
(a) the fact that an award or a
workplace agreement applies to a person’s employment; or
(b) the fact that a person is bound by
an award or a workplace agreement.
785
Constitutional corporations
(1) This Part
applies to the following conduct:
(a) conduct by a constitutional
corporation;
(b) conduct against a constitutional
corporation;
(c) conduct that adversely affects a
constitutional corporation;
(d) conduct carried out with intent to
adversely affect a constitutional corporation;
(e) conduct that directly affects a
person in the capacity of:
(i) an employee, or
prospective employee, of a constitutional corporation; or
(ii) a contractor, or
prospective contractor, of a constitutional corporation;
(f) conduct carried out with intent
to directly affect a person in the capacity of:
(i) an employee, or
prospective employee, of a constitutional corporation; or
(ii) a contractor, or
prospective contractor, of a constitutional corporation;
(g) conduct that consists of advising,
encouraging or inciting a constitutional corporation:
(i) to take, or not to
take, particular action in relation to another person; or
(ii) to threaten to take,
or not to take, particular action in relation to another person.
(2) In this section:
constitutional corporation includes a body
corporate incorporated in a Territory.
786
Commonwealth and Commonwealth authorities
This Part applies to the following
conduct:
(a) conduct by the Commonwealth or a
Commonwealth authority;
(b) conduct that affects, or is
carried out with intent to affect, the Commonwealth, or a Commonwealth
authority, in its relationships with its employees or contractors;
(c) conduct that affects, or is
carried out with intent to affect, a person in the capacity of an employee or
contractor of the Commonwealth or of a Commonwealth authority.
787
Territories and Commonwealth places
This Part applies to conduct in a
Territory or a Commonwealth place.
788
Extraterritorial extension
In Australia’s exclusive economic zone
(1) This Part, and the rest of this Act so
far as it relates to this Part, extend to the following conduct in Australia’s
exclusive economic zone:
(a) conduct that:
(i) is by an organisation,
an Australian‑based employee or a group of persons including either an
organisation or an Australian‑based employee; and
(ii) affects adversely, or
is intended to affect adversely, an Australian employer;
(b) conduct that:
(i) is by an Australian
employer or a group including an Australian employer; and
(ii) affects adversely, or
is intended to affect adversely, an Australian‑based employee, whether
alone or with other persons;
(c) conduct that affects adversely, or
is intended to affect adversely, either an independent contractor who has a
connection with Australia that is prescribed for the purposes of this paragraph
or a group including such an independent contractor.
On Australia’s continental shelf outside exclusive
economic zone
(2) This Part, and the rest of this Act so
far as it relates to this Part, extend to the following conduct outside the
outer limits of Australia’s exclusive economic zone and in, on or over a part
of Australia’s continental shelf prescribed by the regulations for the purposes
of this subsection:
(a) conduct that:
(i) is by an organisation,
an Australian‑based employee or a group of persons including either an
organisation or an Australian‑based employee; and
(ii) affects adversely, or
is intended to affect adversely, an Australian employer; and
(iii) meets the requirements
prescribed by the regulations for that part of Australia’s continental shelf;
(b) conduct that:
(i) is by an Australian
employer or a group including an Australian employer; and
(ii) affects adversely, or
is intended to affect adversely, an Australian‑based employee, whether
alone or with other persons; and
(iii) meets the requirements
prescribed by the regulations for that part of Australia’s continental shelf;
(c) conduct that:
(i) affects adversely, or
is intended to affect adversely, either an independent contractor who has a
connection with Australia that is prescribed for the purposes of this
subparagraph or a group including such an independent contractor; and
(ii) meets the requirements
prescribed by the regulations for that part of Australia’s continental shelf.
Note: The regulations may prescribe different
requirements relating to different parts of Australia’s continental shelf. The
regulations may need to do so to give effect to Australia’s international
obligations.
Outside Australia’s exclusive economic zone and
continental shelf
(3) This Part, and the rest of this Act so
far as it relates to this Part, extend to the following conduct outside Australia
and neither in Australia’s exclusive economic zone nor in, on or over a part of
Australia’s continental shelf described in subsection (2):
(a) conduct that:
(i) is by an organisation,
an Australian‑based employee or a group of persons including either an
organisation or an Australian‑based employee; and
(ii) affects adversely, or
is intended to affect adversely, an Australian employer;
(b) conduct that:
(i) is by an Australian
employer or a group including an Australian employer; and
(ii) affects adversely, or
is intended to affect adversely, an Australian‑based employee, whether
alone or with other persons;
(c) conduct that affects adversely, or
is intended to affect adversely, either an independent contractor who has a
connection with Australia that is prescribed for the purposes of this paragraph
or a group including such an independent contractor.
Definition
(4) In this section:
this Act includes the Registration and
Accountability of Organisations Schedule and regulations made under it.
Division 3—General prohibitions relating to freedom of association
789
Coercion
(1) A person must not organise or take, or
threaten to organise or take, any action against another person with intent to
coerce the other person or a third person:
(a) to become, or not become, an
officer or member of an industrial association; or
(b) to remain, or cease to be, an
officer or member of an industrial association.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
790
False or misleading statements about membership
(1) A person must not make a false or
misleading representation about:
(a) another person’s obligation:
(i) to be, or become, an
officer or member of an industrial association; or
(ii) not to be, not to
become or to cease to be, an officer or member of an industrial association; or
(b) another person’s obligation to
disclose whether he or she, or a third person, is, or has been, an officer or
member of an industrial association or of a particular industrial association;
or
(c) the need for another person to be,
or not to be, an officer or member of an industrial association, or of a
particular industrial association, in order for the other person to obtain the
benefit of an industrial instrument.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
791
Industrial action for reasons relating to membership
(1) A person must not organise or take, or
threaten to organise or take, industrial action against another person for the
reason that, or for reasons that include the reason that, a person:
(a) is, has been, proposes to become
or has at any time proposed to become an officer or member of an industrial
association; or
(b) is not, does not propose to become
or proposes to cease to be, an officer or member of an industrial association.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
Division 4—Conduct by employers etc.
792
Dismissal etc. of members of industrial associations etc.
(1) An employer must not, for a prohibited
reason, or for reasons that include a prohibited reason, do or threaten to do
any of the following:
(a) dismiss an employee;
(b) injure an employee in his or her
employment;
(c) alter the position of an employee
to the employee’s prejudice;
(d) refuse to employ another person as
an employee;
(e) discriminate against another
person in the terms or conditions on which the employer offers to employ the
other person as an employee.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
(3) For the purposes of paragraph (1)(d),
an employer does not refuse to employ another person if the employer does not
intend to employ anyone.
(4) An employer does not contravene subsection (1)
because of paragraph 793(1)(i) unless the entitlement described in that
paragraph is the sole or dominant reason for the employer doing any of the
things described in paragraphs (1)(a), (b), (c), (d) and (e) of this
section.
(5) A person must not, for a prohibited
reason, or for reasons that include a prohibited reason, do or threaten to do
any of the following:
(a) terminate a contract for services
that he or she has entered into with an independent contractor;
(b) injure the independent contractor
in relation to the terms and conditions of the contract for services;
(c) alter the position of the
independent contractor to the independent contractor’s prejudice;
(d) refuse to engage another person as
an independent contractor;
(e) discriminate against another
person in the terms or conditions on which the person offers to engage the
other person as an independent contractor.
(6) Subsection (5) is a civil remedy
provision.
Note: See Division 9 for enforcement.
(7) For the purposes of paragraph (5)(d),
a person does not refuse to engage another person if the person does not intend
to engage anyone.
(8) A person does not contravene subsection (5)
because of paragraph 793(1)(i) unless the entitlement described in that
paragraph is the sole or dominant reason for the person doing any of the things
described in paragraphs (5)(a), (b), (c), (d) and (e) of this section.
793
Prohibited reasons
(1) Conduct referred to in subsection 792(1)
or (5) is for a prohibited reason if it is carried out because
the employee, independent contractor or other person concerned:
(a) is, has been, proposes to become
or has at any time proposed to become an officer, delegate or member of an
industrial association; or
(b) is not, does not propose to become
or proposes to cease to be, a member of an industrial association; or
(c) in the case of a refusal to engage
another person as an independent contractor—has one or more employees who are
not, or do not propose to become, members of an industrial association; or
(d) has not paid, or does not propose
to pay, a fee (however described) to an industrial association; or
(e) has refused or failed to join in
industrial action; or
(f) in the case of an employee—has
refused or failed to agree or consent to, or vote in favour of, the making of
an agreement to which an industrial association of which the employee is a
member would be a party; or
(g) has made, proposes to make or has
at any time proposed to make an application to an industrial body for an order
under an industrial law for the holding of a secret ballot; or
(h) has participated in, proposes to
participate in or has at any time proposed to participate in a secret ballot
ordered by an industrial body under an industrial law; or
(i) is entitled to the benefit of an
industrial instrument, an order of an industrial body or the Australian Fair
Pay and Conditions Standard; or
(j) has made or proposes to make any
inquiry or complaint to a person or body having the capacity under an
industrial law to seek:
(i) compliance with that
law; or
(ii) the
observance of a person’s rights under an industrial instrument; or
(k) has participated in, proposes to
participate in or has at any time proposed to participate in a proceeding under
an industrial law; or
(l) has given or proposes to give
evidence in a proceeding under an industrial law; or
(m) in the case of an employee, or an
independent contractor, who is a member of an industrial association that is
seeking better industrial conditions—is dissatisfied with his or her
conditions; or
(n) in the case of an employee or an
independent contractor—has absented himself or herself from work without leave
if:
(i) the absence was for
the purpose of carrying out duties or exercising rights as an officer of an
industrial association; and
(ii) the employee or
independent contractor applied for leave before absenting himself or herself
and leave was unreasonably refused or withheld; or
(o) as an officer or member of an
industrial association, has done, or proposes to do, an act or thing for the
purpose of furthering or protecting the industrial interests of the industrial
association, being an act or thing that is:
(i) lawful; and
(ii) within the limits of
an authority expressly conferred on the employee, independent contractor or
other person by the industrial association under its rules; or
(p) in the case of an employee or
independent contractor—has not paid, has not agreed to pay, or does not propose
to pay, a bargaining services fee.
(2) If:
(a) a threat is made to engage in
conduct referred to in subsection 792(1) or (5); and
(b) one of the prohibited reasons in subsection (1)
of this section refers to a person doing or proposing to do a particular act,
or not doing or proposing not to do a particular act; and
(c) the threat is made with the intent
of dissuading or preventing the person from doing the act, or coercing the
person to do the act, as the case requires;
the threat is taken to have been made for that prohibited
reason.
794
Inducements to cease membership etc. of industrial associations etc.
(1) An employer, or a person who has engaged
an independent contractor, must not (whether by threats or promises or
otherwise) induce an employee, or the independent contractor, as the case
requires:
(a) to become an officer or member of
an industrial association; or
(b) to remain an officer or member of
an industrial association; or
(c) not to become an officer or member
of an industrial association; or
(d) to cease to be an officer or
member of an industrial association.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
Division 5—Conduct by employees etc.
795
Cessation of work
(1) An employee or independent contractor
must not cease work in the service of his or her employer, or of the person who
engaged the independent contractor, as the case requires, because the employer
or person:
(a) is an officer or member of an
industrial association; or
(b) is entitled to the benefit of an
industrial instrument or an order of an industrial body; or
(c) has made or proposes to make any
inquiry or complaint to a person or body having the capacity under an
industrial law to seek:
(i) compliance with that
law; or
(ii) the observance of a
person’s rights under an industrial instrument; or
(d) has participated in, proposes to
participate in or has at any time proposed to participate in any proceedings
under an industrial law; or
(e) has given evidence in a proceeding
under an industrial law.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
Division 6—Conduct by industrial associations etc.
796
Industrial associations acting against employers
(1) An industrial association, or an officer or
member of an industrial association, must not organise or take, or threaten to
organise or take, industrial action against an employer because the employer is
an officer or member of an industrial association.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
(3) An industrial association, or an officer
or member of an industrial association, must not organise or take, or threaten
to organise or take, industrial action against an employer with intent to
coerce the employer:
(a) to become an officer or member of
an industrial association; or
(b) to remain an officer or member of
an industrial association; or
(c) not to become an officer or member
of an industrial association; or
(d) to cease to be an officer or member
of an industrial association; or
(e) to pay a fee (however described)
to an industrial association.
(4) Subsection (3) is a civil remedy
provision.
Note: See Division 9 for enforcement.
(5) An industrial association, or an officer
or member of an industrial association, must not:
(a) advise, encourage or incite an
employer; or
(b) organise or take, or threaten to
organise or take, industrial action against an employer with intent to coerce
the employer;
to take action in relation to a person that would, if
taken, contravene subsection 792(1).
(6) Subsection (5) is a civil remedy
provision.
Note: See Division 9 for enforcement.
(7) An industrial association, or an officer
or member of an industrial association, must not, because a member of the association
has refused or failed to comply with a direction given by the association:
(a) advise, encourage or incite an
employer; or
(b) organise or take, or threaten to
organise or take, industrial action against an employer with intent to coerce
the employer;
to prejudice the member in the member’s employment or
possible employment.
(8) Subsection (7) is a civil remedy
provision.
Note: See Division 9 for enforcement.
797
Industrial associations acting against employees etc.
(1) An industrial association, or an officer
or member of an industrial association, must not take, or threaten to take,
action having the effect, directly or indirectly, of prejudicing a person in
the person’s employment, or prospective employment, with intent:
(a) to coerce the person to join in
industrial action; or
(b) to dissuade or prevent the person
from making an application to an industrial body for an order under an
industrial law for the holding of a secret ballot.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
(3) An industrial association, or an officer
or member of an industrial association, must not:
(a) take, or threaten to take, action
having the effect, directly or indirectly, of prejudicing a person in the
person’s employment or prospective employment; or
(b) advise, encourage or incite a
person to take action having the effect, directly or indirectly, of prejudicing
another person in the other person’s employment or prospective employment;
for any of the following reasons, or for reasons that
include any of the following reasons:
(c) the person has not paid, has not
agreed to pay, or does not propose to pay, a bargaining services fee;
(d) the person is, has been, proposes
to become, or has at any time proposed to become, an officer or member of an
industrial association;
(e) the person is not, does not
propose to become or proposes to cease to be, a member of an industrial
association;
(f) the person has not paid, has not
agreed to pay, or does not propose to pay, a fee (however described) to an
industrial association;
(g) the person has refused or failed
to join in industrial action;
(h) the person has made, or proposes
to make, any inquiry or complaint to a person or body having the capacity under
an industrial law to seek:
(i) compliance with that
law; or
(ii) the
observance of a person’s rights under an industrial instrument.
(4) Subsection (3) is a civil remedy
provision.
Note: See Division 9 for enforcement.
798
Industrial associations acting against members
(1) An industrial association, or an officer
or member of an industrial association, must not impose, or threaten to impose,
a penalty, forfeiture or disability of any kind on a member of the association:
(a) with intent to coerce the member
to join in industrial action; or
(b) because the member has refused or
failed to join in industrial action; or
(c) because the member has made,
proposes to make, or has at any time proposed to make, an application to an
industrial body for an order under an industrial law for the holding of a
secret ballot; or
(d) because the member has
participated in, proposes to participate in, or has at any time proposed to
participate in, a secret ballot ordered by an industrial body under an
industrial law; or
(e) because the member has made, or
proposes to make, any inquiry or complaint to a person or body having the
capacity under an industrial law to seek:
(i) compliance with that
law; or
(ii) the
observance of a person’s rights under an industrial instrument; or
(f) because the member has refused or
failed to agree or consent to, or vote in favour of, the making of an agreement
to which the industrial association would be a party; or
(g) because the member has
participated in, proposes to participate in, or has at any time proposed to
participate in, a proceeding under an industrial law; or
(h) because the member has given, or
proposes to give, evidence in a proceeding under an industrial law.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
799
Industrial associations acting against independent contractors etc.
(1) In this section:
discriminatory action, in relation to an
eligible person, means:
(a) a refusal to make use of, or to
agree to make use of, services offered by the eligible person; or
(b) a refusal to supply, or to agree
to supply, goods or services to the eligible person; or
(c) threatening to refuse as mentioned
in paragraph (a) or (b).
eligible person means a person who is not an
employee, but who:
(a) is eligible to become a member of
an industrial association; or
(b) would be eligible to become a
member of an industrial association if he or she were an employee.
(2) An industrial association, or an officer
or member of an industrial association, must not:
(a) advise, encourage or incite a
person (whether an employer or not) to take discriminatory action against an
eligible person because the eligible person, or any person employed or engaged
by the eligible person:
(i) is, has been, proposes
to become or has at any time proposed to become, a member of an industrial
association; or
(ii) is not, proposes not
to become or proposes to cease to be, a member of an industrial association; or
(iii) is a member of an
industrial association who has refused or failed to comply with a direction
given by the association; or
(iv) has not paid, or does
not propose to pay, a fee (however described) to an industrial association; or
(v) has made or proposes to
make any inquiry or complaint to a person or body having the capacity under an
industrial law to seek compliance with that law; or
(vi) has made or proposes to
make any inquiry or complaint to a person or body having the capacity under an
industrial law to seek the observance of a person’s rights under an industrial
instrument; or
(b) take, or threaten to take,
industrial action against a person (whether an employer or not) with intent to
coerce the person to take discriminatory action against an eligible person
because the eligible person, or any person employed or engaged by the eligible
person:
(i) is, has been, proposes
to become or has at any time proposed to become, a member of an industrial
association; or
(ii) is not, proposes not
to become or proposes to cease to be, a member of an industrial association; or
(iii) is a member of an
industrial association who has refused or failed to comply with a direction
given by the association; or
(iv) has not paid, or does
not propose to pay, a fee (however described) to an industrial association; or
(v) has made or proposes to
make any inquiry or complaint to a person or body having the capacity under an
industrial law to seek compliance with that law; or
(vi) has made or proposes to
make any inquiry or complaint to a person or body having the capacity under an
industrial law to seek the observance of a person’s rights under an industrial
instrument; or
(c) take, or threaten to take,
industrial action against an eligible person with intent to coerce the eligible
person, or any person employed or engaged by the eligible person:
(i) to become, or to
remain, a member of an industrial association; or
(ii) not to become, or not
to remain, a member of an industrial association; or
(iii) to comply with a
direction given by the association.
(3) Subsection (2) is a civil remedy
provision.
Note: See Division 9 for enforcement.
(4) For the avoidance of doubt, nothing in subsection (2)
prevents an industrial association from entering into an agreement or
arrangement with another person for the supply of goods or services to members
of the industrial association (including the supply on particular terms or
conditions).
(5) An industrial association, or an officer
or member of an industrial association, must not:
(a) advise, encourage or incite a
person (whether an employer or not) to take discriminatory action against an
eligible person for a prohibited reason; or
(b) take, or threaten to take,
industrial action against a person (whether an employer or not) with intent to
coerce the person to take discriminatory action against an eligible person for
a prohibited reason; or
(c) take, or threaten to take,
industrial action against an eligible person for a prohibited reason.
(6) Subsection (5) is a civil remedy
provision.
Note: See Division 9 for enforcement.
(7) Conduct mentioned in subsection (5)
is carried out for a prohibited reason if it is carried out
because the eligible person concerned has not paid, has not agreed to pay, or
does not propose to pay, a bargaining services fee.
800
Industrial associations acting against independent contractors etc. to
encourage contraventions
(1) An industrial association, or an officer
or member of an industrial association, must not:
(a) advise, encourage or incite a
person; or
(b) organise or take, or threaten to
organise or take, industrial action against a person with intent to coerce the
person;
to take action in relation to another person that would,
if taken, contravene subsection 792(5).
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
801 Industrial
associations not to demand bargaining services fee
(1) An industrial association, or an officer
or member of an industrial association, must not demand (whether orally or in
writing) payment of a bargaining services fee from another person.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
(3) Nothing in this section prevents an
industrial association from demanding payment of a bargaining services fee that
is payable to the association under a contract for the provision of bargaining
services.
(4) In this section:
demand includes:
(a) purport to demand; and
(b) have the effect of demanding; and
(c) purport to have the effect of
demanding.
802
Action to coerce person to pay bargaining services fee
(1) An industrial association, or an officer
or member of an industrial association, must not take, or threaten to take,
action against another person with intent to coerce the person, or a third
person, to pay a bargaining services fee.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
803
Industrial associations not prevented from entering contracts
To avoid doubt, nothing in this Division
prevents an industrial association from entering into a contract for the
provision of bargaining services with a person who is not a member of the
association.
Division 7—Conduct in relation to industrial instruments
804
Discrimination against employer in relation to industrial instruments
(1) A person (the first person)
must not discriminate against another person (the second person)
on the ground that:
(a) the employment of the second
person’s employees is covered, or is not covered, by:
(i) the Australian Fair
Pay and Conditions Standard; or
(ii) a particular kind of
industrial instrument; or
(iii) an industrial
instrument made with a particular person; or
(b) it is proposed that the employment
of the second person’s employees be covered, or not be covered, by:
(i) a particular kind of
industrial instrument; or
(ii) an industrial
instrument made with a particular person.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
(3) Subsection (1) does not apply to
conduct that is protected action (within the meaning of section 435).
Division 8—False or misleading representations about bargaining services
fees etc.
805
False or misleading representations about bargaining services fees etc.
(1) A person must not make a false or
misleading representation about:
(a) another person’s liability to pay
a bargaining services fee; or
(b) another person’s obligation to
enter into an agreement to pay a bargaining services fee; or
(c) another person’s obligation to
become a member of an industrial association.
(2) Subsection (1) is a civil remedy
provision.
Note: See Division 9 for enforcement.
Division 9—Enforcement
806
Definition
In this Division:
person, in relation to a contravention of a
civil remedy provision, includes an industrial association.
Note: A person who is involved in a contravention of
a civil remedy provision is treated as having contravened that provision: see
section 728.
807
Penalties etc. for contravention of civil remedy provisions
(1) The Court, on application by an eligible
person, may make one or more of the following orders in relation to a person
(the defendant) who has contravened a civil remedy provision of
this Part:
(a) an order imposing a pecuniary
penalty on the defendant;
(b) an order requiring the defendant
to pay a specified amount to another person as compensation for damage suffered
by the other person as a result of the contravention;
(c) any other order that the Court
considers appropriate.
(2) The maximum pecuniary penalty under paragraph (1)(a)
is 300 penalty units if the defendant is a body corporate and otherwise 60
penalty units.
(3) The orders that may be made under paragraph (1)(c)
include:
(a) injunctions; and
(b) any other orders that the Court
considers necessary to stop the conduct or remedy its effects.
(4) Each of the following is an eligible
person for the purposes of this section:
(a) a workplace inspector;
(b) a person affected by the
contravention;
(c) a person prescribed by the
regulations for the purposes of this paragraph.
(5) A regulation prescribing persons for the
purposes of paragraph (4)(c) may provide that a person is prescribed only
in relation to circumstances specified in the regulation.
Note: Division 3 of Part 14 contains other
provisions relevant to civil remedies.
808
Conduct that contravenes Division 3 and another Division of this Part
If:
(a) a person engages in conduct; and
(b) the conduct contravenes both
Division 3 and another Division of this Part;
the Court may make orders under section 807 in
relation to only one of those contraventions.
809
Proof not required of the reason for, or the intention of, conduct
(1) If:
(a) in an application under section 807
relating to a person’s conduct, it is alleged that the conduct was, or is
being, carried out for a particular reason or with a particular intent; and
(b) for the person to carry out the
conduct for that reason or with that intent would constitute a contravention of
this Part;
it is presumed, in proceedings under this Division arising
from the application, that the conduct was, or is being, carried out for that
reason or with that intent, unless the person proves otherwise.
(2) This section does not apply in relation
to the granting of an interim injunction.
Note: See section 838 for interim injunctions.
Division 10—Objectionable provisions
810
Meaning of objectionable provision
(1) For the purposes of this Division, each
of the following provisions (however it is described in the document concerned)
is an objectionable provision:
(a) a provision that requires or
permits any conduct that would contravene this Part, or that would contravene
this Part if Division 2 were disregarded;
(b) a provision that directly or
indirectly requires a person:
(i) to encourage another
person to become, or remain, a member of an industrial association; or
(ii) to discourage another
person from becoming, or remaining, a member of an industrial association;
(c) a provision that indicates support
for persons being members of an industrial association;
(d) a provision that indicates
opposition to persons being members of an industrial association;
(e) a provision that requires or
permits payment of a bargaining services fee to an industrial association.
(2) For the purpose of determining whether a
provision is an objectionable provision, it does not matter whether that provision
is void because of section 811.
(3) In this section:
permits includes:
(a) purports to permit; and
(b) has the effect of permitting; and
(c) purports to have the effect of
permitting.
requires includes:
(a) purports to require; and
(b) has the effect of requiring; and
(c) purports to have the effect of
requiring.
811
Objectionable provisions etc. in industrial instruments etc.
(1) A provision of an award is void to the
extent that it is an objectionable provision.
(2) A provision of an industrial instrument,
or an agreement or arrangement (whether written or unwritten), is void to the
extent that it requires or permits, or has the effect of requiring or
permitting, any conduct that would contravene this Part.
812
Removal of objectionable provisions from awards
(1) Where, on application by a person
mentioned in subsection (2), the Commission is satisfied that an award
contains objectionable provisions, the Commission must vary the award so as to
remove the objectionable provisions.
(2) The application may be made by:
(a) an employer, employee or an
organisation bound by the award; or
(b) an employee whose employment is
subject to the award; or
(c) a workplace inspector.
Division 11—Miscellaneous
813
Freedom of association not dependent on certificate
(1) A person’s rights under this Part do not
depend on whether the person is the holder of a conscientious objection
certificate in force under section 180 of Schedule 1 to this Act.
(2) This section is enacted for the avoidance
of doubt.
Part 17—Offences
814
Offences in relation to Commission
General offences
(1) A person shall not:
(a) insult or disturb a member of the
Commission in the exercise of powers, or the performance of functions, as a
member; or
(b) interrupt the proceedings of the
Commission; or
(c) use insulting language towards a
member of the Commission exercising powers, or performing functions, as a
member; or
(d) by writing or speech use words
calculated to influence improperly a member of the Commission or a witness
before the Commission.
Penalty: Imprisonment for 12 months.
(2) A reference in subsection (1) to the
Commission or a member of the Commission includes a reference to a person
authorised to take evidence on behalf of the Commission.
Note 1: This section is not the only provision creating
an offence relating to improper influence on a member of the Commission.
Sections 135.1, 135.4, 139.1, 141.1 and 142.1 of the Criminal Code
create offences of using various dishonest means (including bribery, providing
benefits and making demands with menaces) to influence a Commonwealth public
official in the performance of his or her duties.
Note 2: This section is not the only provision creating
an offence relating to interference with a witness in a proceeding before the
Commission. Sections 816 and 818 of this Act and sections 36A, 37, 38
and 40 of the Crimes Act 1914 also do so. Section 39 of that Act
also makes it an offence to destroy evidence that may be required in such a
proceeding.
Contravening an order of the Commission
(3) A person commits an offence if:
(a) the Commission has made an order
under this Act (other than an order under Part 10 (Awards)) or the
Registration and Accountability of Organisations Schedule; and
(b) the order binds the person; and
(c) the person engages in conduct; and
(d) the conduct contravenes the order.
Penalty: Imprisonment for 12 months.
(4) In subsection (3):
engage in conduct means:
(a) do an act; or
(b) omit to perform an act.
Publishing false allegation of misconduct affecting
Commission
(5) A person commits an offence if:
(a) the person publishes a statement;
and
(b) the statement implies or expressly
states there was misconduct by a member (whether identified or not) of the
Commission in relation to the performance of the functions, or exercise of the
powers, of the Commission; and
(c) there was not such misconduct as
implied or stated by the statement; and
(d) the publication is likely to have
a significant adverse effect on public confidence that the Commission is
properly performing its functions and exercising its powers.
Penalty: Imprisonment for 12 months.
815
Attendance at compulsory conferences
A person directed under subsection 115(1)
to attend a conference shall attend the conference, and continue to attend, as
directed by the person presiding over the conference.
Penalty: 20 penalty units.
816
Intimidation etc.
A person who:
(a) threatens, intimidates or coerces
another person; or
(b) prejudices another person;
because the other person:
(c) provided, or proposed to provide,
information to the Commission;
(d) produced, or proposed to produce,
documents to the Commission; or
(e) appeared, or proposed to appear,
as a witness before the Commission;
is guilty of an offence punishable on conviction by
imprisonment for not more than 12 months.
817
Creating disturbance near Commission
A person shall not create or continue a
disturbance, or take part in creating or continuing a disturbance, in or near a
place at which the Commission is sitting.
Penalty: Imprisonment for 6 months.
818
Offences relating to witnesses
Contravention of requirement by witness
(1) A person who has been summoned to appear,
or who has appeared, before the Commission as a witness shall not:
(a) disobey the summons to appear;
(b) refuse or fail to be sworn or make
an affirmation;
(c) refuse or fail to answer a
question that the person is required by the Commission to answer; or
(d) refuse or fail to produce a
document that the person is required by the Commission to produce.
Penalty: Imprisonment for 6 months.
(2) For the purposes of an offence against subsection (1),
strict liability applies to the physical element, that the person fails as
mentioned in paragraph (1)(b), (c) or (d).
Note: For strict liability, see section 6.1
of the Criminal Code.
(3) Subsection (1) does not apply if the
person has a reasonable excuse.
Note: A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
(4) A reference in subsection (1) to the
Commission includes a reference to a person authorised to take evidence on
behalf of the Commission.
Giving false evidence
(5) A person (the witness) is
guilty of an offence if:
(a) the witness gives false sworn or
affirmed evidence touching any matter material to that proceeding; and
(b) either:
(i) the evidence is given
in a proceeding before the Commission; or
(ii) the evidence is given
before a person taking evidence on behalf of the Commission either in a
proceeding that has been instituted in the Commission by anyone or for use in a
proceeding that will be instituted in the Commission by the witness.
Penalty: Imprisonment for 12 months.
Note: Section 10.2 of the Criminal Code Act
1995 states that a person is not criminally responsible for an offence if
he or she carries out the conduct constituting the offence under duress.
Inducing or coercing another
person to give false evidence
(6) A person (the offender) is
guilty of an offence if:
(a) another person (the witness)
has been called or is to be called as a witness in a proceeding before the
Commission (whether the person is to appear before the Commission or before
someone taking evidence on behalf of the Commission in the proceeding); and
(b) the offender induces, threatens or
intimidates the witness to give false evidence in the proceeding.
Penalty: Imprisonment for 12 months.
819
Non‑compliance with requirement made by an inspector
(1) A person is guilty of an offence if the
person contravenes a requirement made by an inspector under subparagraph 169(2)(b)(iv),
paragraph 169(2)(c) or subsection 169(4).
Penalty: Imprisonment for 6 months.
(2) Subsection (1) does not apply if the
person has a reasonable excuse.
Note: A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
820
False statement in application for protected action ballot order
A person commits an offence if:
(a) the person makes, or joins with
other persons in making, an application for a protected action ballot order
under Division 4 of Part 9; and
(b) the application contains a
statement that is false or misleading in a material particular.
Penalty: 30 penalty units.
821
Offences in relation to secret ballots ordered under Division 4 of Part 9
(1) A person shall not, in relation to a
ballot ordered under Division 4 of Part 9:
(a) personate another person to secure
a ballot paper to which the personator is not entitled or personate another
person for the purpose of voting;
(b) do an act that results in a ballot
paper or envelope being destroyed, defaced, altered, taken or otherwise
interfered with;
(c) fraudulently put or deliver a
ballot paper or other paper:
(i) into a ballot box or
other ballot receptacle;
(ii) into the post; or
(iii) to a person receiving
ballot papers for the purposes of the ballot;
(d) record a vote that the person is
not entitled to record;
(e) record more than one vote;
(f) forge a ballot paper or envelope,
or utter a ballot paper or envelope that the person knows to be forged;
(g) provide a ballot paper without
authority;
(h) obtain or have possession of a
ballot paper to which the person is not entitled; or
(i) do an act that results in a
ballot box or other ballot receptacle being destroyed, taken, opened or
otherwise interfered with.
Penalty: 30 penalty units.
(2) A person shall not, in relation to a
ballot ordered under Division 4 of Part 9:
(a) hinder or obstruct the taking of
the ballot;
(b) use any form of intimidation to
prevent from voting, or to influence the vote of, a person entitled to vote at
the ballot;
(c) threaten, offer or suggest, or
use, cause or inflict, any violence, injury, punishment, damage, loss or
disadvantage because of, or to induce:
(i) any vote or omission
to vote;
(ii) any support of, or
opposition to, voting in a particular manner; or
(iii) any promise of any
vote, omission, support or opposition; or
(d) counsel or advise a person
entitled to vote to refrain from voting.
Penalty: 30 penalty units.
(3) A person (in this subsection called the
relevant person) shall not, in relation to a ballot ordered under
Division 4 of Part 9:
(a) request, require or induce another
person to show a ballot paper to the relevant person, or permit the relevant
person to see a ballot paper, in such a manner that the relevant person can see
the vote, while the ballot paper is being marked or after it has been marked;
or
(b) if the relevant person is a person
performing duties for the purposes of the ballot, show to another person, or
permit another person to have access to, a ballot paper used in the ballot,
otherwise than in the performance of the duties.
Penalty: 30 penalty units.
822
Contracts entered into by agents of employers
A person carrying on the business of an
employment agency shall not, as agent for an employer, make an agreement for
the employment of an employee on terms and conditions less favourable to the
employee than the terms and conditions of an award, an order of the Commission,
or a collective agreement, binding on the employer and employee.
Penalty: 20 penalty units.
823
Publication of trade secrets etc.
(1) A person commits an offence if:
(a) the person gives information as
evidence or publishes information; and
(b) giving or publishing the information:
(i) contravenes section 839;
or
(ii) contravenes a
direction given under section 839.
Penalty: 20 penalty units.
(2) Strict liability applies to subparagraph (1)(b)(i).
Note: For strict liability, see
section 6.1 of the Criminal Code.
Part 18—Costs
Division 1—Costs
824
Costs only where proceeding instituted vexatiously etc.
(1) A party to a proceeding (including an
appeal) in a matter arising under this Act (other than an application under
section 663) must not be ordered to pay costs incurred by any other party
to the proceeding unless the first‑mentioned party instituted the
proceeding vexatiously or without reasonable cause.
(2) Despite subsection (1), if a court
hearing a proceeding (including an appeal) in a matter arising under this Act
(other than an application under section 663) is satisfied that a party to
the proceeding has, by an unreasonable act or omission, caused another party to
the proceeding to incur costs in connection with the proceeding, the court may
order the first‑mentioned party to pay some or all of those costs.
(3) In subsections (1) and (2):
costs includes all legal and professional
costs and disbursements and expenses of witnesses.
Part 19—Miscellaneous
825
Delegation by Minister
The Minister may, by signed instrument,
delegate to a person occupying a specified office in the Department all or any
of the Minister’s powers under this Act.
826
Conduct by officers, directors, employees or agents
(1) Where it is necessary to establish, for
the purposes of this Act or the BCII Act, the state of mind of a body corporate
in relation to particular conduct, it is sufficient to show:
(a) that the conduct was engaged in by
an officer, director, employee or agent of the body corporate within the scope
of his or her actual or apparent authority; and
(b) that the officer, director,
employee or agent had the state of mind.
(2) Any conduct engaged in on behalf of a
body corporate by:
(a) an officer, director, employee or
agent of the body corporate within the scope of his or her actual or apparent
authority; or
(b) any other person at the direction
or with the consent or agreement (whether express or implied) of an officer,
director, employee or agent of the body corporate, where the giving of the
direction, consent or agreement is within the scope of the actual or apparent
authority of the officer, director, employee or agent;
shall be taken, for the purposes of this Act or the BCII
Act (as the case requires), to have been engaged in also by the body corporate.
(3) A reference in this section to the state
of mind of a person includes a reference to the knowledge, intent, opinion,
belief or purpose of the person and the person’s reasons for the intent,
opinion, belief or purpose.
827 Signature on behalf of
body corporate
For the purposes of this Act, a document
may be signed on behalf of a body corporate by a duly authorised officer of the
body corporate and need not be made under the body corporate’s seal.
828 No
imprisonment in default
In spite of the provisions of any other
law, a court may not direct that a person shall serve a sentence of
imprisonment in default of the payment of a fine or other pecuniary penalty
imposed under this Act or the BCII Act.
829
Jurisdiction of courts limited as to area
(1) For the purposes of this Act, a court of
a State or Territory whose jurisdiction is limited, as to subject matter or
parties, to any part of a State or Territory shall be taken to have
jurisdiction throughout the State or Territory.
(2) On the hearing of a proceeding in a court
for the recovery of a penalty, fine, fee, levy or due, the court may, if in the
interests of justice it considers appropriate, adjourn the hearing to a court
of competent jurisdiction to be held at some other place in the same State or
Territory.
830
Public sector employer to act through employing authority
In spite of anything to the contrary in
this Act, the BCII Act or any other law, the employer of an employee engaged in
public sector employment shall, for the purposes of this Act, the BCII Act and
the Rules of the Commission, act only by an employing authority of the employee
acting on behalf of the employer and, in particular:
(a) anything done by an employing
authority of an employee has effect, for those purposes, as if it had been done
by the employer of the employee; and
(b) anything served on, or otherwise
given or notified to, an employing authority of an employee has effect, for
those purposes, as if it had been served on, or given or notified to, the
employer of the employee.
831
Variation of workplace agreements on grounds of sex discrimination
(1) Subsections 554(2), (3), (4) and (7)
apply in relation to a workplace agreement, as if a reference in those
subsections to an award or a term of an award were a reference to a workplace
agreement or a term of a workplace agreement.
(2) Before taking action under subsections 554(2)
or (4) as applied by force of subsection (1) of this section, the
Commission must give the persons bound by the agreement and the employees whose
employment is subject to the agreement an opportunity to amend the agreement so
as to remove the discrimination.
835
Proceedings by and against unincorporated clubs
(1) For the purposes of this Act, the
treasurer of a club shall be taken to be the employer of a person employed for
the purposes or on behalf of the club, and any proceeding that may be taken
under this Act by or against the club may be taken by or against the treasurer
on behalf of the club.
(2) The treasurer is authorised to retain out
of the funds of the club sufficient money to meet payments made by the
treasurer on behalf of the club under this section.
(3) In this section:
club means an unincorporated club.
treasurer includes a person having possession
or control of any funds of a club.
836 Records
relating to employees
(1) The regulations may make provision in
relation to:
(a) the making and retention by
employers of records relating to the employment of employees; and
(b) the inspection of such records.
(2) The regulations may require employers of
employees to issue pay slips to those employees at such times, and containing
such particulars, as are prescribed.
837
Inspection of documents etc.
All documents and other things produced
in evidence before the Commission may be inspected by the Commission or by such
other parties as the Commission allows.
838
Interim injunctions
If, under a provision of this Act, a
court may grant an injunction, the court may, if in its opinion it is desirable
to do so, grant an interim injunction pending its decision on the granting of
an injunction.
839
Trade secrets etc. tendered as evidence
(1) In a proceeding before the Court or the
Commission:
(a) the person entitled to a trade
secret may object that information tendered as evidence relates to the trade
secret; or
(b) a witness or party may object that
information tendered as evidence relates to the profits or financial position
of the witness or party.
(2) Where an objection is made under subsection (1)
to information tendered as evidence, the information may only be given as
evidence under a direction of the Court or Commission.
(3) If information is given as evidence under
subsection (2), it shall not be published in any newspaper, or otherwise,
unless the Court or Commission, by order, permits the publication.
(4) Where the Court or Commission directs
that information relating to a trade secret or to the profits or financial
position of a witness or party shall be given in evidence, the evidence shall
be taken in private if the person entitled to the trade secret, or the witness
or party, requests.
(5) The Court or Commission may direct that
evidence given in a proceeding before it, or the contents of a document
produced for inspection, shall not be published.
Note: Giving information as evidence, or publishing
information, in contravention of this section or a direction under this section
may be an offence under section 823.
840
Powers of courts
A provision of this Act conferring a
power on a court does not affect any other power of the court conferred by this
Act or otherwise.
841
Application of penalty
A court that imposes a pecuniary penalty
under this Act (other than a penalty for an offence) may order that the
penalty, or a part of the penalty, be paid:
(a) to the Commonwealth; or
(b) to a particular organisation or
person.
842
Enforcement of penalties etc.
(1) Where a court has:
(a) imposed a pecuniary penalty under
this Act or the BCII Act (other than a penalty for an offence); or
(b) under subsection 719(5) or (6),
ordered the payment of an amount; or
(c) under subsection 719(7) or (8),
ordered the payment of an amount; or
(d) ordered
the payment of costs or expenses;
a certificate signed by a Registrar, specifying the amount
payable and by whom and to whom respectively it is payable, may be filed in the
Court or in any other court of competent jurisdiction.
(2) A certificate filed in a court under subsection (1)
is enforceable in all respects as a final judgment of the court in which it is
filed.
(3) Where there are 2 or more creditors under
a certificate, process may be issued separately by each creditor for the
enforcement of the certificate as if there were separate judgments.
843
Appropriation for payment of certain salaries and allowances
The Consolidated Revenue Fund is
appropriated to the extent necessary for payment of salaries, allowances
(including travelling allowance) and other amounts under section 66, 79 or
81.
844
Reports about developments in making agreements
(1) For:
(a) the period of 3 years beginning on
1 January 2004; and
(b) the period of 3 years beginning on
1 January 2007; and
(c) the period of 5 years beginning on
1 January 2010 and each subsequent period of 5 years;
the Minister must cause a person to review and report to
the Minister in writing about:
(d) developments, in Australia during
that period, in bargaining for the making of workplace agreements; and
(e) in particular, the effects that
such bargaining has had in Australia during that period on the employment
(including wages and conditions of employment) of women, part‑time
employees, persons from a non‑English speaking background, mature age
persons, young persons and such other persons as are prescribed by the
regulations.
(2) The person who reviews and reports as
mentioned in subsection (1) must be someone who, in the Minister’s
opinion, is suitably qualified and appropriate to do so.
(3) The person preparing the report must give
it to the Minister as soon as practicable, and in any event within 6 months,
after the end of the period to which it relates.
(4) The Minister must cause a copy of the
report to be tabled in each House of the Parliament within 15 sitting days of
that House after the Minister receives the report.
(5) Subsections 34C(4) to (7) of the Acts
Interpretation Act 1901 apply to a report under this section as if it were
a periodic report as defined in subsection 34C(1) of that Act.
845
Acquisition of property
(1) The following laws and instruments:
(a) this Act;
(b) regulations, or any other
instrument, made under this Act;
(c) Schedule 1;
(d) regulations, or any other
instrument, made under Schedule 1;
(e) regulations made under item 1
of Schedule 4 to the Workplace Relations Amendment (Work Choices) Act
2005;
(f) Part 2 of Schedule 4 to
the Workplace Relations Amendment (Work Choices) Act 2005;
do not apply, and are taken never to have applied, to the
extent that the operation of the law or instrument would result in an
acquisition of property from a person otherwise than on just terms.
(2) The repeals and amendments made by the
following laws and instruments:
(a) the Workplace Relations
Amendment (Work Choices) Act 2005;
(b) any other Act, so far as it
repeals or amends a provision of:
(i) this Act; or
(ii) regulations, or any
other instrument, made under this Act; or
(iii) Schedule 1; or
(iv) regulations, or any
other instrument, made under Schedule 1;
(c) regulations made under item 2
of Schedule 4 to the Workplace Relations Amendment (Work Choices) Act
2005;
(d) any other regulation or instrument,
so far as it repeals or amends a provision of:
(i) this Act; or
(ii) regulations, or any
other instrument, made under this Act; or
(iii) Schedule 1; or
(iv) regulations, or any
other instrument, made under Schedule 1;
do not apply, and are taken never to have applied, to the
extent that the repeals or amendments would result in an acquisition of
property from a person otherwise than on just terms.
(3) In this section:
acquisition of property has the same meaning
as in paragraph 51(xxxi) of the Constitution.
just terms has the same meaning as in
paragraph 51(xxxi) of the Constitution.
846
Regulations
(1) The Governor‑General may make
regulations, not inconsistent with this Act, prescribing all matters:
(a) required or permitted by this Act
to be prescribed; or
(b) necessary or convenient to be
prescribed for carrying out or giving effect to this Act.
(2) The matters in relation to which the
Governor‑General may make regulations include, but are not limited to:
(a) the manner in which, and the time
within which, applications, submissions and objections under this Act may be
made and dealt with; and
(b) the practice and procedure of the
Commission; and
(c) the fees to be charged in relation
to proceedings under this Act; and
(d) the duties of the Industrial
Registrar, the Deputy Industrial Registrars and any officers of the Commission;
and
(e) the exhibiting, on the premises of
an employer bound by an award, an order of the Commission or a workplace
agreement, of any of the terms of the award, order or agreement; and
(f) penalties for offences against
the regulations, not exceeding 10 penalty units; and
(g) civil penalties for contraventions
of the regulations, not exceeding:
(i) 10 penalty units for
an individual; or
(ii) 50 penalty units for a
body corporate.
(3) The power conferred by subsection (1)
to make regulations with respect to the matter referred to in paragraph (2)(b)
includes power to make regulations with respect to that matter in relation to
any jurisdiction conferred on the Commission by or under any other Act, whether
passed before or after this Act.
(4) If jurisdiction in relation to a
provision of this Act relating to a civil remedy provision referred to in
section 727 is conferred on the Court or the Federal Magistrates Court,
the regulations may confer jurisdiction in relation to that provision on a
specified court of a State or Territory.
(5) The regulations may provide for a person
who is alleged to have committed an offence against the regulations to pay a
penalty to the Commonwealth as an alternative to prosecution.
(6) A penalty under subsection (5) must
not exceed one‑fifth of the maximum fine that a court could impose on the
person as a penalty for that offence.
(7) The regulations may make provision
enabling a person who is alleged to have contravened a civil remedy provision
the remedy for which consists of or includes a pecuniary penalty to pay to the
Commonwealth, as an alternative to proceedings against the person, a specified
penalty.
(8) A penalty under subsection (7) must
not exceed one‑tenth of the maximum pecuniary penalty that could have
been imposed on the person for contravening that civil remedy provision.
Part 20—Jurisdiction of the Federal Court of Australia and Federal
Magistrates Court
Division 1—Original jurisdiction
847
Jurisdiction of Court
(1) The Court has jurisdiction with respect
to matters arising under this Act in relation to which:
(a) applications may be made to it
under this Act; or
(b) actions may be brought in it under
this Act; or
(c) questions may be referred to it
under this Act; or
(d) appeals lie to it under section 853;
or
(e) penalties may be sued for and
recovered under this Act; or
(f) prosecutions may be instituted
for offences against this Act.
(2) For the purposes of section 44 of
the Judiciary Act 1903, the Court is taken to have jurisdiction with
respect to any matter in which a writ of mandamus or prohibition or an
injunction is sought against an officer or officers of the Commonwealth holding
office under this Act or the Coal Industry Act 1946.
Note: Section 44 of the Judiciary Act 1903 gives
the High Court of Australia power to remit a matter to a federal court that has
jurisdiction with respect to that matter.
(3) The Court has jurisdiction with respect
to matters remitted to it under section 44 of the Judiciary Act 1903.
(4) The Federal Magistrates Court has
jurisdiction with respect to matters arising under this Act in relation to
which:
(a) applications may be made to it
under this Act; or
(b) actions may be brought in it under
this Act; or
(c) questions may be referred to it
under this Act; or
(d) penalties may be sued for and
recovered under this Act; or
(e) prosecutions may be instituted for
offences against this Act.
Note: A proceeding pending in the Federal
Magistrates Court may be transferred to the Federal Court: see Part 5 of
the Federal Magistrates Act 1999.
848
Interpretation of awards
(1) The Court or the Federal Magistrates
Court may give an interpretation of an award on application by:
(a) the Minister; or
(b) an organisation or person bound by
the award.
(2) The decision of the Court or the Federal
Magistrates Court is final and conclusive and is binding on the organisations
and persons bound by the award who have been given an opportunity of being
heard by the Court or the Federal Magistrates Court.
849
Interpretation of certified agreements
(1) The Court or the Federal Magistrates
Court may give an interpretation of a collective agreement on application by:
(a) the Minister; or
(b) an organisation or person bound by
the agreement; or
(c) an employee whose employment is
subject to the agreement.
(2) The decision of the Court or the Federal
Magistrates Court is final and conclusive and is binding on:
(a) the organisations and persons
bound by the agreement; and
(b) the employees whose employment is
subject to the agreement;
who have been given an opportunity of being heard by the
Court or the Federal Magistrates Court.
850
Exclusive jurisdiction
(1) Subject to this Act, the jurisdiction of
the Court and the Federal Magistrates Court in relation to an act or omission
for which an organisation or member of an organisation is liable to be sued, or
to be proceeded against for a pecuniary penalty, is exclusive of the
jurisdiction of any other court created by the Parliament or any court of a
State or Territory.
Note: The regulations can confer jurisdiction on a
specified court of a State or Territory in relation to a civil remedy
provision: see subsection 846(4).
(2) The jurisdiction of the Court under
section 853 is exclusive of the jurisdiction of any court of a State or
Territory to hear and determine an appeal from a judgment from which an appeal
may be brought to the Court under that section.
851
Exercise of Court’s original jurisdiction
(1) The jurisdiction of the Court under this
Act is to be exercised by a Full Court in relation to matters in which a writ
of mandamus or prohibition or an injunction is sought against:
(a) a Presidential member; or
(b) officers of the Commonwealth at
least one of whom is a Presidential member.
(2) Subsection (1) does not require the
jurisdiction of the Court to be exercised by a Full Court in relation to a
prosecution for an offence merely because the offence relates to a matter to
which that subsection applies.
(3) Subsection (1) does not, in relation
to matters referred to in that subsection, require the jurisdiction of the
Court to be exercised by a Full Court to:
(a) join or remove a party; or
(b) make an order (including an order
for costs) by consent disposing of a matter; or
(c) make an order that a matter be
dismissed for want of prosecution; or
(d) make an order that a matter be
dismissed for:
(i) failure to comply with
a direction of the Court; or
(ii) failure of the
applicant to attend a hearing relating to the matter; or
(e) vary or set aside an order under paragraph (c)
or (d); or
(f) give directions about the conduct
of a matter, including directions about:
(i) the use of written
submissions; and
(ii) limiting the time for
oral argument.
(4) The Rules of Court may make provision
enabling the powers mentioned in subsection (3) to be exercised, subject
to conditions prescribed by the Rules, without an oral hearing.
852
Reference of proceedings to Full Court
(1) At any stage of a proceeding in a matter
arising under this Act, a single Judge exercising the jurisdiction of the
Court:
(a) may refer a question of law for
the opinion of a Full Court; and
(b) may, of the Judge’s own motion or
on the application of a party, refer the matter to a Full Court to be heard and
determined.
(2) If a Judge refers a matter to a Full
Court under subsection (1), the Full Court may have regard to any
evidence given, or arguments adduced, in the proceeding before the Judge.
Division 2—Appellate jurisdiction
853
Appeals from State and Territory courts
(1) An appeal lies to the Court from a
judgment of a court of a State or Territory in a matter arising under this Act
or the BCII Act.
(2) It is not necessary to obtain the leave
of the Court or the court appealed from in relation to an appeal under subsection (1).
(3) An appeal does not lie to the High Court
from a judgment from which an appeal may be made to the Court under subsection (1).
Division 3—Representation and intervention
854 Representation
of parties before the Court or the Federal Magistrates Court
(1) A party to a proceeding before the Court
in a matter arising under this Act, the BCII Act or the Registration and
Accountability of Organisations Schedule may appear in person.
(2) A party to a proceeding before the
Federal Magistrates Court in a matter arising under this Act or the BCII Act
may appear in person.
(3) Subject to this and any other Act, a
party to a proceeding before the Court or the Federal Magistrates Court in a
matter arising under this Act may be represented only as provided by this
section.
(4) Subject to this Act, the Registration and
Accountability of Organisations Schedule and any other Act, a party to a
proceeding before the Court in a matter arising under the Registration and
Accountability of Organisations Schedule may be represented only as provided by
this section.
(5) Subject to this Act, the BCII Act and any
other Act, a party to a proceeding before the Court or the Federal Magistrates
Court in a matter arising under the BCII Act may be represented only as
provided by this section.
(6) A party (including an employing
authority) may be represented by counsel or solicitor.
(7) An employing authority may be represented
by a prescribed person.
(8) Regulations made for the purposes of subsection (7)
may prescribe different classes of persons in relation to different classes of
proceedings.
(9) Subject to subsections (11) and (12),
a party that is an organisation may be represented by:
(a) a member, officer or employee of
the organisation; or
(b) a member, officer or employee of a
peak council to which the organisation is affiliated.
(10) Subject to subsections (11) and (12),
a party other than an organisation or employing authority may be represented
by:
(a) an officer or employee of the
party; or
(b) a member, officer or employee of
an organisation of which the party is a member; or
(c) an officer or employee of a peak
council to which the party is affiliated; or
(d) an officer or employee of a peak
council to which an organisation or association of which the party is a member
is affiliated.
(11) Subsections (9) and (10) do not apply
in relation to:
(a) proceedings
under section 853; or
(b) proceedings
in relation to offences against this Act, the BCII Act or the Registration and
Accountability of Organisations Schedule.
(12) In a relevant proceeding, a party may be
represented as provided by subsection (9) and (10) only with the leave of
the Court or the Federal Magistrates Court.
(13) In this section:
party includes an intervener.
relevant proceeding means proceedings under
section 122, 148, 848 or 849.
855
Intervention generally
(1) If the Court is of the opinion that an
organisation, person or body should be heard in a proceeding before the Court
in a matter arising under this Act, the BCII Act or the Registration and
Accountability of Organisations Schedule, the Court may grant leave to the
organisation, person or body to intervene in the proceeding.
(2) If the Federal Magistrates Court is of
the opinion that an organisation, person or body should be heard in a
proceeding before that court in a matter arising under this Act or the BCII
Act, that court may grant leave to the organisation, person or body to
intervene in the proceeding.
856
Particular rights of intervention of Minister
(1) The Minister may, on behalf of the
Commonwealth, by giving written notice to the Registrar of the Court, intervene
in the public interest in a proceeding before the Court in a matter arising
under this Act, the BCII Act or the Registration and Accountability of
Organisations Schedule.
(2) The Minister may, on behalf of the
Commonwealth, by giving written notice to a Registrar of the Federal
Magistrates Court, intervene in the public interest in a proceeding before that
court in a matter arising under this Act or the BCII Act.
(3) If the Minister intervenes in a
proceeding before the Court or the Federal Magistrates Court, that court may,
despite section 824, make an order as to costs against the Commonwealth.
(4) If the Minister intervenes in a
proceeding before the Court or the Federal Magistrates Court, then, for the
purposes of the institution and prosecution of an appeal from a judgment given
in the proceeding, the Minister is taken to be a party to the proceeding.
(5) If, under subsection (4), the
Minister institutes an appeal from a judgment, a court hearing the appeal may,
despite section 824, make an order as to costs against the Commonwealth.
Part 21—Matters referred by Victoria
Division 1—Introduction
857
Objects
The main objects of this Part are:
(a) to extend certain provisions of
this Act; and
(b) to include additional provisions
in this Act;
as a result of the referral of certain matters to the
Parliament of the Commonwealth by the Commonwealth Powers (Industrial
Relations) Act 1996 of Victoria.
858
Definitions
In this Part (other than Division 12):
employee has the same meaning as in section 3
of the Commonwealth Powers (Industrial Relations) Act 1996 of Victoria,
but does not include:
(a) a person who is undertaking a
vocational placement; or
(b) a person so far as the definition
of employee in subsection 5(1) of this Act covers the person.
employer has the same meaning as in section 3
of the Commonwealth Powers (Industrial Relations) Act 1996 of Victoria,
but does not include an employer so far as the definition of employer
in subsection 6(1) of this Act covers the employer.
employment means employment of an employee,
and employed has a corresponding meaning.
859
Part only has effect if supported by reference
A provision of this Part (other than
paragraph 862(b) or Division 11 or 12) has effect only for so long, and in
so far, as the Commonwealth Powers (Industrial Relations) Act 1996 of
Victoria refers to the Parliament of the Commonwealth a matter or matters that
result in the Parliament of the Commonwealth having sufficient legislative
power for the provision so to have effect.
Division 2—Pay and conditions
860
Additional effect of Act—AFPC’s powers
(1) Without affecting its operation apart
from this section, Part 2 also has effect in relation to the employment of
any employee in Victoria, and for this purpose, each reference in paragraph 23(d)
to an employee (within the meaning of that paragraph) is to be read as a reference
to an employee (within the meaning of this Division) in Victoria.
(2) Subsection (1) has effect subject
to:
(a) sections 864, 865, 866, 867
and 896; and
(b) clause 30 of Schedule 7.
861
Additional effect of Act—Australian Fair Pay and Conditions Standard
(1) Without affecting its operation apart
from this section, Part 7 also has effect in relation to the employment of
any employee in Victoria, and for this purpose:
(a) each reference in that Part to an
employer (within the meaning of that Part) is to be read as a reference to an
employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Part to an
employee (within the meaning of that Part) is to be read as a reference to an
employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Part to
employment (within the meaning of that Part) is to be read as a reference to
the employment of an employee (within the meaning of this Division) in
Victoria; and
(ca) Division 2 of Part 7 has
effect as if the definition of APCS in section 178 were
modified by omitting “or a new APCS”; and
(d) Division 2 of Part 7 has
effect as if the following provisions had not been enacted:
(i) Subdivisions E, F, G, L
and M of that Division;
(ii) sections 205, 207
and 216;
(iii) subsections 182(3) and
(4);
(iv) item 3 of the
table in subsection 185(3); and
(e) Division 2 of Part 7 has
effect as if an order that was in force under repealed section 501 or 501A
on the reform comparison day (within the meaning of that Division) were a pre‑reform
federal wage instrument (within the meaning of that Division); and
(f) section 175 has effect as if
Part 13 had been modified in a corresponding way to the way in which Part 7
is modified by paragraphs (a), (b) and (c); and
(g) Part 7 has effect as if
Division 6 of that Part had not been enacted.
(2) Subsection (1) has effect subject
to:
(a) sections 864, 865, 866, 867
and 896; and
(b) clause 30 of Schedule 7.
(3) The repeal of sections 501 and 501A
by the Workplace Relations Amendment (Work Choices) Act 2005 does not
affect the continuity of an APCS (within the meaning of Part 7) derived
from an order under either of those sections.
862
Application of the Australian Fair Pay and Conditions Standard to employees in Victoria
For the purposes of the application of a
provision of this Act (other than this Division or Divisions 3 to 11) to
an employee in Victoria, a reference in the provision to the Australian Fair
Pay and Conditions Standard:
(a) is to be read as a reference to
the Australian Fair Pay and Conditions Standard that applies to the employee
because of section 861; and
(b) includes a reference to the
provisions of Division 6 of Part 7 as they apply to the employee
because of section 689.
863
Additional provisions of the Australian Fair Pay and Conditions Standard
For the purposes of this Act, sections 864,
865, 866 and 867 are additional provisions of the Australian Fair Pay and
Conditions Standard that applies to an employee in Victoria because of section 861.
864
Adjustment of APCSs
(1) The AFPC may adjust an APCS if the
adjustment:
(a) relates to the employment of one
or more employees in Victoria; and
(b) is of a rate provision (within the
meaning of Division 2 of Part 7).
(2) The power to adjust an APCS under subsection (1)
is subject to:
(a) section 176; and
(b) section 202; and
(c) section 203; and
(d) section 222; and
(e) sections 865, 866 and 867.
(3) For the purposes of section 215, an
adjustment under subsection (1) of this section is taken to be an
adjustment under Subdivision K of Division 2 of Part 7.
865
Limitation on application of minimum wage standards
(1) If the AFPC exercises its wage‑setting
powers so as to adjust a minimum wage for employees in Victoria:
(a) the adjustment has no effect
unless the employees are within a work classification; and
(b) the adjustment has no effect, in
relation to a particular employee, while the employee is subject to an award or
agreement under this Act.
(2) If a provision of the Australian Fair Pay
and Conditions Standard adjusts a minimum wage for employees in Victoria:
(a) the adjustment has no effect
unless the employees are within a work classification; and
(b) the adjustment has no effect, in
relation to a particular employee, while the employee is subject to an award or
agreement under this Act.
(3) In this
section:
minimum wage has the same meaning as in
subsection 4(7) of the Commonwealth Powers (Industrial Relations) Act 1996
of Victoria.
work classification means a work classification
that, immediately before the commencement of subsection 4(7) of the Commonwealth
Powers (Industrial Relations) Act 1996 of Victoria:
(a) was a declared work classification
under the Employee Relations Act 1992 of Victoria; or
(b) had been declared by the Employee
Relations Commission of Victoria to be an interim work classification.
Note: See also clauses 89, 95 and 102 of Schedule 6
(extended meaning of award).
866
Guarantee against reductions below pre‑reform basic periodic rates of pay
(1) This section applies if:
(a) the AFPC proposes to exercise its
power under subsection 864(1) to adjust a preserved APCS; and
(b) immediately after the exercise of
the power takes effect, there will, under section 182, be a guaranteed
basic periodic rate of pay (the resulting guaranteed basic
periodic rate) for a particular employee (within the meaning of this
Division) in Victoria who is affected by the exercise of the power; and
(c) immediately after the reform
commencement (and after any relevant adjustments mentioned in sections 209
to 212 took effect), there would, under section 182, have been a
guaranteed basic periodic rate of pay (the commencement guaranteed basic
periodic rate) for the employee if the employee had at that time been
in his or her current circumstances of employment.
(2) The AFPC must ensure that the result of
the exercise of the power, so far as it affects the employee, is such that the
resulting guaranteed basic periodic rate of pay for the employee will not be
less than the commencement guaranteed basic periodic rate of pay for the
employee.
(3) In this section:
basic periodic rate of pay has the same
meaning as in Division 2 of Part 7.
867
Guarantee against reductions below pre‑reform casual loadings that apply
to basic periodic rates of pay
(1) This section applies in relation to the
exercise by the AFPC of its power under subsection 864(1) to adjust a preserved
APCS.
(2) The AFPC must ensure that the result of
the exercise of the power, so far as it affects a particular casual employee
(within the meaning of this Division) in Victoria, is such that the resulting
guaranteed casual loading percentage for the employee will not be less than the
commencement guaranteed casual loading percentage for the employee.
(3) For the purposes of subsection (2):
(a) the resulting guaranteed
casual loading percentage for the employee is the guaranteed casual
loading percentage referred to in section 185 for the employee, as it will
be immediately after the exercise of the power takes effect; and
(b) the commencement guaranteed
casual loading percentage for the employee is the percentage that,
immediately after the reform commencement (and after any relevant adjustments
mentioned in sections 209 to 212 took effect), would have been the guaranteed
casual loading percentage referred to in section 185 for the employee if
the employee had, at that time, been in his or her current circumstances of
employment.
868
Additional effect of Act—enforcement of, and compliance with, the Australian
Fair Pay and Conditions Standard
Without affecting its operation apart
from this section, Part 14 also has effect in relation to a term of the
Australian Fair Pay and Conditions Standard that applies to an employee in Victoria
because of section 861, and for this purpose:
(a) each reference in that Part to an
employer (within the meaning of that Part) is to be read as a reference to an
employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Part to an
employee (within the meaning of that Part) is to be read as a reference to an
employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Part to
employment (within the meaning of that Part) is to be read as a reference to
the employment of an employee (within the meaning of this Division) in
Victoria; and
(d) each reference in that Part to the
Australian Fair Pay and Conditions Standard (within the meaning of that Part)
is to be read as a reference to the Australian Fair Pay and Conditions Standard
as that Standard applies to an employee in Victoria because of section 861.
Division 3—Workplace agreements
869
Additional effect of Act—workplace agreements
(1) In addition to the effect that Part 8
and related provisions of this Act (other than Part 11) have in relation
to agreements about matters pertaining to the relationship between:
(a) an employer, or employers, within
the meaning of that Part; and
(b) an employee, or employees, within
the meaning of that Part;
that Part and those provisions also have effect as
mentioned in this section.
(2) That Part and those provisions have
effect in the same way as mentioned in subsection (1) in relation to
agreements about matters pertaining to the relationship between:
(a) an employer or employers in Victoria;
and
(b) an employee or employees in Victoria;
and for this purpose:
(c) each reference in that Part and
those provisions to an employer (within the meaning of that Part) is to be read
as a reference to an employer (within the meaning of this Division) in
Victoria; and
(d) each reference in that Part and
those provisions to an employee (within the meaning of that Part) is to be read
as a reference to an employee (within the meaning of this Division) in
Victoria; and
(e) each reference in that Part and
those provisions to employment (within the meaning of that Part) is to be read
as a reference to the employment of an employee (within the meaning of this
Division) in Victoria by an employer (within the meaning of this Division) in Victoria.
(3) The regulations may provide that a
specified provision of this Act is taken to be a related provision for the
purposes of this section.
(4) The regulations may provide that a
specified provision of this Act is taken not to be a related provision for the
purposes of this section.
Note: See also section 885 (transmission of
business).
870
Workplace agreements—mandatory term about basic periodic rate of pay
(1) This section applies to an agreement
under Part 8 (as that Part has effect because of section 869).
(2) The agreement must contain an express
term to the effect that, for so long as an employee is subject to the
agreement, the basic periodic rate of pay that is payable to the
employee must not be less than:
(a) if a basic periodic rate of pay
would have been applicable to the employee under the Australian Fair Pay and
Conditions Standard if the employee had not been subject to an award or the
agreement—the basic periodic rate of pay that would so have been applicable; or
(b) if:
(i) paragraph (a)
does not apply to the employee; and
(ii) the employee is a
junior employee, an employee with a disability, or an employee to whom a
training arrangement applies;
the rate of pay specified in, or
worked out in accordance with a method specified in, regulations made for the
purposes of this paragraph; or
(c) if neither paragraph (a) nor
(b) applies to the employee—the standard FMW.
(3) The agreement is void if the requirement
in subsection (2) is not satisfied.
(4) In this section:
basic periodic rate of pay has the same
meaning as in Division 2 of Part 7.
employee with a disability means an employee
who is qualified for a disability support pension as set out in section 94
or 95 of the Social Security Act 1991, or who would be so qualified but
for paragraph 94(1)(e) or 95(1)(c) of that Act.
junior employee means an employee who is
under the age of 21.
standard FMW has the same meaning as in
Division 2 of Part 7.
871
Workplace agreements—mandatory term about casual loading
(1) This section applies to an agreement
under Part 8 (as that Part has effect because of section 869) if a
casual employee is subject to the agreement.
(2) The agreement must contain an express
term to the effect that, for so long as the casual employee is subject to the
agreement, the casual loading that is payable to the employee must not
be less than the default casual loading percentage (within the meaning of
Division 2 of Part 7).
(3) The agreement is void if the requirement
in subsection (2) is not satisfied.
Division 4—Industrial action
872
Additional effect of Act—industrial action
Without affecting its operation apart
from this section, Part 9 also has the effect it would have if:
(a) each reference in that Part to an
employer (within the meaning of that Part) were read as a reference to an
employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Part to an
employee (within the meaning of that Part) were read as a reference to an
employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Part to
employment (within the meaning of that Part) were read as a reference to the
employment of an employee (within the meaning of this Division) in Victoria by
an employer (within the meaning of this Division) in Victoria; and
(d) Division 8 of that Part had
not been enacted; and
(e) subsections 420(1) to (4) were
replaced by the following subsections:
(1) For the purposes of this Act (other than Part 16), industrial action means
any action of the following kind:
(a) the performance of work by an
employee in a manner different from that in which it is customarily performed,
or the adoption of a practice in relation to work by an employee, the result of
which is a restriction or limitation on, or a delay in, the performance of the
work;
(b) a ban, limitation or restriction
on the performance of work by an employee or on acceptance of or offering for
work by an employee;
(c) a failure or refusal by employees
to attend for work or a failure or refusal to perform any work at all by
employees who attend for work;
(d) the lockout of employees from
their employment by the employer of the employees;
but does not include the
following:
(e) action that is not agreement‑related
(as defined by subsection (3));
(f) action by employees that is
authorised or agreed to by the employer of the employees;
(g) action by an employer that is
authorised or agreed to by or on behalf of employees of the employer;
(h) action by an employee if:
(i) the action was based
on a reasonable concern by the employee about an imminent risk to his or her
health or safety; and
(ii) the employee did not
unreasonably fail to comply with a direction of his or her employer to perform
other available work, whether at the same or another workplace, that was safe
and appropriate for the employee to perform.
Note 1: See also subsection (5), which deals with
the burden of proof of the exception in paragraph (e) of this definition.
Note 2: See also subsection (6), which deals with
the burden of proof of the exception in subparagraph (h)(i) of this
definition.
(2) For the purposes of this Act (other than Part 16):
(a) conduct is capable of constituting
industrial action even if the conduct relates to part only of the duties that
employees are required to perform in the course of their employment; and
(b) a reference to industrial action
includes a reference to a course of conduct consisting of a series of
industrial actions.
Meaning of agreement‑related
(3) For the purposes of this section, action
is agreement‑related if:
(a) it relates to the negotiation or
proposed negotiation of an agreement under Part 8 (as that Part has effect
because of section 869); or
(b) it affects or relates to work that
is regulated by an agreement under Part 8 (as that Part has effect because
of section 869).
Meaning of lockout
(4) For the purposes of this section, an
employer locks out employees from their employment if the
employer prevents the employees from performing work under their contracts of
employment without terminating those contracts (except to the extent that this
would be an expansion of the ordinary meaning of that expression).
Burden of proof
(5) Whenever a person seeks to rely on paragraph (e)
of the definition of industrial action in subsection (1),
that person has the burden of proving that paragraph (e) applies.
(6) Whenever a person seeks to rely on subparagraph (h)(i)
of the definition of industrial action in subsection (1),
that person has the burden of proving that subparagraph (h)(i) applies.
873
Intervention in proceedings under Part 9
(1) The Commission must, on application,
grant to a Minister of Victoria, on behalf of the Government of Victoria, leave
to intervene in proceedings under Division 2 of Part 9 if one or more
of the employees to be covered by the proposed agreement is an employee in
Victoria.
(2) The Full Bench must, on application,
grant to a Minister of Victoria, on behalf of the Government of Victoria, leave
to intervene in an appeal against a decision of a member of the Commission if:
(a) the decision is made under
Division 2 of Part 9 in relation to a bargaining period for
negotiating a proposed agreement; and
(b) one or more of the employees to be
covered by the proposed agreement is an employee in Victoria.
874
Additional effect of Act—enforcement of, and compliance with, orders under Part 9
Without affecting its operation apart
from this section, Part 14 also has effect in relation to an order of the
Commission under Part 9 as Part 9 applies because of section 872,
and for this purpose:
(a) each reference in Part 14 to
an employer (within the meaning of Part 14) is to be read as a reference
to an employer (within the meaning of this Division) in Victoria; and
(b) each reference in Part 14 to
an employee (within the meaning of Part 14) is to be read as a reference
to an employee (within the meaning of this Division) in Victoria; and
(c) each reference in Part 14 to
employment (within the meaning of Part 14) is to be read as a reference to
the employment of an employee (within the meaning of this Division) in Victoria.
Division 5—Meal breaks
875
Additional effect of Act—meal breaks
Without affecting its operation apart
from this section, Division 1 of Part 12 also has effect in relation
to the employment of any employee in Victoria, and for this purpose:
(a) each reference in that Division to
an employer (within the meaning of that Division) is to be read as a reference
to an employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Division to
an employee (within the meaning of that Division) is to be read as a reference
to an employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Division to
employment (within the meaning of that Division) is to be read as a reference
to the employment of an employee (within the meaning of this Division) in
Victoria; and
(d) section 609 has effect as if Part 13
had been modified in a corresponding way to the way in which Division 1 of
Part 12 is modified by paragraphs (a), (b) and (c).
876
Additional effect of Act—enforcement of, and compliance with, section 607
Without affecting its operation apart
from this section, Part 14 also has effect in relation to section 607
as that section applies because of section 875, and for this purpose:
(a) each reference in that Part to an
employer (within the meaning of that Part) is to be read as a reference to an
employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Part to an
employee (within the meaning of that Part) is to be read as a reference to an
employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Part to
employment (within the meaning of that Part) is to be read as a reference to
the employment of an employee (within the meaning of this Division) in
Victoria; and
(d) each reference in that Part to
section 607 is to be read as a reference to section 607 as that
section has effect because of section 875.
Division 6—Public holidays
877
Additional effect of Act—public holidays
Without affecting its operation apart
from this section, Division 2 of Part 12 also has effect in relation
to the employment of any employee in Victoria, and for this purpose:
(a) each reference in that Division to
an employer (within the meaning of that Division) is to be read as a reference
to an employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Division to
an employee (within the meaning of that Division) is to be read as a reference
to an employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Division to
employment (within the meaning of that Division) is to be read as a reference
to the employment of an employee (within the meaning of this Division) in
Victoria; and
(d) section 614 has effect as if Part 13
had been modified in a corresponding way to the way in which Division 2 of
Part 12 is modified by paragraphs (a), (b) and (c).
878
Additional effect of Act—enforcement of, and compliance with, section 612
Without affecting its operation apart
from this section, Part 14 also has effect in relation to section 612
as that section applies because of section 877, and for this purpose:
(a) each reference in that Part to an
employer (within the meaning of that Part) is to be read as a reference to an
employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Part to an
employee (within the meaning of that Part) is to be read as a reference to an
employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Part to
employment (within the meaning of that Part) is to be read as a reference to
the employment of an employee (within the meaning of this Division) in
Victoria; and
(d) each reference in that Part to
section 612 is to be read as a reference to section 612 as that
section has effect because of section 877.
Division 7—Termination of employment
879
Additional effect of Act—termination of employment
Without affecting its operation apart
from this section, Division 4 of Part 12 also has effect in relation
to the termination of employment, at the initiative of the employer, of any
employee in Victoria, and for this purpose:
(a) each reference in that Division to
an employer within the meaning of subsection 6(1) is to be read as a reference
to an employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Division to
an employee within the meaning of subsection 5(1) is to be read as a reference
to an employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Division to
employment within the meaning of subsection 7(1) is to be read as a reference
to the employment of an employee (within the meaning of this Division) in Victoria.
880
Additional effect of Act—enforcement of, and compliance with, orders under Division 4
of Part 12
Without affecting its operation apart
from this section, Part 14 also has effect in relation to an order of the
Commission under Division 4 of Part 12 as that Division applies
because of section 879, and for this purpose:
(a) each reference in Part 14 to
an employer (within the meaning of Part 14) is to be read as a reference
to an employer (within the meaning of this Division) in Victoria; and
(b) each reference in Part 14 to
an employee (within the meaning of Part 14) is to be read as a reference
to an employee (within the meaning of this Division) in Victoria; and
(c) each reference in Part 14 to
employment (within the meaning of Part 14) is to be read as a reference to
the employment of an employee (within the meaning of this Division) in Victoria.
Division 7A—Stand downs
880A
Additional effect of Act—stand downs
Without affecting its operation apart
from this section, Division 7 of Part 12 also has effect in relation
to the employment of any employee in Victoria, and for this purpose:
(a) each reference in that Division to
an employer (within the meaning of that Division) is to be read as a reference
to an employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Division to
an employee (within the meaning of that Division) is to be read as a reference
to an employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Division to
employment (within the meaning of that Division) is to be read as a reference
to the employment of an employee (within the meaning of this Division) in Victoria.
Division 8—Freedom of association
881
Additional effect of Act—freedom of association
(1) Without affecting its operation apart
from this section, Part 16 also has effect in relation to conduct in Victoria.
(2) Subsection (1) has effect despite
section 782.
Division 9—Right of entry
882
Right of entry
Part 15 has effect, in relation to
premises of an employer in Victoria, as if:
(a) Division 4 of that Part did
not authorise entering any such premises for the purposes of investigating a
suspected breach unless the suspected breach relates to:
(i) a provision of this
Act (as that provision has effect because of this Part); or
(ii) an agreement under Part 8
(as Part 8 has effect because of section 869); and
(b) Division 6 of that Part did
not authorise entering any such premises for the purposes of holding
discussions unless the discussions relate to:
(i) an agreement under Part 8
(as Part 8 has effect because of section 869); or
(ii) a proposed agreement
under Part 8 (as Part 8 has effect because of section 869).
883
Additional effect of Act—enforcement of, and compliance with, orders under Part 15
Without affecting its operation apart
from this section, Part 14 also has effect in relation to an order of the
Commission under Part 15 in relation to premises of an employer in Victoria,
and for this purpose:
(a) each reference in Part 14 to
an employer (within the meaning of Part 14) includes a reference to an
employer (within the meaning of this Division) in Victoria; and
(b) each reference in Part 14 to
an employee (within the meaning of Part 14) includes a reference to an
employee (within the meaning of this Division) in Victoria; and
(c) each reference in Part 14 to
employment (within the meaning of Part 14) includes a reference to the
employment of an employee (within the meaning of this Division) in Victoria.
Division 10—Employee records and pay slips
884
Additional effect of Act—employee records and pay slips
Without affecting its operation apart
from this section, section 836 also has effect in relation to the
employment of any employee in Victoria, and for this purpose:
(a) each reference in that section to
an employer (within the meaning of that section) is to be read as a reference
to an employer (within the meaning of this Division) in Victoria; and
(b) each reference in that section to
an employee (within the meaning of that section) is to be read as a reference
to an employee (within the meaning of this Division) in Victoria; and
(c) each reference in that section to
employment (within the meaning of that section) is to be read as a reference to
the employment of an employee (within the meaning of this Division) in Victoria.
Division 11—Transmission of business
885
Additional effect of Act—transmission of business
(1) Without affecting its operation apart
from this section, Part 11 also has the effect it would have if:
(a) each reference in that Part to an
employer (within the meaning of that Part) included a reference to an employer
(within the meaning of this Division) in Victoria; and
(b) each reference in that Part to an
employee (within the meaning of that Part) included a reference to an employee
(within the meaning of this Division) in Victoria; and
(c) each reference in that Part to
employment (within the meaning of that Part) included a reference to the
employment of an employee (within the meaning of this Division) in Victoria by
an employer (within the meaning of this Division) in Victoria; and
(d) each reference in that Part to
employed (within the meaning of that Part) included a reference to employed
(within the meaning of this Division) in Victoria by an employer (within the
meaning of this Division) in Victoria; and
(e) Division 5 of that Part had
not been enacted; and
(f) each reference in that Part to an
ITEA (within the meaning of that Part) included a reference to an ITEA made
under Part 8 (as Part 8 has effect because of section 869); and
(h) each reference in that Part to a
collective agreement (within the meaning of that Part) included a reference to
a collective agreement made under Part 8 (as Part 8 has effect
because of section 869); and
(i) each reference in that Part to a
workplace agreement (within the meaning of that Part) included a reference to a
workplace agreement made under Part 8 (as Part 8 has effect because
of section 869); and
(j) each reference in that Part to
the Australian Fair Pay and Conditions Standard (within the meaning of that
Part) included a reference to the Australian Fair Pay and Conditions Standard
as that Standard has effect because of section 861; and
(k) each reference in that Part to an
APCS (within the meaning of that Part) included a reference to an APCS in force
under Part 7 (as Part 7 has effect because of section 861).
(2) To the extent to which Part 11 (as
it has effect because of subsection (1)) applies if an employer (within
the meaning of this Division) in Victoria becomes the successor, transmittee or
assignee of the whole, or a part, of a business of:
(a) another employer (within the
meaning of subsection 6(1)); or
(b) another employer (within the
meaning of this Division) in Victoria;
that Part has effect only for so long, and in so far, as
the Commonwealth Powers (Industrial Relations) Act 1996 of Victoria
refers to the Parliament of the Commonwealth a matter or matters that result in
the Parliament of the Commonwealth having sufficient legislative power for that
Part so to have effect.
(3) To the extent to which Subdivision B of
Division 4 of Part 11 (as it has effect because of subsection (1))
applies if an employer (within the meaning of this Division) in Victoria is
likely to become the successor, transmittee or assignee of the whole, or a
part, of a business of:
(a) another employer (within the
meaning of subsection 6(1)); or
(b) another employer (within the
meaning of this Division) in Victoria;
that Subdivision has effect only for so long, and in so
far, as the Commonwealth Powers (Industrial Relations) Act 1996 of
Victoria refers to the Parliament of the Commonwealth a matter or matters that
result in the Parliament of the Commonwealth having sufficient legislative
power for that Subdivision so to have effect.
886
Additional effect of Act—enforcement of, and compliance with, orders under Part 11
Without affecting its operation apart
from this section, Part 14 also has effect in relation to an order of the
Commission under Part 11 as Part 11 applies because of section 885,
and for this purpose:
(a) each reference in Part 14 to
an employer (within the meaning of Part 14) is to be read as a reference
to an employer (within the meaning of this Division) in Victoria; and
(b) each reference in Part 14 to
an employee (within the meaning of Part 14) is to be read as a reference
to an employee (within the meaning of this Division) in Victoria; and
(c) each reference in Part 14 to
employment (within the meaning of Part 14) is to be read as a reference to
the employment of an employee (within the meaning of this Division) in Victoria.
Division 11A—Sham arrangements
886A
Additional effect of Act—sham arrangements
Without affecting its operation apart
from this section, section 902 also has effect in relation to the
dismissal, or threatened dismissal, by an employer of an employee in Victoria,
and for this purpose:
(a) each reference in that section to
an employer (within the meaning of that section) is to be read as a reference
to an employer (within the meaning of this Division) in Victoria; and
(b) each reference in that section to
an employee (within the meaning of that section) is to be read as a reference
to an employee (within the meaning of this Division) in Victoria.
Division 12—Employment agreements
887
Definitions
In this Division:
employee has the same meaning as in section 3
of the Commonwealth Powers (Industrial Relations) Act 1996 of Victoria,
but does not include a person who is undertaking a vocational placement.
employer has the same meaning as in section 3
of the Commonwealth Powers (Industrial Relations) Act 1996 of Victoria.
employment means employment of an employee,
and employed has a corresponding meaning.
employment agreement means an agreement that,
immediately before the reform commencement, was continued in force by
Subdivision E of Division 3 of Part XV of this Act.
Note: These agreements were entered into under Part 2
of the Employee Relations Act 1992 of Victoria before 1 January 1997.
888
Application of this Division
(1) This Division applies to an employment
agreement about matters pertaining to the relationship between an employer
(within the meaning of this Division) in Victoria and an employee (within the
meaning of this Division) in Victoria if:
(a) both:
(i) the employer is also
an employer within the meaning of Division 1; and
(ii) the employee is also
an employee within the meaning of Division 1; or
(b) both:
(i) the employer is also
an employer within the meaning of subsection 6(1); and
(ii) the employee is also
an employee within the meaning of subsection 5(1).
(2) This Division, to the extent to which it
applies to an employment agreement because of paragraph (1)(a), has effect
only for so long, and in so far, as the Commonwealth Powers (Industrial
Relations) Act 1996 of Victoria refers to the Parliament of the
Commonwealth a matter or matters that result in the Parliament of the
Commonwealth having sufficient legislative power for this Division so to have
effect.
889
Inconsistency with other Commonwealth laws
Subject to clause 39 of Schedule 7,
this Division does not have effect to the extent of any inconsistency with a
law of the Commonwealth other than this Act.
890
Continued operation of employment agreements
(1) Subject to subsection (2), for the
purposes of this Act, an employment agreement continues in force as if Part 2
of the Employee Relations Act 1992 of Victoria had not been repealed.
(2) For the purposes of this Act, an
employment agreement ceases to be in force in relation to an employee if the
employment of the employee is subject to an ITEA, a collective agreement or a
workplace determination.
892
Model dispute resolution process
(1) An employment agreement is taken to
include a term requiring disputes about the application of the agreement to be
resolved using the model dispute resolution process.
Note: The model dispute resolution process is set
out in Part 13.
(2) Any term of the employment agreement that
would otherwise deal with the resolution of those disputes is void to that
extent.
(3) Without affecting its operation apart
from this subsection, Part 13 also has effect in relation to an employment
agreement, and for this purpose:
(a) each reference in that Part to an
employer (within the meaning of that Part) is to be read as a reference to an
employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Part to an
employee (within the meaning of that Part) is to be read as a reference to an
employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Part to a
contract of employment (within the meaning of that Part) is to be read as a
reference to an employment agreement; and
(d) each reference in that Part to a
workplace agreement is to be read as a reference to an employment agreement.
893
Additional effect of Act—enforcing employment agreements
Without affecting its operation apart
from this section, Part 14 also has effect in relation to an employment
agreement, and for this purpose:
(a) each reference in that Part to an
employer (within the meaning of that Part) is to be read as a reference to an
employer (within the meaning of this Division) in Victoria; and
(b) each reference in that Part to an
employee (within the meaning of that Part) is to be read as a reference to an
employee (within the meaning of this Division) in Victoria; and
(c) each reference in that Part to
employment (within the meaning of that Part) is to be read as a reference to
the employment of a person under an employment agreement; and
(d) each reference in that Part to an ITEA
is to be read as a reference to an employment agreement.
894
Employer to give copy of employment agreement
Each employer bound by an employment
agreement must, on being requested to do so by the employee bound by the
agreement, give a copy of the agreement to the employee as soon as possible.
895
Registrar not to divulge information in employment agreements
If a Registrar has a copy of an
employment agreement, the Registrar must not allow the information in the copy
to become available to any person other than:
(a) a party to the agreement; or
(b) a person with authority to enforce
the provisions of the agreement.
896
Relationship between employment agreements and Australian Fair Pay and Conditions
Standard
(1) An employment agreement that operates in
relation to an employee prevails over the Australian Fair Pay and Conditions
Standard to the extent to which, in a particular respect, the employment
agreement provides a more favourable outcome for the employee.
(2) The Australian Fair Pay and Conditions
Standard prevails over an employment agreement that operates in relation to an
employee to the extent to which, in a particular respect, the Australian Fair
Pay and Conditions Standard provides a more favourable outcome for the
employee.
(3) The regulations may prescribe:
(a) what a particular respect is for
the purposes of this section; or
(b) the circumstances in which an
employment agreement provides or does not provide a more favourable outcome in
a particular respect; or
(c) the circumstances in which the
Australian Fair Pay and Conditions Standard provides or does not provide a more
favourable outcome in a particular respect.
897
Relationship between employment agreements and awards
An award prevails to the extent of any
inconsistency with an employment agreement.
Note: See also clauses 89, 95 and 102 of Schedule 6
(extended meaning of award).
Division 13—Exclusion of Victorian laws
898
Additional effect of Act—exclusion of Victorian laws
(1) This Act is intended to apply to the
exclusion of all the following laws of Victoria so far as they would otherwise
apply in relation to an employee or employer:
(a) a law of Victoria that applies to
employment generally and relates to one or more of the following matters:
(i) agreements about
matters pertaining to the relationship between an employer or employers in Victoria
and an employee or employees in Victoria;
(ii) minimum terms and
conditions of employment (other than minimum wages) for employees in Victoria;
(iii) setting and adjusting
of minimum wages for employees in Victoria within a work classification;
(iv) termination, or
proposed termination, of the employment of an employee in Victoria;
(v) freedom of association;
(b) a law of Victoria that is
prescribed by regulations made for the purposes of this paragraph.
Victorian laws that are not excluded
(2) However, subsection (1) does not
apply to a law of Victoria so far as:
(a) the law deals with the prevention
of discrimination and is neither a State or Territory industrial law nor
contained in such a law; or
(b) the law is prescribed by the
regulations as a law to which subsection (1) does not apply.
Definitions
(3) In this section:
freedom of association has the same meaning
as in subsection 4(6) of the Commonwealth Powers (Industrial Relations) Act
1996 of Victoria.
minimum terms and conditions of employment has
the same meaning as in subsection 4(4) of the Commonwealth Powers
(Industrial Relations) Act 1996 of Victoria.
minimum wage has the same meaning as in
subsection 4(7) of the Commonwealth Powers (Industrial Relations) Act 1996
of Victoria.
work classification has the same meaning as
in section 865.
Note: See also clause 87 of Schedule 6
(common rules in Victoria), which has effect despite any other provision of
this Act.
Division 14—Additional effect of other provisions of this Act
899
Additional effect of other provisions of this Act
The regulations may provide that,
without affecting the operation of specified provisions of this Act apart from
those regulations, those provisions also have a specified effect.
Note: The regulations must deal with matters
referred by Victoria (see section 859).
Part 22—Sham arrangements
900
Misrepresenting an employment relationship as an independent contracting
arrangement
(1) A person contravenes this subsection if:
(a) the person is a party to a
contract with an individual; and
(b) the person makes a representation
to the individual that the contract is a contract for services under which the
individual performs work, or is to perform work, for the person as an
independent contractor; and
(c) the contract, as in force at the
time of the representation, is a contract of employment under which the person
is the employer of the individual, rather than a contract for services under
which the individual performs work as an independent contractor.
Note: In this subsection, employer and
employment have the meanings given by subsections 6(1) and 7(1)
respectively.
(2) A person does not contravene subsection (1)
if the person proves that, at the time the person made the representation
concerned, the person did not know that, and was not reckless as to whether,
the contract was a contract of employment rather than a contract for services.
Note: In this subsection, employment
has its ordinary meaning—see paragraph 4(2)(pa) of Schedule 2.
(3) Subsection (1) is a civil remedy
provision.
Note: Division 3 of Part 14 contains other
provisions relevant to civil remedies.
901
Misrepresenting a proposed employment relationship as a proposed independent
contract arrangement
(1) A person contravenes this subsection if:
(a) the person offers to enter into a
contract with an individual; and
(b) the person makes a representation
to the individual that the contract, if entered into, would be a contract for
services under which the individual would perform work for the person as an
independent contractor; and
(c) the contract, if entered into,
would be a contract of employment under which the person would be the employer
of the individual, rather than a contract for services under which the
individual would perform work as an independent contractor.
Note: In this subsection, employer and
employment have the meanings given by subsections 6(1) and 7(1)
respectively.
(2) A person does not contravene subsection (1)
if the person proves that, at the time the person made the representation
concerned, the person did not know that, and was not reckless as to whether, if
the contract were entered into, the contract would be a contract of employment
rather than a contract for services.
Note: In this subsection, employment
has its ordinary meaning—see paragraph 4(2)(pb) of Schedule 2.
(3) Subsection (1) is a civil remedy
provision.
Note: Division 3 of Part 14 contains other
provisions relevant to civil remedies.
902
Dismissal etc. for purpose of engaging certain persons as independent
contractors
(1) An employer contravenes this subsection
if:
(a) the employer dismisses, or
threatens to dismiss, an individual who:
(i) is an employee of the
employer; and
(ii) performs particular
work for the employer; and
(b) the employer’s sole or dominant
purpose in dismissing or threatening to dismiss the individual is to engage the
individual as an independent contractor to perform the same work, or
substantially the same work, under a contract for services.
(2) Subsection (1) is a civil remedy
provision.
Note: Division 3 of Part 14 contains other
provisions relevant to civil remedies.
(3) In proceedings alleging a contravention
of subsection (1) it is presumed, other than in relation to the granting
of an interim injunction, that the employer’s sole or dominant purpose was the
purpose referred to in paragraph (1)(b), unless the employer proves
otherwise.
Note: Subsection 904(2A) permits the Court to grant
an injunction for a breach of this section, and section 838 deals with
interim injunctions.
903
Prohibited conduct for purpose of engaging certain persons as independent
contractors
(1) A person who employs, or has at any time
employed, an individual to perform particular work contravenes this subsection
if:
(a) the person makes a statement that
the person knows is false; and
(b) the person’s intention in making
the statement is to persuade or influence the individual to enter into a
contract for services under which the individual will perform, as an
independent contractor, the same work, or substantially the same work, for the
person.
(2) Subsection (1) is a civil remedy
provision.
Note: Division 3 of Part 14 contains other
provisions relevant to civil remedies.
904
Penalty for contravention
(1) The Court may, on application by an
eligible person, make an order imposing a pecuniary penalty on a person who has
contravened subsection 900(1), 901(1), 902(1) or 903(1).
(2) The maximum penalty that may be imposed
under subsection (1) is:
(a) 60 penalty units for an
individual; or
(b) 300 penalty units for a body
corporate.
(2A) If a person has contravened subsection
902(1), the Court may, on application by an eligible person, grant an
injunction and make any other orders that the Court considers necessary to stop
the contravention or remedy its effects.
(2B) Other orders the Court may make under subsection (2A)
include (but are not limited to):
(a) if the contravention was
constituted by dismissing an employee—an order to reinstate the person
dismissed to the position that the person occupied immediately before the
dismissal or to a position no less favourable than that position; and
(b) in any case—to pay to the person
dismissed, or threatened with dismissal, compensation for loss suffered as a
result of the dismissal or threatened dismissal.
(2C) The Court may make orders under subsection (2A)
in addition to, or instead of, imposing a pecuniary penalty.
(3) Each of the following is an eligible
person for the purposes of this section:
(a) a workplace inspector;
(b) an individual affected by the
contravention;
(c) an organisation of employees of
which the individual affected by the contravention is (or has applied to
become) a member, if it is acting with the written consent of the individual.
905
Meaning of Court
In this Part:
Court means the Federal Court of Australia or
the Federal Magistrates Court.
Part 23—School‑based apprentices and trainees
Division 1—Preliminary
914
Definitions
In this Part:
additional condition means a condition under
an award or notional agreement preserving State awards.
full‑time apprentice means a person
employed on a full‑time basis who is recognised, under the award or
notional agreement preserving State awards that covers his or her employment,
as an apprentice.
full‑time trainee means a person
employed on a full‑time basis under a training arrangement who is not a
full‑time apprentice.
school‑based apprentice means an
employee:
(a) whose employment is part of a
school‑based training arrangement; and
(b) who would, if employed full‑time
under a training arrangement to do the same kind of work, in the same location
and for the same employer, be a full‑time apprentice.
school‑based trainee means an employee,
other than a school‑based apprentice, whose employment is part of a
school‑based training arrangement.
school‑based training arrangement means
a training arrangement undertaken as part of a course of secondary education.
work on‑the‑job, in relation to a
school‑based apprentice or school‑based trainee, means work that
contributes directly to the productive output of the employer of the school‑based
apprentice or school‑based trainee.
Note: So, for example, time spent studying or in
other off‑the‑job training or education would not be work on‑the‑job
for the purposes of this Part.
Division 2—School‑based apprentices
915
Additional conditions for school‑based apprentices
Additional conditions adjusted as necessary
(1) A school‑based apprentice is
entitled, in accordance with subsection (2), to any additional conditions
(the full‑time conditions) to which a full‑time
apprentice doing the same kind of work, in the same location and for the same
employer would be entitled.
(2) The school‑based apprentice is
entitled to the full‑time conditions adjusted as necessary in proportion
to the hours worked on‑the‑job by the school‑based
apprentice.
(3) For the purposes of subsection (2),
the regulations may determine, or make provision for determining, either or
both of the following:
(a) whether particular full‑time
conditions should be adjusted in proportion to the hours worked on‑the‑job
by the school‑based apprentice;
(b) the method for adjusting
particular full‑time conditions in proportion to the hours worked on‑the‑job
by the school‑based apprentice.
This section does not limit additional conditions
(4) To avoid doubt, this section does not
operate to prevent the school‑based apprentice from receiving conditions
more generous than those provided by this section.
School‑based apprentices not covered by this
section
(5) This section does not apply to a school‑based
apprentice if:
(a) an award or notional agreement
preserving State awards covers the employment of the school‑based
apprentice; and
(b) the award or notional agreement
preserving State awards specifies additional conditions for the school‑based
apprentice; and
(c) the award or notional agreement
preserving State awards does so by making specific provision for school‑based
apprentices.
916
Pay for apprentices who were school‑based apprentices
(1) Subsection (2) applies for the
purposes of determining the rate of pay under an APCS for a full‑time
apprentice doing the same kind of work he or she did as a school‑based
apprentice.
(2) The person’s time as a full‑time
apprentice is taken to include the period calculated using the formula:

where:
time as a school‑based apprentice means
the time for which the person was a school‑based apprentice.
Division 3—School‑based trainees
917
Additional conditions for school‑based trainees
Additional conditions adjusted as necessary
(1) A school‑based trainee is entitled,
in accordance with subsection (2), to any additional conditions (the full‑time
conditions) to which a full‑time trainee doing the same kind of
work, in the same location and for the same employer would be entitled.
(2) The school‑based trainee is
entitled to the full‑time conditions adjusted as necessary in proportion
to the hours worked on‑the‑job by the school‑based trainee.
(3) For the purposes of subsection (2),
the regulations may determine, or make provision for determining, either or
both of the following:
(a) whether particular full‑time
conditions should be adjusted in proportion to the hours worked on‑the‑job
by the school‑based trainee;
(b) the method for adjusting
particular full‑time conditions in proportion to the hours worked on‑the‑job
by the school‑based trainee.
(4) Subsection (2) has effect subject to
section 918.
This section does not limit additional conditions
(5) To avoid doubt, this section does not
operate to prevent a school‑based trainee from receiving conditions more
generous than those provided by this section.
School‑based trainees not covered by this section
(6) This section does not apply to a school‑based
trainee if:
(a) an award or notional agreement
preserving State awards covers the employment of the school‑based
trainee; and
(b) the award or notional agreement
preserving State awards specifies additional conditions for the school‑based
trainee; and
(c) the award or notional agreement
preserving State awards does so by making specific provision for school‑based
trainees.
918
Loading in lieu of certain conditions
(1) The employer of a school‑based
trainee may, with the written agreement of the school‑based trainee, pay
the school‑based trainee a loading in lieu of paid annual leave, paid
sick leave, paid personal leave and payment for public holidays.
(2) The loading is payable for all hours
worked on‑the‑job and is calculated using the formula:

where:
hourly rate means the hourly rate paid to the
school‑based trainee apart from this section.
Note: The loading does not compensate for work done
on a public holiday. A school‑based trainee who works on a public holiday
would be paid the applicable hourly rate for such work.
(3) This section has effect as if it were a
provision of the Australian Fair Pay and Conditions Standard.
Division 4—Enforcement
919
Enforcement
Part 14 has effect, in relation to
a school‑based apprentice or a school‑based trainee who is entitled
to be provided additional conditions in accordance with subsection 915(2) or 917(2),
as if the subsection were a term of an award:
(a) that bound the employer of the
school‑based apprentice or school‑based trainee; and
(b) to which the employment of the
school‑based apprentice or school‑based trainee was subject.