An Act to safeguard against unlawful interference with maritime
transport and offshore facilities, and for related purposes
Part 1—Preliminary
Division 1—Short title and commencement
1Â
Short title [see Note 1]
                  This Act may be cited as the Maritime
Transport and Offshore Facilities Security Act 2003.
2Â
Commencement
            (1) Each provision of this Act specified in
column 1 of the table commences, or is taken to have commenced, in accordance
with column 2 of the table. Any other statement in column 2 has effect
according to its terms.
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Commencement
information
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Column 1
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Column 2
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Column 3
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Provision(s)
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Commencement
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Date/Details
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1. Part 1 and anything in this Act not elsewhere
covered by this table
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The day on which this Act receives the Royal Assent.
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12 December 2003
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2. Part 2
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A single day to be fixed by Proclamation.
However, if any of the provision(s) do not commence within
the period of 12 months beginning on the day on which this Act receives the
Royal Assent, they commence on the first day after the end of that period.
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1 July 2004
(see Gazette 2004, GN11)
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3. Division 1 of Part 3
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The day on which this Act receives the Royal Assent.
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12 December 2003
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4. Divisions 2 and 3 of Part 3
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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5. Divisions 4 and 5 of Part 3
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The day on which this Act receives the Royal Assent.
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12 December 2003
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6. Division 1 of Part 4
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The day on which this Act receives the Royal Assent.
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12 December 2003
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7. Divisions 2 and 3 of Part 4
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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8. Divisions 4 and 5 of Part 4
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The day on which this Act receives the Royal Assent.
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12 December 2003
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9. Sections 79 and 80
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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10. Sections 81 to 87
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The day on which this Act receives the Royal Assent.
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12 December 2003
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11. Division 7 of Part 4
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The day on which this Act receives the Royal Assent.
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12 December 2003
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12. Part 5
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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13. Sections 101 to 104
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The day on which this Act receives the Royal Assent.
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12 December 2003
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14. Section 105
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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15. Sections 106 to 108
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The day on which this Act receives the Royal Assent.
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12 December 2003
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16. Section 109
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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17. Sections 110 to 112
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The day on which this Act receives the Royal Assent.
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12 December 2003
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18. Section 113
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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19. Part 7
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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20. Sections 134 to 138
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The day on which this Act receives the Royal Assent.
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12 December 2003
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21. Section 139
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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22. Section 140
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The day on which this Act receives the Royal Assent.
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12 December 2003
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23. Sections 141 and 142
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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24. Sections 143 to 145
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The day on which this Act receives the Royal Assent.
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12 December 2003
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25. Divisions 3 to 6 of Part 8
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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26. Parts 9 to 11
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At the same time as the provision(s) covered by table item 2.
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1 July 2004
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27. Parts 12 and 13
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The day on which this Act receives the Royal Assent.
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12 December 2003
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Note:Â Â Â Â Â Â Â Â Â This table
relates only to the provisions of this Act as originally passed by the
Parliament and assented to. It will not be expanded to deal with provisions
inserted in this Act after assent.
            (2) Column 3 of the table contains additional
information that is not part of this Act. Information in this column may be added
to or edited in any published version of this Act.
Division 2—Purpose and simplified overview of this Act
3Â
Purpose of this Act
            (1) The purpose of this Act is to safeguard
against unlawful interference with maritime transport or offshore facilities.
            (2) To achieve this purpose, this Act
establishes a regulatory framework centred around the development of security
plans for ships, other maritime transport operations and offshore facilities.
            (3) The implementation of a security plan
should make an appropriate contribution to the achievement of the maritime
security outcomes.
            (4) The maritime security outcomes
are as follows:
                    (a) Australia’s obligations under
Chapter XI‑2 of the SOLAS Convention and the ISPS Code, including those
with regard to the rights, freedoms and welfare of seafarers, are met;
                    (b) the vulnerability to terrorist
attack of Australian ships, ports and other ships within Australia, and
offshore facilities is reduced without undue disruption to trade;
                    (c) the risk that maritime transport or
offshore facilities are used to facilitate terrorist or other unlawful
activities is reduced;
                    (d) security information is
communicated effectively among maritime industry participants and government
agencies with security responsibilities for maritime transport and offshore
facilities.
            (5) It is not the purpose of this Act to
prevent lawful advocacy, protest, dissent or industrial action that does not
compromise maritime security.
4Â
Simplified overview of this Act
This Act establishes a scheme to
safeguard against unlawful interference with maritime transport or offshore
facilities.
Part 2
provides for maritime security levels. The security measures to be implemented
when different maritime security levels are in force are set out in maritime
security plans, ship security plans and offshore security plans. Part 2
also provides for the Secretary to give security directions in special
circumstances.
Part 3 deals with maritime
security plans. Maritime industry participants who are required to have plans
must comply with their plans.
Part 4 deals with ship security
plans and ISSCs (International Ship Security Certificates) for regulated
Australian ships. These ships must have both a ship security plan and an ISSC.
They must be operated in compliance with their ship security plans and must
continue to meet ISSC standards.
Part 5 puts obligations on
regulated foreign ships. The Secretary can give control directions to regulated
foreign ships to ensure that security standards are maintained.
Part 5A deals with offshore
security plans. Offshore industry participants who are required to have plans
must comply with their plans.
Part 5B deals with ISSCs for
Australian ships regulated as offshore facilities.
Part 5C deals with foreign ships
regulated as offshore facilities. The Secretary can give control directions to
foreign ships regulated as offshore facilities to ensure that security
standards are maintained.
Part 6 provides for the
establishment of maritime security zones. Additional security requirements
apply in these zones which can be established within ports, on and around
ships, and on and around offshore facilities.
Part 7 deals with screening,
weapons and prohibited items.
Part 8
sets out the powers of officials under this Act. These officials are maritime
security inspectors, security assessment inspectors, duly authorised officers,
law enforcement officers, maritime security guards and screening officers.
Part 9 sets out reporting
obligations in relation to certain maritime transport or offshore facility
security incidents.
Part 10 allows the Secretary to
require security compliance information from maritime industry participants.
Part 11 provides a range of
enforcement mechanisms. These are infringement notices, enforcement orders,
ship enforcement orders, injunctions and a demerit points system.
Part 12 provides for review of
certain decisions by the Administrative Appeals Tribunal.
Part 13 deals with miscellaneous
matters.
Division 3—Application
5Â
Extension to Territories
                  This Act extends to every external
Territory.
6Â
Geographical jurisdiction
            (1) Section 15.2 of the Criminal Code
(extended geographical jurisdiction—category B) applies to an offence
against this Act, other than an offence mentioned in subsection (2).
            (2) Section 15.4 of the Criminal Code
(extended geographical jurisdiction—category D) applies to the following
offences:
                    (a) an offence under subsection 39(1)
or 40(1) by:
                             (i) a person who is given
a direction under section 35 because of the person’s presence on, or
connection with, a security regulated offshore facility; or
                            (ii) the offshore facility
operator or master of a foreign ship regulated as an offshore facility, where
the ship is given a security direction under section 36A;
                    (b) an offence under subsection 100ZL(1),
100ZL(2) or 172(1) by a master of a foreign ship regulated as an offshore
facility;
                    (c) an offence under subsection
120(1), 120(3), 124(1), 127(1), 127(3), 131(1), 143(1), 149(1), 153(3), 154(4),
155(4) or 156(3) where the offence is committed in an offshore security zone;
                    (d) an offence under subsection
121(1), 121(3), 128(1) or 128(3) where the screening point is in, or at the
edge of:
                             (i) an offshore security
zone; or
                            (ii) a foreign ship
regulated as an offshore facility;
                    (e) an offence under subsection
122(1), section 123, subsection 124(1) or 129(1), section 130, or
subsection 131(1), 143(1), 149(1), 153(3) or 156(3) where the offence is
committed on a foreign ship regulated as an offshore facility;
                     (f) an offence under subsection
143(1) in relation to a maritime security inspector exercising, or attempting
to exercise, powers set out in paragraph 140A(2)(e);
                    (g) an offence under subsection 175(1)
or 184(5) by a person failing to report, or give information, in his or her
capacity as an offshore industry participant;
                    (h) an offence under subsection 176(1)
by an employee of an offshore industry participant;
                     (i) an offence under regulations made
under section 109, 113D, 119, 126 or 133 where the offence is committed:
                             (i) in, or at the edge of,
an offshore security zone or a ship security zone declared under
subsection 106(1A); or
                            (ii) on or near a foreign
ship regulated as an offshore facility.
7Â Act
to bind Crown
            (1) This Act binds the Crown in each of its
capacities.
            (2) This Act does not make the Crown in right
of the Commonwealth liable to be prosecuted for an offence.
8Â
Operation of State and Territory laws
                  This Act is not intended to exclude or
limit the operation of a law of a State or Territory to the extent that the law
is capable of operating concurrently with this Act.
9Â Act
not to apply to state ships etc.
            (1) Unless the contrary intention appears,
this Act does not apply to, or in relation to:
                    (a) a warship or other ship operated
for naval, military, customs or law enforcement purposes by Australia or by a
foreign state; or
                    (b) a ship (other than a ship covered
by paragraph (a)) that is:
                             (i) owned, leased or
chartered by, or otherwise in the operational control of, the Commonwealth, a
State or a Territory; and
                            (ii) being used wholly for
non‑commercial activities; or
                    (c) a security regulated port, or a
part of a port, at any time that the port, or the part of the port, is under
the exclusive control of the Australian Defence Force.
            (2) A reference in this Act to a maritime
industry participant does not include a reference to:
                    (a) the Australian Defence Force; or
                    (b) Customs; or
                    (c) an Agency of the Commonwealth
prescribed in the regulations.
            (3) A reference in this Act to an offshore
industry participant does not include a reference to:
                    (a) the Australian Defence Force; or
                    (b) Customs; or
                    (c) an Agency of the Commonwealth
prescribed in the regulations.
Division 4—Definitions
10Â
Definitions
                  In this Act, unless the contrary
intention appears:
acquisition of property has the same meaning
as in paragraph 51(xxxi) of the Constitution.
ADF member means a Member within the meaning
of the Defence Act 1903.
Agency has the same meaning as in the Public
Service Act 1999.
Agency Head has the same meaning as in the Public
Service Act 1999.
AMSA surveyor means a person appointed under
section 190 of the Navigation Act 1912.
approved ISSC equivalent has the meaning
given by subsection 91(3).
Australia, when used in a geographical sense,
includes the external Territories.
Australian ship has the same meaning as in
the Shipping Registration Act 1981.
Australian ship regulated as an offshore facility
has the meaning given by subsection 16(3).
Australian waters means:
                    (a) the territorial sea of Australia;
and
                    (b) the waters of the sea on the
landward side of the territorial sea of Australia; and
                    (c) the territorial sea of each
external Territory; and
                    (d) the waters of the sea on the
landward side of the territorial sea of each external Territory; and
                    (e) inland waters prescribed in
regulations.
baggage means:
                    (a) possessions
of a passenger or crew member:
                             (i) that are carried, or
intended to be carried, on board a ship; and
                            (ii) to which the passenger
or crew member will have general access while on board the ship; and
                    (b) possessions
of a visitor to a ship:
                             (i) that are taken, or
intended to be taken, on board the ship; and
                            (ii) to which the visitor
will have general access while on board the ship; and
                    (c) possessions of a crew member:
                             (i) that are carried, or
intended to be carried, on an offshore facility; and
                            (ii) to which the crew
member will have general access while on the offshore facility; and
                    (d) possessions of a visitor:
                             (i) that are taken, or
intended to be taken, onto an offshore facility; and
                            (ii) to which the visitor
will have general access while on the offshore facility.
cargo means goods, other than baggage or
stores, that are transported, or intended to be transported, by ship.
cargo ship includes a tanker.
Note:Â Â Â Â Â Â Â Â Â A cargo ship may also be a passenger ship.
cleared:
                    (a) in relation to a person, has the
meaning given by subsection 115(3); and
                    (b) in relation to goods, has the
meaning given by subsection 116(3); and
                    (c) in relation to a vehicle, has the
meaning given by subsection 117(3); and
                    (d) in relation to a vessel, has the
meaning given by subsection 118(3).
cleared area means an area that, under
regulations made under Part 6 or 7, may be entered only by persons, goods,
vehicles and vessels that have received clearance.
confidentiality requirements has the meaning
given by subsection 34(2).
continental shelf means the continental shelf
within the meaning of the Seas and Submerged Lands Act 1973.
control direction has the meaning given by
subsection 99(2) or 100ZM(2).
crew:
                    (a) in relation to a ship—includes any
person employed on the ship; and
                    (b) in relation to an offshore
facility—includes any person employed on the facility.
critical installation has the meaning given
by subsection 103(3).
customs officer means an Officer within the
meaning of the Customs Act 1901.
damage, in relation to data, includes damage
by erasure of data or addition of other data.
declaration of security means:
                    (a) an agreement reached between a
ship and another party (a ship or person); or
                    (b) an agreement reached between an
offshore facility operator and another party (a ship or person);
that identifies the security activities or measures that
each party will undertake or implement in specified circumstances.
duly authorised officer means a person
appointed under section 147.
employee, in relation to a maritime industry
participant, means an individual:
                    (a) employed by the maritime industry
participant; or
                    (b) engaged under a contract for
services between the individual and the maritime industry participant.
enforcement action has a meaning affected by
subsection 17D(4).
enforcement order means an order made under
section 189.
engage in conduct has the same meaning as in
the Criminal Code.
exclusive economic zone means the exclusive
economic zone within the meaning of the Seas and Submerged
Lands Act 1973.
Federal Court means the Federal Court of
Australia.
foreign ship means a ship that is not an
Australian ship.
foreign ship regulated as an offshore facility
has the meaning given by subsection 17(3).
FPSO (short for Floating Product, Storage and
Offtake) means a ship that is:
                    (a) constructed or modified to accept
petroleum, directly or indirectly, from a sub‑sea well or pipeline; and
                    (b) capable of storing the petroleum
and delivering it to another ship or pipeline; and
                    (c) capable of modifying the petroleum
while in storage on the ship to suit it for transport or to fit it for the
commercial requirements of consignees; and
                    (d) designed to be disconnected from
its mooring during bad weather, operational emergencies, or for the purposes of
maintenance or survey;
but does not include a facility that is designed to remain
permanently moored for the production life of the related petroleum field.
frisk search has the same meaning as in the Crimes
Act 1914.
FSU (short for Floating Storage Unit) means a
ship that is:
                    (a) constructed or modified to accept
petroleum, directly or indirectly, from a sub‑sea well or pipeline; and
                    (b) capable of storing the petroleum
and delivering it to another ship or pipeline, but which is not capable of
modifying the petroleum while in storage on the ship; and
                    (c) designed to be disconnected from
its mooring during bad weather, operational emergencies, or for the purposes of
maintenance or survey;
but does not include a facility that is designed to remain
permanently moored for the production life of the related petroleum field.
gross tonnage has the same meaning as in the
SOLAS Convention.
immigration officer means an officer within
the meaning of the Migration Act 1958.
inland waters means waters within Australia
other than waters of the sea.
interim ISSC
means:
                    (a) in relation to a security
regulated ship—an interim ISSC given under section 86; and
                    (b) in relation to a ship regulated as
an offshore facility—an interim ISSC given under section 100ZC.
inter‑State voyage has the same meaning
as in the Navigation Act 1912.
ISPS Code means the International Ship and
Port Facility Security (ISPS) Code (as amended from time to time) as mentioned
in Chapter XI‑2 of the SOLAS Convention.
ISPS level 1 measures has the
meaning given by subsection 95(1).
ISPS level 2 measures has the
meaning given by subsection 95(2).
ISPS level 3 measures has the meaning given
by subsection 95(3).
ISSC means an international ship security
certificate within the meaning of the ISPS Code.
ISSC verified:
                    (a) in relation to a security
regulated ship—has the meaning given by subsections 83(1) and (3); and
                    (b) in relation to a ship regulated as
an offshore facility—has the meaning given by subsections 100Z(1) and (3).
just terms has the same meaning as in
paragraph 51(xxxi) of the Constitution.
law enforcement officer has the meaning given
by section 151.
maritime industry participant means:
                    (a) a port operator; or
                    (b) a port facility operator; or
                    (c) the ship operator for a regulated
Australian ship; or
                    (d) the ship operator for a regulated
foreign ship; or
                   (da) an offshore industry participant;
or
                     (f) a contractor who provides
services to a person mentioned in paragraphs (a) to (d); or
                    (g) a
person who:
                             (i) conducts
a maritime‑related enterprise; and
                            (ii) is prescribed in the
regulations.
Note:Â Â Â Â Â Â Â Â Â Neither the Australian Defence Force nor Customs
can be a maritime industry participant. The regulations may also exclude other
Commonwealth Agencies from being maritime industry participants: see subsection
9(2).
maritime security guard has the meaning given
by subsection 162(1).
maritime security inspector means a person
appointed under subsection 136(1).
maritime security level means:
                    (a) maritime security level 1; or
                    (b) maritime security level 2; or
                    (c) maritime security level 3.
maritime security level 1 means the maritime
security level in force under section 21.
maritime security level 2 means maritime
security level 2 as in force under section 23.
maritime security level 3 means maritime
security level 3 as in force under section 23.
maritime security outcomes has the meaning
given by subsection 3(4).
maritime security plan means a plan prepared
for the purposes of Part 3.
maritime security zone
means:
                    (a) a port security zone; or
                    (b) a ship security zone; or
                    (c) an on‑board security zone;
or
                    (d) an offshore security zone.
maritime transport or offshore facility security
incident has the meaning given by subsections 170(1) and (2).
master, in relation to a ship, means the
person who has command or charge of the ship.
mobile offshore drilling unit means a vessel
capable of engaging in drilling operations for the purposes of exploring or
exploiting resources beneath the seabed.
national security has the same meaning as in
the National Security Information (Criminal and Civil Proceedings) Act 2004.
offshore area has the meaning given by
subsection 17A(7).
offshore facility has the meaning given by
section 17A.
offshore facility operator has the meaning
given by section 17C.
offshore industry participant means:
                    (a) an offshore facility operator; or
                    (b) a contractor who provides services
to an offshore facility operator; or
                    (c) a person who:
                             (i) conducts an enterprise
connected with a security regulated offshore facility; and
                            (ii) is prescribed in the
regulations.
Note:Â Â Â Â Â Â Â Â Â Neither the Australian Defence Force nor Customs
can be an offshore industry participant. The regulations may also exclude other
Commonwealth Agencies from being offshore industry participants: see subsection
9(3).
offshore security plan means a plan prepared
for the purposes of Part 5A.
offshore security zone means an offshore
security zone established under subsection 113A(1).
on‑board security zone means an on‑board
security zone established under subsection 110(1).
operational area:
                    (a) in relation to a security
regulated ship—has the meaning given by subsection 140(5); and
                    (b) in relation to a security
regulated offshore facility—has the meaning given by subsection 140B(5).
ordinary search has the same meaning as in
the Crimes Act 1914.
overseas voyage has the same meaning as in
the Navigation Act 1912.
passenger:
                    (a) means a passenger travelling by
maritime transport; and
                    (b) includes an intending passenger.
passenger ship means a ship that carries more
than 12 passengers.
Note:Â Â Â Â Â Â Â Â Â A passenger ship may also be a cargo ship.
person with incident reporting
responsibilities has the meaning given by subsection 175(4).
petroleum has the same meaning as in the Offshore
Petroleum and Greenhouse Gas Storage Act 2006.
port has the meaning given by section 12.
port facility means an area of land or water,
or land and water, within a security regulated port (including any buildings,
installations or equipment in or on the area) used either wholly or partly in connection
with the loading or unloading of security regulated ships.
port facility operator means a person who
operates a port facility.
port operator has the meaning given by
subsection 14(1).
port security zone means a port security zone
established under subsection 102(1).
pre‑arrival information has the meaning
given by subsection 92(3).
private living area:
                    (a) in relation to a security
regulated ship—has the meaning given by subsection 140(4); and
                    (b) in relation to a security
regulated offshore facility—has the meaning given by subsection 140B(4).
prohibited item
means an item that:
                    (a) could
be used for unlawful interference with maritime transport or offshore
facilities; and
                    (b) is prescribed in the regulations
for the purposes of this definition.
quarantine officer means an Officer within
the meaning of the Quarantine Act 1908.
receive clearance:
                    (a) in relation to a person, has the
meaning given by subsection 115(2); and
                    (b) in relation to goods, has the
meaning given by subsection 116(2); and
                    (c) in relation to a vehicle, has the
meaning given by subsection 117(2); and
                    (d) in relation to a vessel, has the
meaning given by subsection 118(2).
recognised security organisation has the
meaning given by subsection 88(2).
regulated Australian ship has the meaning
given by section 16.
regulated foreign ship has the meaning given
by section 17.
screened:
                    (a) in relation to a person, has the
meaning given by subsection 115(1); and
                    (b) in relation to goods, has the
meaning given by subsection 116(1); and
                    (c) in relation to a vehicle, has the
meaning given by subsection 117(1); and
                    (d) in relation to a vessel, has the
meaning given by subsection 118(1).
screening officer has the meaning given by
subsection 165(1).
screening point means a place where screening
occurs.
Secretary means the Secretary of the
Department.
security assessment inspector means a person
appointed under subsection 145D(1).
security compliance information has the
meaning given by subsection 184(1).
security direction has the meaning given by
subsection 33(2).
security officer means a person designated by
a maritime industry participant to implement and maintain:
                    (a) the participant’s maritime
security plan; or
                    (b) the ship security plan for a ship
operated by the participant; or
                    (c) the participant’s offshore
security plan.
security regulated offshore facility has the
meaning given by section 17B.
security regulated port has the meaning given
by subsection 13(1).
security regulated ship has the meaning given
by section 15.
ship means a vessel that is capable of
navigating the high seas but does not include a vessel that is not self‑propelled.
ship enforcement order has the meaning given
by subsection 195(2).
ship operator means:
                    (a) unless paragraph (b)
applies—the owner of a security regulated ship; or
                    (b) if, under an agreement between the
owner of the security regulated ship and another person, the other person is to
be the ship operator for the security regulated ship for the purposes of this
Act—that other person.
Note:Â Â Â Â Â Â Â Â Â Paragraph (b) means that a ship manager
or bareboat charterer (or any other person) who has assumed responsibility for
the operation of a ship, can, on assuming such responsibility, also agree to
take over responsibility for meeting the obligations that are imposed on the
ship operator for the ship under this Act.
ship regulated as an offshore facility means
each of the following:
                    (a) an Australian ship regulated as an
offshore facility;
                    (b) a foreign ship regulated as an
offshore facility.
ship security plan means a plan prepared for
the purposes of Part 4.
ship security record, in relation to a
particular kind of security regulated ship or ship regulated as an offshore
facility, means a document or information relating to maritime security
prescribed in regulations as a document or information to be kept on, by or for
a ship of that kind.
ship security zone means a ship security zone
declared under subsection 106(1) or (1A).
SOLAS Convention means the International
Convention for the Safety of Life at Sea, done at London on 1 November 1974, as amended from time to time.
Note:Â Â Â Â Â Â Â Â Â The text of the Convention is set out in
Australian Treaty Series 1983 No. 22. In 2003 this was available in the
Australian Treaties Library of the Department of Foreign Affairs and Trade,
accessible through that Department’s website.
stores means:
                    (a) items that are to be carried on
board a ship for use, sale or consumption on the ship; and
                    (b) items that are to be carried on an
offshore facility for use, sale or consumption on the facility.
territorial sea has the same meaning as in
the Seas and Submerged Lands Act 1973.
terrorist act has the same meaning as in Part 5.3
of the Criminal Code.
this Act includes the regulations.
threaten: a person is taken to threaten
to do an act if the person makes a statement, or does anything else, showing,
or from which it could reasonably be inferred, that it is his or her intention
to do the act.
unlawful interference with maritime transport or
offshore facilities has the meaning given by section 11.
valid ISSC, for a ship at a particular time,
means an ISSC for the ship that is in force at that time.
vessel means any craft or structure capable
of navigation.
weapon means:
                    (a) a firearm of any kind; or
                    (b) a
thing prescribed by the regulations to be a weapon; or
                    (c) a
device that, except for the absence of, or a defect in, a part of the device,
would be a weapon of a kind mentioned in paragraph (a) or (b); or
                    (d) a
device that is reasonably capable of being converted into a weapon of a kind
mentioned in paragraph (a) or (b).
Division 5—Unlawful interference with maritime transport or offshore
facilities
11Â
Meaning of unlawful interference with maritime transport or offshore
facilities
            (1) Any of the following done without lawful
authority is an unlawful interference with maritime transport or offshore
facilities:
                    (a) committing an act, or causing any
interference or damage, that puts the safe operation of a port, or the safety
of any person or property at the port, at risk;
                   (aa) committing an act, or causing any
interference or damage, that puts the safe operation of an offshore facility,
or the safety of any person or property at the offshore facility, at risk;
                    (b) taking control of a ship or
offshore facility by force, or threat of force, or any other form of
intimidation;
                    (c) destroying a ship that is being
used for maritime transport;
                   (ca) destroying an offshore facility;
                    (d) causing damage to a ship that is
being used for maritime transport that puts the safety of the ship, or any
person or property on board or off the ship, at risk;
                    (e) doing anything on board a ship
that is being used for maritime transport that puts the safety of the ship, or
any person or property on board or off the ship, at risk;
                     (f) placing, or causing to be placed,
on board a ship that is being used for maritime transport anything that puts
the safety of the ship, or any person or property on board or off the ship, at
risk;
                    (g) putting the safety of ships at
risk by interfering with, damaging or destroying navigational aids,
communication systems or security systems;
                    (h) putting the safety of ships at
risk by communicating false information.
            (2) However, unlawful interference with
maritime transport or offshore facilities does not include lawful
advocacy, protest, dissent or industrial action that does not result in, or
contribute to, an action of a kind mentioned in paragraphs (1)(a) to (h).
Division 6—Security regulated ports and port operators
12Â
Meaning of port
            (1) A port is an area of water,
or land and water (including any buildings, installations or equipment situated
in or on that land or water) intended for use either wholly or partly in
connection with the movement, loading, unloading, maintenance or provisioning
of ships.
            (2) A port includes:
                    (a) areas of water, between the land
of the port and the open waters outside the port, intended for use by ships to
gain access to loading, unloading or other land‑based facilities; and
                    (b) areas of open water intended for
anchoring or otherwise holding ships before they enter areas of water described
in paragraph (a); and
                    (c) areas of open water between the
areas of water described in paragraphs (a) and (b).
13Â
Security regulated ports
            (1) The Secretary may, by notice published in
the Gazette, declare that areas of a port intended for use either wholly
or partly in connection with the movement, loading, unloading, maintenance or
provisioning of security regulated ships comprise a security regulated
port.
            (2) The notice must include a map of the port
that shows the boundaries of the security regulated port.
            (3) An area controlled exclusively by the
Australian Defence Force must not be included as part of a security regulated
port.
14Â
Port operators
            (1) The Secretary may, by notice published in
the Gazette, designate a person as the port operator for a
security regulated port.
            (2) In designating a person as a port
operator, the Secretary must take into account:
                    (a) the ability of the person to
undertake the functions of a port operator; and
                    (b) the physical and operational
features of the port; and
                    (c) the views of the person, or
persons, responsible for managing the operations of the port.
Division 7—Security regulated ships
15Â
Meaning of security regulated ship
            (1) Each of the following is a security
regulated ship:
                    (a) a regulated Australian ship;
                    (b) a regulated foreign ship.
Note:Â Â Â Â Â Â Â Â Â Certain government‑controlled ships
(both Australian and foreign) are exempt from the operation of this Act: see
section 9.
            (2) The regulations may prescribe different
categories of security regulated ships.
Note:Â Â Â Â Â Â Â Â Â Regulations under this Act may make different
provision with respect to different categories of security regulated ships: see
subsection 33(3A) of the Acts Interpretation Act 1901.
16Â
Meaning of regulated Australian ship
            (1) A ship is a regulated Australian
ship if the ship is an Australian ship that is:
                    (a) a passenger ship that is used for
overseas or inter‑State voyages; or
                    (b) a cargo ship of 500 gross tonnage
or more that is used for overseas or inter‑State voyages; or
                    (c) a mobile offshore drilling unit
that is on an overseas or inter‑State voyage (other than a unit that is
attached to the seabed); or
                    (d) a ship of a kind prescribed in the
regulations.
            (2) However, the following ships are not regulated
Australian ships:
                    (a) an Australian ship regulated as an
offshore facility;
                    (b) a ship of a kind prescribed by the
regulations.
            (3) In this Act, an Australian ship
regulated as an offshore facility means a FPSO or FSU that is:
                    (a) an Australian ship; and
                    (b) either a security regulated
offshore facility or part of a security regulated offshore facility.
Note:Â Â Â Â Â Â Â Â Â A FPSO or FSU is both a ship and an offshore
facility. As it is an offshore facility, the Secretary may declare it to be a
security regulated offshore facility. If this happens, the ship ceases to be a
security regulated ship.
17Â
Meaning of regulated foreign ship
            (1) A ship is
a regulated foreign ship if the ship:
                    (a) is a foreign ship; and
                    (b) is one of the following:
                             (i) a passenger ship;
                            (ii) a cargo ship of 500
gross tonnage or more;
                           (iii) a mobile offshore
drilling unit (other than a unit that is attached to the seabed);
                           (iv) a ship of a kind
prescribed in the regulations; and
                    (c) is in Australian waters; and
                    (d) is in, or is intending to proceed
to, a port in Australia.
            (2) However, the following ships are not regulated
foreign ships:
                    (a) a foreign ship regulated as an
offshore facility;
                    (b) a ship of a kind prescribed by the
regulations.
            (3) In this Act, a foreign ship
regulated as an offshore facility means a FPSO or FSU that is:
                    (a) a foreign ship; and
                    (b) either a security regulated
offshore facility or part of a security regulated offshore facility.
Note:Â Â Â Â Â Â Â Â Â A FPSO or FSU is both a ship and an offshore
facility. As it is an offshore facility, the Secretary may declare it to be a
security regulated offshore facility. If this happens, the ship ceases to be a
security regulated ship.
Division 7A—Security regulated offshore facilities and offshore facility
operators
17AÂ Meaning
of offshore facility
            (1) An offshore facility is a
facility, located in an offshore area, that is used in the extraction of
petroleum from the seabed or its subsoil with equipment on, or forming part of,
the facility, and includes:
                    (a) any structure, located in the
offshore area, used in operations or activities associated with, or incidental
to, activities of that kind; and
                    (b) any vessel, located in the
offshore area, used in operations or activities associated with, or incidental
to, activities of that kind.
            (2) A FPSO located in an offshore area is an offshore
facility.
            (3) A FSU located in an offshore area is an offshore
facility.
Note:Â Â Â Â Â Â Â Â Â A FPSO or FSU is both a ship and an offshore
facility. As it is an offshore facility, the Secretary may declare it to be a
security regulated offshore facility. If this happens, the ship ceases to be a
security regulated ship.
            (4) However, a ship is not an offshore
facility, and does not form part of an offshore facility, if it is:
                    (a) an offtake tanker; or
                    (b) a tug or an anchor handler; or
                    (c) a ship used to supply an
offshore facility, or otherwise travel between an offshore facility and the
shore.
            (5) An offshore facility does
not include any pipeline that is beneath the low water mark.
            (6) A mobile offshore drilling unit is not an
offshore facility, and does not form part of an offshore
facility.
            (7) In this Act, an offshore area
is an area in:
                    (a) Australian waters; or
                    (b) the exclusive economic zone of Australia
(including its external Territories); or
                    (c) the sea over the continental shelf
of Australia (including its external Territories).
17BÂ
Security regulated offshore facilities
            (1) The Secretary may, by notice published in
the Gazette, declare that any of the following is a security
regulated offshore facility:
                    (a) an offshore facility;
                    (b) a part of an offshore facility;
                    (c) a group of offshore facilities;
                    (d) a part of a group of offshore
facilities.
            (2) The notice must include information on
the location and boundaries of the security regulated offshore facility of the
kind and in the form prescribed by the regulations.
17CÂ
Offshore facility operators
            (1) The Secretary may, in writing, designate
a person as the offshore facility operator for a security
regulated offshore facility.
            (2) In designating a person as an offshore
facility operator, the Secretary must take into account:
                    (a) the ability of the person to
undertake the functions of an offshore facility operator; and
                    (b) the physical and operational
features of the facility; and
                    (c) the views of the person, or
persons, responsible for managing the operations of the facility; and
                    (d) whether the person is the operator
in relation to the facility for the purposes of Schedule 3 to the Offshore
Petroleum and Greenhouse Gas Storage Act 2006.
Division 7B—Offences and enforcement action in relation to non‑regulated
foreign ships
17DÂ
Persons travelling on non‑regulated foreign ships
            (1) This section applies to a person
travelling (whether as a passenger or crew) on a foreign ship that is neither a
regulated foreign ship, nor a foreign ship regulated as an offshore facility.
            (2) No offence is committed by the person
under this Act unless, at the time of the alleged offence:
                    (a) the person is involved in some
activity in relation to a security regulated offshore facility; or
                    (b) the ship is involved in some
activity in relation to a security regulated offshore facility, or is in
Australian waters.
            (3) No enforcement action may be taken
against the person unless, at the time of the alleged incident giving rise to
the enforcement action:
                    (a) the person is involved in some
activity in relation to a security regulated offshore facility; or
                    (b) the ship is involved in some
activity in relation to a security regulated offshore facility, or is in
Australian waters.
            (4) In this Act, an enforcement action
includes:
                    (a) action by a maritime security
inspector, a duly authorised officer, a law enforcement officer, a maritime
security guard or a screening officer under Part 8; and
                    (b) issuing an infringement notice
under regulations made under section 187; and
                    (c) making an enforcement order under
Division 3 of Part 11; and
                    (d) granting an injunction under
Division 5 of Part 11.
17EÂ
Enforcement action against non‑regulated ships
            (1) This section applies to a foreign ship
that is neither a regulated foreign ship, nor a foreign ship regulated as an
offshore facility.
            (2) No enforcement action may be taken
against the ship unless, at the time of the alleged incident giving rise to the
enforcement action, the ship is involved in some activity in relation to a
security regulated offshore facility, or is in Australian waters.
Division 8—General defences
18Â
General defences
Ship master’s decisions
            (1) A person does not commit an offence against
this Act if:
                    (a) a physical element of the offence
exists (whether directly or indirectly) because the master of a ship engaged in
conduct in the operation or control of the ship; and
                    (b) without the existence of that
physical element the person would not commit the offence; and
                    (c) the master engaged in the conduct
to protect the safety or security of:
                             (i) the ship; or
                            (ii) the ship’s cargo; or
                           (iii) a person (whether on
board the ship or not); or
                           (iv) another ship; or
                            (v) a port, or a port facility
or other installation within a port; or
                           (vi) an offshore facility;
and
                    (d) the conduct was reasonable in the
circumstances.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matters in subsection (1) (see subsection 13.3(3) of the Criminal
Code).
Security directions
            (2) If:
                    (a) a person is required to comply
with a security direction; and
                    (b) compliance with the direction
would mean that the person commits an offence against, or otherwise contravenes
a requirement of, this Act;
the person, in complying with the security direction, is
taken not to have committed the offence or contravened the requirement.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matters in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
Control directions
            (3) If:
                    (a) a person is required to comply
with a control direction; and
                    (b) compliance with the direction
would mean that the person commits an offence against, or otherwise contravenes
a requirement of, this Act;
the person, in complying with the control direction, is
taken not to have committed the offence or contravened the requirement.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matters in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
Division 9—Communicating with ship operators
19Â
Communicating with ship operators
                  For the purposes of this Act, a person
may give a notice or direction to, or otherwise communicate with, a ship
operator for a ship by giving the notice or direction to, or communicating
with, the shipping agent for the ship.
Part 2—Maritime security levels and security directions
Division 1—Simplified overview of Part
20Â
Simplified overview of Part
Maritime security level 1 is in force
for each security regulated port, each maritime industry participant, each
regulated Australian ship and each security regulated offshore facility unless
the Secretary declares that maritime security level 2 or 3 is in force for the
port, participant, ship or facility.
If maritime security level 2 or 3 is
in force for a port, that maritime security level is in force for every
maritime industry participant, security regulated ship, ship regulated as an
offshore facility and security regulated offshore facility within the port.
The Secretary may also declare that
maritime security level 2 or 3 is in force for a regulated foreign ship. A
regulated foreign ship may also be directed by its flag state to operate at a
higher security level.
A foreign ship regulated as an
offshore facility may also be directed by its flag state to operate at a higher
security level.
If maritime security level 2 or 3 is
in force for a security regulated offshore facility, that maritime security
level is in force for:
              (a)    every
maritime industry participant within the facility; and
              (b)    every
security regulated ship in the vicinity of the facility that is engaged in
activity in relation to the facility, and for which a lower security level was
in force.
Division 3 sets out requirements
for notifying maritime security level declarations.
In special circumstances the Secretary
is able to give security directions to maritime industry participants,
employees of such participants, passengers and persons within the boundaries of
a security regulated port or security regulated offshore facility. Security
directions may include confidentiality requirements.
Division 2—Maritime security levels 1, 2 and 3
21Â
Default security level—maritime security level 1
                  Unless a declaration under subsection
22(1) provides otherwise, maritime security level 1 is in force for each:
                    (a) security regulated port; and
                    (b) regulated Australian ship; and
                   (ba) security regulated offshore
facility; and
                    (c) area within a security regulated
port; and
                    (d) maritime industry participant.
Note:Â Â Â Â Â Â Â Â Â For obligations on foreign ships, see Division 2
of Part 5.
22Â
Secretary may declare maritime security level 2 or 3
            (1) The Secretary may, by writing, declare
that maritime security level 2 or maritime security level 3 is in force for one
or more of the following as specified in the declaration:
                    (a) a security regulated port;
                    (b) a regulated Australian ship;
                   (ba) a security regulated offshore
facility;
                    (c) an area within a security
regulated port;
                    (d) a maritime industry participant;
                    (e) operations conducted by a maritime
industry participant within, or in connection with, a security regulated port
or a security regulated offshore facility.
            (2) The Secretary may also, by writing,
declare that maritime security level 2 or maritime security level 3 is in force
for a regulated foreign ship.
            (3) However, the Secretary must not make a
declaration under subsection (1) or (2) unless it is appropriate for a
higher level of security to be put into place for the port, ship, facility, area
or participant concerned because a heightened risk to maritime transport or
offshore facilities has been identified.
            (4) If:
                    (a) a foreign ship regulated as an
offshore facility is registered in another country (the flag state);
and
                    (b) the ship is directed by the flag
state to implement a higher level of security than would otherwise apply under
this Division;
then:
                    (c) that higher security level is
taken to have been declared by the Secretary under subsection (1) to be in
force for the ship; and
                    (d) the declaration is taken to have
been made on the day on which the direction is given; and
                    (e) that higher security level is in
force for the ship until it ceases to be in force under the law of the flag
state; and
                     (f) if the ship is part of a security
regulated offshore facility—the security level of the remainder of the facility
is not affected.
Note:Â Â Â Â Â Â Â Â Â Maritime security plans, ship security plans
and offshore security plans (see Parts 3, 4 and 5A) will set out security
activities and measures to be undertaken or implemented when different maritime
security levels are in force.
            (5) A declaration under subsection (1)
that a maritime security level is in force for a regulated Australian ship may
specify that the level is only in force for the ship while it is in specified
waters.
23Â
When a maritime security level is in force
            (1) If a declaration is made under subsection
22(1) or (2), the maritime security level declared in the declaration is in
force for the port, facility, area, participant, operation or regulated foreign
ship covered by the declaration until either of the following occurs:
                    (a) the period (if any) specified in
the declaration expires;
                    (b) the declaration is revoked, in
writing, by the Secretary.
            (2) If a declaration is made under subsection
22(1) for a regulated Australian ship, and the declaration does not limit the
waters in which the security level is in force in reliance on subsection 22(5),
the maritime security level declared in the declaration is in force for the
ship until either of the following occurs:
                    (a) the period (if any) specified in
the declaration expires;
                    (b) the declaration is revoked, in
writing, by the Secretary.
            (3) If a declaration is made under subsection
22(1) for a regulated Australian ship, and the declaration limits the waters in
which the security level is in force in reliance on subsection 22(5), then
unless:
                    (a) the period (if any) specified in
the declaration expires; or
                    (b) the declaration is revoked, in
writing, by the Secretary;
the maritime security level declared in the declaration is
in force for the ship while it is in those waters.
24Â
Maritime security level declaration for a port covers all port operations
                  If the Secretary declares that a
maritime security level is in force for a security regulated port, that
maritime security level is in force for:
                    (a) every area; and
                    (b) every security regulated ship; and
                    (c) every ship regulated as an
offshore facility; and
                    (d) every security regulated offshore
facility; and
                    (e) any operations conducted by a
maritime industry participant;
within the boundaries of the security regulated port.
24AÂ
Maritime security level declaration for an offshore facility covers ships and
operations in the vicinity
                  If the Secretary declares that a
maritime security level is in force for a security regulated offshore facility,
that maritime security level is in force for:
                    (a) every security regulated ship:
                             (i) in the vicinity of the
facility that is engaged in any activity in relation to the facility; and
                            (ii) for which (but for
this section) a lower maritime security level is in force; and
                    (b) any operations conducted by a
maritime industry participant within the boundaries of the facility.
25Â
Security levels and complying with plans
Maritime security plans
            (1) For the purposes of subsection 44(1), if:
                    (a) a maritime industry participant is
required to comply with a maritime security plan; and
                    (b) the Secretary makes a declaration
under subsection 22(1); and
                    (c) the effect of the declaration is
that maritime security level 2 or 3 is in force for:
                             (i) the participant; or
                            (ii) an area controlled by
the participant; or
                           (iii) particular operations
of the participant;
the participant does not comply with the plan unless the
participant implements the measures set out in the plan for the participant,
area or operations, as required, for that maritime security level.
Ship security plans
            (2) For the purposes of subsection 63(1), if:
                    (a) a ship security plan is in force
for a regulated Australian ship; and
                    (b) the Secretary makes a declaration
under subsection 22(1); and
                    (c) the effect of the declaration is
that maritime security level 2 or 3 is in force for the ship;
the ship security plan for the ship is not complied with
unless the measures set out in the plan for that maritime security level are
implemented.
Note:Â Â Â Â Â Â Â Â Â Obligations on regulated foreign ships to
comply with security levels are set out in section 94.
Offshore security plans
            (3) For the purposes of subsection 100D(1),
if:
                    (a) an offshore industry participant
is required to comply with an offshore security plan; and
                    (b) the Secretary makes a declaration
under subsection 22(1) or is taken to have made such a declaration because of
subsection 22(4); and
                    (c) the effect of the declaration is
that maritime security level 2 or 3 is in force for:
                             (i) the participant; or
                            (ii) particular operations
of the participant;
the participant does not comply with the plan unless the
participant implements the measures set out in the plan for the participant or
operations, as required, for that maritime security level.
26Â
Maritime security level 1, 2 or 3 applies with security directions
                  To avoid doubt, if maritime security
level 1, 2 or 3 (the existing security level) is in force for:
                    (a) a security regulated port; or
                    (b) a regulated Australian ship; or
                   (ba) a ship regulated as an offshore
facility; or
                   (bb) a security regulated offshore
facility; or
                    (c) an area within a security
regulated port; or
                    (d) a maritime industry participant;
or
                    (e) the operations of a maritime
industry participant;
and a security direction is given to, or in relation to,
the port, ship, facility, area, participant or operation, the existing security
level continues in force.
Division 3—Notifying maritime security level 2 and 3 declarations and
revocations
27Â Notifying
declarations covering security regulated ports
            (1) If the Secretary declares that a maritime
security level is in force for a security regulated port, the Secretary must,
as soon as practicable, notify:
                    (a) the port operator; and
                    (b) each maritime industry participant
who is required to have a maritime security plan and who:
                             (i) controls an area
within the boundaries of the security regulated port; or
                            (ii) operates within the
boundaries of the security regulated port; and
                    (c) each offshore industry participant
who is required to have an offshore security plan and who operates within the
boundaries of the security regulated port.
            (2) If the Secretary gives a port operator
notice of a declaration under subsection (1), the port operator must, as
soon as practicable, give notice of the declaration to:
                    (a) every maritime industry
participant who is covered by the port operator’s maritime security plan and
who:
                             (i) controls an area
within the boundaries of the security regulated port; or
                            (ii) operates within the
boundaries of the security regulated port; and
                    (b) the master of every security
regulated ship that is within the port or about to enter the port.
Penalty:Â 10 penalty units
            (3) Subsection (2) does not apply if the
port operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
            (4) Subsection (2) is an offence of
strict liability.
28Â
Notifying declarations covering security regulated ships
                  If the Secretary declares that:
                    (a) a maritime security level is in
force for a regulated Australian ship; or
                    (b) a maritime security level is in
force for a regulated Australian ship while it is in specified waters; or
                    (c) a maritime security level is in
force for a regulated foreign ship;
the Secretary must, as soon as practicable, notify the
ship operator for the ship, or the master of the ship.
28AÂ
Notifying declarations covering security regulated offshore facilities
            (1) If the Secretary declares that a maritime
security level is in force for a security regulated offshore facility (and the
declaration is not one that, under subsection 22(4), is taken to have been
made), the Secretary must, as soon as practicable, notify:
                    (a) the offshore facility operator;
and
                    (b) each offshore industry participant
who is required to have an offshore security plan and who operates within the
boundaries of the security regulated offshore facility.
            (2) If the Secretary gives an offshore
facility operator notice of a declaration under subsection (1), the
operator must, as soon as practicable, give notice of the declaration to:
                    (a) every offshore industry
participant who is covered by the operator’s offshore security plan and who
operates within the boundaries of the facility; and
                    (b) the ship operator or master of
every security regulated ship located in the vicinity of the facility that is
engaged in any activity in relation to the facility; and
                    (c) where the security regulated
offshore facility, or part of the facility, is a ship regulated as an offshore
facility—the master of the ship.
Penalty:Â 10 penalty units.
            (3) Subsection (2) does not apply if the
offshore facility operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
            (4) Subsection (2) is an offence of
strict liability.
29Â
Notifying declarations covering areas within security regulated ports
                  If the Secretary declares that a maritime
security level is in force for an area within a security regulated port, the
Secretary must, as soon as practicable, notify:
                    (a) the maritime industry participant
who controls the area; and
                    (b) if the maritime industry
participant is not the port operator—the port operator.
30Â
Notifying declarations covering maritime industry participants
                  If the Secretary declares that a
maritime security level is in force for a maritime industry participant or for
particular operations of an industry participant, the Secretary must, as soon
as practicable, notify:
                    (a) the maritime industry participant;
and
                    (b) if the maritime industry
participant conducts operations covered by the declaration within a security
regulated port and is not the port operator—the port operator; and
                    (c) if the maritime industry
participant conducts operations covered by the declaration within a security
regulated offshore facility and is not the offshore facility operator—the
offshore facility operator.
31Â
Notifying revocations
Secretary must notify of revocations
            (1) If:
                    (a) the Secretary has notified a
person under section 27, 28, 28A, 29 or 30 that a maritime security level
is in force; and
                    (b) the Secretary revokes the
declaration concerned;
the Secretary must, as soon as practicable, notify the
person of the revocation.
When port operators must then notify others
            (2) If:
                    (a) a port operator has notified a
person under subsection 27(2) that a maritime security level is in force; and
                    (b) the Secretary revokes the
declaration concerned;
the port operator must, as soon as practicable, notify the
person of the revocation.
Penalty:Â 10 penalty units
            (3) Subsection (2) does not apply if the
port operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in relation
to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
            (4) Subsection (2) is an offence of
strict liability.
When offshore facility operators must then notify
others
            (5) If:
                    (a) an offshore facility operator has
notified a person under subsection 28A(2) that a maritime security level is in
force; and
                    (b) the Secretary revokes the
declaration concerned;
the offshore facility operator must, as soon as
practicable, notify the person of the revocation.
Penalty:Â 10 penalty units.
            (6) Subsection (5) does not apply if the
offshore facility operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (6) (see subsection 13.3(3) of the Criminal
Code).
            (7) Subsection (5) is an offence of
strict liability.
32Â
Requirements for giving notice
                  The regulations may prescribe
requirements in relation to notifying declarations, and revocations of
declarations, under this Division.
Division 4—Security directions
33Â
Secretary may give security directions
            (1) The Secretary may direct that additional
security measures be implemented or complied with.
            (2) A direction under subsection (1) is
a security direction.
            (3) The Secretary must not give a security
direction unless it is appropriate to do so because an unlawful interference
with maritime transport or offshore facilities is probable or imminent.
            (4) A security direction has no effect until
the Secretary commits the direction to writing.
Note:Â Â Â Â Â Â Â Â Â This requires the Secretary to have a written
record of a direction that is given orally.
            (5) The regulations may prescribe
requirements for, or in relation to, the giving of security directions.
34Â
Confidentiality requirements
            (1) A security direction may include
restrictions in relation to the disclosure of the direction.
            (2) Such restrictions are confidentiality
requirements.
35Â
Persons to whom security directions may be given
Persons to whom Secretary may give security directions
            (1) A security direction may be given by the
Secretary to one or more of the following:
                    (a) a maritime industry participant or
an employee of a maritime industry participant;
                    (b) passengers;
                    (c) persons, other than persons
mentioned in paragraphs (a) and (b), who are within the boundaries of a
security regulated port;
                    (d) persons, other than persons
mentioned in paragraphs (a) and (b), who are within the boundaries of a
security regulated offshore facility.
            (2) For the purposes of giving a security
direction to persons mentioned in paragraph (1)(b), (c) or (d), the
Secretary is taken to have given a direction to the persons if the direction is
clearly displayed at a place where the direction is to be complied with by
those persons.
Port operator may be required to communicate security
directions
            (3) The Secretary may, in a security
direction given to the port operator for a security regulated port, require the
port operator to communicate all or a part of the direction to specified
maritime industry participants who operate within the port.
            (4) If the Secretary gives a port operator a
direction under subsection (1) that requires the port operator to
communicate all or a part of the direction to specified maritime industry
participants who operate within the port, the port operator must, as soon as
practicable, communicate the direction, or the part of the direction, to the
specified maritime industry participants.
Penalty:Â 50 penalty units
            (5) Subsection (4) does not apply if the
port operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (5) (see subsection 13.3(3) of the Criminal
Code).
            (6) Subsection (4) is an offence of
strict liability.
            (7) If a direction is given to a maritime
industry participant by a port operator as mentioned in subsection (3),
the direction is taken to have been given to the participant by the Secretary.
Offshore facility operator may be required to
communicate security directions
            (8) The Secretary may, in a security
direction given to the offshore facility operator for a security regulated
offshore facility, require the operator to communicate all or a part of the
direction to specified maritime industry participants:
                    (a) who are on board a security
regulated ship that is in the vicinity of the facility and that is engaged in
any activity in relation to the facility; or
                    (b) who operate within the facility.
            (9) If the Secretary gives an offshore
facility operator a direction under subsection (8) that requires the
operator to communicate all or a part of the direction to specified maritime
industry participants, the operator must, as soon as practicable, communicate
the direction, or the part of the direction, to the specified maritime industry
participants.
Penalty:Â 50 penalty units.
          (10) Subsection (9) does not apply if the
offshore facility operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (10) (see subsection 13.3(3) of the Criminal
Code).
          (11) Subsection (9) is an offence of
strict liability.
          (12) If a direction is given to a maritime
industry participant by an offshore facility operator as mentioned in subsection (8),
the direction is taken to have been given to the participant by the Secretary.
36Â
Secretary may give security directions to security regulated ships
            (1) The Secretary may give a security
direction to a security regulated ship by giving the direction to:
                    (a) the ship operator for the ship; or
                    (b) the master of the ship.
            (2) If the Secretary gives a ship operator a
direction under subsection (1), the ship operator must, as soon as
practicable, communicate the direction to the master of the ship covered by the
direction.
Penalty:Â 50 penalty units
            (3) Subsection (2) does not apply if the
ship operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
            (4) Subsection (2) is an offence of
strict liability.
            (5) If a direction is given to a master by a
ship operator as mentioned in subsection (2), the direction is taken to
have been given to the master by the Secretary.
36AÂ
Secretary may give security directions to ships regulated as offshore
facilities
            (1) The Secretary may give a security
direction to a ship regulated as an offshore facility by giving the direction
to:
                    (a) the offshore facility operator for
the ship; or
                    (b) the master of the ship.
            (2) If the Secretary gives an offshore
facility operator a direction under subsection (1), the offshore facility
operator must, as soon as practicable, communicate the direction to the master
of the ship covered by the direction.
Penalty:Â 50 penalty units.
            (3) Subsection (2) does not apply if the
offshore facility operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
            (4) Subsection (2) is an offence of
strict liability.
            (5) If a direction is given to a master by an
offshore facility operator as mentioned in subsection (2), the direction
is taken to have been given to the master by the Secretary.
37Â
When a security direction is in force
            (1) A security direction comes into force at
the time specified in the direction.
            (2) However:
                    (a) if:
                             (i) there is no time
specified; or
                            (ii) the specified time is
before the time when the direction is given;
                           the direction comes into force
24 hours after it is given; or
                    (b) if the specified time is later
than the beginning of the seventh day after the direction is given, the
direction comes into force at the start of that day.
            (3) A security direction remains in force
until either of the following occurs:
                    (a) the direction is revoked in
writing by the Secretary;
                    (b) the direction has been in force
for a continuous period of 3 months.
38Â
Revoking security directions
            (1) The Secretary must revoke a security
direction if the unlawful interference with maritime transport or offshore
facilities in relation to which the direction was given is no longer probable
or imminent.
            (2) If:
                    (a) the Secretary gives a security
direction to a person (including a direction given under section 36 to the
ship operator for, or the master of, a security regulated ship, or a direction
given under section 36A to the offshore facility operator for, or the
master of, a ship regulated as an offshore facility); and
                    (b) the Secretary revokes the
direction; and
                    (c) the direction has not been
displayed under subsection 35(2);
the Secretary must notify the person of the revocation.
            (3) If the Secretary has displayed a security
direction under subsection 35(2) and the Secretary revokes the direction, the
Secretary must remove the displayed direction.
39Â
Failure to comply with security directions
            (1) A person (including a person to whom a
security direction to a ship is given under section 36 or 36A) commits an
offence if:
                    (a) a security direction is given to,
or communicated to, the person; and
                    (b) the direction is in force; and
                    (c) the person fails to comply with
the direction; and
                    (d) the failure is not a failure to
comply with confidentiality requirements.
Penalty:Â For a port operator, ship operator, port facility
operator or offshore facility operator—200 penalty units.
             For a maritime industry participant other than a
port operator, ship operator, port facility operator or offshore facility
operator—100 penalty units.
             For any other person—50 penalty units.
            (2) Subsection (1) does not apply if the
person has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
40Â
Failure to comply with confidentiality requirements
            (1) A person (including a person to whom a
security direction to a ship is given under section 36 or 36A) commits an
offence if:
                    (a) a security direction is given to
the person; and
                    (b) the person fails to comply with
confidentiality requirements in the direction; and
                    (c) the failure is not due to a
disclosure made to a court or a tribunal, or to an authority or person that has
the power to require the production of documents or the answering of questions.
Penalty:Â 20 penalty units.
            (2) Subsection (1) is an offence of
strict liability.
Part 3—Maritime security plans
Division 1—Simplified overview of Part
41Â
Simplified overview of Part
Maritime security plans identify
security measures to be implemented when different maritime security levels are
in force.
Various maritime industry participants
are required to have, and comply with, maritime security plans. This is dealt
with in Division 2.
Various other persons and ships are
required to comply with maritime security plans. This is dealt with in Division 3.
The content and form of maritime
security plans is dealt with in Division 4.
The approval of maritime security
plans by the Secretary is dealt with in Division 5. That Division also
deals with the variation and revision of plans, and with the cancellation of
the approval of plans.
Division 2—Maritime industry participants required to have maritime
security plans
42Â Who
must have maritime security plans
            (1) The following maritime industry
participants are required to have a maritime security plan:
                    (a) a port operator;
                    (b) a port facility operator;
                    (c) a participant of a kind prescribed
in the regulations;
                    (d) a particular participant
prescribed in the regulations.
Note:Â Â Â Â Â Â Â Â Â Part 4 deals with security plans for
regulated Australian ships.
            (2) The Secretary may, by written notice
given to a maritime industry participant, permit the participant to have more
than one maritime security plan.
            (3) The notice must specify the operations or
locations to be covered by each plan.
            (4) If the participant has more than one
plan, the participant is required to have all of the plans specified in the
notice.
43Â
Offence—operating without a maritime security plan
            (1) A maritime industry participant commits
an offence if:
                    (a) the participant is required under
section 42 to have a maritime security plan; and
                    (b) the participant operates as a
participant of that kind; and
                    (c) there is not such a plan in force
for the participant.
Penalty: For a port operator or port facility operator—200
penalty units.
             For any other maritime industry participant—100
penalty units.
            (2) Subsection (1) does not apply if the
participant has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
44 Offence—failing
to comply with maritime security plan
            (1) A maritime industry participant commits
an offence if:
                    (a) the participant is required under
section 42 to have a maritime security plan; and
                    (b) there is such a plan for the
participant in force; and
                    (c) the participant fails to comply
with the plan.
Penalty: For a port operator or port facility operator—200
penalty units.
             For any other maritime industry participant—100
penalty units.
            (2) Subsection (1) does not apply if the
participant has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
Division 3—Complying with other plans
45Â
Complying with maritime security plans of other participants
            (1) A maritime industry participant must not
engage in conduct that hinders or obstructs compliance with the maritime
security plan of another maritime industry participant.
            (2) If:
                    (a) a maritime security plan (the covering
plan) for a maritime industry participant covers the activities of
another maritime industry participant; and
                    (b) the other participant:
                             (i) is not required to
have a maritime security plan; and
                            (ii) has been given the
relevant parts of the covering plan;
the other maritime industry participant must take all
reasonable steps to comply with the covering plan.
            (3) If:
                    (a) a maritime security plan (the covering
plan) for a maritime industry participant covers the activities of
another maritime industry participant; and
                    (b) the other participant:
                             (i) is required to have a
maritime security plan; and
                            (ii) has been given the
relevant parts of the covering plan; and
                           (iii) has agreed in writing
to those activities being covered by the covering plan;
the other maritime industry participant must take all
reasonable steps to comply with the covering plan.
            (4) If a maritime industry participant
contravenes subsection (1), (2) or (3), the participant does not commit an
offence but may be subject to an enforcement order (see section 189) or an
injunction under section 197.
46Â
Australian regulated ships must not hinder or obstruct compliance with maritime
security plans
            (1) The operations of a regulated Australian
ship must not hinder or obstruct compliance with a maritime security plan.
            (2) If the operations of a regulated
Australian ship hinder or obstruct compliance with a maritime security plan,
either or both of the following may be subject to a ship enforcement order (see
section 195) or an injunction under section 197:
                    (a) the ship operator for the ship;
                    (b) the master of the ship.
Note:Â Â Â Â Â Â Â Â Â Obligations on regulated foreign ships are set
out in Division 2 of Part 5.
Division 4—Content and form of maritime security plans
47Â
Content of maritime security plans
            (1) A maritime security plan for a maritime
industry participant must:
                    (a) include a security assessment for:
                             (i) the participant’s
operation; or
                            (ii) if the participant has
more than one maritime security plan—the operations or locations covered by the
plan; and
                    (b) set out the security activities or
measures to be undertaken or implemented by the participant under the plan for
maritime security levels 1, 2 and 3; and
                    (c) designate, by name or by reference
to a position, all security officers responsible for implementing and
maintaining the plan; and
                    (d) make provision for the use of
declarations of security; and
                    (e) demonstrate that the
implementation of the plan will make an appropriate contribution towards the
achievement of the maritime security outcomes.
Note:Â Â Â Â Â Â Â Â Â The maritime security outcomes are set out in
subsection 3(4).
            (2) The security assessment under paragraph (1)(a)
must:
                    (a) take into account any documents
required in writing by the Secretary to be taken into account; and
                    (b) address any matters prescribed in
the regulations.
48Â
Prescribed content for maritime security plans
                  The regulations may prescribe specific
matters that are to be dealt with in one or more of the following:
                    (a) each maritime security plan;
                    (b) each maritime security plan for a
particular kind of maritime industry participant;
                    (c) each maritime security plan for a
particular class of a particular kind of maritime industry participant.
49Â
Form of maritime security plans
            (1) A maritime security plan must be:
                    (a) in writing; and
                    (b) prepared in accordance with any
requirements set out in the regulations.
            (2) A maritime security plan must include:
                    (a) if the Secretary has not
established any port security zones under subsection 102(1) within the area
covered by the plan, and the participant proposes that the Secretary should
establish such a zone or zones within that area—a map that shows each proposed
zone; and
                    (b) if the Secretary has established a
port security zone or zones under subsection 102(1) within the area covered by
the plan:
                             (i) a map that shows each
such zone; and
                            (ii) if the participant
proposes that such a zone be changed—a map that shows the proposed change; and
                           (iii) if the participant
proposes that the Secretary should establish an additional port security zone
within that area or revoke the establishment of an existing port security zone
within that area—a map that shows the zones that would be established within
that area if the proposal were accepted.
            (3) The maritime security plan for a port
operator for a security regulated port must include a map of the whole security
regulated port.
Division 5—Approving, varying, revising and cancelling maritime security
plans
50Â
Providing maritime security plans for approval
            (1) A maritime industry participant may, by
written notice given to the Secretary, request the Secretary to approve a
maritime security plan for the participant.
            (2) The notice must be accompanied by a copy
of the plan.
51Â
Approval of maritime security plans
            (1) If the Secretary is satisfied that the
plan adequately addresses the relevant requirements under Division 4, the
Secretary must:
                    (a) approve the plan; and
                    (b) give the participant written
notice of the approval.
            (2) If the Secretary is not satisfied that
the plan adequately addresses the relevant requirements under Division 4,
the Secretary must:
                    (a) refuse to approve the plan; and
                    (b) give the participant written
notice of the refusal including reasons for the refusal.
            (3) In determining whether the plan
adequately addresses the relevant requirements under Division 4, the
Secretary may take account of existing circumstances as they relate to maritime
transport, and offshore facility, security.
Failure to approve plan within consideration period
            (4) If:
                    (a) a maritime industry participant
gives the Secretary a maritime security plan; and
                    (b) the Secretary does not approve, or
refuse to approve, the plan within the consideration period;
the Secretary is taken to have refused to approve the
plan.
Note:Â Â Â Â Â Â Â Â Â A maritime industry participant may apply to
the Administrative Appeals Tribunal for review of a decision to refuse to
approve a maritime security plan under subsection (2) or (4): see section 201.
Secretary may request further information
            (5) The Secretary may, by written notice
given to the participant within the consideration period, request the
participant to give the Secretary specified information relevant to the
approval of the plan.
            (6) The notice must specify a period of not
more than 45 days within which the information must be given. However, if more
than one notice is given to the participant under subsection (5), the
total of the periods specified in the notices must not exceed 45 days.
Consideration period
            (7) The consideration period is
the period of 60 days commencing on the day on which the Secretary received the
plan, extended, in relation to each notice already given under
subsection (5), by a number of days equal to the number of days falling
within the period:
                    (a) commencing on the day on which the
notice under subsection (5) was given; and
                    (b) ending on:
                             (i) the day on which the
information requested in that notice was received by the Secretary; or
                            (ii) if the information is
not given within the period specified in that notice—the last day of that
period.
52Â
When a maritime security plan is in force
            (1) If the Secretary approves the maritime
security plan, the plan comes into force at the time specified in the notice of
approval.
            (2) However, if:
                    (a) the time specified in the notice
is earlier than the time at which the notice was given; or
                    (b) no time is specified in the notice
as the time when the plan comes into force;
the plan comes into force when the notice is given.
            (3) The plan
remains in force for a period of 5 years or such lesser period as the Secretary
specifies in the notice of approval (which must be at least 12 months), unless
before the end of that period:
                    (a) the plan is replaced under
subsection 54(4) or 55(4); or
                    (b) the approval of the plan is
cancelled under this Division.
52AÂ
Participants may submit variations to maritime security plans
            (1) If a maritime security plan for a
maritime industry participant is in force, the participant may, by written
notice given to the Secretary, request the Secretary to vary the plan.
            (2) The participant must set out the proposed
variation in the notice.
            (3) The notice must include:
                    (a) if the Secretary has established a
port security zone or zones under subsection 102(1) within the area covered by
the plan, and the participant proposes that such a zone be changed—a map that
shows the proposed change; and
                    (b) if:
                             (i) the Secretary has
established a port security zone or zones under subsection 102(1) within the
area covered by the plan; and
                            (ii) the participant
proposes that the Secretary should establish an additional port security zone
within that area or revoke the establishment of an existing port security zone
within that area;
                           a map that shows the zones that
would be established within that area if the proposal were accepted.
         (3A) The notice must be prepared in accordance
with any requirements set out in the regulations.
            (4) If the Secretary is satisfied that the
plan, as varied, would continue to adequately address the relevant requirements
under Division 4, the Secretary must:
                    (a) approve the variation; and
                    (b) give the participant written
notice of the approval.
            (5) If the Secretary is not satisfied that
the plan, as varied, would continue to adequately address the relevant
requirements under Division 4, the Secretary must:
                    (a) refuse to approve the variation;
and
                    (b) give the participant written
notice of the refusal including reasons for the refusal.
            (6) In determining whether the plan, as
varied, would continue to adequately address the relevant requirements under
Division 4, the Secretary may take account of existing circumstances as
they relate to maritime transport, and offshore facility, security.
Failure to approve variation within consideration
period
            (7) If:
                    (a) a maritime industry participant
gives the Secretary a notice requesting the Secretary to vary a maritime
security plan; and
                    (b) the Secretary does not approve, or
refuse to approve, the variation within the consideration period;
the Secretary is taken to have refused to approve the
variation.
Note:Â Â Â Â Â Â Â Â Â A maritime industry participant may apply to
the Administrative Appeals Tribunal for review of a decision to refuse to
approve a variation under subsection (5) or (7): see section 201.
Secretary may request further information
            (8) The Secretary may, by written notice
given to the participant within the consideration period, request the
participant to give the Secretary specified information relevant to the
approval of the variation.
            (9) The notice must specify a period of not
more than 45 days within which the information must be given. However, if more
than one notice is given to the participant under subsection (8), the
total of the periods specified in the notices must not exceed 45 days.
Consideration period
          (10) The consideration period is
the period of 60 days commencing on the day on which the notice under
subsection (1) requesting the variation was received by the Secretary,
extended, in relation to each notice already given under subsection (8),
by a number of days equal to the number of days falling within the period:
                    (a) commencing on the day on which the
notice under subsection (8) was given; and
                    (b) ending
on:
                             (i) the day on which the
information requested in that notice was received by the Secretary; or
                            (ii) if the information is
not given within the period specified in that notice—the last day of that
period.
53Â
Secretary may direct variations of maritime security plans
            (1) If:
                    (a) a maritime security plan for a
maritime industry participant is in force; and
                    (b) the Secretary is no longer
satisfied that the plan adequately addresses the relevant requirements under
Division 4;
the Secretary may, by written notice given to the
participant, direct the participant to vary the plan.
            (2) However, the Secretary must not give a
direction under subsection (1) unless the Secretary is satisfied that the
plan, as varied, would adequately address the relevant requirements under
Division 4.
            (3) In the notice, the Secretary must:
                    (a) set out the variation; and
                    (b) specify the period within which
the participant must give the Secretary the plan as varied.
            (4) If the participant does not give the
Secretary the plan:
                    (a) varied in accordance with the
direction; and
                    (b) within the specified period, or
within any further period allowed by the Secretary;
the Secretary must, by written notice given to the
participant, cancel the approval of the plan.
54Â
Participants may revise maritime security plans
            (1) If a maritime security plan for a
maritime industry participant (the existing plan) is in force,
the participant may, by written notice given to the Secretary, request the
Secretary to approve another maritime security plan (the revised plan)
in its place.
            (2) The notice must be accompanied by a copy
of the revised plan.
            (3) If a request is made in accordance with
this section, sections 51 and 52 apply in relation to the revised plan.
            (4) If the revised plan comes into force, it
replaces the existing plan.
55Â
Secretary may direct participants to revise maritime security plans
            (1) If:
                    (a) a maritime security plan for a
maritime industry participant (the existing plan) is in force;
and
                    (b) the Secretary is no longer
satisfied that the existing plan adequately addresses the relevant requirements
under Division 4:
                             (i) because there is a
change in the circumstances that relate to maritime transport, or offshore
facility, security; or
                            (ii) because there is a
change in circumstances that could impact on maritime transport, or offshore
facility, security; or
                           (iii) for some other reason;
the Secretary may, by written notice given to the
participant, direct the participant to give the Secretary another maritime
security plan (the revised plan).
            (2) The notice must specify the period within
which the revised plan must be given.
         (2A) If the participant gives the Secretary the
revised plan within the specified period, or within any further period allowed
by the Secretary, sections 51 and 52 apply in relation to the revised
plan.
            (3) If the participant does not give the Secretary
the revised plan within the specified period, or within any further period
allowed by the Secretary, the Secretary must, by written notice given to the
participant, cancel the approval of the existing plan.
            (4) If the revised plan comes into force, it
replaces the existing plan.
57Â
Cancelling inadequate maritime security plans
                  If:
                    (a) a maritime security plan for a
maritime industry participant is in force; and
                    (b) the Secretary is no longer
satisfied that the plan adequately addresses the relevant requirements under
Division 4; and
                    (c) the Secretary is satisfied that it
is not appropriate to direct the participant to:
                             (i) vary the plan under
section 53; or
                            (ii) revise the plan under
section 55;
the Secretary must, by written notice given to the
participant, cancel the approval of the plan.
58Â
Cancelling for failure to comply with maritime security plans
            (1) If:
                    (a) a maritime security plan for a
maritime industry participant is in force; and
                    (b) the participant has accumulated
the number of demerit points prescribed by the regulations as the number
necessary for the Secretary to be able to cancel the approval of the plan;
the Secretary may, by written notice given to the
participant, cancel the approval of the plan.
Note:Â Â Â Â Â Â Â Â Â For the demerit points system, see Division 6
of Part 11.
            (2) Before cancelling the approval of a plan
under subsection (1), the Secretary may, by written notice given to the
participant, request the participant to show cause why the approval of the plan
should not be cancelled.
59Â
Cancelling maritime security plans on request
                  If:
                    (a) a maritime security plan for a
maritime industry participant is in force; and
                    (b) the participant makes a written
request to the Secretary for the approval of the plan to be cancelled;
the Secretary must, by written notice given to the
participant, cancel the approval of the plan.
Part 4—Ship security plans and ISSCs for regulated Australian ships
Division 1—Simplified overview of Part
60Â
Simplified overview of Part
Ship security plans identify the
security measures to be implemented by ships when different maritime security
levels are in force.
Regulated Australian ships are
required to have, and comply with, ship security plans. This is dealt with in
Division 2.
Various other ships and persons are
required to comply with ship security plans. This is dealt with in Division 3.
The content and form of ship security
plans is dealt with in Division 4.
The approval of ship security plans by
the Secretary is dealt with in Division 5. That Division also deals with
the variation and revision of plans, and with the cancellation of the approval
of plans.
Regulated Australian ships are also
required to have an ISSC (International Ship Security Certificate). Division 6
provides for the Secretary to issue ISSCs and interim ISSCs for those ships.
Division 7 allows the Secretary
to delegate his or her powers under this Part to registered security
organisations.
Division 2—Ships required to have ship security plans
61Â
Which ships must have ship security plans
                  A regulated Australian ship must have a
ship security plan.
Note:Â Â Â Â Â Â Â Â Â Obligations on regulated foreign ships are set
out in Division 2 of Part 5.
61AÂ
Exemptions
            (1) The ship operator for a regulated
Australian ship may apply to the Secretary for the ship to be exempt from the
operation of this Division.
            (2) The application must be in accordance
with any requirements prescribed by the regulations. The regulations may
prescribe requirements in relation to the form and content of the application,
and the way in which the application is made.
            (3) In deciding whether to grant the
exemption, the Secretary must consider the matters prescribed by the
regulations for the purposes of this subsection. The Secretary may consider any
other matters that the Secretary considers appropriate.
Secretary’s decision
            (4) If an application is made to the
Secretary, the Secretary must:
                    (a) exempt the ship from the operation
of this Division in the circumstances specified in the exemption; or
                    (b) refuse to grant an exemption.
Grant of exemption
            (5) If the Secretary grants an exemption, the
Secretary must give the ship operator a copy of the exemption.
            (6) An exemption under this section has
effect according to its terms.
Refusal to grant exemption
            (7) If the Secretary refuses to grant an
exemption, the Secretary must give the ship operator written notice of the
refusal (including the reasons for the refusal).
Exemption is not a legislative instrument
            (8) An exemption under this section is not a
legislative instrument.
62Â
Offence—operating without a ship security plan
            (1) The ship operator for a regulated
Australian ship commits an offence if:
                    (a) the ship is being used for
maritime transport; and
                    (b) there is no ship security plan in
force for the ship.
Penalty:Â 200 penalty units.
            (2) Subsection (1) does not apply if the
operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
63Â
Offence—failing to comply with ship security plan
            (1) The ship operator for a regulated
Australian ship commits an offence if:
                    (a) the ship is being used for
maritime transport; and
                    (b) there is a ship security plan for the
ship in force; and
                    (c) the ship is not operated in
accordance with the plan.
Penalty:Â 200 penalty units.
            (2) Subsection (1) does not apply if the
operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
Division 3—Complying with other plans
64Â
Complying with ship security plans of other ships
            (1) The operations of a regulated Australian
ship must not hinder or obstruct compliance with the ship security plan of
another ship.
            (2) If the operations of a regulated
Australian ship (the first regulated ship) hinder or obstruct
compliance with the ship security plan of another ship, either or both of the
following may be subject to a ship enforcement order (see section 195) or
an injunction under section 197:
                    (a) the ship operator for the first
regulated ship;
                    (b) the master of the first regulated
ship.
Note:Â Â Â Â Â Â Â Â Â Obligations on regulated foreign ships are set
out in Division 2 of Part 5.
65Â
Maritime industry participants must not hinder or obstruct compliance with ship
security plans
            (1) A maritime industry participant must not
engage in conduct that hinders or obstructs compliance with the ship security
plan of a ship.
            (2) If a maritime industry participant
contravenes subsection (1), the participant does not commit an offence but
may be subject to an enforcement order (see section 189) or an injunction
under section 197.
Division 4—Content and form of ship security plans
66Â
Content of ship security plans
            (1) A ship security plan for a regulated
Australian ship must:
                    (a) include a security assessment for
the ship; and
                    (b) set out the security activities or
measures to be undertaken or implemented on, or in connection with, the ship
for maritime security levels 1, 2 and 3; and
                    (c) designate, by name or by reference
to a position, all security officers responsible for implementing and
maintaining the plan; and
                    (d) make provision for the use of
declarations of security; and
                    (e) demonstrate that the
implementation of the plan will make an appropriate contribution towards the
achievement of the maritime security outcomes.
Note:Â Â Â Â Â Â Â Â Â The maritime security outcomes are set out in
subsection 3(4).
            (2) The security assessment under paragraph (1)(a)
must:
                    (a) take into account any documents
required in writing by the Secretary to be taken into account; and
                    (b) address any matters prescribed in
the regulations.
67Â
Prescribed content for ship security plans
                  The regulations may prescribe specific
matters that are to be dealt with in one or more of the following:
                    (a) each ship security plan;
                    (b) each ship security plan for a
particular kind of ship;
                    (c) each ship security plan for a
particular class of a particular kind of ship.
68Â
Form of ship security plans
                  A ship security plan must be:
                    (a) in writing; and
                    (b) prepared in accordance with any
requirements set out in the regulations.
Division 5—Approving, varying, revising and cancelling ship security
plans
69Â
Providing ship security plans for approval
            (1) A ship operator for a regulated
Australian ship may, by written notice given to the Secretary, request the
Secretary to approve a ship security plan for the ship.
            (2) The notice must be accompanied by a copy
of the plan.
70Â
Approval of ship security plans
            (1) If the Secretary is satisfied that the
plan adequately addresses the relevant requirements under Division 4, the
Secretary must:
                    (a) approve the plan; and
                    (b) give the ship operator written
notice of the approval.
            (2) If the Secretary is not satisfied that
the plan adequately addresses the relevant requirements under Division 4,
the Secretary must:
                    (a) refuse to approve the plan; and
                    (b) give the ship operator written
notice of the refusal including reasons for the refusal.
            (3) In determining whether the plan
adequately addresses the relevant requirements under Division 4, the
Secretary may take account of existing circumstances as they relate to maritime
transport, and offshore facility, security.
Failure to approve plan within consideration period
            (4) If:
                    (a) the ship operator for a regulated
Australian ship gives the Secretary a ship security plan for the ship; and
                    (b) the Secretary does not approve, or
refuse to approve, the plan within the consideration period;
the Secretary is taken to have refused to approve the
plan.
Note:Â Â Â Â Â Â Â Â Â A ship operator may apply to the
Administrative Appeals Tribunal for review of a decision to refuse to approve a
ship security plan under subsection (2) or (4): see section 201.
Secretary may request further information
            (5) The Secretary may, by written notice
given to the ship operator within the consideration period, request the ship
operator to give the Secretary specified information relevant to the approval
of the plan.
            (6) The notice must specify a period of not
more than 45 days within which the information must be given. However, if more
than one notice is given to the ship operator under subsection (5), the
total of the periods specified in the notices must not exceed 45 days.
Consideration period
            (7) The consideration period is
the period of 60 days commencing on the day on which the Secretary received the
plan, extended, in relation to each notice already given under
subsection (5), by a number of days equal to the number of days falling
within the period:
                    (a) commencing on the day on which the
notice under subsection (5) was given; and
                    (b) ending on:
                             (i) the day on which the
information requested in that notice was received by the Secretary; or
                            (ii) if the information is
not given within the period specified in that notice—the last day of that
period.
71Â
When a ship security plan is in force
            (1) If the Secretary approves the ship
security plan, the plan comes into force at the time specified in the notice of
approval.
            (2) However, if:
                    (a) the time specified in the notice
is earlier than the time at which the notice was given; or
                    (b) no time is specified in the notice
as the time when the plan comes into force;
the plan comes into force when the notice is given.
            (3) The plan remains in force for a period of
5 years or such lesser period as the Secretary specifies in the notice of
approval (which must be at least 12 months), unless before the end of that
period:
                    (a) the plan is replaced under
subsection 73(4) or 74(4); or
                    (b) the approval of the plan is
cancelled under this Division.
71AÂ
Ship operator may submit variations to ship security plans
            (1) If a ship security plan for a regulated
Australian ship is in force, the ship operator for the ship may, by written
notice given to the Secretary, request the Secretary to vary the plan.
            (2) The ship operator must set out the
proposed variation in the notice.
         (2A) The notice must be prepared in accordance
with any requirements set out in the regulations.
            (3) If the Secretary is satisfied that the
plan, as varied, would continue to adequately address the relevant requirements
under Division 4, the Secretary must:
                    (a) approve the variation; and
                    (b) give the ship operator written
notice of the approval.
            (4) If the Secretary is not satisfied that
the plan, as varied, would continue to adequately address the relevant
requirements under Division 4, the Secretary must:
                    (a) refuse to approve the variation;
and
                    (b) give the ship operator written
notice of the refusal including reasons for the refusal.
            (5) In determining whether the plan, as
varied, would continue to adequately address the relevant requirements under
Division 4, the Secretary may take account of existing circumstances as they
relate to maritime transport, and offshore facility, security.
Failure to approve variation within consideration
period
            (6) If:
                    (a) a ship operator for a regulated
Australian ship gives the Secretary a notice requesting the Secretary to vary a
ship security plan for the ship; and
                    (b) the Secretary does not approve, or
refuse to approve, the variation within the consideration period;
the Secretary is taken to have refused to approve the
variation.
Note:Â Â Â Â Â Â Â Â Â A ship operator may apply to the
Administrative Appeals Tribunal for review of a decision to refuse to approve a
variation under subsection (4) or (6): see section 201.
Secretary may request further information
            (7) The Secretary may, by written notice
given to the ship operator within the consideration period, request the ship
operator to give the Secretary specified information relevant to the approval
of the variation.
            (8) The notice must specify a period of not
more than 45 days within which the information must be given. However, if more
than one notice is given to the ship operator under subsection (7), the
total of the periods specified in the notices must not exceed 45 days.
Consideration period
            (9) The consideration period is
the period of 60 days commencing on the day on which the notice under subsection (1)
requesting the variation was received by the Secretary, extended, in relation
to each notice already given under subsection (7), by a number of days
equal to the number of days falling within the period:
                    (a) commencing on the day on which the
notice under subsection (7) was given; and
                    (b) ending on:
                             (i) the day on which the
information requested in that notice was received by the Secretary; or
                            (ii) if the information is
not given within the period specified in that notice—the last day of that
period.
72Â
Secretary may direct variations of ship security plans
            (1) If:
                    (a) a ship security plan for a
regulated Australian ship is in force; and
                    (b) the Secretary is no longer
satisfied that the plan adequately addresses the relevant requirements under
Division 4;
the Secretary may, by written notice given to the ship
operator for the ship, direct the ship operator to vary the plan.
            (2) However, the Secretary must not give a
direction under subsection (1) unless the Secretary is satisfied that the
plan, as varied, would adequately address the relevant requirements under
Division 4.
            (3) In the notice, the Secretary must:
                    (a) set out the variation; and
                    (b) specify the period within which
the ship operator must give the Secretary the plan as varied.
            (4) If the ship operator does not give the
Secretary the plan:
                    (a) varied in accordance with the
direction; and
                    (b) within the specified period, or
within any further period allowed by the Secretary;
the Secretary must, by written notice given to the ship
operator, cancel the approval of the plan.
73Â
Ship operator may revise ship security plan
            (1) If the ship operator for a regulated
Australian ship has given the Secretary a ship security plan for the ship, the
ship operator may, by written notice given to the Secretary, request the
Secretary to approve another ship security plan for the ship (the revised
plan).
            (2) The notice must be accompanied by a copy
of the revised plan.
            (3) If a request is made in accordance with
this section, sections 70 and 71 apply in relation to the revised plan.
            (4) If the revised plan comes into force, it
replaces any other plan for the ship in force at that time.
74Â
Secretary may direct operator to revise ship security plan
            (1) If:
                    (a) a ship security plan for a regulated
Australian ship (the existing plan) is in force; and
                    (b) the Secretary is no longer
satisfied that the existing plan adequately addresses the relevant requirements
under Division 4:
                             (i) because there is a
change in the circumstances that relate to maritime transport, or offshore
facility, security; or
                            (ii) because there is a
change in circumstances that could impact on maritime transport, or offshore
facility, security; or
                           (iii) for some other reason;
the Secretary may, by written notice given to the ship
operator for the ship, direct the ship operator to give the Secretary another
plan for the ship (the revised plan).
            (2) The notice must specify the period within
which the revised plan must be given.
         (2A) If the ship operator gives the Secretary
the revised plan within the specified period, or within any further period
allowed by the Secretary, sections 70 and 71 apply in relation to the
revised plan.
            (3) If the ship operator does not give the
Secretary the revised plan within the specified period, or within any further
period allowed by the Secretary, the Secretary must, by written notice given to
the ship operator, cancel the approval of the existing plan.
            (4) If the revised plan comes into force, it
replaces any other plan for the ship in force at that time.
76Â
Cancelling inadequate ship security plans
                  If:
                    (a) a ship security plan for a
regulated Australian ship is in force; and
                    (b) the Secretary is no longer
satisfied that the plan adequately addresses the relevant requirements under
Division 4; and
                    (c) the Secretary is satisfied that it
is not appropriate to direct the ship operator for the ship to:
                             (i) vary the plan under
section 72; or
                            (ii) revise the plan under
section 74;
the Secretary must, by written notice given to the ship
operator, cancel the approval of the plan.
77Â
Cancelling for failure to comply with ship security plan
            (1) If:
                    (a) a ship security plan for a
regulated Australian ship is in force; and
                    (b) the number of demerit points
prescribed by the regulations as the number necessary for the Secretary to be
able to cancel the approval of the plan has been accumulated in respect of the
ship;
the Secretary may, by written notice given to the ship
operator for the ship, cancel the approval of the plan.
Note:Â Â Â Â Â Â Â Â Â For the demerit points system, see Division 6
of Part 11.
            (2) Before cancelling the approval of a plan
under subsection (1), the Secretary may, by written notice given to the
ship operator, request the ship operator to show cause why the approval of the
plan should not be cancelled.
78Â
Cancelling ship security plans on request
                  If:
                    (a) a
ship security plan for a regulated Australian ship is in force; and
                    (b) the ship operator for the ship
makes a written request to the Secretary for the approval of the plan to be
cancelled;
the Secretary must, by written notice given to the ship
operator, cancel the approval of the plan.
Division 6—International ship security certificates
79Â Regulated
Australian ship to have ISSC
                  A regulated Australian ship must have an
ISSC.
79AÂ
Exemptions
            (1) The ship operator for a regulated
Australian ship may apply to the Secretary for the ship to be exempt from the
operation of this Division.
            (2) The application must be in accordance
with any requirements prescribed by the regulations. The regulations may
prescribe requirements in relation to the form and content of the application,
and the way in which the application is made.
            (3) In deciding whether to grant the
exemption, the Secretary must consider the matters prescribed by the regulations
for the purposes of this subsection. The Secretary may consider any other
matters that the Secretary considers appropriate.
Secretary’s decision
            (4) If an application is made to the
Secretary, the Secretary must:
                    (a) exempt the ship from the operation
of this Division in the circumstances specified in the exemption; or
                    (b) refuse to grant an exemption.
Grant of exemption
            (5) If the Secretary grants an exemption, the
Secretary must give the ship operator a copy of the exemption.
            (6) An exemption under this section has
effect according to its terms.
Refusal to grant exemption
            (7) If the Secretary refuses to grant an
exemption, the Secretary must give the ship operator written notice of the
refusal (including the reasons for the refusal).
Exemption is not a legislative instrument
            (8) An exemption under this section is not a
legislative instrument.
80Â
Offence—operating without an ISSC
            (1) The ship operator for a regulated
Australian ship commits an offence if:
                    (a) the ship is being used for maritime
transport; and
                    (b) there is no ISSC or interim ISSC
in force for the ship.
Penalty:Â 200 penalty units.
            (2) Subsection (1) does not apply if the
ship operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
81Â
Applying for an ISSC
            (1) The ship operator for a regulated
Australian ship may apply to the Secretary for an ISSC for the ship.
            (2) The application must be in accordance
with any requirements prescribed in the regulations. The regulations may
prescribe requirements in relation to the form and content of the application,
and the way in which the application is made.
82Â
Conditions for giving an ISSC
                  The Secretary must give a ship operator
an ISSC for a regulated Australian ship if:
                    (a) the ship operator has applied for
an ISSC for the ship; and
                    (b) there is a ship security plan in
force for the ship; and
                    (c) the ship is ISSC verified.
83Â
ISSC verification
            (1) A regulated Australian ship is ISSC
verified if:
                    (a) a maritime security inspector has
inspected the ship; and
                    (b) the maritime security inspector
has verified that the ship meets the requirements determined in writing by the
Secretary; and
                    (c) the period, determined in writing
by the Secretary, within which the ship must be next inspected has not ended.
Note:Â Â Â Â Â Â Â Â Â Sections 138 and 139 set out the inspection
powers of maritime security inspectors in relation to regulated Australian
ships.
            (2) In making a determination under subsection (1),
the Secretary must have regard to the obligations set out in the ISPS Code.
            (3) If:
                    (a) there is an ISSC in force for a
regulated Australian ship; and
                    (b) a maritime security inspector
inspects the ship; and
                    (c) the inspector finds that the ship
does not meet the requirements determined under paragraph (1)(b); and
                    (d) the ship does not meet those
requirements within any period allowed in writing by the inspector;
the ship is no longer ISSC verified.
84Â
When an ISSC is in force
                  If the Secretary gives an ISSC to the
ship operator for a regulated Australian ship, the ISSC comes into force when
it is given and remains in force until any of the following occurs:
                    (a) the Secretary cancels the ISSC;
                    (b) the ship operator is no longer the
ship operator for the ship;
                    (c) the period of 5 years after the
ISSC is given expires.
85Â
Cancelling ISSCs
                  The Secretary must, by written notice
given to the ship operator for a regulated Australian ship, cancel the ISSC for
the ship if either of the following occurs:
                    (a) there is no longer a ship security
plan in force for the ship;
                    (b) the ship is no longer ISSC
verified.
86Â
Interim ISSCs
            (1) If:
                    (a) the ship operator for a regulated
Australian ship has applied to the Secretary for an ISSC for the ship; and
                    (b) there is a ship security plan in
force for the ship; and
                    (c) the ship is not ISSC verified; and
                    (d) the Secretary reasonably believes
that, were the ship to be inspected as mentioned in subsection 83(1), the ship
would be ISSC verified;
the Secretary may give the ship operator an interim ISSC
for the ship.
            (2) If:
                    (a) the Secretary has given a ship
operator an ISSC for a regulated Australian ship; and
                    (b) while the ISSC is in force,
another ship operator becomes the ship operator for the ship;
the Secretary may give the other ship operator an interim
ISSC for the ship.
            (3) An interim ISSC is in force for the
period, not exceeding 6 months, specified in the interim ISSC.
87Â
Offence—false or misleading statements in relation to having an ISSC
            (1) The master of a regulated Australian ship
commits an offence if:
                    (a) the master makes a statement
(whether orally, in a document or in any other way); and
                    (b) the master does so knowing that
the statement:
                             (i) is false or
misleading; or
                            (ii) omits any matter or
thing without which the statement is misleading; and
                    (c) the statement is made in
connection with whether an ISSC or interim ISSC is in force for the ship; and
                    (d) any of the following subparagraphs
applies:
                             (i) the statement is made
to a maritime industry participant;
                            (ii) the statement is made
to a person who is authorised by a Contracting state to the SOLAS Convention to
request information about, or in connection with, whether a valid ISSC or
interim ISSC is in force for the ship;
                           (iii) the statement is made
to a person who is exercising powers or performing functions under, or in
connection with, a law of the Commonwealth;
                           (iv) the statement is made
in compliance or purported compliance with a law of the Commonwealth.
Penalty:Â 50 penalty units.
            (2) Absolute liability applies to each of the
subparagraph (1)(d)(i), (ii), (iii) and (iv) elements of the offence.
            (3) Subsection (1) does not apply as a
result of subparagraph (1)(b)(i) if the statement is not false or
misleading in a material particular.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
            (4) Subsection (1) does not apply as a
result of subparagraph (1)(b)(ii) if the statement did not omit any matter
or thing without which the statement is misleading in a material particular.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (4) (see subsection 13.3(3) of the Criminal
Code).
Division 7—Recognised security organisations
88Â
Secretary may delegate powers and functions under this Part
            (1) The Secretary may, by writing, delegate
all or any of his or her powers and functions under Part 4 to a person
who:
                    (a) satisfies the criteria prescribed
in the regulations; and
                    (b) is engaged by a recognised
security organisation.
            (2) The Secretary may determine, in writing,
that an organisation is a recognised security organisation.
            (3) In exercising powers or functions
delegated under subsection (1), the delegate must comply with any
directions of the Secretary.
89Â
Recognised security organisations may conduct ISSC inspections
            (1) The Secretary may, by writing, authorise
a person to whom powers and functions can be delegated under subsection 88(1)
to conduct inspections of ships for the purposes of verifying that ships meet
the requirements necessary for ISSC verification.
            (2) If a person authorised under subsection (1)
conducts a ship inspection, the person is taken to be a maritime security
inspector for the purposes of subsection 83(1).
Part 5—Regulated foreign ships
Division 1—Simplified overview of Part
90Â
Simplified overview of Part
Division 2 sets out requirements
to be met by regulated foreign ships and requires the ship operators for, and
the masters of, those ships to acknowledge certain communications.
Division 3 provides for the
Secretary to give control directions to regulated foreign ships to ensure that
security standards are maintained.
Division 2—Obligations on regulated foreign ships
91Â
Regulated foreign ships must have ISSCs
            (1) The ship operator for a regulated foreign
ship must:
                    (a) have a valid ISSC, or an approved
ISSC equivalent, for the ship; and
                    (b) ensure that the ship carries the
required ship security records.
Note:Â Â Â Â Â Â Â Â Â A ship is only a regulated foreign ship when
it is in Australian waters: see section 17.
            (2) If the ship operator for a regulated
foreign ship contravenes subsection (1), the ship operator or the master
of the ship may be given a control direction under Division 3.
            (3) An approved ISSC equivalent
is a kind of certification approved in writing by the Secretary as an
alternative to an ISSC.
            (4) This section does not apply in relation
to a ship of a kind prescribed by the regulations for the purposes of this
subsection.
92Â
Regulated foreign ships must provide pre‑arrival information
            (1) The master of a regulated foreign ship,
or a ship intending to enter Australian waters that would, once it had done so,
be a regulated foreign ship, must provide pre‑arrival information in
accordance with the regulations.
            (2) The regulations may prescribe:
                    (a) the person or persons to whom pre‑arrival
information must be given; and
                    (b) the circumstances in which pre‑arrival
information must be given; and
                    (c) the form and manner in which pre‑arrival
information must be given.
            (3) Pre‑arrival information
is information of a kind prescribed in the regulations that must be provided by
a ship before the ship enters one or more of the following:
                    (a) Australian waters;
                    (b) a security regulated port;
                    (c) a maritime security zone within a
security regulated port;
                    (d) a port that is not a security
regulated port.
            (4) The regulations may provide that
different pre‑arrival information is to be provided before entering
different places or areas as mentioned in paragraphs (3)(a) to (d).
            (5) If the master of a ship contravenes subsection (1),
the master or the ship operator for the ship may be given a control direction
under Division 3.
93Â
Regulated foreign ships must allow inspections etc.
            (1) The master of a regulated foreign ship
must allow a maritime security inspector to board and inspect the ship in
accordance with Division 2 of Part 8.
Note:Â Â Â Â Â Â Â Â Â A ship is only a regulated foreign ship when
it is in Australian waters: see section 17.
            (2) The master of a regulated foreign ship
must provide a maritime security inspector with any ship security records kept
on the ship when requested by the maritime security inspector to do so.
            (3) If the master of a ship contravenes subsection (1)
or (2), the master or the ship operator for the ship may be given a control
direction under Division 3.
94Â
Regulated foreign ships must comply with security levels
            (1) This section sets out security measures
that must be implemented by a regulated foreign ship.
Note:Â Â Â Â Â Â Â Â Â A ship is only a regulated foreign ship when
it is in Australian waters: see section 17.
            (2) Unless subsections (3) to (7) provide otherwise, the ship must, at all times, implement ISPS level 1 measures.
            (3) If maritime security level 2 is in force
for the ship because the ship is in a security regulated port where maritime
security level 2 is in force (see section 24), the ship must implement
ISPS level 2 measures.
            (4) If maritime security level 3 is in force
for the ship because the ship is in a security regulated port where maritime
security level 3 is in force (see section 24), the ship must implement
ISPS level 3 measures.
            (5) If the Secretary declares under
subsection 22(2) that maritime security level 2 is in force for the ship, the
ship must implement ISPS level 2 measures.
            (6) If the Secretary declares under
subsection 22(2) that maritime security level 3 is in force for the ship, the
ship must implement ISPS level 3 measures.
            (7) If:
                    (a) the ship is registered in another
country (the flag state); and
                    (b) the ship is directed by the flag
state to implement a higher level of security than would otherwise apply under
this section;
the ship must comply with the direction.
            (8) If a regulated foreign ship does not
implement security measures in accordance with subsections (2) to (7), the ship operator for, or the master of, the ship may be given a control
direction under Division 3.
95Â
Meaning of ISPS level 1, 2 and 3 measures
            (1) ISPS level 1 measures are
the measures that should, under the ISPS Code, be implemented when maritime
security level 1 is in force.
            (2) ISPS level 2 measures are
the measures that should, under the ISPS Code, be implemented when maritime
security level 2 is in force.
            (3) ISPS level 3 measures are
the measures that should, under the ISPS Code, be implemented when maritime
security level 3 is in force.
96Â
Regulated foreign ships must comply with security directions
            (1) If the Secretary gives a security direction
to a regulated foreign ship under section 36, the ship must comply with
the direction.
Note:Â Â Â Â Â Â Â Â Â A ship is only a regulated foreign ship when
it is in Australian waters: see section 17.
            (2) If a regulated foreign ship does not
comply with a security direction, the ship operator for, or the master of, the
ship may be given a control direction under Division 3.
Note:Â Â Â Â Â Â Â Â Â In addition, the ship operator for, or the
master of, a security regulated ship may commit an offence if the ship fails to
comply with a security direction: see subsection 39(1).
97Â
Complying with maritime, ship and offshore security plans
            (1) The operations of a regulated foreign
ship must not hinder or obstruct compliance with the maritime security plan of
a maritime industry participant in a way that compromises the security of the
operations of the participant.
            (2) The operations of a regulated foreign
ship must not hinder or obstruct compliance with the ship security plan of a
regulated Australian ship in a way that compromises the security of the
regulated Australian ship.
         (2A) The operations of a regulated foreign ship
must not hinder or obstruct compliance with the offshore security plan of an
offshore industry participant in a way that compromises the security of the
operations of the participant.
            (3) If the operations of a regulated foreign
ship compromise the security of:
                    (a) the operations of a maritime
industry participant; or
                    (b) a ship;
as mentioned in subsection (1), (2) or (2A), the ship
operator for, or the master of, the regulated foreign ship may be given a
control direction under Division 3.
98Â
Acknowledging level notifications and directions
Masters of ships
            (1) The master of a regulated foreign ship
commits an offence if:
                    (a) the master is notified by the
Secretary or a port operator that maritime security level 2 or 3 is in force
for the ship; and
                    (b) the master fails to acknowledge
the notification to the Secretary.
Penalty:Â 25 penalty units.
         (1A) The master of a regulated foreign ship
commits an offence if:
                    (a) the master is notified by an
offshore facility operator that maritime security level 2 or 3 is in force for
the facility; and
                    (b) section 24A applies to the
ship so that the maritime security level in force for the facility is also in
force for the ship; and
                    (c) the master fails to acknowledge
the notification to the Secretary.
Penalty:Â 25 penalty units.
            (2) The master of a regulated foreign ship
commits an offence if:
                    (a) the master is given:
                             (i) a security direction
by the Secretary that relates to the operations of the ship; or
                            (ii) a control direction
that relates to the ship; and
                    (b) the master fails to acknowledge
the direction to the Secretary.
Penalty:Â 25 penalty units.
Ship operators
            (3) The ship operator for a regulated foreign
ship commits an offence if:
                    (a) the ship operator is notified by
the Secretary that maritime security level 2 or 3 is in force for the ship; and
                    (b) the ship operator fails to
acknowledge the notification to the Secretary.
Penalty:Â 100 penalty units.
            (4) The ship operator for a regulated foreign
ship commits an offence if:
                    (a) the ship operator is given:
                             (i) a security direction
by the Secretary that relates to the operations of the ship; or
                            (ii) a control direction
that relates to the ship; and
                    (b) the ship operator fails to
acknowledge the direction to the Secretary.
Penalty:Â 100 penalty units.
            (5) Subsections (1) to (4) are offences
of strict liability.
Division 3—Control directions
99Â
Secretary may give control directions
            (1) The Secretary may give a direction to:
                    (a) the ship operator for a regulated
foreign ship; or
                    (b) the master of the ship;
requiring the ship operator or master to take specified
action, or refrain from taking specified action, in relation to the ship.
            (2) A direction under subsection (1) is
a control direction.
            (3) However, the Secretary must not give a
control direction unless the direction is:
                    (a) necessary for ensuring compliance
with Division 2 of this Part; or
                    (b) a direction of a kind that can be
given, under Chapter XI‑2 of the SOLAS Convention or the ISPS Code, by a
port state to a foreign flagged ship.
            (4) The action that a ship operator or master
may be directed to take under subsection (1) includes, but is not limited
to, the following:
                    (a) removing the ship from Australian
waters;
                    (b) removing the ship from a security
regulated port;
                    (c) moving the ship within a security
regulated port;
                   (ca) removing the ship from an offshore
security zone;
                   (cb) if the ship is located in the
vicinity of a security regulated offshore facility and is engaged in any
activity in relation to the facility—removing the ship from the vicinity of the
facility;
                    (d) holding the ship in a particular
position for a specified period or until a specified event occurs;
                    (e) taking particular actions, or
ensuring that particular actions are taken, on board the ship;
                     (f) allowing a maritime security
inspector on board the ship to inspect the ship or ship security records
carried by the ship.
            (5) A control
direction has no effect until the Secretary commits the direction to writing.
Note:Â Â Â Â Â Â Â Â Â This requires the Secretary to have a written
record of a direction that is given orally.
            (6) The direction must not require the
payment of money to the Secretary (or any other person) other than an amount of
money that is already recoverable at law.
            (7) The regulations may prescribe
requirements for, or in relation to, the giving of control directions.
100Â
Enforcing control directions
            (1) The ship operator for a regulated foreign
ship must not engage in conduct that contravenes a control direction that
relates to the ship.
            (2) If a ship operator contravenes subsection (1),
the ship operator may be subject to an injunction under section 197.
            (3) The master of a regulated foreign ship
must not engage in conduct that contravenes a control direction that relates to
the ship.
            (4) If the master of a ship contravenes subsection (3),
the master may be subject to an injunction under section 197.
Part 5A—Offshore security plans
Division 1—Simplified overview of Part
100AÂ
Simplified overview of Part
Offshore security plans identify
security measures to be implemented when different maritime security levels are
in force.
Various offshore industry participants
are required to have, and comply with, offshore security plans.
Various other persons and ships are
required to comply with offshore security plans. This is dealt with in Division 3.
The content and form of offshore
security plans is dealt with in Division 4.
The approval of offshore security
plans by the Secretary is dealt with in Division 5. That Division also
deals with the variation and revision of plans, and with the cancellation of
the approval of plans.
Division 2—Offshore industry participants required to have offshore
security plans
100BÂ
Who must have offshore security plans
            (1) The following offshore industry
participants are required to have an offshore security plan:
                    (a) an offshore facility operator;
                    (b) a participant of a kind prescribed
in the regulations;
                    (c) a particular participant prescribed
in the regulations.
            (2) The Secretary may, by written notice
given to an offshore industry participant, permit the participant to have more
than one offshore security plan.
            (3) The notice must specify the operations or
locations to be covered by each plan.
            (4) If the participant has more than one
plan, the participant is required to have all of the plans specified in the
notice.
100CÂ
Offence—operating without an offshore security plan
            (1) An offshore industry participant commits
an offence if:
                    (a) the participant is required under
section 100B to have an offshore security plan; and
                    (b) there is not such a plan in force
for the participant.
Penalty: For an offshore facility operator—200 penalty units.
             For any other offshore industry participant—100 penalty
units.
            (2) Subsection (1) does not apply if the
participant has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
100DÂ
Offence—failing to comply with offshore security plan
            (1) An offshore industry participant commits
an offence if:
                    (a) the participant is required under
section 100B to have an offshore security plan; and
                    (b) there is such a plan for the
participant in force; and
                    (c) the participant fails to comply
with the plan.
Penalty: For an offshore facility operator—200 penalty units.
             For any other offshore industry participant—100
penalty units.
            (2) Subsection (1) does not apply if the
participant has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
Division 3—Complying with other plans
100EÂ
Complying with offshore security plans of offshore industry participants
            (1) A maritime industry participant must not
engage in conduct that hinders or obstructs compliance with an offshore
security plan of an offshore industry participant.
            (2) If:
                    (a) an offshore security plan (the covering
plan) for an offshore industry participant covers the activities of
another offshore industry participant; and
                    (b) the other participant:
                             (i) is not required to
have an offshore security plan; and
                            (ii) has been given the
relevant parts of the covering plan;
the other offshore industry participant must take all
reasonable steps to comply with the covering plan.
            (3) If:
                    (a) an offshore security plan (the covering
plan) for an offshore industry participant covers the activities of
another offshore industry participant; and
                    (b) the other participant:
                             (i) is required to have an
offshore security plan; and
                            (ii) has been given the
relevant parts of the covering plan; and
                           (iii) has agreed in writing
to those activities being covered by the covering plan;
the other offshore industry participant must take all
reasonable steps to comply with the covering plan.
            (4) If a maritime industry participant
contravenes subsection (1), (2) or (3), the participant does not commit an
offence but may be subject to an enforcement order (see section 189) or an
injunction under section 197.
100FÂ
Regulated Australian ships must not hinder or obstruct compliance with offshore
security plans
            (1) The operations of a regulated Australian
ship must not hinder or obstruct compliance with an offshore security plan.
            (2) If the operations of a regulated
Australian ship hinder or obstruct compliance with an offshore security plan,
either or both of the following may be subject to a ship enforcement order (see
section 195) or an injunction under section 197:
                    (a) the ship operator for the ship;
                    (b) the master of the ship.
Note:Â Â Â Â Â Â Â Â Â Obligations on regulated foreign ships are set
out in Division 2 of Part 5.
Division 4—Content and form of offshore security plans
100GÂ
Content of offshore security plans
            (1) An offshore security plan for an offshore
industry participant must:
                    (a) include a security assessment for:
                             (i) the participant’s
operation; or
                            (ii) if the participant has
more than one offshore security plan—the operations or locations covered by the
plan; and
                    (b) set out the security activities or
measures to be undertaken or implemented by the participant under the plan for
maritime security levels 1, 2 and 3; and
                    (c) designate, by name or by reference
to a position, all security officers responsible for implementing and
maintaining the plan; and
                    (d) make provision for the use of
declarations of security; and
                    (e) demonstrate that the
implementation of the plan will make an appropriate contribution towards the
achievement of maritime security outcomes; and
                     (f) complement, to the fullest extent
possible, the occupational health and safety requirements under the laws of the
Commonwealth, a State or Territory applying at the facility.
Note:Â Â Â Â Â Â Â Â Â The maritime security outcomes are set out in
subsection 3(4).
            (2) The security assessment under paragraph (1)(a)
must:
                    (a) take into account any documents
required in writing by the Secretary to be taken into account; and
                    (b) address any matters prescribed in
the regulations.
100HÂ
Prescribed content for offshore security plans
                  The regulations may prescribe specific
matters that are to be dealt with in one or more of the following:
                    (a) each offshore security plan;
                    (b) each offshore security plan for a
particular kind of offshore industry participant;
                    (c) each offshore security plan for a
particular class of a particular kind of offshore industry participant.
100IÂ
Form of offshore security plans
            (1) An
offshore security plan must be:
                    (a) in writing; and
                    (b) prepared in accordance with any
requirements set out in the regulations.
            (2) An offshore security plan must include:
                    (a) information on the location of
each offshore facility to which the plan relates; and
                    (b) if the Secretary has not
established any offshore security zones under subsection 113A(1) within or
around an offshore facility to which the plan relates, and the participant
proposes that the Secretary should establish such a zone or zones within or
around such a facility—information on each proposed zone; and
                    (c) if the Secretary has established
an offshore security zone or zones under subsection 113A(1) within or around an
offshore facility to which the plan relates:
                             (i) information on each
such zone; and
                            (ii) if the participant
proposes that such a zone be changed—information on the proposed change; and
                           (iii) if the participant
proposes that the Secretary should establish an additional offshore security
zone, or revoke the establishment of an existing offshore security zone, within
or around the facility—information on the zones within or around the facility
if the proposal were accepted.
Division 5—Approving, varying, revising and cancelling offshore security
plans
100JÂ
Providing offshore security plans for approval
            (1) An offshore industry participant may, by
written notice given to the Secretary, request the Secretary to approve an
offshore security plan for the participant.
            (2) The notice must be accompanied by a copy
of the plan.
100KÂ
Approval of offshore security plans
            (1) If the Secretary is satisfied that the
plan adequately addresses the relevant requirements under Division 4, the
Secretary must:
                    (a) approve the plan; and
                    (b) give the participant written
notice of the approval.
            (2) If the Secretary is not satisfied that
the plan adequately addresses the relevant requirements under Division 4,
the Secretary must:
                    (a) refuse to approve the plan; and
                    (b) give the participant written
notice of the refusal including reasons for the refusal.
            (3) In determining whether the plan
adequately addresses the relevant requirements under Division 4, the
Secretary may take account of existing circumstances as they relate to the
security of maritime transport and offshore facilities.
Failure to approve plan within consideration period
            (4) If:
                    (a) an offshore industry participant
gives the Secretary an offshore security plan; and
                    (b) the Secretary does not approve, or
refuse to approve, the plan within the consideration period;
the Secretary is taken to have refused to approve the
plan.
Note:Â Â Â Â Â Â Â Â Â An offshore industry participant may apply to
the Administrative Appeals Tribunal for review of a decision to refuse to
approve an offshore security plan under subsection (2) or (4): see section 201.
Secretary may request further information
            (5) The Secretary may, by written notice
given to the participant within the consideration period, request the
participant to give the Secretary specified information relevant to the
approval of the plan.
            (6) The notice must specify a period of not
more than 45 days within which the information must be given. However, if more
than one notice is given to the participant under subsection (5), the
total of the periods specified in the notices must not exceed 45 days.
Consideration period
            (7) The consideration period is
the period of 60 days commencing on the day on which the Secretary received the
plan, extended, in relation to each notice already given under
subsection (5), by a number of days equal to the number of days falling
within the period:
                    (a) commencing on the day on which the
notice under subsection (5) was given; and
                    (b) ending on:
                             (i) the day on which the
information requested in that notice was received by the Secretary; or
                            (ii) if the information is
not given within the period specified in that notice—the last day of that
period.
100LÂ
When an offshore security plan is in force
            (1) If the Secretary approves the offshore
security plan, the plan comes into force at the time specified in the notice of
approval.
            (2) However, if:
                    (a) the time specified in the notice
is earlier than the time at which the notice was given; or
                    (b) no time is specified in the notice
as the time when the plan comes into force;
the plan comes into force when the notice is given.
            (3) The plan remains
in force for a period of 5 years or such lesser period as the Secretary
specifies in the notice of approval (which must be at least 12 months), unless
before the end of that period:
                    (a) the plan is replaced under
subsection 100N(4) or 100O(4); or
                    (b) the approval of the plan is
cancelled under this Division.
100LAÂ
Offshore industry participant may submit variations to offshore security plans
            (1) If an offshore security plan for an
offshore industry participant is in force, the participant may, by written
notice given to the Secretary, request the Secretary to vary the plan.
            (2) The participant must set out the proposed
variation in the notice.
            (3) The notice must include:
                    (a) if the Secretary has established
an offshore security zone or zones under subsection 113A(1) within or around an
offshore facility to which the plan relates, and the participant proposes that
such a zone be changed—information on the proposed change; and
                    (b) if:
                             (i) the Secretary has
established an offshore security zone or zones under subsection 113A(1) within
or around an offshore facility to which the plan relates; and
                            (ii) the participant
proposes that the Secretary should establish an additional offshore security
zone, or revoke the establishment of an existing offshore security zone, within
or around the facility;
                           information on the zones within
or around the facility if the proposal were accepted.
         (3A) The notice must be prepared in accordance
with any requirements set out in the regulations.
            (4) If the Secretary is satisfied that
the plan, as varied, would continue to adequately address the relevant
requirements under Division 4, the Secretary must:
                    (a) approve the variation; and
                    (b) give the participant written
notice of the approval.
            (5) If the Secretary is not satisfied that
the plan, as varied, would continue to adequately address the relevant
requirements under Division 4, the Secretary must:
                    (a) refuse to approve the variation;
and
                    (b) give the participant written
notice of the refusal including reasons for the refusal.
            (6) In determining whether the plan, as
varied, would continue to adequately address the relevant requirements under
Division 4, the Secretary may take account of existing circumstances as
they relate to the security of maritime transport and offshore facilities.
Failure to approve variation within consideration
period
            (7) If:
                    (a) an offshore industry participant
gives the Secretary a notice requesting the Secretary to vary an offshore
security plan; and
                    (b) the Secretary does not approve, or
refuse to approve, the variation within the consideration period;
the Secretary is taken to have refused to approve the
variation.
Note:Â Â Â Â Â Â Â Â Â An offshore industry participant may apply to
the Administrative Appeals Tribunal for review of a decision to refuse to
approve a variation under subsection (5) or (7): see section 201.
Secretary may request further information
            (8) The Secretary may, by written notice
given to the participant within the consideration period, request the
participant to give the Secretary specified information relevant to the
approval of the variation.
            (9) The notice must specify a period of not
more than 45 days within which the information must be given. However, if more
than one notice is given to the participant under subsection (8), the
total of the periods specified in the notices must not exceed 45 days.
Consideration period
          (10) The consideration period is
the period of 60 days commencing on the day on which the notice under
subsection (1) requesting the variation was received by the Secretary,
extended, in relation to each notice already given under subsection (8),
by a number of days equal to the number of days falling within the period:
                    (a) commencing on the day on which the
notice under subsection (8) was given; and
                    (b) ending on:
                             (i) the day on which the
information requested in that notice was received by the Secretary; or
                            (ii) if the information is
not given within the period specified in that notice—the last day of that
period.
100MÂ
Secretary may direct variations of offshore security plans
            (1) If:
                    (a) an offshore security plan for an
offshore industry participant is in force; and
                    (b) the Secretary is no longer
satisfied that the plan adequately addresses the relevant requirements under
Division 4;
the Secretary may, by written notice given to the
participant, direct the participant to vary the plan.
            (2) However, the Secretary must not give a
direction under subsection (1) unless the Secretary is satisfied that the
plan, as varied, would adequately address the relevant requirements under
Division 4.
            (3) In the notice, the Secretary must:
                    (a) set out the variation; and
                    (b) specify the period within which
the participant must give the Secretary the plan as varied.
            (4) If the participant does not give the Secretary
the plan:
                    (a) varied in accordance with the
direction; and
                    (b) within the specified period, or
within any further period allowed by the Secretary;
the Secretary must, by written notice given to the
participant, cancel the approval of the plan.
100NÂ
Participants may revise offshore security plans
            (1) If an offshore security plan for an
offshore industry participant (the existing plan) is in force,
the participant may, by written notice given to the Secretary, request the
Secretary to approve another offshore security plan (the revised plan)
in its place.
            (2) The notice must be accompanied by a copy
of the revised plan.
            (3) If a request is made in accordance with
this section, sections 100K and 100L apply in relation to the revised
plan.
            (4) If the revised plan comes into force, it
replaces the existing plan.
100OÂ
Secretary may direct participants to revise offshore security plans
            (1) If:
                    (a) an offshore security plan for an
offshore industry participant (the existing plan) is in force;
and
                    (b) the Secretary is no longer
satisfied that the existing plan adequately addresses the relevant requirements
under Division 4:
                             (i) because there is a
change in circumstances that relate to the security of maritime transport or
offshore facilities; or
                            (ii) because there is a
change in circumstances that could impact on the security of maritime transport
or offshore facilities; or
                           (iii) for some other reason;
the Secretary may, by written notice given to the
participant, direct the participant to give the Secretary another offshore
security plan (the revised plan).
            (2) The notice must specify the period within
which the revised plan must be given.
         (2A) If the participant gives the Secretary the
revised plan within the specified period, or within any further period allowed
by the Secretary, sections 100K and 100L apply in relation to the revised
plan.
            (3) If the participant does not give the
Secretary the revised plan within the specified period, or within any further
period allowed by the Secretary, the Secretary must, by written notice given to
the participant, cancel the approval of the existing plan.
            (4) If the revised plan comes into force, it
replaces the existing plan.
100QÂ
Cancelling inadequate offshore security plans
                  If:
                    (a) an offshore security plan for an
offshore industry participant is in force; and
                    (b) the Secretary is no longer
satisfied that the plan adequately addresses the relevant requirements under
Division 4; and
                    (c) the Secretary is satisfied that it
is not appropriate to direct the participant to:
                             (i) vary the plan under
section 100M; or
                            (ii) revise the plan under
section 100O;
the Secretary must, by written notice given to the
participant, cancel the approval of the plan.
100RÂ
Cancelling for failure to comply with offshore security plans
            (1) If:
                    (a) an offshore security plan for an
offshore industry participant is in force; and
                    (b) the participant has accumulated
the number of demerit points prescribed by the regulations as the number
necessary for the Secretary to be able to cancel the approval of the plan;
the Secretary may, by written notice given to the
participant, cancel the approval of the plan.
Note:Â Â Â Â Â Â Â Â Â For the demerit points system, see Division 6
of Part 11.
            (2) Before cancelling the approval of a plan
under subsection (1), the Secretary may, by written notice given to the
participant, request the participant to show cause why the approval of the plan
should not be cancelled.
100SÂ
Cancelling offshore security plans where facility moved
                  If:
                    (a) an offshore security plan for an
offshore industry participant is in force; and
                    (b) the plan relates, in whole or in
part, to a particular offshore facility; and
                    (c) that facility is moved to a new
location for the purpose of extracting petroleum from the seabed or its
subsoil at that location;
the Secretary may, by written notice given to the
participant, cancel the approval of the plan.
100TÂ
Cancelling offshore security plans on request
                  If:
                    (a) an offshore security plan for an
offshore industry participant is in force; and
                    (b) the participant makes a written
request to the Secretary for the approval of the plan to be cancelled;
the Secretary must, by written notice given to the
participant, cancel the approval of the plan.
Part 5B—ISSC for an Australian ship regulated as an offshore
facility
Division 1—Simplified overview of Part
100UÂ
Simplified overview of Part
An Australian ship regulated as an
offshore facility is required to have an ISSC (International Ship Security
Certificate).
Division 2 provides for the
Secretary to issue ISSCs and interim ISSCs for those ships.
Division 3 allows the Secretary
to delegate his or her powers under this Part to registered security
organisations.
Division 2—ISSC obligations
100VÂ
Australian ship regulated as an offshore facility to have ISSC
                  An Australian ship regulated as an
offshore facility must have an ISSC.
100WÂ
Offence—operating without an ISSC
            (1) The offshore facility operator for an
Australian ship regulated as an offshore facility commits an offence if:
                    (a) the ship is being used for
maritime transport or the extraction of petroleum from the seabed or its
subsoil; and
                    (b) there is no ISSC or interim ISSC
in force for the ship.
Penalty:Â 200 penalty units.
            (2) Subsection (1) does not apply if the
offshore facility operator has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
100XÂ
Applying for an ISSC
            (1) The offshore facility operator for an
Australian ship regulated as an offshore facility may apply to the Secretary
for an ISSC for the ship.
            (2) The application must be in accordance
with any requirements prescribed in the regulations. The regulations may prescribe
requirements in relation to the form and content of the application, and the
way in which the application is made.
100YÂ
Conditions for giving an ISSC
                  The Secretary must give an offshore
facility operator an ISSC for an Australian ship regulated as an offshore
facility if:
                    (a) the operator has applied for an
ISSC for the ship; and
                    (b) there is an offshore security plan
in force for the ship, or the security regulated offshore facility of which the
ship forms a part; and
                    (c) the ship is ISSC verified.
100ZÂ
ISSC verification
            (1) An Australian ship regulated as an
offshore facility is ISSC verified if:
                    (a) a maritime security inspector has
inspected the ship; and
                    (b) the maritime security inspector
has verified that the ship meets the requirements determined in writing by the
Secretary; and
                    (c) the period, determined in writing
by the Secretary, within which the ship must be next inspected has not ended.
Note:Â Â Â Â Â Â Â Â Â Sections 138 and 140A set out the
inspection powers of maritime security inspectors in relation to Australian
ships regulated as offshore facilities.
            (2) In making a determination under subsection (1),
the Secretary must have regard to the obligations set out in the ISPS Code.
            (3) If:
                    (a) there is an ISSC in force for an
Australian ship regulated as an offshore facility; and
                    (b) a maritime security inspector
inspects the ship; and
                    (c) the inspector finds that the ship
does not meet the requirements determined under paragraph (1)(b); and
                    (d) the ship does not meet those
requirements within any period allowed in writing by the inspector;
the ship is no longer ISSC verified.
100ZAÂ
When an ISSC is in force
                  If the Secretary gives an ISSC to the
offshore facility operator for an Australian ship regulated as an offshore
facility, the ISSC comes into force when it is given and remains in force until
any of the following occurs:
                    (a) the Secretary cancels the ISSC;
                    (b) the offshore facility operator is
no longer the offshore facility operator for the ship;
                    (c) the period of 5 years after the
ISSC is given expires.
100ZBÂ
Cancelling ISSCs
                  The Secretary must, by written notice
given to the offshore facility operator for an Australian ship regulated as an
offshore facility, cancel the ISSC for the ship if either of the following
occurs:
                    (a) there is no longer an offshore
security plan in force for the ship, or the security regulated offshore
facility of which the ship forms a part;
                    (b) the ship is no longer ISSC
verified.
100ZCÂ
Interim ISSCs
            (1) If:
                    (a) the offshore facility operator for
an Australian ship regulated as an offshore facility has applied to the
Secretary for an ISSC for the ship; and
                    (b) there is an offshore security plan
in force for the ship, or the security regulated offshore facility of which the
ship forms a part; and
                    (c) the ship is not ISSC verified; and
                    (d) the Secretary reasonably believes
that, were the ship to be inspected as mentioned in subsection 100Z(1), the
ship would be ISSC verified;
the Secretary may give the operator an interim ISSC for
the ship.
            (2) If:
                    (a) the Secretary has given an
offshore facility operator an ISSC for an Australian ship regulated as an
offshore facility; and
                    (b) while the ISSC is in force,
another offshore facility operator becomes the offshore facility operator for
the ship;
the Secretary may give the other offshore facility
operator an interim ISSC for the ship.
            (3) An interim ISSC is in force for the
period, not exceeding 6 months, specified in the interim ISSC.
100ZDÂ
Offence—false or misleading statements in relation to having an ISSC
            (1) The master of an Australian ship
regulated as an offshore facility commits an offence if:
                    (a) the master makes a statement
(whether orally, in a document or in any other way); and
                    (b) the master does so knowing that
the statement:
                             (i) is false or
misleading; or
                            (ii) omits any matter or
thing without which the statement is misleading; and
                    (c) the statement is made in
connection with whether an ISSC or interim ISSC is in force for the ship; and
                    (d) any of the following subparagraphs
applies:
                             (i) the statement is made
to a maritime industry participant;
                            (ii) the statement is made
to a person who is authorised by a Contracting state to the SOLAS Convention to
request information about, or in connection with, whether a valid ISSC or interim
ISSC is in force for the ship;
                           (iii) the statement is made
to a person who is exercising powers or performing functions under, or in
connection with, a law of the Commonwealth;
                           (iv) the statement is made
in compliance or purported compliance with a law of the Commonwealth.
Penalty:Â 50 penalty units.
            (2) Absolute liability applies to each of the
subparagraph (1)(d)(i), (ii), (iii) and (iv) elements of the offence.
            (3) Subsection (1) does not apply as a
result of subparagraph (1)(b)(i) if the statement is not false or
misleading in a material particular.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
            (4) Subsection (1) does not apply as a
result of subparagraph (1)(b)(ii) if the statement did not omit any matter
or thing without which the statement is misleading in a material particular.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (4) (see subsection 13.3(3) of the Criminal
Code).
Division 3—Recognised security organisations
100ZEÂ
Secretary may delegate powers and functions under this Part
            (1) The Secretary may, by writing, delegate
all or any of his or her powers and functions under Part 5B to a person
who:
                    (a) satisfies the criteria prescribed
in the regulations; and
                    (b) is engaged by a recognised
security organisation.
Note:Â Â Â Â Â Â Â Â Â The Secretary may determine that an
organisation is a recognised security organisation under subsection 88(2).
            (2) In exercising powers or functions
delegated under subsection (1), the delegate must comply with any
directions of the Secretary.
100ZFÂ
Recognised security organisations may conduct ISSC inspections
            (1) The Secretary may, by writing, authorise
a person to whom powers and functions can be delegated under subsection
100ZE(1) to conduct inspections of ships for the purposes of verifying that
ships meet the requirements necessary for ISSC verification.
            (2) If a person authorised under subsection (1)
conducts a ship inspection, the person is taken to be a maritime security
inspector for the purposes of subsection 100Z(1).
Part 5C—Foreign ships regulated as offshore facilities
Division 1—Simplified overview of Part
100ZGÂ
Simplified overview of Part
Division 2 sets out the
obligations to be met by foreign ships regulated as offshore facilities and
requires offshore facility operators for, and the masters of, those ships to
acknowledge certain communications.
Division 3 provides for the
Secretary to give control directions to foreign ships regulated as offshore
facilities to ensure that security standards are maintained.
Division 2—Obligations on regulated foreign ships
100ZHÂ
Foreign ship regulated as an offshore facility to have ISSC
            (1) The offshore facility operator for a
foreign ship regulated as an offshore facility must:
                    (a) have a valid ISSC, or an approved
ISSC equivalent, for the ship; and
                    (b) ensure that the ship carries the
required ship security records.
            (2) If the offshore facility operator for a
foreign ship regulated as an offshore facility contravenes subsection (1),
the offshore facility operator or the master of the ship may be given a control
direction under Division 3.
100ZIÂ
Foreign ship regulated as an offshore facility must provide pre‑arrival
information
            (1) The master of a foreign ship regulated as
an offshore facility that is:
                    (a) in Australian waters; or
                    (b) intending to proceed to an
Australian port;
must provide pre‑arrival information in accordance
with the regulations.
            (2) The regulations may prescribe:
                    (a) the person or persons to whom pre‑arrival
information must be given; and
                    (b) the circumstances in which pre‑arrival
information must be given; and
                    (c) the form and manner in which pre‑arrival
information must be given.
            (3) The regulations may provide that
different pre‑arrival information is to be provided before entering
different places or areas as mentioned in paragraphs 92(3)(a) to (d).
            (4) If the master of a ship contravenes subsection (1),
the master or the offshore facility operator for the ship may be given a
control direction under Division 3.
100ZJÂ
Foreign ship regulated as an offshore facility must allow inspections etc.
            (1) The master of a foreign ship regulated as
an offshore facility must allow a maritime security inspector to board and
inspect the ship in accordance with Division 2 of Part 8.
            (2) The master of a foreign ship regulated as
an offshore facility must provide a maritime security inspector with any ship
security records kept on the ship when requested by the maritime security
inspector to do so.
            (3) If the master of a ship contravenes subsection (1)
or (2), the master or the offshore facility operator for the ship may be given
a control direction under Division 3.
100ZKÂ
Foreign ship regulated as an offshore facility must comply with security
directions
            (1) If the Secretary gives a security
direction to a foreign ship regulated as an offshore facility under section 36A,
the ship must comply with the direction.
            (2) If a foreign ship regulated as an
offshore facility does not comply with a security direction, the offshore
facility operator for, or the master of, the ship may be given a control
direction under Division 3.
Note:Â Â Â Â Â Â Â Â Â In addition, the offshore facility operator
for, or the master of, a foreign ship regulated as an offshore facility may
commit an offence if the ship fails to comply with a security direction: see
subsection 39(1).
100ZLÂ
Acknowledging level notifications and directions
Masters of ships
            (1) The master of a foreign ship regulated as
an offshore facility commits an offence if:
                    (a) the master is notified by the
Secretary, a port operator or the offshore facility operator that maritime
security level 2 or 3 is in force for the ship; and
                    (b) the
master fails to acknowledge the notification to the Secretary.
Penalty:Â 25 penalty units.
            (2) The master of a foreign ship regulated as
an offshore facility commits an offence if:
                    (a) the master is given:
                             (i) a security direction
by the Secretary that relates to the operations of the ship; or
                            (ii) a control direction
that relates to the ship; and
                    (b) the master fails to acknowledge
the direction to the Secretary.
Penalty:Â 25 penalty units.
Offshore facility operators
            (3) The offshore facility operator for a
foreign ship regulated as an offshore facility commits an offence if:
                    (a) the offshore facility operator is
notified by the Secretary or a port operator that maritime security level 2 or
3 is in force for the ship; and
                    (b) the offshore facility operator
fails to acknowledge the notification to the Secretary.
Penalty:Â 100 penalty units.
            (4) The offshore facility operator for a
foreign ship regulated as an offshore facility commits an offence if:
                    (a) the offshore facility operator is
given:
                             (i) a security direction
by the Secretary that relates to the operations of the ship; or
                            (ii) a control direction
that relates to the ship; and
                    (b) the offshore facility operator
fails to acknowledge the direction to the Secretary.
Penalty:Â 100 penalty units.
            (5) Subsections (1) to (4) are offences
of strict liability.
Division 3—Control directions
100ZMÂ
Secretary may give control directions
            (1) The Secretary may give a direction to:
                    (a) the offshore facility operator for
a foreign ship regulated as an offshore facility; or
                    (b) the master of the ship;
requiring the offshore facility operator or master to take
specified action, or refrain from taking specified action, in relation to the
ship.
            (2) A direction under subsection (1) is
a control direction.
            (3) However, the Secretary must not give a
control direction unless the direction is:
                    (a) necessary for ensuring compliance
with Division 2 of this Part; or
                    (b) a direction of a kind that can be
given, under Chapter XI‑2 of the SOLAS Convention or the ISPS Code, by a
port state to a foreign flagged ship.
            (4) The action that an offshore facility
operator or master may be directed to take under subsection (1) includes,
but is not limited to, the following:
                    (a) removing the ship from Australian
waters;
                    (b) removing the ship from a security
regulated port;
                    (c) moving the ship within a security
regulated port;
                    (d) removing the ship from an offshore
security zone;
                    (e) moving the ship within or around
an offshore security zone;
                     (f) holding the ship in a particular
position for a specified period or until a specified event occurs;
                    (g) taking particular actions, or
ensuring that particular actions are taken, on board the ship;
                    (h) allowing a maritime security
inspector on board the ship to inspect the ship or ship security records
carried by the ship.
            (5) A control direction
has no effect until the Secretary commits the direction to writing.
Note:Â Â Â Â Â Â Â Â Â This requires the Secretary to have a written
record of a direction that is given orally.
            (6) The direction must not require the
payment of money to the Secretary (or any other person) other than an amount of
money that is already recoverable at law.
            (7) The regulations may prescribe
requirements for, or in relation to, the giving of control directions.
100ZNÂ
Enforcing control directions
            (1) The offshore facility operator for a
foreign ship regulated as an offshore facility must not engage in conduct that
contravenes a control direction that relates to the ship.
            (2) If an offshore facility operator
contravenes subsection (1), the offshore facility operator may be subject
to an injunction under section 197.
            (3) The master of a foreign ship regulated as
an offshore facility must not engage in conduct that contravenes a control
direction that relates to the ship.
            (4) If the master of a ship contravenes subsection (3),
the master may be subject to an injunction under section 197.
Part 6—Maritime security zones
Division 1—Simplified overview of Part
101Â
Simplified overview of Part
Maritime security zones are used to
subject areas within ports, on and around ships, and on and around offshore
facilities to additional security requirements.
Division 2 allows the Secretary
to establish one or more port security zones within a security regulated port.
Division 3 allows the Secretary
to declare that a ship security zone is to operate around a security regulated
ship while it is in a security regulated port or near a security regulated
offshore facility.
Division 4 allows the Secretary
to establish one or more on‑board security zones on a regulated
Australian ship.
Division 5 allows the Secretary
to establish one or more offshore security zones on and around a security
regulated offshore facility.
The regulations may prescribe
different types of port, ship, on‑board and offshore security zones and
the requirements to be met in relation to each type of zone.
Division 2—Port security zones
102Â
Establishing port security zones
            (1) The Secretary may, by written notice
given to the port operator for a security regulated port, establish one or more
port security zones within the port. Each port security zone must
be of a type prescribed under section 103.
            (2) The notice must include a map of the port
that shows the boundaries of the port security zones.
         (2A) If:
                    (a) a maritime security plan for a
port operator for a security regulated port includes a map in accordance with
paragraph 49(2)(a) or subparagraph 49(2)(b)(ii) or (iii); and
                    (b) the Secretary gives the port
operator notice under paragraph 51(1)(b) approving the plan;
the Secretary is taken to have given the port operator a notice
under subsection (1) of this section (including a map as mentioned in
subsection (2)) establishing, or revoking the establishment of, port
security zones, as proposed by the operator in the map included in the plan.
         (2B) If:
                    (a) a notice under subsection 52A(1)
requesting the Secretary to vary a maritime security plan for a port operator
for a security regulated port includes a map in accordance with subsection
52A(3); and
                    (b) the Secretary gives the port
operator notice under paragraph 52A(4)(b) approving the variation;
the Secretary is taken to have given the port operator a
notice under subsection (1) of this section (including a map as mentioned
in subsection (2)) establishing, or revoking the establishment of, port
security zones, as proposed by the port operator in the map included in the
notice requesting the variation.
Note:Â Â Â Â Â Â Â Â Â For variation and revocation of instruments
under subsection (1), see subsection 33(3) of the Acts Interpretation
Act 1901.
            (3) If the
Secretary establishes a port security zone under subsection (1), the
Secretary must, by writing, notify the establishment to each maritime industry
participant (other than the port operator) who controls an area included within
the zone. The notice must include a map that shows the boundaries of the zone.
            (4) The purpose of port security zones is to
subject those zones to additional security requirements.
103Â
Types of port security zones
            (1) The regulations may prescribe different
types of port security zones.
            (2) The purposes for which different types of
port security zones may be prescribed include, but are not limited to, the
following:
                    (a) controlling the movement of people
or ships or any other thing within security regulated ports;
                    (b) restricting access to areas within
security regulated ports;
                    (c) providing cleared areas within
security regulated ports;
                    (d) preventing interference with
ships;
                    (e) preventing interference with
people or goods that have been, or are to be, transported by ship;
                     (f) ensuring the security of the following:
                             (i) fuel storage areas;
                            (ii) cargo and baggage
handling facilities;
                           (iii) navigational aids;
                           (iv) critical installations.
            (3) An installation is a critical
installation if interference with, or damage to, the installation could
put the operation of a port or a ship at risk.
104Â
Matters to be considered in establishing port security zones
                  In establishing a port security zone,
the Secretary must have regard to the purpose of the zone, and take into
account:
                    (a) the existing physical features of
the port; and
                    (b) the existing operational features
of the port; and
                    (c) the
views of:
                             (i) the
port operator; and
                            (ii) each person who
controls an area of land (including any buildings on the land) that is to be
included within the boundaries of the zone; and
                           (iii) the offshore facility
operator for each security regulated offshore facility (if any), all or part of
which is to be included within the boundaries of the zone.
105Â
Requirements for port security zones
            (1) The regulations may, for the purposes of
safeguarding against unlawful interference with maritime transport or offshore
facilities, prescribe requirements in relation to each type of port security
zone.
            (2) The following matters may be dealt with
by regulations made under subsection (1):
                    (a) access to port security zones
(including conditions of access, the issue and use of security passes and other
identification systems);
                    (b) the identification or marking of
port security zones;
                    (c) the movement, management or
operation of ships and other vessels and vehicles and other things in port
security zones;
                    (d) the maintenance of the integrity
of port security zones;
                    (e) the management of people and goods
(including the management of unaccompanied, unidentified or suspicious goods)
in port security zones;
                     (f) the management (including the
sale or disposal) of ships, other vessels, vehicles or goods abandoned in port
security zones;
                    (g) when prescribed requirements are
to be met.
            (3) Regulations made under this section may
prescribe penalties for offences against those regulations. The penalties must
not exceed:
                    (a) for an offence committed by a port
operator, ship operator, port facility operator or offshore facility operator—200
penalty units; or
                    (b) for an offence committed by a maritime
industry participant, other than a participant covered by paragraph (a)—100
penalty units; or
                    (c) for an offence committed by any
other person—50 penalty units.
Note:Â Â Â Â Â Â Â Â Â If a body corporate is convicted of an offence
against regulations made under this section, subsection 4B(3) of the Crimes
Act 1914 allows a court to impose fines of up to 5 times the penalties
stated above.
            (4) Regulations made under subsection (1)
may provide for the recovery by a person of costs and expenses reasonably
incurred by the person in relation to the performance of functions, or the
exercise of powers, by the person in relation to a security identification card
scheme set out in those regulations. An amount recoverable under those
regulations must not be such as to amount to taxation.
            (5) Regulations made under subsection (1)
may authorise the use or disclosure of information (including personal
information within the meaning of the Privacy Act 1988) for the purposes
of, or in relation to, assessing the security risk posed by a person.
Division 3—Ship security zones
106Â
Declaring ship security zones
Ships within a port
            (1) The Secretary may, by written notice
given to:
                    (a) the ship operator for, or the
master of, a security regulated ship; and
                    (b) the port operator for a security
regulated port;
declare that a ship security zone is to
operate around the ship while the ship is within the port. The ship security
zone must be of a type prescribed under section 107.
Ships near an offshore facility
         (1A) The Secretary may, by written notice given
to:
                    (a) the ship operator for, or the
master of, a security regulated ship; and
                    (b) the offshore facility operator for
a security regulated offshore facility;
declare that a ship security zone is to
operate around the ship while the ship is in the vicinity of the facility and
is engaged in any activity in relation to the facility. The ship security zone
must be of a type prescribed under section 107.
Purpose of ship security zones
            (2) The purpose of ship security zones is to
protect ships within those zones from unlawful interference with maritime
transport or offshore facilities.
            (3) To avoid doubt, if:
                    (a) a ship security zone is operating
around a ship; and
                    (b) a person or thing is on board the
ship;
the person or thing is not in the ship security zone.
Note:Â Â Â Â Â Â Â Â Â The Secretary may establish on‑board
security zones on regulated Australian ships: see subsection 110(1).
107Â
Types of ship security zones
            (1) The regulations may prescribe different
types of ship security zones.
            (2) The purposes for which different types of
ship security zones may be prescribed include, but are not limited to, the
following:
                    (a) limiting contact with security
regulated ships;
                    (b) controlling the movement of ships
and other things in the vicinity of a security regulated ship;
                    (c) providing cleared areas around
security regulated ships;
                    (d) preventing interference with
security regulated ships;
                    (e) preventing interference with
people or goods that have been, or are to be, transported by security regulated
ships.
108Â
Matters to be considered in declaring ship security zones
Ship within a port
            (1) In declaring under subsection 106(1) that
a ship security zone is to operate around a security regulated ship, the
Secretary must have regard to the purpose of the zone, and take into account:
                    (a) the operational features of the
ship; and
                    (b) the existing physical features of
the port or ports, and related port services, to be used by the ship; and
                    (c) the existing operational features
of the port or ports, and related port services, to be used by the ship.
Ships near an offshore facility
            (2) In declaring under subsection 106(1A)
that a ship security zone is to operate around a security regulated ship, the
Secretary must have regard to the purpose of the zone, and take into account:
                    (a) the operational features of the
ship; and
                    (b) the existing physical features of
the offshore facility or offshore facilities to be serviced by the ship; and
                    (c) the existing operational features
of the offshore facility or offshore facilities to be serviced by the ship.
109Â
Requirements for ship security zones
            (1) The regulations may, for the purposes of
safeguarding against unlawful interference with maritime transport or offshore
facilities, prescribe requirements in relation to each type of ship security
zone.
            (2) The following matters may be dealt with
by regulations made under subsection (1):
                    (a) access to ship security zones
(including conditions of access, the issue and use of security passes and other
identification systems);
                    (b) the identification or marking of
ship security zones;
                    (c) the movement, management or
operation of ships and other vessels and vehicles and other things in ship
security zones;
                    (d) the maintenance of the integrity
of ship security zones;
                    (e) the management of people and goods
(including the management of unaccompanied, unidentified or suspicious goods)
in ship security zones;
                     (f) the management (including the
sale or disposal) of things abandoned in ship security zones;
                    (g) when prescribed requirements are
to be met.
            (3) Regulations made under this section may
prescribe penalties for offences against those regulations. The penalties must
not exceed:
                    (a) for an offence committed by a port
operator, ship operator, port facility operator or offshore facility operator—200
penalty units; or
                    (b) for an offence committed by a
maritime industry participant, other than a participant covered by paragraph (a)—100
penalty units; or
                    (c) for an offence committed by any
other person—50 penalty units.
Note:Â Â Â Â Â Â Â Â Â If a body corporate is convicted of an offence
against regulations made under this section, subsection 4B(3) of the Crimes
Act 1914 allows a court to impose fines of up to 5 times the penalties
stated above.
            (4) Regulations
made under subsection (1) may provide for the recovery by a person of
costs and expenses reasonably incurred by the person in relation to the
performance of functions, or the exercise of powers, by the person in relation
to a security identification card scheme set out in those regulations. An
amount recoverable under those regulations must not be such as to amount to
taxation.
            (5) Regulations made under subsection (1)
may authorise the use or disclosure of information (including personal
information within the meaning of the Privacy Act 1988) for the purposes
of, or in relation to, assessing the security risk posed by a person.
Division 4—On‑board security zones
110Â
Establishing on‑board security zones
            (1) The Secretary may, by written notice
given to the ship operator for a regulated Australian ship, establish one or
more on‑board security zones on the ship. Each on‑board
security zone must be of a type prescribed under section 111.
            (2) The notice must identify the areas or
parts of the ship to be covered by the on‑board security zone or zones.
            (3) The purpose of on‑board security
zones is to subject those zones to additional security requirements.
111Â
Types of on‑board security zones
            (1) The regulations may prescribe different
types of on‑board security zones.
            (2) The purposes for which different types of
on‑board security zones may be prescribed include, but are not limited
to, the following:
                    (a) controlling access to areas or
parts of regulated Australian ships;
                    (b) maintaining the security of areas
or parts of regulated Australian ships;
                    (c) providing cleared areas on
regulated Australian ships;
                    (d) preventing interference with the
operation of regulated Australian ships;
                    (e) preventing interference with
people or goods that are being, have been, or are to be, transported by
regulated Australian ships.
112Â
Matters to be considered in establishing on‑board security zones
                  In establishing an on‑board
security zone on a regulated Australian ship, the Secretary must:
                    (a) have regard to the purpose of the
zone; and
                    (b) take into account:
                             (i) the operational
features of the ship; and
                            (ii) the views of the ship
operator for the ship.
113Â
Requirements for on‑board security zones
            (1) The regulations may, for the purposes of
safeguarding against unlawful interference with maritime transport or offshore
facilities, prescribe requirements in relation to each type of on‑board
security zone.
            (2) The following matters may be dealt with
by regulations made under subsection (1):
                    (a) access to on‑board security
zones (including conditions of access, the issue and use of security passes and
other identification systems);
                    (b) the identification or marking of
on‑board security zones;
                    (c) the movement, management or
operation of vehicles and other things in on‑board security zones;
                    (d) the maintenance of the integrity
of on‑board security zones;
                    (e) the management of people and goods
(including the management of unaccompanied, unidentified or suspicious goods)
in on‑board security zones;
                     (f) the management (including the
sale or disposal) of things abandoned in on‑board security zones;
                    (g) when prescribed requirements are
to be met.
            (3) Regulations made under this section may
prescribe penalties for offences against those regulations. The penalties must
not exceed:
                    (a) for an offence committed by a port
operator, ship operator, port facility operator or offshore facility operator—200
penalty units; or
                    (b) for an offence committed by a
maritime industry participant, other than a participant covered by paragraph (a)—100
penalty units; or
                    (c) for an offence committed by any
other person—50 penalty units.
Note:Â Â Â Â Â Â Â Â Â If a body corporate is convicted of an offence
against regulations made under this section, subsection 4B(3) of the Crimes
Act 1914 allows a court to impose fines of up to 5 times the penalties
stated above.
            (4) Regulations
made under subsection (1) may provide for the recovery by a person of
costs and expenses reasonably incurred by the person in relation to the
performance of functions, or the exercise of powers, by the person in relation
to a security identification card scheme set out in those regulations. An
amount recoverable under those regulations must not be such as to amount to
taxation.
            (5) Regulations made under subsection (1)
may authorise the use or disclosure of information (including personal
information within the meaning of the Privacy Act 1988) for the purposes
of, or in relation to, assessing the security risk posed by a person.
Division 5—Offshore security zones
113AÂ
Establishing offshore security zones
            (1) The Secretary may, by written notice
given to the offshore facility operator for a security regulated offshore
facility, establish one or more offshore security zones within
and around the facility. Each offshore security zone must be of a type
prescribed under section 113B.
            (2) The notice must include information about
the location and boundaries of the offshore security zones of the kind and in
the form prescribed by the regulations.
         (2A) If:
                    (a) an offshore security plan for an
offshore facility operator includes information in accordance with paragraph
100I(2)(b) or subparagraph 100I(2)(c)(ii) or (iii) relating to proposed changes
to the offshore security zones within or around an offshore facility; and
                    (b) the Secretary gives the offshore
facility operator notice under paragraph 100K(1)(b) approving the plan;
the Secretary is taken to have given the offshore facility
operator a notice under subsection (1) of this section (including
information as mentioned in subsection (2)) establishing, or revoking the
establishment of, offshore security zones, as proposed by the offshore facility
operator in the information included in the plan.
         (2B) If:
                    (a) a notice under subsection 100LA(1)
requesting the Secretary to vary an offshore security plan for an offshore
facility operator includes information in accordance with subsection 100LA(3);
and
                    (b) the Secretary gives the offshore
facility operator notice under paragraph 100LA(4)(b) approving the variation;
the Secretary is taken to have given the offshore facility
operator a notice under subsection (1) of this section (including
information as mentioned in subsection (2)) establishing, or revoking the
establishment of, offshore security zones, as proposed by the offshore facility
operator in the information included in the notice requesting the variation.
Note:Â Â Â Â Â Â Â Â Â For variation and revocation of instruments
under subsection (1), see subsection 33(3) of the Acts Interpretation
Act 1901.
            (3) If the Secretary establishes an offshore
security zone under subsection (1), the offshore facility operator must,
by writing, notify the establishment to each maritime industry participant
(other than the offshore facility operator) who conducts operations within the
zone. The notice must include information about the location and boundaries of
the zone of the kind and in the form prescribed by the regulations.
            (4) The purpose of offshore security zones is
to subject those zones to additional security requirements.
113BÂ
Types of offshore security zones
            (1) The regulations may prescribe different
types of offshore security zones.
            (2) The purposes for which different types of
offshore security zones may be prescribed include, but are not limited to, the
following:
                    (a) limiting contact with security
regulated offshore facilities;
                    (b) controlling the movement of people
within a security regulated offshore facility;
                    (c) controlling the movement of ships
and other things within and around a security regulated offshore facility;
                    (d) providing cleared areas within and
around security regulated offshore facilities;
                    (e) preventing interference with
security regulated offshore facilities;
                     (f) preventing interference with
people or goods (including petroleum) that have been, or are to be, transported
to or from security regulated offshore facilities.
113CÂ
Matters to be considered in establishing offshore security zones
                  In establishing an offshore security
zone, the Secretary must:
                    (a) have regard to the purpose of the
zone; and
                    (b) take
into account:
                             (i) the existing physical
features of the security regulated offshore facility; and
                            (ii) the existing
operational features of the facility; and
                           (iii) the views of the
offshore facility operator and, if all or part of the zone is within a security
regulated port, the port operator for that port; and
                    (c) act consistently with Australia’s
obligations under international law.
113DÂ
Requirements for offshore security zones
            (1) The regulations may, for the purposes of
safeguarding against unlawful interference with maritime transport or offshore
facilities, prescribe requirements in relation to each type of offshore
security zone.
            (2) The following matters may be dealt with
by regulations made under subsection (1):
                    (a) access to offshore security zones
(including conditions of access, the issue and use of security passes and other
identification systems);
                    (b) the identification or marking of
offshore security zones;
                    (c) the movement, management or
operation of ships and other vessels and vehicles and other things in offshore
security zones;
                    (d) the maintenance of the integrity
of offshore security zones;
                    (e) the management of people and goods
(including the management of unaccompanied, unidentified or suspicious goods)
in offshore security zones;
                     (f) the management (including the
sale or disposal) of ships, other vessels, vehicles or goods abandoned in
offshore security zones;
                    (g) when prescribed requirements are
to be met;
                    (h) the suspension of the existence of
an offshore security zone in prescribed circumstances.
            (3) Regulations
made under this section may prescribe penalties for offences against those
regulations. The penalties must not exceed:
                    (a) for an offence committed by a port
operator, ship operator, port facility operator or offshore facility
operator—200 penalty units; or
                    (b) for an offence committed by a
maritime industry participant, other than a participant covered by paragraph (a)—100
penalty units; or
                    (c) for an offence committed by any
other person—50 penalty units.
Note:Â Â Â Â Â Â Â Â Â If a body corporate is convicted of an offence
against regulations made under this section, subsection 4B(3) of the Crimes
Act 1914 allows a court to impose fines of up to 5 times the penalties
stated above.
            (4) Regulations made under subsection (1)
may provide for the recovery by a person of costs and expenses reasonably
incurred by the person in relation to the performance of functions, or the
exercise of powers, by the person in relation to a security identification card
scheme set out in those regulations. An amount recoverable under those
regulations must not be such as to amount to taxation.
            (5) Regulations made under subsection (1)
may authorise the use or disclosure of information (including personal
information within the meaning of the Privacy Act 1988) for the purposes
of, or in relation to, assessing the security risk posed by a person.
            (6) Regulations made under subsection (1)
must be consistent with Australia’s obligations under international law.
Part 7—Other security measures
Division 1—Simplified overview of Part
114Â
Simplified overview of Part
This Part imposes requirements in
relation to screening and clearing, weapons and prohibited items.
A person may be required to be receive
clearance to enter certain areas, use certain vehicles or board certain
vessels. This will usually involve screening. Vehicles, goods and vessels may
also be screened. Division 2 deals with screening and clearing.
Divisions 3 and 4 impose
requirements in relation to the carriage and possession of weapons and
prohibited items in maritime security zones, on board regulated Australian
ships and on board ships regulated as offshore facilities. There are also
prohibitions on carrying weapons and prohibited items through screening points.
Division 2—Screening and clearing
115Â
Screening and clearing people
            (1) A person is screened when
the person undergoes screening in accordance with regulations made under
section 119 in preparation for:
                    (a) boarding a vessel; or
                    (b) entering an area within a security
regulated port or an offshore security zone.
Note:Â Â Â Â Â Â Â Â Â Division 6 of Part 8 deals with the
screening officers.
            (2) A person receives clearance
if:
                    (a) after being screened, the person
is allowed, by a screening officer, to pass through the screening point; or
                    (b) the person passes through the
screening point and the regulations provide, or the Secretary by written notice
provides, that the person may pass through that screening point without being
screened; or
                    (c) the person enters a cleared area
or boards a cleared vessel other than through a screening point and the
regulations provide, or the Secretary by written notice provides, that the
person may enter the area or board the vessel that way.
            (3) A person is cleared at a
particular time if:
                    (a) the person has received clearance;
and
                    (b) since receiving clearance, the
person has at all times been in a cleared area or on a cleared vessel.
            (4) For the purposes of paragraph (3)(b),
a person is taken to be in a cleared area if the person is under the
supervision or control prescribed in the regulations.
            (5) To avoid doubt:
                    (a) a notice under paragraph (2)(b)
may provide that a class of persons may pass through a screening point without
being screened; and
                    (b) a notice under paragraph (2)(c)
may provide that a class of persons may enter a cleared area or board a cleared
vessel other than through a screening point.
116Â
Screening and clearing goods
            (1) Goods are screened when the
goods undergo screening in accordance with regulations made under section 119
in preparation for:
                    (a) being taken on board a vessel; or
                    (b) being taken into an area within a
security regulated port or an offshore security zone.
            (2) Goods receive clearance if:
                    (a) after being screened, the goods
are allowed, by a screening officer, to pass through the screening point; or
                    (b) the goods pass through the
screening point and the regulations provide, or the Secretary by written notice
provides, that the goods may pass through that screening point without being
screened; or
                    (c) the goods enter a cleared area or
are taken on board a cleared vessel other than through a screening point and
the regulations provide, or the Secretary by written notice provides, that the
goods may enter the area or be taken on board the vessel that way.
            (3) Goods are cleared at a
particular time if:
                    (a) the goods have received clearance;
and
                    (b) since receiving clearance, the
goods have at all times been in a cleared area or on a cleared vessel.
            (4) For the purposes of paragraph (3)(b),
goods are taken to be in a cleared area if the goods are under the supervision
or control prescribed in the regulations.
            (5) To avoid doubt:
                    (a) a notice under paragraph (2)(b)
may provide that a class of goods may pass through a screening point without
being screened; and
                    (b) a notice under paragraph (2)(c)
may provide that a class of goods may enter a cleared area or be taken on board
a cleared vessel other than through a screening point.
117Â
Screening and clearing vehicles
            (1) A vehicle is screened when
the vehicle undergoes screening in accordance with regulations made under
section 119 in preparation for:
                    (a) being taken on board a vessel; or
                    (b) entering an area within a security
regulated port or an offshore security zone.
            (2) A vehicle receives clearance
if:
                    (a) after being screened, the vehicle
is allowed, by a screening officer, to pass through the screening point; or
                    (b) the vehicle passes through the
screening point and the regulations provide, or the Secretary by written notice
provides, that the vehicle may pass through that screening point without being
screened; or
                    (c) the vehicle enters a cleared area
or goes on board a cleared vessel other than through a screening point and the
regulations provide, or the Secretary by written notice provides, that the
vehicle may enter the area or be taken on board the vessel that way.
            (3) A vehicle is cleared at a
particular time if:
                    (a) the vehicle has received
clearance; and
                    (b) since receiving clearance, the
vehicle has at all times been in a cleared area or on a cleared vessel.
            (4) For the purposes of paragraph (3)(b),
a vehicle is taken to be in a cleared area if the vehicle is under the
supervision or control prescribed in the regulations.
            (5) To avoid doubt:
                    (a) a notice under paragraph (2)(b)
may provide that a class of vehicles may pass through a screening point without
being screened; and
                    (b) a notice under paragraph (2)(c)
may provide that a class of vehicles may enter a cleared area or be taken on
board a cleared vessel other than through a screening point.
118Â
Screening and clearing vessels
            (1) A vessel is screened when
the vessel undergoes screening in accordance with regulations made under
section 119 in preparation for:
                    (a) being taken on board another
vessel; or
                    (b) entering an area within a security
regulated port or an offshore security zone.
            (2) A vessel receives clearance
if:
                    (a) after being screened, the vessel
is allowed, by a screening officer, to pass through the screening point; or
                    (b) the vessel passes through the
screening point and the regulations provide, or the Secretary by written notice
provides, that the vessel may pass through that screening point without being
screened; or
                    (c) the vessel enters a cleared area
or is taken on board a cleared vessel other than through a screening point and
the regulations provide, or the Secretary by written notice provides, that the
vessel may enter the area or be taken on board the other vessel that way.
            (3) A vessel is cleared at a
particular time if:
                    (a) the vessel has received clearance;
and
                    (b) since receiving clearance, the
vessel has at all times been in a cleared area or on a cleared vessel.
            (4) For the purposes of paragraph (3)(b),
a vessel is taken to be in a cleared area if the vessel is under the
supervision or control prescribed in the regulations.
            (5) To avoid doubt:
                    (a) a notice under paragraph (2)(b)
may provide that a class of vessels may pass through a screening point without
being screened; and
                    (b) a notice under paragraph (2)(c)
may provide that a class of vessels may enter a cleared area or be taken on
board a cleared vessel other than through a screening point.
119Â
Requirements for screening and clearing
            (1) The regulations may, for the purposes of
safeguarding against unlawful interference with maritime transport or offshore
facilities, prescribe requirements in relation to one or more of the following:
                    (a) screening;
                    (b) receiving clearance;
                    (c) the circumstances in which
persons, goods, vehicles or vessels are required to be cleared.
            (2) Without limiting the matters that may be
dealt with by regulations made under subsection (1), the regulations may
deal with the following:
                    (a) the persons who are authorised or
required to conduct screening;
                    (b) the things to be detected by
screening;
                    (c) the procedures for dealing with
things detected by screening;
                    (d) the circumstances in which persons
must be cleared in order to:
                             (i) board a vessel; or
                            (ii) enter an area within a
security regulated port or an offshore security zone;
                    (e) the circumstances in which stores
must be cleared in order to be taken:
                             (i) on board a vessel; or
                            (ii) into an area within a
security regulated port or an offshore security zone;
                     (f) the circumstances in which
baggage must be cleared in order to be taken:
                             (i) on board a vessel; or
                            (ii) into an area within a
security regulated port or an offshore security zone;
                    (g) the circumstances in which cargo
must be cleared in order to be taken:
                             (i) on board a vessel; or
                            (ii) into an area within a
security regulated port or an offshore security zone;
                    (h) the circumstances in which
vehicles must be cleared in order to be taken:
                             (i) on board a vessel; or
                            (ii) into an area within a
security regulated port or an offshore security zone;
                     (i) the circumstances in which
vessels must be cleared in order to be taken:
                             (i) on board another
vessel; or
                            (ii) into an area within a
security regulated port or an offshore security zone;
                     (j) the places where screening is to
be conducted;
                    (k) the methods, techniques and
equipment to be used for screening;
                     (l) the notices that are to be displayed
in places where screening is to be conducted;
                   (m) the supervision and control
measures for ensuring that persons, goods, vehicles and vessels that have
received clearance remain cleared on vessels that are not cleared vessels or in
areas that are not cleared areas.
Note:Â Â Â Â Â Â Â Â Â Regulations made under subsection 165(2) must
prescribe training and qualification requirements for screening officers and
set out requirements in relation to the form, issue and use of identity cards.
            (3) Regulations made under paragraph (2)(a)
or (2)(k) may provide that some or all of the matters set out in that paragraph
are to be specified in written notices made by the Secretary. Such a notice may
provide that the notice is only to be given to the persons, or classes of
persons, specified in the notice.
            (4) Regulations made under this section may
prescribe penalties for offences against those regulations. The penalties must
not exceed:
                    (a) for an offence committed by a port
operator, ship operator, port facility operator or offshore facility operator—200
penalty units; or
                    (b) for an offence committed by a
maritime industry participant, other than a participant covered by paragraph (a)—100
penalty units; or
                    (c) for an offence committed by any
other person—50 penalty units.
Note:Â Â Â Â Â Â Â Â Â If a body corporate is convicted of an offence
against regulations made under this section, subsection 4B(3) of the Crimes
Act 1914 allows a court to impose fines of up to 5 times the penalties
stated above.
Division 3—Weapons
120Â
Weapons in maritime security zones
Strict liability
            (1) A person commits an offence if:
                    (a) the person is in a maritime
security zone; and
                    (b) the person has a weapon in his or
her possession; and
                    (c) the person is not:
                             (i) a law enforcement
officer; or
                            (ii) a member of the
Australian Defence Force who is on duty; or
                           (iii) authorised by the
regulations, or permitted in writing by the Secretary, to have the weapon in
his or her possession in the maritime security zone.
Penalty:Â 100 penalty units.
            (2) Subsection (1) is an offence of
strict liability.
General
            (3) A person commits an offence if:
                    (a) the person is in a maritime
security zone; and
                    (b) the person has a weapon in his or
her possession; and
                    (c) the person is not:
                             (i) a law enforcement
officer; or
                            (ii) a member of the
Australian Defence Force who is on duty; or
                           (iii) authorised by the
regulations, or permitted in writing by the Secretary, to have the weapon in
his or her possession in the maritime security zone.
Penalty:Â Imprisonment for 7 years.
121Â
Carrying weapons through a screening point
Strict liability
            (1) A person commits an offence if:
                    (a) the person passes through a
screening point; and
                    (b) the person has a weapon in his or
her possession when he or she passes through the screening point; and
                    (c) the person is not:
                             (i) a law enforcement
officer; or
                            (ii) authorised by the
regulations, or permitted in writing by the Secretary, to pass through the
screening point with the weapon in his or her possession.
Penalty:Â 100 penalty units.
            (2) Subsection (1) is an offence of
strict liability.
General
            (3) A person commits an offence if:
                    (a) the person passes through a
screening point; and
                    (b) the person has a weapon in his or
her possession when he or she passes through the screening point; and
                    (c) the person is not:
                             (i) a law enforcement
officer; or
                            (ii) authorised by the
regulations, or permitted in writing by the Secretary, to pass through the
screening point with the weapon in his or her possession.
Penalty:Â Imprisonment for 7 years.
122Â
Weapons on board certain ships—strict liability
            (1) A person commits an offence if:
                    (a) the person is on board a regulated
Australian ship or a ship regulated as an offshore facility; and
                    (b) the person:
                             (i) carries a weapon; or
                            (ii) otherwise has in his or
her possession a weapon that is located at a place that is accessible to the
person; and
                    (c) the person is not a law
enforcement officer; and
                    (d) the carriage or possession of the
weapon is not authorised by the regulations or permitted in writing by the
Secretary; and
                    (e) the weapon is not under the
control of the master of the ship.
Penalty:Â 100 penalty units.
            (2) Subsection (1) is an offence of
strict liability.
123Â
Weapons on board certain ships—general
                  A person commits an offence if:
                    (a) the person is on board a regulated
Australian ship or a ship regulated as an offshore facility; and
                    (b) the person:
                             (i) carries a weapon; or
                            (ii) otherwise has in his
or her possession a weapon that is located at a place that is accessible to the
person; and
                    (c) the person is not a law
enforcement officer; and
                    (d) the carriage or possession of the
weapon is not authorised by the regulations or permitted in writing by the
Secretary; and
                    (e) the weapon is not under the
control of the master of the ship.
Penalty:Â Imprisonment for 7 years.
124Â
Failure to comply with conditions
            (1) A person commits an offence if:
                    (a) the person is in a maritime
security zone, on board a regulated Australian ship or on board a ship
regulated as an offshore facility; and
                    (b) the person is authorised or
permitted to have a weapon in his or her possession or under his or her
control; and
                    (c) the person fails to comply with
any conditions relating to the authorisation or permission.
Penalty:Â 50 penalty units.
            (2) Subsection (1) does not apply if the
person has a reasonable excuse.
            (3) Subsection (1) is an offence of
strict liability.
125Â
Secretary may permit by class
                  To avoid doubt, for the purposes of this
Division, the Secretary may give permission in relation to particular conduct
by giving permission to a class of persons.
126Â
Other weapons requirements
            (1) The regulations may, for the purposes of
safeguarding against unlawful interference with maritime transport or offshore
facilities, prescribe requirements in relation to the carriage and use of
weapons in a maritime security zone, on board a regulated Australian ship or on
board a ship regulated as an offshore facility.
            (2) The following matters may be dealt with
by regulations made under subsection (1):
                    (a) authorising the carriage of
weapons in a maritime security zone, on board a regulated Australian ship or on
board a ship regulated as an offshore facility;
                    (b) dealing with a person in a
maritime security zone, on board a regulated Australian ship or on board a ship
regulated as an offshore facility who carries or uses a weapon, or is suspected
of carrying or using a weapon, unlawfully;
                    (c) dealing with a weapon surrendered
by a person in a maritime security zone, on board a regulated Australian ship
or on board a ship regulated as an offshore facility.
            (3) Regulations made under this section may
prescribe penalties for offences against those regulations. The penalties must
not exceed:
                    (a) for an offence committed by a port
operator, ship operator, port facility operator or offshore facility operator—200
penalty units; or
                    (b) for an offence committed by a
maritime industry participant, other than a participant covered by paragraph (a)—100
penalty units; or
                    (c) for an offence committed by any
other person—50 penalty units.
Note:Â Â Â Â Â Â Â Â Â If a body corporate is convicted of an offence
against regulations made under this section, subsection 4B(3) of the Crimes
Act 1914 allows a court to impose fines of up to 5 times the penalties
stated above.
Division 4—Prohibited items
127Â
Prohibited items in maritime security zones
Strict liability
            (1) A person commits an offence if:
                    (a) the person is in a maritime
security zone; and
                    (b) the maritime security zone is of a
kind prescribed in the regulations for the purposes of this paragraph; and
                    (c) the person has a prohibited item
in his or her possession; and
                    (d) the person is not:
                             (i) a law enforcement
officer, a maritime security guard or a maritime security inspector; or
                            (ii) a member of the
Australian Defence Force who is on duty; or
                           (iii) authorised by the
regulations, or permitted in writing by the Secretary, to have the prohibited
item in his or her possession in the maritime security zone.
Penalty:Â 20 penalty units.
            (2) Subsection (1) is an offence of
strict liability.
General
            (3) A person commits an offence if:
                    (a) the person is in a maritime
security zone; and
                    (b) the maritime security zone is of a
kind prescribed in the regulations for the purposes of this paragraph; and
                    (c) the person has a prohibited item
in his or her possession; and
                    (d) the person is not:
                             (i) a law enforcement
officer, a maritime security guard or a maritime security inspector; or
                            (ii) a member of the
Australian Defence Force who is on duty; or
                           (iii) authorised by the
regulations, or permitted in writing by the Secretary, to have the prohibited
item in his or her possession in the maritime security zone.
Penalty:Â Imprisonment for 2 years.
128Â
Carrying prohibited items through a screening point
Strict liability
            (1) A person commits an offence if:
                    (a) the person passes through a
screening point; and
                    (b) the person has a prohibited item
in his or her possession when he or she passes through the screening point; and
                    (c) the person is not:
                             (i) a law enforcement
officer, a maritime security guard or a maritime security inspector; or
                            (ii) authorised by the
regulations, or permitted in writing by the Secretary, to pass through the
screening point with the prohibited item in his or her possession.
Penalty:Â 20 penalty units.
            (2) Subsection (1) is an offence of
strict liability.
General
            (3) A person commits an offence if:
                    (a) the person passes through a
screening point; and
                    (b) the person has a prohibited item
in his or her possession when he or she passes through the screening point; and
                    (c) the person is not:
                             (i) a law enforcement
officer, a maritime security guard or a maritime security inspector; or
                            (ii) authorised by the
regulations, or permitted in writing by the Secretary, to pass through the
screening point with the prohibited item in his or her possession.
Penalty:Â Imprisonment for 2 years.
129Â
Prohibited items on board certain ships—strict liability
            (1) A person commits an offence if:
                    (a) the person is on board a regulated
Australian ship or a ship regulated as an offshore facility; and
                    (b) the
person:
                             (i) carries a prohibited
item; or
                            (ii) otherwise has in his
or her possession a prohibited item that is located at a place that is
accessible to the person; and
                    (c) the person is not a law
enforcement officer, a maritime security guard or a maritime security
inspector; and
                    (d) the carriage or possession of the
prohibited item is not authorised by the regulations or permitted in writing by
the Secretary; and
                    (e) the prohibited item is not under
the control of the master of the ship.
Penalty:Â 20 penalty units.
            (2) Subsection (1) is an offence of
strict liability.
130Â
Prohibited items on board certain ships—general
                  A person commits an offence if:
                    (a) the person is on board a regulated
Australian ship or a ship regulated as an offshore facility; and
                    (b) the person:
                             (i) carries a prohibited
item; or
                            (ii) otherwise has in his
or her possession a prohibited item that is located at a place that is
accessible to the person; and
                    (c) the person is not a law
enforcement officer, a maritime security guard or a maritime security
inspector; and
                    (d) the carriage or possession of the
prohibited item is not authorised by the regulations or permitted in writing by
the Secretary; and
                    (e) the prohibited item is not under
the control of the master of the ship.
Penalty:Â Imprisonment for 2 years.
131Â
Failure to comply with conditions
            (1) A person
commits an offence if:
                    (a) the person is in a maritime
security zone, on board a regulated Australian ship or on board a ship
regulated as an offshore facility; and
                    (b) the person is authorised or
permitted to have a prohibited item in his or her possession or under his or
her control; and
                    (c) the person fails to comply with
any conditions relating to the authorisation or permission.
Penalty:Â 50 penalty units.
            (2) Subsection (1) does not apply if the
person has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
132Â
Secretary may permit by class
                  To avoid doubt, for the purposes of this
Division, the Secretary may give permission in relation to particular conduct
by giving permission to a class of persons.
133Â
Other prohibited items requirements
            (1) The regulations may, for the purposes of
safeguarding against unlawful interference with maritime transport or offshore
facilities, prescribe requirements in relation to the carriage and use of
prohibited items in a maritime security zone, on board a regulated Australian
ship or on board a ship regulated as an offshore facility.
            (2) The following matters may be dealt with
by regulations made under subsection (1):
                    (a) authorising the carriage of
prohibited items in a maritime security zone, on board a regulated Australian
ship or on board a ship regulated as an offshore facility;
                    (b) dealing with a person in a
maritime security zone, on board a regulated Australian ship or on board a ship
regulated as an offshore facility who carries or uses a prohibited item, or is
suspected of carrying or using a prohibited item, unlawfully;
                    (c) dealing with a prohibited item
surrendered by a person in a maritime security zone, on board a regulated
Australian ship or on board a ship regulated as an offshore facility.
            (3) Regulations made under this section may
prescribe penalties for offences against those regulations. The penalties must
not exceed:
                    (a) for an offence committed by a port
operator, ship operator, port facility operator or offshore facility operator—200
penalty units; or
                    (b) for an offence committed by a
maritime industry participant, other than a participant covered by paragraph (a)—100
penalty units; or
                    (c) for an offence committed by any
other person—50 penalty units.
Note:Â Â Â Â Â Â Â Â Â If a body corporate is convicted of an offence
against regulations made under this section, subsection 4B(3) of the Crimes
Act 1914 allows a court to impose fines of up to 5 times the penalties
stated above.
Part 8—Powers of officials
Division 1—Simplified overview of Part
134Â
Simplified overview of Part
This Part sets out the powers of the
following:
              (a)    maritime
security inspectors;
            (aa)    security
assessment inspectors;
              (b)    duly
authorised officers;
              (c)    law
enforcement officers;
              (d)    maritime
security guards;
              (e)    screening
officers.
Division 2—Maritime security inspectors
135Â
Simplified overview of Division
Employees in the Department and law
enforcement officers can be appointed as maritime security inspectors. Other
persons who meet criteria prescribed in the regulations may also be appointed
as maritime security inspectors.
Maritime security inspectors are able
to conduct ISSC inspections. They can also inspect ships, offshore facilities, and
the premises and operations of maritime industry participants, to ensure
compliance with this Act.
There are special rules for some kinds
of inspections. In particular, a maritime security inspector must have an
inspection warrant to inspect private living areas on a ship or offshore
facility.
136Â
Appointment
            (1) The Secretary may appoint:
                    (a) an APS employee in the Department;
or
                    (b) a law enforcement officer; or
                    (c) a person who satisfies the
criteria prescribed in the regulations;
to be a maritime security inspector.
            (2) The appointment must be in writing.
137Â Identity
cards
            (1) The Secretary must issue each maritime
security inspector with an identity card.
            (2) The regulations may set out requirements
in relation to the form, issue and use of identity cards.
            (3) The regulations may provide that
the identity card may be combined with another identity card.
138Â
Maritime security inspector powers—ISSC verifications
            (1) A maritime security inspector may
inspect:
                    (a) a regulated Australian ship or a
ship regulated as an offshore facility; and
                    (b) the ship security records for the
ship; and
                    (c) any other document relating to the
security of the ship;
for the purposes of determining whether the ship meets the
requirements necessary for ISSC verification.
Note:Â Â Â Â Â Â Â Â Â See subsections 83(1) and (3) and 100Z(1) and
(3) for the meaning of ISSC verified.
            (2) In exercising a power under this section,
a maritime security inspector must not subject a person to greater indignity
than is necessary and reasonable for the exercise of the power.
139Â
Maritime security inspector powers—security regulated ships
            (1) A maritime security inspector may
exercise the powers set out in subsection (2) for the following purposes:
                    (a) determining whether a person or a
ship is complying with this Act;
                    (b) investigating a possible
contravention of this Act.
            (2) For the purposes set out in subsection (1),
a maritime security inspector may do one or more of the following:
                    (a) board and inspect a security
regulated ship (including any restricted access area on the ship);
                    (b) inspect equipment on the ship;
                   (ba) make any still or moving image or
any recording of equipment on the ship;
                    (c) observe and record operating
procedures for the ship (whether carried out by the crew or some other person);
                    (d) discuss those procedures with a
person carrying them out or with another maritime industry participant;
                    (e) inspect, photograph or copy one or
more of the following:
                             (i) the ship’s ISSC;
                            (ii) a ship security record
for the ship;
                           (iii) a document or record
held on the ship that relates to a passenger or an item of cargo;
                           (iv) in the case of a
regulated Australian ship—any document that relates to the security of the
ship;
                     (f) operate equipment on a security
regulated ship for the purposes of gaining access to a document or record
relating to the ship.
            (3) In exercising a power under this section,
a maritime security inspector must not subject a person to greater indignity
than is necessary and reasonable for the exercise of the power.
140Â
When powers may be exercised—security regulated ships
Operational areas
            (1) A maritime security inspector may
exercise a power mentioned in section 138 or 139 in an operational area of
a security regulated ship:
                    (a) if the power is exercised within
the boundaries of a security regulated port—at any time and without notice; or
                    (b) otherwise—after giving the ship
operator for, or the master of, the ship concerned reasonable notice.
Private living areas
            (2) A maritime security inspector may
exercise a power mentioned in section 138 or 139 in a private living area
of a security regulated ship if:
                    (a) both the master and any person or
persons who occupy the private living area consent to the inspection; or
                    (b) the inspector has a warrant,
issued under section 144, to search the private living area.
            (3) In addition, a maritime security
inspector may only exercise a power mentioned in section 138 or 139 in a
private living area of a security regulated ship if the inspector is
accompanied by the master of the ship or a person nominated by the master.
Definitions
            (4) A private living area on a
security regulated ship is an area:
                    (a) used for the purposes of providing
accommodation for passengers or crew of the ship; and
                    (b) to which neither all passengers
nor all crew have general access.
            (5) An operational area on a
security regulated ship is an area that is not a private living area.
140AÂ
Maritime security inspector powers—security regulated offshore facilities
            (1) A maritime security inspector may
exercise the powers set out in subsection (2) for the following purposes:
                    (a) determining whether a person or a
ship is complying with this Act;
                    (b) investigating a possible
contravention of this Act.
            (2) For the purposes set out in subsection (1),
a maritime security inspector may do one or more of the following:
                    (a) enter and inspect a security
regulated offshore facility (including any restricted access area on the
facility);
                    (b) inspect equipment on the facility;
                   (ba) make any still or moving image or
any recording of equipment on the facility;
                    (c) observe and record operating
procedures for the facility (whether carried out by the crew or some other
person);
                    (d) discuss those procedures with a
person carrying them out or with another maritime industry participant;
                    (e) inspect, photograph or copy a
document or record made or kept by a maritime industry participant that relates
to the security of the facility;
                     (f) operate equipment on the facility
for the purposes of gaining access to a document or record relating to the
facility.
            (3) In exercising a power under this section,
a maritime security inspector must not subject a person to greater indignity
than is necessary and reasonable for the exercise of the power.
            (4) Also, in exercising a power under this
section within the boundaries of a security regulated offshore facility, a
maritime security inspector must take account of occupational health and safety
requirements under the laws of the Commonwealth, a State or Territory applying
at the facility.
140BÂ
When powers may be exercised—security regulated offshore facilities
Operational areas
            (1) A maritime security inspector may
exercise a power mentioned in section 138 or 140A in an operational area
of a security regulated offshore facility:
                    (a) if the power is exercised within
the boundaries of a security regulated port—at any time and without notice; or
                    (b) otherwise—after giving reasonable
notice to the offshore facility operator for the facility.
Private living areas
            (2) A maritime security inspector may
exercise a power mentioned in section 138 or 140A in a private living area
of a security regulated offshore facility if:
                    (a) both the offshore facility
operator for the facility and any person or persons who occupy the private
living area consent to the inspection; or
                    (b) the inspector has a warrant,
issued under section 145A, to search the private living area.
            (3) In addition, a maritime security
inspector may only exercise a power mentioned in section 138 or 140A in a
private living area of a security regulated offshore facility if the inspector
is accompanied by the offshore facility operator for the facility or a person
nominated by the offshore facility operator.
Definitions
            (4) A private living area of a
security regulated offshore facility is an area:
                    (a) used for the purposes of providing
accommodation for crew of, or visitors to, the facility; and
                    (b) to which neither all crew nor
visitors have general access.
            (5) An operational area of a
security regulated offshore facility is an area that is not a private living
area.
141Â
Maritime security inspector powers—participants
            (1) A maritime security inspector may
exercise the powers set out in subsection (2) for the following purposes:
                    (a) determining whether a person or a
ship is complying with this Act;
                    (b) investigating a possible contravention
of this Act.
            (2) For the purposes set out in subsection (1),
a maritime security inspector may do one or more of the following:
                    (a) enter and inspect:
                             (i) any area, building
(other than a residence), vehicle or vessel under the control of a maritime
industry participant; or
                            (ii) if a maritime industry
participant operates from a residence or a part of a residence—the residence or
the part of the residence from which the participant operates;
                    (b) inspect equipment in a place,
vehicle or vessel mentioned in paragraph (a);
                   (ba) make any still or moving image or
any recording of equipment in a place, vehicle or vessel mentioned in
paragraph (a);
                    (c) observe the operating procedures
of a maritime industry participant;
                    (d) discuss those procedures with an
employee of the maritime industry participant or with another maritime industry
participant;
                    (e) inspect, photograph or copy a
document or record made or kept by a maritime industry participant;
                     (f) operate equipment at a place
mentioned in paragraph (a) for the purposes of gaining access to a
document or record made or kept by a maritime industry participant.
            (3) However, in exercising a power under this
section, a maritime security inspector must not subject a person to greater
indignity than is necessary and reasonable for the exercise of the power.
142Â
When powers may be exercised—participants
                  A maritime security inspector may
exercise a power mentioned in section 141:
                    (a) if the power is exercised within
the boundaries of a security regulated port—at any time and without notice; or
                    (b) otherwise—after giving the
maritime industry participant concerned reasonable notice.
143Â
Offence—hindering or obstructing a maritime security inspector
            (1) A person commits an offence if:
                    (a) the person engages in conduct; and
                    (b) the conduct hinders or obstructs a
maritime security inspector in the exercise of a power in accordance with this
Division.
Penalty:Â 50 penalty units.
            (2) Subsection (1) does not apply if the
person has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
144Â Inspection
warrants—security regulated ships
Application for warrant
            (1) A maritime security inspector may apply
to a magistrate for a warrant to inspect a private living area on a security
regulated ship.
Issue of warrant
            (2) The magistrate may issue the warrant if
the magistrate is satisfied, by information on oath or affirmation, that it is
necessary to inspect the private living area for one or more of the following
purposes:
                    (a) determining whether the ship meets
the requirements necessary for ISSC verification;
                    (b) determining whether a person or a
ship is complying with this Act;
                    (c) investigating a possible
contravention of this Act.
            (3) However, the magistrate must not issue
the warrant unless the maritime security inspector or some other person has
given to the magistrate, either orally or by affidavit, such further
information (if any) as the magistrate requires concerning the grounds on which
the issue of the warrant is being sought.
Content of warrant
            (4) The warrant must:
                    (a) authorise the maritime security
inspector to inspect the private living area, using such assistance and such
force to enter the area as is necessary and reasonable; and
                    (b) state whether the inspection is
authorised to be made at any time of the day or night or during specified hours
of the day or night; and
                    (c) specify the day (not more than one
week after the issue of the warrant) on which the warrant ceases to have
effect; and
                    (d) state the purpose for which the
warrant is issued.
145Â Inspection
warrants by telephone, fax etc.—security regulated ships
Application for warrant
            (1) If, in an urgent case, a maritime
security inspector considers it necessary to do so, the maritime security
inspector may apply to a magistrate by telephone, fax or other electronic means
for a warrant under section 144.
            (2) The magistrate may:
                    (a) require communication by voice to
the extent that it is practicable in the circumstances; and
                    (b) make a recording of the whole or
any part of any such communication by voice.
            (3) Before applying for the warrant, the
maritime security inspector must prepare an information of the kind mentioned
in subsection 144(2) that sets out the grounds on which the warrant is sought.
            (4) If it is necessary to do so, the maritime
security inspector may apply for the warrant before the information is sworn or
affirmed.
Issue of warrant
            (5) If the magistrate is satisfied:
                    (a) after having considered the terms
of the information; and
                    (b) after having received such further
information (if any) as the magistrate requires concerning the grounds on which
the issue of the warrant is being sought;
that there are reasonable grounds for issuing the warrant,
the magistrate may complete and sign the same warrant that the magistrate would
issue under section 144 if the application had been made under that
section.
Obligations of magistrate and maritime security
inspector once warrant issued
            (6) If the magistrate completes and signs the
warrant:
                    (a) the magistrate must:
                             (i) tell the maritime
security inspector what the terms of the warrant are; and
                            (ii) tell the maritime security
inspector the day on which and the time at which the warrant was signed; and
                           (iii) tell the maritime
security inspector the day (not more than one week after the magistrate
completes and signs the warrant) on which the warrant ceases to have effect;
and
                           (iv) record on the warrant
the reasons for issuing the warrant; and
                    (b) the maritime security inspector
must:
                             (i) complete a form of
warrant in the same terms as the warrant completed and signed by the
magistrate; and
                            (ii) write on the form the
name of the magistrate and the day on which and the time at which the warrant
was signed.
            (7) The maritime security inspector must
also, not later than the day after the day of expiry or execution of the
warrant, whichever is the earlier, send to the magistrate:
                    (a) the form of warrant completed by
the maritime security inspector; and
                    (b) the information referred to in subsection (3),
which must have been duly sworn or affirmed.
            (8) When the
magistrate receives those documents, the magistrate must:
                    (a) attach them to the warrant that
the magistrate completed and signed; and
                    (b) deal with them in the way in which
the magistrate would have dealt with the information if the application had
been made under section 144.
Authority of warrant
            (9) A form of warrant duly completed under subsection (6)
is authority for the same powers as are authorised by the warrant signed by the
magistrate.
          (10) If:
                    (a) it is material, in any
proceedings, for a court to be satisfied that an exercise of a power was
authorised by this section; and
                    (b) the warrant signed by the
magistrate authorising the exercise of the power is not produced in evidence;
the court must assume, unless the contrary is proved, that
the exercise of the power was not authorised by such a warrant.
145AÂ
Inspection warrants—security regulated offshore facilities
Application for warrant
            (1) A maritime security inspector may apply
to a magistrate for a warrant to inspect a private living area on a security
regulated offshore facility.
Issue of warrant
            (2) The magistrate may issue the warrant if
the magistrate is satisfied, by information on oath or affirmation, that it is
necessary to inspect the private living area for one or more of the following
purposes:
                    (a) where all or part of the facility
is a ship regulated as an offshore facility—determining whether the ship meets
the requirements necessary for ISSC verification;
                    (b) determining whether a person or a
ship is complying with this Act;
                    (c) investigating a possible
contravention of this Act.
            (3) However, the magistrate must not issue
the warrant unless the maritime security inspector or some other person has
given to the magistrate, either orally or by affidavit, such further
information (if any) as the magistrate requires concerning the grounds on which
the issue of the warrant is being sought.
Content of warrant
            (4) The warrant must:
                    (a) authorise the maritime security
inspector to inspect the private living area, using such assistance and such
force to enter the area as is necessary and reasonable; and
                    (b) state whether the inspection is
authorised to be made at any time of the day or night or during specified hours
of the day or night; and
                    (c) specify the day (not more than one
week after the issue of the warrant) on which the warrant ceases to have
effect; and
                    (d) state the purpose for which the
warrant is issued.
145BÂ
Inspection warrants by telephone, fax etc.—security regulated offshore
facilities
Application for warrant
            (1) If, in an urgent case, a maritime
security inspector considers it necessary to do so, the maritime security
inspector may apply to a magistrate by telephone, fax or other electronic means
for a warrant under section 145A.
            (2) The magistrate may:
                    (a) require communication by voice to
the extent that it is practicable in the circumstances; and
                    (b) make a recording of the whole or
any part of any such communication by voice.
            (3) Before applying for the warrant, the
maritime security inspector must prepare an information of the kind mentioned
in subsection 145A(2) that sets out the grounds on which the warrant is sought.
            (4) If it is necessary to do so, the maritime
security inspector may apply for the warrant before the information is sworn or
affirmed.
Issue of warrant
            (5) If the magistrate is satisfied:
                    (a) after having considered the terms
of the information; and
                    (b) after having received such further
information (if any) as the magistrate requires concerning the grounds on which
the issue of the warrant is being sought;
that there are reasonable grounds for issuing the warrant,
the magistrate may complete and sign the same warrant that the magistrate would
issue under section 145A if the application had been made under that
section.
Obligations of magistrate and maritime security
inspector once warrant issued
            (6) If the magistrate completes and signs the
warrant:
                    (a) the magistrate must:
                             (i) tell the maritime
security inspector what the terms of the warrant are; and
                            (ii) tell the maritime
security inspector the day on which and the time at which the warrant was
signed; and
                           (iii) tell the maritime
security inspector the day (not more than one week after the magistrate
completes and signs the warrant) on which the warrant ceases to have effect;
and
                           (iv) record on the warrant
the reasons for issuing the warrant; and
                    (b) the maritime security inspector
must:
                             (i) complete a form of
warrant in the same terms as the warrant completed and signed by the
magistrate; and
                            (ii) write on the form the
name of the magistrate and the day on which and the time at which the warrant
was signed.
            (7) The maritime security inspector must
also, not later than the day after the day of expiry or execution of the
warrant, whichever is the earlier, send to the magistrate:
                    (a) the form of warrant completed by
the maritime security inspector; and
                    (b) the information referred to in subsection (3),
which must have been duly sworn or affirmed.
            (8) When the magistrate receives those
documents, the magistrate must:
                    (a) attach them to the warrant that
the magistrate completed and signed; and
                    (b) deal with them in the way in which
the magistrate would have dealt with the information if the application had
been made under section 145A.
Authority of warrant
            (9) A form of warrant duly completed under subsection (6)
is authority for the same powers as are authorised by the warrant signed by the
magistrate.
          (10) If:
                    (a) it is material, in any
proceedings, for a court to be satisfied that an exercise of a power was
authorised by this section; and
                    (b) the warrant signed by the
magistrate authorising the exercise of the power is not produced in evidence;
the court must assume, unless the contrary is proved, that
the exercise of the power was not authorised by such a warrant.
Division 2A—Security assessment inspectors
145CÂ
Simplified overview of Division
The Secretary may appoint persons as
security assessment inspectors if they satisfy the criteria prescribed by the
regulations.
Security assessment inspectors can
conduct security assessments of areas, facilities, buildings (other than
residences), vessels and vehicles under the control of maritime industry
participants.
145DÂ
Appointment
            (1) The Secretary may, by writing, appoint a
person as a security assessment inspector if the person satisfies the criteria
prescribed by the regulations for the purposes of this subsection.
            (2) A security assessment inspector is
appointed for the period specified in the instrument of appointment.
145EÂ
Powers of security assessment inspectors
            (1) For the purposes of conducting a security
assessment of an area, facility, building (other than a residence), vessel or
vehicle under the control of a maritime industry participant, a security
assessment inspector may do one or more of the following:
                    (a) enter and inspect the area,
facility, building, vessel or vehicle;
                    (b) inspect equipment in the area,
facility, building, vessel or vehicle;
                    (c) make any still or moving image or
any recording of the area, facility, building, vessel, vehicle or equipment;
                    (d) observe the operating procedures
of the maritime industry participant;
                    (e) discuss those procedures with an
employee of the maritime industry participant or with another maritime industry
participant.
            (2) In exercising a power under this section,
a security assessment inspector may be accompanied by a maritime security
inspector.
            (3) In exercising a power under this section,
a security assessment inspector must not subject a person to greater indignity
than is necessary and reasonable for the exercise of the power.
            (4) In exercising a power under this section
within the boundaries of a security regulated offshore facility, a security
assessment inspector must take account of occupational health and safety
requirements under the laws of the Commonwealth, a State or Territory applying
at the facility.
145FÂ
When powers may be exercised
                  A security assessment inspector may
exercise a power mentioned in section 145E:
                    (a) if the power is exercised within
the boundaries of a security regulated port—at any time and without notice; or
                    (b) otherwise—after giving the
maritime industry participant concerned reasonable notice.
145GÂ
Offence—hindering or obstructing a security assessment inspector
            (1) A person commits an offence if:
                    (a) the person engages in conduct; and
                    (b) the conduct hinders or obstructs a
security assessment inspector in the exercise of a power in accordance with
this Division.
Penalty:Â 50 penalty units.
            (2) Subsection (1) does not apply if the
person has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) An offence against subsection (1) is
an offence of strict liability.
Note:Â Â Â Â Â Â Â Â Â For strict liability, see section 6.1 of
the Criminal Code.
Division 3—Duly authorised officers
146Â
Simplified overview of Division
The powers of duly authorised officers
extend only to inspecting the operational areas of a security regulated ship or
security regulated offshore facility.
The following may be appointed as duly
authorised officers:
              (a)    customs officers;
              (b)    members of
the Australian Defence Force;
              (c)    immigration
officers;
              (d)    AMSA
surveyors;
              (e)    quarantine
officers.
147Â
Secretary may appoint duly authorised officers
            (1) The Secretary may appoint a person who
is:
                    (a) a customs officer; or
                    (b) an ADF member; or
                    (c) an immigration officer; or
                    (d) an AMSA surveyor; or
                    (e) a quarantine officer;
to be a duly authorised officer.
            (2) The appointment must be in writing.
148Â
Duly authorised officer powers—operational areas of security regulated ships
            (1) A duly authorised officer may exercise
the powers set out in subsection (2) in an operational area of a security
regulated ship for the purposes of determining whether a person or a ship is
complying with this Act.
            (2) For the purposes set out in subsection (1),
a duly authorised officer may do one or more of the following:
                    (a) board a security regulated ship
and inspect its operational areas (including any restricted access area in the
operational area of the ship);
                    (b) observe and record operating
procedures for the ship (whether carried out by the crew or some other person);
                    (c) inspect, photograph or copy one or
more of the following:
                             (i) the ship’s ISSC;
                            (ii) a ship security record
for the ship;
                    (d) operate equipment in the
operational area of a security regulated ship for the purposes of gaining
access to a document or record relating to the ship.
            (3) A duly authorised officer may exercise a
power mentioned in subsection (2):
                    (a) if the power is exercised within
the boundaries of a security regulated port—at any time and without notice; or
                    (b) otherwise—after giving the ship
operator for, or the master of, the ship concerned reasonable notice.
            (4) However, in exercising a power under this
section, a duly authorised officer must not subject a person to greater
indignity than is necessary and reasonable for the exercise of the power.
148AÂ
Duly authorised officer powers—operational areas of security regulated offshore
facilities
            (1) A duly authorised officer may exercise
the powers set out in subsection (2) in an operational area of a security
regulated offshore facility for the purposes of determining whether a person or
a ship is complying with this Act.
            (2) For the purposes set out in subsection (1),
a duly authorised officer may do one or more of the following:
                    (a) enter a security regulated
offshore facility and inspect its operational areas (including any restricted
access area in the operational area of the facility);
                    (b) observe and record operating
procedures for the facility (whether carried out by the crew or some other
person);
                    (c) inspect, photograph or copy any
security record for the facility;
                    (d) if all or part of the facility is
a ship regulated as an offshore facility—inspect, photograph or copy the ship’s
ISSC;
                    (e) operate equipment in the
operational area of a security regulated offshore facility for the purposes of
gaining access to a document or record relating to the facility.
            (3) A duly authorised officer may exercise a
power mentioned in subsection (2):
                    (a) if the power is exercised within
the boundaries of a security regulated offshore facility—at any time and
without notice; or
                    (b) otherwise—after giving the
offshore facility operator for the facility concerned reasonable notice.
            (4) However, in exercising a power under this
section, a duly authorised officer must not subject a person to greater
indignity than is necessary and reasonable for the exercise of the power.
            (5) Also, in exercising a power under this
section within the boundaries of a security regulated offshore facility, a duly
authorised officer must take account of occupational health and safety
requirements under the laws of the Commonwealth, a State or Territory applying
at the facility.
149Â
Offence—hindering or obstructing a duly authorised officer
            (1) A person commits an offence if:
                    (a) the person engages in conduct; and
                    (b) the conduct hinders or obstructs a
duly authorised officer in the exercise of a power in accordance with this
Division.
Penalty:Â 50 penalty units.
            (2) Subsection (1) does not apply if the
person has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
Division 4—Law enforcement officers
150Â
Simplified overview of Division
This Division provides police and
certain customs officers with special authority to:
              (a)    stop and
search people, vehicles and vessels in maritime security zones and to stop and
search people on security regulated ships and on ships regulated as offshore
facilities;
              (b)    remove
people from ships or maritime security zones if they do not leave when
requested to do so;
              (c)    remove
vehicles and vessels from maritime security zones if an officer is unable to
have the vehicles or vessels removed by persons in control of them.
The Division establishes restrictions
on this authority, such as requiring an officer to explain why a search is to
be made and limiting the amount of force that may be used.
A person who does not leave when
requested to do so by a law enforcement officer commits an offence, as does a
person who hinders or obstructs an officer exercising powers under this
Division.
151Â
Law enforcement officers
                  Each of the following who is on duty at
a security regulated port or security regulated offshore facility is a law
enforcement officer:
                    (a) a member of the Australian Federal
Police;
                    (b) a member of the police force of a
State or a Territory;
                    (c) a customs officer who is prescribed
in the regulations.
152Â
Access to ports by law enforcement officers
            (1) A law enforcement officer may enter, and
remain in, any part of a security regulated port at any time.
            (2) However, before entering a part of a
security regulated port that is under the control of a maritime industry
participant, the law enforcement officer must:
                    (a) identify himself or herself as a
law enforcement officer to the participant; and
                    (b) tell the participant why the
officer is entering that part of the security regulated port.
152AÂ
Access to offshore facilities by law enforcement officers
            (1) A law enforcement officer may enter, and
remain in, any part of a security regulated offshore facility at any time.
            (2) However, before entering a part of a
security regulated offshore facility that is under the control of an offshore
industry participant, the law enforcement officer must:
                    (a) identify himself or herself as a
law enforcement officer to the participant; and
                    (b) tell the participant why the
officer is entering that part of the security regulated offshore facility.
153Â
Stopping and searching people
            (1) If a law enforcement officer reasonably
believes that it is necessary to do so for the purposes of safeguarding against
unlawful interference with maritime transport or offshore facilities, the law
enforcement officer may stop a person who is within a maritime security zone,
on a security regulated ship or on a ship regulated as an offshore facility and
conduct an ordinary search or a frisk search of the person.
            (2) If a law enforcement officer stops a
person under subsection (1), the officer must:
                    (a) identify himself or herself as a
law enforcement officer to the person; and
                    (b) tell the person why the person has
been stopped; and
                    (c) if the person is to be searched—tell
the person why the person is to be searched.
            (3) A person commits an offence if:
                    (a) the person engages in conduct; and
                    (b) the conduct hinders or obstructs a
law enforcement officer in the exercise of a power under subsection (1).
Penalty for an offence against this subsection: Imprisonment
for 2 years.
154Â
Stopping and searching vehicles
            (1) If a law enforcement officer reasonably
believes that it is necessary to do so for the purposes of safeguarding against
unlawful interference with maritime transport or offshore facilities, the law
enforcement officer may do either or both of the following within a maritime
security zone:
                    (a) require the driver of a vehicle to
stop the vehicle;
                    (b) search the vehicle.
            (2) If a law enforcement officer stops a
vehicle under subsection (1), the law enforcement officer must:
                    (a) identify himself or herself as a
law enforcement officer to the driver of the vehicle; and
                    (b) tell the driver why the vehicle
has been stopped; and
                    (c) if the vehicle is to be
searched—tell the driver why the vehicle is to be searched.
            (3) Before a law enforcement officer searches
a vehicle under subsection (1) that was not stopped by the officer, the
officer must, if there is a driver or person in control of the vehicle present:
                    (a) identify himself or herself as a
law enforcement officer to the driver or person; and
                    (b) tell the driver or person why the
vehicle is to be searched.
            (4) A person commits an offence if:
                    (a) the person engages in conduct; and
                    (b) the conduct hinders or obstructs a
law enforcement officer in the exercise of a power under subsection (1).
Penalty for an offence against this subsection: Imprisonment
for 2 years.
155Â
Stopping and searching vessels
            (1) If a law enforcement officer reasonably
believes that it is necessary to do so for the purposes of safeguarding against
unlawful interference with maritime transport or offshore facilities, the law
enforcement officer may do either or both of the following within a maritime
security zone:
                    (a) require the person in control of a
vessel to stop the vessel;
                    (b) search the vessel.
            (2) If a law enforcement officer stops a
vessel under subsection (1), the law enforcement officer must:
                    (a) identify himself or herself as a
law enforcement officer to the person in control of the vessel; and
                    (b) tell the person in control of the
vessel why the vessel has been stopped; and
                    (c) if the vessel is to be
searched—tell the person in control of the vessel why the vessel is to be
searched.
            (3) Before a law enforcement officer searches
a vessel under subsection (1) that was not stopped by the officer, the
officer must, if there is a person in control of the vessel present:
                    (a) identify himself or herself as a
law enforcement officer to the person; and
                    (b) tell the person why the vessel is
to be searched.
            (4) A person commits an offence if:
                    (a) the person engages in conduct; and
                    (b) the conduct hinders or obstructs a
law enforcement officer in the exercise of a power under subsection (1).
Penalty for an offence against this subsection: Imprisonment
for 2 years.
156Â
Requests to leave ships or zones
            (1) If a law enforcement officer reasonably
suspects that a person on a security regulated ship or on a ship regulated as
an offshore facility is committing, or has committed, an offence against this
Act, the officer may request the person to leave:
                    (a) the ship; or
                    (b) if the ship is within a maritime
security zone—the zone.
            (2) If a law enforcement officer reasonably
suspects that a person within a maritime security zone is committing, or has
committed, an offence against this Act, the officer may request the person to
leave the zone.
            (3) A person commits an offence if:
                    (a) a request has been made to the
person under subsection (1) or (2); and
                    (b) the person fails to comply with
the request.
Penalty:Â 50 penalty units.
            (4) Subsection (3) is an offence of
strict liability.
157Â
Removing people from ships or zones
            (1) If:
                    (a) a request to leave a ship or a
zone has been made to a person under section 156; and
                    (b) the person fails to comply with
the request;
a law enforcement officer may remove the person from the
ship or zone.
            (2) A law enforcement officer must not use
more force, or subject the person to greater indignity, than is necessary and
reasonable to remove the person from the ship or zone.
158Â
Removing vehicles from zones
            (1) If a law enforcement officer reasonably
suspects that:
                    (a) a vehicle in or near a maritime
security zone presents a risk to maritime transport, or offshore facility,
security; or
                    (b) a vehicle is in a maritime
security zone without proper authorisation;
the law enforcement officer may remove the vehicle.
            (2) However, the law enforcement officer must
not remove the vehicle without making reasonable efforts to have the person in control
of the vehicle remove the vehicle.
            (3) The law enforcement officer:
                    (a) must not use more force, or
subject a person to greater indignity, than is necessary and reasonable to
remove the vehicle; and
                    (b) must make reasonable efforts to
avoid damaging the vehicle.
159Â
Removing vessels from zones
            (1) If a law enforcement officer reasonably
suspects that:
                    (a) a vessel in or near a maritime
security zone presents a risk to maritime transport, or offshore facility,
security; or
                    (b) a vessel is in a maritime security
zone without proper authorisation;
the law enforcement officer may remove the vessel.
            (2) However, the law enforcement officer must
not remove the vessel without making reasonable efforts to have the person in
control of the vessel remove the vessel.
            (3) The law enforcement officer:
                    (a) must not use more force, or
subject a person to greater indignity, than is necessary and reasonable to
remove the vessel; and
                    (b) must make reasonable efforts to
avoid damaging the vessel.
160Â
Other law enforcement powers not affected
                  This Act does not, by implication, limit
the exercise of the powers a law enforcement officer has apart from this Act.
Division 5—Maritime security guards
161Â
Simplified overview of Division
This Division provides maritime
security guards with limited powers to:
              (a)    request
people to produce identification and state reasons for being in maritime
security zones; and
              (b)    restrain and
detain people; and
              (c)    remove
unauthorised people from maritime security zones if they do not leave when
requested to do so; and
              (d)    remove
unauthorised vehicles and vessels from maritime security zones if a guard is
unable to have the vehicles or vessels removed by persons in control of them.
The Division establishes restrictions
on these powers, such as limiting the amount of force that may be used. The
power to detain a person is also restricted to the period before the person can
be dealt with by a law enforcement officer.
Regulations must establish
requirements to be met before a person can become a maritime security guard.
162Â
Maritime security guards
            (1) A maritime security guard
is a person who:
                    (a) satisfies the training and
qualification requirements and any other requirements prescribed in the
regulations for maritime security guards; and
                    (b) is on duty at a security regulated
port, on a security regulated ship or on a security regulated offshore facility;
and
                    (c) is not a law enforcement officer.
            (2) The regulations must prescribe the
following for maritime security guards:
                    (a) training and qualification
requirements;
                    (b) requirements in relation to the
form, issue and use of identity cards.
            (3) The regulations may prescribe the
following for maritime security guards:
                    (a) requirements in relation to
uniforms;
                    (b) any other requirements.
163Â
Maritime security guards’ power to physically restrain persons
            (1) A maritime
security guard may physically restrain a person if:
                    (a) the
maritime security guard reasonably suspects that the person is committing, or
has committed, an offence against this Act; and
                    (b) the maritime security guard
reasonably believes it is necessary to do so in order to:
                             (i) ensure that a person
who is not cleared is not in a cleared area; or
                            (ii) maintain the integrity
of a maritime security zone.
            (2) If a person is restrained under subsection (1),
the maritime security guard may detain the person until the person can be dealt
with by a law enforcement officer.
            (3) In exercising a power under subsection (1)
or (2), a maritime security guard must not use more force, or subject a person
to greater indignity, than is necessary and reasonable.
163AÂ
Maritime security guards’ power to request information
Power to require production of ID
            (1) A maritime security guard may request any
person found in a maritime security zone to produce identification.
            (2) A person commits an offence if:
                    (a) a maritime security guard has made
a request to the person under subsection (1); and
                    (b) the guard has identified himself
or herself as a maritime security guard to the person; and
                    (c) the guard has informed the person
of the guard’s authority to make the request; and
                    (d) the guard has informed the person
that it may be an offence not to comply with the request; and
                    (e) the person fails to comply with
the request.
Penalty:Â 20 penalty units.
            (3) Subsection (2) does not apply if the
person has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
Power to require persons to state reason for being in
zone
            (4) If:
                    (a) a person is in a maritime security
zone; and
                    (b) a maritime security guard
believes, on reasonable grounds, that the person is not:
                             (i) a maritime security
inspector; or
                            (ii) a duly authorised officer;
or
                           (iii) a law enforcement
officer; or
                           (iv) a member of the
Australian Defence Force; or
                            (v) a person who is
authorised by a law of the Commonwealth, State or Territory to enter a maritime
security zone; or
                           (vi) a person of a kind
prescribed in the regulations for the purposes of this subparagraph;
the maritime security guard may request the person to
state his or her reason for being in the zone.
            (5) A person commits an offence if:
                    (a) a request has been made to the
person under subsection (4); and
                    (b) the guard has identified himself
or herself as a maritime security guard to the person; and
                    (c) the guard has informed the person
of the guard’s authority to make the request; and
                    (d) the guard has informed the person
that it may be an offence not to comply with the request; and
                    (e) the person fails to comply with
the request.
Penalty:Â 20 penalty units.
            (6) Subsection (5) does not apply if the
person has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (6) (see subsection 13.3(3) of the Criminal
Code).
163BÂ
Requests to leave maritime security zones
            (1) If a maritime security guard reasonably
suspects that a person is within a maritime security zone without proper
authorisation, the guard may request the person to leave the zone.
            (2) A person commits an offence if:
                    (a) a request has been made to the
person under subsection (1); and
                    (b) the guard has identified himself
or herself as a maritime security guard to the person; and
                    (c) the guard has informed the person
of the guard’s authority to make the request; and
                    (d) the guard has informed the person
that it may be an offence not to comply with the request; and
                    (e) the person fails to comply with
the request.
Penalty:Â 20 penalty units.
            (3) Subsection (2) does not apply if the
person has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
            (4) Subsection (2) is an offence of
strict liability.
163CÂ
Maritime security guards’ power to remove people from zones
            (1) If:
                    (a) a request to leave a maritime
security zone has been made to a person under subsection 163B(1); and
                    (b) the guard has done the things
mentioned in paragraphs 163B(2)(b), (c) and (d); and
                    (c) the person fails to comply with
the request;
the guard may remove the person from the zone.
            (2) A maritime security guard must not use
more force, or subject the person to greater indignity, than is necessary and
reasonable to remove the person from the zone.
163DÂ
Maritime security guards’ power to remove vehicles from zones
            (1) A maritime security guard may remove, or
cause to be removed, a vehicle from a maritime security zone if the guard
reasonably suspects that the vehicle is in the zone without proper
authorisation.
            (2) However, a vehicle must not be removed
under this section without the maritime security guard making reasonable
efforts to have the person in control of the vehicle remove the vehicle.
            (3) The maritime security guard must ensure
that:
                    (a) no more force than is necessary
and reasonable to remove the vehicle is used; and
                    (b) a person is not subjected to
greater indignity than is necessary and reasonable to remove the vehicle; and
                    (c) reasonable efforts are taken to
avoid damaging the vehicle.
            (4) If a vehicle is removed under this
section, the maritime security guard must make reasonable efforts to notify:
                    (a) the vehicle’s owner; and
                    (b) persons of a kind (if any)
prescribed in the regulations;
about the vehicle’s removal and the vehicle’s new
location.
            (5) If a person reasonably incurs costs or
expenses in relation to the vehicle’s removal, relocation or storage under this
section, the vehicle’s owner is liable to pay to the person an amount equal to those
costs and expenses. This amount:
                    (a) may be recovered by the person as
a debt due to the person in a court of competent jurisdiction; and
                    (b) must not be such as to amount to
taxation.
            (6) The regulations may make provision for:
                    (a) the disposal, through sale or
otherwise, of unclaimed vehicles; and
                    (b) the manner in which the proceeds
of any sale are to be distributed.
163EÂ
Maritime security guards’ power to remove vessels from zones
            (1) A maritime security guard may remove, or
cause to be removed, a vessel, other than a security regulated ship or a ship
regulated as an offshore facility, from a maritime security zone if the guard
reasonably suspects that the vessel is in the zone without proper
authorisation.
            (2) However, a vessel must not be removed
under this section without the maritime security guard making reasonable
efforts to have the person in control of the vessel remove the vessel.
            (3) The maritime security guard must ensure
that:
                    (a) no more force than is necessary
and reasonable to remove the vessel is used; and
                    (b) a person is not subjected to
greater indignity than is necessary and reasonable to remove the vessel; and
                    (c) reasonable efforts are taken to
avoid damaging the vessel.
            (4) If a vessel is removed under this
section, the maritime security guard must make reasonable efforts to notify:
                    (a) the vessel’s owner; and
                    (b) persons of a kind (if any)
prescribed in the regulations;
about the vessel’s removal and the vessel’s new location.
            (5) If a person reasonably incurs costs or
expenses in relation to the vessel’s removal, relocation or storage under this
section, the vessel’s owner is liable to pay to the person an amount equal to
those costs and expenses. This amount:
                    (a) may be recovered by the person as
a debt due to the person in a court of competent jurisdiction; and
                    (b) must not be such as to amount to
taxation.
            (6) The
regulations may make provision for:
                    (a) the
disposal, through sale or otherwise, of unclaimed vessels; and
                    (b) the manner in which the proceeds of
any sale are to be distributed.
Division 6—Screening officers
164Â
Simplified overview of Division
A screening officer may request a
person to remove items of clothing for screening purposes—but may not require
this. However, if a person refuses to comply with such a request and the
screening officer is unable to screen the person properly, the screening
officer must refuse to allow the person to pass the screening point.
A person may choose, or may be
requested by a screening officer, to undergo a frisk search.
To protect the integrity of screening
processes, screening officers are provided with similar restraint and detention
powers to those of maritime security guards.
165Â
Screening officers
            (1) A person who is authorised or required to
conduct screening is a screening officer.
            (2) The regulations must prescribe the
following for screening officers:
                    (a) training and qualification
requirements;
                    (b) requirements in relation to the
form, issue and use of identity cards.
            (3) The regulations may prescribe the
following for screening officers:
                    (a) requirements in relation to
uniforms;
                    (b) any other requirements.
166Â
Screening powers
            (1) If a screening officer considers it
necessary in order to screen a person properly, the screening officer may request
the person to remove any item of the person’s clothing.
            (2) The screening officer must not:
                    (a) require the person to remove any
clothing; or
                    (b) remove or cause the removal of any
of the person’s clothing.
Penalty:Â 50 penalty units.
            (3) Subsection (2) does not apply if the
officer has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
            (4) Subsection (2) is an offence of
strict liability.
            (5) If:
                    (a) a screening officer requests a
person to remove an item of clothing under subsection (1); and
                    (b) the person refuses to comply with
the request; and
                    (c) the person refuses to be screened
in a private room by a screening officer of the same sex as the person; and
                    (d) the refusals mean that it is not
possible to screen the person properly;
the screening officer must refuse to allow the person to
pass through the screening point.
166AÂ
Screening powers—frisk search as an alternative screening procedure
                  If a person chooses to undergo a frisk
search as an alternative to another screening procedure, a screening officer
may frisk search the person to the extent necessary to screen the person
properly.
166BÂ
Screening powers—frisk search as an additional screening procedure
            (1) If:
                    (a) a person undergoes a screening
procedure; and
                    (b) the results of that procedure
indicate that additional screening procedures are necessary in order to screen
the person properly;
a screening officer may request the person to undergo a
frisk search.
            (2) If a screening officer conducts a frisk
search following a request under subsection (1), the screening officer may
conduct the search only to the extent necessary to complete the proper
screening of the person.
            (3) A screening officer must not:
                    (a) require a person to undergo a
frisk search under this section; or
                    (b) conduct a frisk search of a person
under this section without the person’s consent; or
                    (c) contravene subsection (2).
Penalty:Â 50 penalty units.
            (4) Subsection (3) does not apply if the
officer has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (4) (see subsection 13.3(3) of the Criminal
Code).
            (5) An offence against subsection (3) is
an offence of strict liability.
Note:Â Â Â Â Â Â Â Â Â For strict liability, see section 6.1 of
the Criminal Code.
            (6) If:
                    (a) a screening officer requests a
person to undergo a frisk search under subsection (1); and
                    (b) the person refuses to comply with
the request; and
                    (c) the person refuses:
                             (i) to be screened in a
private room by a screening officer of the same sex as the person; or
                            (ii) to undergo a frisk
search during that screening; and
                    (d) the refusals mean that it is not
possible to screen the person properly;
the screening officer must refuse to allow the person to
pass through the screening point.
166CÂ
Screening powers—frisk search general power
            (1) If a screening officer considers it
necessary in order to screen a person properly, the screening officer may
request the person to undergo a frisk search.
            (2) If a screening officer conducts a frisk
search following a request under subsection (1), the screening officer may
conduct the search only to the extent necessary to complete the proper
screening of the person.
            (3) A screening officer must not:
                    (a) require a person to undergo a
frisk search under this section; or
                    (b) conduct a frisk search of a person
under this section without the person’s consent; or
                    (c) contravene subsection (2).
Penalty:Â 50 penalty units.
            (4) Subsection (3) does not apply if the
officer has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (4) (see subsection 13.3(3) of the Criminal
Code).
            (5) An offence against subsection (3) is
an offence of strict liability.
Note:Â Â Â Â Â Â Â Â Â For strict liability, see section 6.1 of
the Criminal Code.
            (6) If:
                    (a) a screening officer requests a
person to undergo a frisk search under subsection (1); and
                    (b) the person refuses to comply with
the request; and
                    (c) the person refuses to undergo a
frisk search in a private room by a screening officer of the same sex as the
person; and
                    (d) the refusals mean that it is not
possible to screen the person properly;
the screening officer must refuse to allow the person to
pass through the screening point.
167Â
Screening officers’ power to physically restrain persons
            (1) A screening officer may physically
restrain a person if:
                    (a) the screening officer reasonably
suspects that the person is committing, or has committed, an offence against
this Act; and
                    (b) the screening officer reasonably
believes it is necessary to do so in order to:
                             (i) ensure that a person
who is not cleared is not in a cleared area; or
                            (ii) maintain the integrity
of a cleared area.
            (2) If a person is restrained under subsection (1),
the screening officer may detain the person until the person can be dealt with
by a law enforcement officer.
168Â
Exercise of powers by screening officers
                  In exercising a power under this
Division, a screening officer must not use more force, or subject a person to
greater indignity, than is necessary and reasonable.
Part 9—Reporting maritime transport or offshore facility security
incidents
Division 1—Simplified overview of Part
169Â
Simplified overview of Part
It is important, for the security of
maritime transport and offshore facilities, to ensure that all maritime
transport or offshore facility security incidents are appropriately reported.
This Part establishes requirements to
report maritime transport or offshore facility security incidents and provides
for the form and content of such reports.
Division 2—Meaning of maritime transport or offshore facility security
incident
170Â
Meaning of maritime transport or offshore facility security incident
            (1) If a threat of unlawful interference with
maritime transport or offshore facilities is made and the threat is, or is
likely to be, a terrorist act, the threat is a maritime transport or
offshore facility security incident.
            (2) If an unlawful interference with maritime
transport or offshore facilities is, or is likely to be, a terrorist act, the
unlawful interference is a maritime transport or offshore facility
security incident.
Division 3—Certain people must report incidents
171Â
Port operators
            (1) A port operator
commits an offence if:
                    (a) the port operator becomes aware of
a maritime transport or offshore facility security incident; and
                    (b) the port operator fails to report
the incident as required by section 177 as soon as possible.
Penalty:Â 200 penalty units.
            (2) Subsection (1) does not apply in
relation to a report that must be made to a particular person if:
                    (a) the port operator believes, on
reasonable grounds, that the person is already aware of the incident; or
                    (b) the port operator has a reasonable
excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matters in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
172Â
Ship masters
            (1) The master
of a security regulated ship or a ship regulated as an offshore facility
commits an offence if:
                    (a) the master becomes aware of a
maritime transport or offshore facility security incident; and
                    (b) the master fails to report the
incident as required by section 178 as soon as possible.
Penalty:Â 50 penalty units.
            (2) Subsection (1) does not apply in
relation to a report that must be made to a particular person if:
                    (a) the master believes, on reasonable
grounds, that the person is already aware of the incident; or
                    (b) the master has a reasonable
excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matters in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
173Â
Ship operators
            (1) A ship operator
for a security regulated ship commits an offence if:
                    (a) the ship operator becomes aware of
a maritime transport or offshore facility security incident; and
                    (b) the ship operator fails to report
the incident as required by section 179 as soon as possible.
Penalty:Â 200 penalty units.
            (2) Subsection (1) does not apply in
relation to a report that must be made to a particular person if:
                    (a) the ship operator believes, on
reasonable grounds, that the person is already aware of the incident; or
                    (b) the ship operator has a reasonable
excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matters in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
174Â
Port facility operators
            (1) A port
facility operator commits an offence if:
                    (a) the port facility operator becomes
aware of a maritime transport or offshore facility security incident; and
                    (b) the port facility operator fails
to report the incident as required by section 180 as soon as possible.
Penalty:Â 200 penalty units.
            (2) Subsection (1) does not apply in
relation to a report that must be made to a particular person if:
                    (a) the port facility operator
believes, on reasonable grounds, that the person is already aware of the
incident; or
                    (b) the port facility operator has a
reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matters in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of strict
liability.
174AÂ
Offshore facility operators
            (1) An offshore facility operator commits an
offence if:
                    (a) the offshore facility operator
becomes aware of a maritime transport or offshore facility security incident;
and
                    (b) the offshore facility operator
fails to report the incident as required by section 179A as soon as
possible.
Penalty:Â 200 penalty units.
            (2) Subsection (1) does not apply in
relation to a report that must be made to a particular person if:
                    (a) the offshore facility operator
believes, on reasonable grounds, that the person is already aware of the
incident; or
                    (b) the offshore facility operator has
a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matters in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
175Â
Persons with incident reporting responsibilities
            (1) A person
with incident reporting responsibilities commits an offence if:
                    (a) the person becomes aware of a
maritime transport or offshore facility security incident; and
                    (b) the person fails to report the
incident as required by section 181 as soon as possible.
Penalty:Â For a person with incident reporting
responsibilities who is a maritime industry participant—100 penalty units.
             For any other person with incident reporting
responsibilities—50 penalty units.
            (2) Subsection (1) does not apply in
relation to a report that must be made to a particular person (the person
to be notified) if:
                    (a) the person with incident reporting
responsibilities believes, on reasonable grounds, that the person to be
notified is already aware of the incident; or
                    (b) the
person with incident reporting responsibilities has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in relation
to the matters in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
            (4) Each of the following is a person
with incident reporting responsibilities:
                    (a) a maritime security inspector;
                    (b) a duly authorised officer;
                    (c) a maritime security guard;
                    (d) a screening officer;
                    (e) a maritime industry participant
other than a participant who is:
                             (i) a port operator; or
                            (ii) a port facility
operator; or
                           (iii) a ship operator; or
                          (iiia) an offshore facility
operator; or
                           (iv) an employee (within the
definition of employee in section 10) of a maritime industry
participant.
176Â
Employees
            (1) An employee of a maritime industry
participant commits an offence if:
                    (a) the employee becomes aware of a
maritime transport or offshore facility security incident; and
                    (b) the employee fails to report the
incident to the maritime industry participant as soon as possible.
Penalty:Â 50 penalty units.
            (2) Subsection (1) does not apply if the
employee has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (2) (see subsection 13.3(3) of the Criminal
Code).
            (3) Subsection (1) is an offence of
strict liability.
Division 4—Reporting requirements
177Â
Reporting by port operators
            (1) A port operator must report maritime
transport or offshore facility security incidents in accordance with this
section.
            (2) An incident that relates to the port of
the port operator must be reported to:
                    (a) the Secretary; and
                    (b) the Australian Federal Police or
the police force of a State or a Territory; and
                    (c) if it relates to a part of the
port that is controlled by another person—that other person; and
                    (d) if it relates to operations
conducted within the port (other than those conducted by the port operator)—the
person who conducts those operations; and
                    (e) if it relates to a security
regulated ship within the port—the ship operator for, or the master of, the
ship; and
                     (f) if all or part of a security
regulated offshore facility is within the port—the offshore facility operator
for the facility.
            (3) However, the port operator is not
required to report under paragraph (2)(c), (d) or (e) if the incident:
                    (a) relates to the port in general;
and
                    (b) is not specifically directed at:
                             (i) in the case of an
incident covered by paragraph (2)(c)—the part of the port controlled by
that other person; or
                            (ii) in the case of an
incident covered by paragraph (2)(d)—those operations; or
                           (iii) in the case of an
incident covered by paragraph (2)(e)—that ship.
            (4) An incident that relates to the port of
another port operator must be reported to that other port operator.
            (5) An incident that relates to a security
regulated ship must be reported to:
                    (a) the ship operator for the ship; or
                    (b) the master of the ship.
            (6) An incident that relates to a security
regulated offshore facility must be reported to the offshore facility operator
for the facility.
178Â
Reporting by ship masters
            (1) The master of a security regulated ship
or a ship regulated as an offshore facility must report maritime transport or
offshore facility security incidents in accordance with this section.
            (2) An incident that relates to the master’s
ship must be reported to:
                    (a) the Secretary; and
                    (b) the Australian Federal Police or
the police force of a State or a Territory; and
                    (c) if the ship is within a security
regulated port—the port operator for the port; and
                    (d) if the ship is using a port
facility within a security regulated port—the port facility operator for the
port facility; and
                    (e) if the ship is located in the
vicinity of a security regulated offshore facility and is engaged in any
activity in relation to the facility—the offshore facility operator for the
facility.
            (3) An incident that relates to a security
regulated port (including a port facility within the port) must be reported to
the port operator for the port.
            (4) An incident that relates to another
security regulated ship must be reported to:
                    (a) the ship operator for the ship; or
                    (b) the master of the ship.
            (5) An incident that relates to a security
regulated offshore facility must be reported to the offshore facility operator
for the facility.
179Â
Reporting by ship operators
            (1) The ship operator for a security
regulated ship must report maritime transport or offshore facility security
incidents in accordance with this section.
            (2) An
incident that relates to a security regulated ship of the ship operator must be
reported to:
                    (a) the Secretary; and
                    (b) the Australian Federal Police or
the police force of a State or a Territory; and
                    (c) if the ship is within a security
regulated port—the port operator for the port; and
                    (d) if the ship is using a port
facility within a security regulated port—the port facility operator for the
port facility; and
                    (e) if the ship is located in the
vicinity of a security regulated offshore facility and is engaged in any
activity in relation to the facility—the offshore facility operator for the
facility.
            (3) An incident that relates to a port must
be reported to the port operator for the port.
            (4) An incident that relates to another
security regulated ship must be reported to:
                    (a) the ship operator for the ship; or
                    (b) the master of the ship.
            (5) An incident that relates to a security
regulated offshore facility must be reported to the offshore facility operator
for the facility.
179AÂ
Reporting by offshore facility operators
            (1) The offshore facility operator for a
security regulated offshore facility must report maritime transport or offshore
facility security incidents in accordance with this section.
            (2) An incident that relates to a security
regulated offshore facility of the offshore facility operator must be reported
to:
                    (a) the Secretary; and
                    (b) the Australian Federal Police or the
police force of a State or a Territory; and
                    (c) if the facility is within a
security regulated port—the port operator for the port; and
                    (d) if a security regulated ship is
located in the vicinity of the facility and is engaged in any activity in relation
to the facility—the ship operator for, or master of, the ship.
            (3) An incident that relates to a port must
be reported to the port operator for the port.
            (4) An incident that relates to a security
regulated ship must be reported to:
                    (a) the ship operator for the ship; or
                    (b) the master of the ship.
180Â
Reporting by port facility operators
            (1) A port facility operator for a port
facility within a security regulated port must report maritime transport or
offshore facility security incidents in accordance with this section.
            (2) An incident that relates to the port
facility operator’s port facility must be reported to:
                    (a) the Secretary; and
                    (b) the Australian Federal Police or
the police force of a State or a Territory; and
                    (c) the port operator.
            (3) An incident that relates to the port
(apart from the port facility of the port facility operator) must be reported
to the port operator.
            (4) An incident that relates to another port
must be reported to the port operator for that other port.
            (5) An incident that relates to a security
regulated ship must be reported to:
                    (a) the ship operator for the ship; or
                    (b) the master of the ship.
            (6) An incident that relates to a security
regulated offshore facility must be reported to the offshore facility operator
for the facility.
181Â
Reporting by persons with incident reporting responsibilities
            (1) A person with incident reporting
responsibilities must report maritime transport or offshore
facility security incidents in accordance with this section.
            (2) Each incident must be reported to the
Secretary.
            (3) An incident that relates to a security
regulated port must be reported to the port operator for the port.
            (4) An incident that relates to a security
regulated ship must be reported to:
                    (a) the ship operator for the ship; or
                    (b) the master of the ship.
            (5) An incident that relates to a security
regulated offshore facility must be reported to the offshore facility operator
for the facility.
Division 5—Form and content of reports
182Â
How reports are to be made
            (1) The Secretary may, by legislative
instrument, specify either or both of the following:
                    (a) information that must be included
in a report required by this Part;
                    (b) the way in which the report must
be made.
            (3) If:
                    (a) a person reports a maritime
transport or offshore facility security incident; and
                    (b) the report does not comply with
any requirements that are in force under subsection (1) when the report is
made;
the report is taken, for the purposes of this Part, not to
have been made.
Part 10—Information‑gathering
Division 1—Simplified overview of Part
183Â
Simplified overview of Part
It is important, for the security of
maritime transport and offshore facilities, for the Secretary to be able to
collect certain information.
Division 2 gives the Secretary
the power to require security compliance information but limits the use of the
information in certain proceedings.
Division 2—Secretary may require security compliance information
184Â
Secretary may require security compliance information
            (1) Information that relates to compliance,
or failure to comply, with this Act is security compliance information.
            (2) If the Secretary believes, on reasonable
grounds, that a maritime industry participant has security compliance
information, the Secretary may, by written notice given to the participant,
require the participant to give the information to the Secretary.
            (3) The information must be given within the
period and in the form and manner specified in the notice. The period must not
be less than 14 days.
            (4) Without limiting subsection (3), the
Secretary may specify in the notice any one or more of the following ways for
the participant to give the information:
                    (a) orally;
                    (b) in writing;
                    (c) by electronic transmission.
            (5) A person commits an offence if the person
fails to comply with a notice under subsection (2).
Penalty:Â 45 penalty units.
            (6) Subsection (5) does not apply if the
person has a reasonable excuse.
Note:Â Â Â Â Â Â Â Â Â A defendant bears an evidential burden in
relation to the matter in subsection (6) (see subsection 13.3(3) of the Criminal
Code).
            (7) Subsection (5) is an offence of
strict liability.
185Â
Self‑incrimination
            (1) A person is not excused from giving
security compliance information under section 184 on the ground that the
information might tend to incriminate the person or expose the person to a
penalty.
            (2) However, if the person is a natural
person:
                    (a) the information; and
                    (b) the giving of the information; and
                    (c) any information, document or thing
obtained as a direct or indirect consequence of giving the information;
are not admissible in evidence against the person in a
criminal proceeding, or any other proceeding for the recovery of a penalty,
other than a proceeding under section 137.1 or 137.2 of the Criminal
Code that relates to the giving of the information.
Part 11—Enforcement
Division 1—Simplified overview of Part
186Â
Simplified overview of Part
To ensure that persons comply with
their obligations under this Act, many provisions throughout the Act provide
for criminal offences. To provide flexibility in enforcing this Act, there is
also a range of enforcement options that can be used as an alternative to, or
in addition to, criminal prosecution. These enforcement options are covered by
this Part.
The enforcement options (and the
relevant Divisions) are as follows:
              (a)    infringement
notices (Division 2);
              (b)    enforcement
orders (Division 3);
              (c)    ship
enforcement orders for regulated Australian ships (Division 4);
              (d)    injunctions
(Division 5);
              (e)    demerit
points system (Division 6).
Division 2—Infringement notices
187Â
Infringement notices
            (1) The regulations may make provision
enabling a person who is alleged to have committed an offence against this Act,
other than an offence against subsection 43(1), 62(1), 100C(1), 120(3), 121(3),
127(3), 128(3), 153(3), 154(4), 155(4), 163A(2) or 163A(5), or section 123
or 130, to pay a penalty to the Commonwealth as an alternative to prosecution.
            (2) The penalty must not exceed one‑fifth
of the maximum fine that a court could impose on the person as a penalty for
that offence.
Division 3—Enforcement orders for maritime industry participants
188Â
Simplified overview of Division
The Secretary may make enforcement
orders requiring a specified person to take specified actions, where the
Secretary is of the opinion that the person has contravened this Act.
A person who contravenes an
enforcement order may be subject to an injunction.
189Â
Secretary may make enforcement orders
            (1) The Secretary may make a written order
(an enforcement order) under this section:
                    (a) prohibiting or restricting
specified activities by the maritime industry participant named in the
enforcement order; or
                    (b) requiring the maritime industry
participant named in the enforcement order to take specified action.
            (2) The Secretary may only make an
enforcement order under this section if he or she reasonably believes that:
                    (a) the maritime industry participant
named in the enforcement order has contravened this Act; and
                    (b) it is necessary to make the order
to safeguard against unlawful interference with maritime transport or offshore
facilities.
            (3) The enforcement order must:
                    (a) bear a clear and direct
relationship to the contravention; and
                    (b) be proportionate to the
contravention.
            (4) The enforcement order must not require
the payment of money to the Secretary (or any other person) other than an
amount of money that is already recoverable at law.
190Â
Commencement and duration of enforcement orders
            (1) An enforcement order comes into force:
                    (a) if a commencement time that is
after the day on which the order is given to the maritime industry participant
concerned is specified in the order—at that time; or
                    (b) otherwise—at the beginning of the
seventh day after it is given to the maritime industry participant concerned.
            (2) The order remains in force:
                    (a) for the period (if any) specified
in the order; or
                    (b) until it is revoked by the
Secretary.
191Â
Reviews of enforcement orders
            (1) The Secretary must:
                    (a) at intervals of not more than 3
months, review the enforcement order; and
                    (b) after each review, confirm, vary
or revoke the order by instrument in writing.
            (2) The Secretary must revoke the order
unless he or she is satisfied that the order is still needed to safeguard
against unlawful interference with maritime transport or offshore facilities.
            (3) The Secretary must not vary the order
unless he or she is satisfied that the order as varied:
                    (a) adequately safeguards against
unlawful interference with maritime transport or offshore facilities; and
                    (b) meets the requirements set out in
subsections 189(3) and (4).
            (4) If an order is varied, the order
continues in force as varied.
192Â
Notice of enforcement orders
            (1) As soon as practicable after making or
reviewing an enforcement order, the Secretary must cause the maritime industry
participant named in the order to be informed of the making of the order, or
the decision on the review, as the case requires.
            (2) Failure to comply with this section does
not affect the validity of the order.
193Â
Complying with enforcement orders
            (1) A person must not engage in conduct that
contravenes an enforcement order.
            (2) If a person contravenes subsection (1),
the person does not commit an offence but may be subject to an injunction under
section 197.
Division 4—Ship enforcement orders for regulated Australian ships
194Â
Simplified overview of Division
The Secretary may give a ship
enforcement order to the ship operator for, or the master of, a regulated
Australian ship, where the Secretary is of the opinion that the ship has
operated in contravention of this Act.
A ship operator or master who
contravenes an enforcement order may be subject to an injunction.
195Â
Ship enforcement orders—regulated Australian ships
            (1) The Secretary may give a direction to:
                    (a) the ship operator for a regulated
Australian ship; or
                    (b) the master of the ship;
requiring the ship operator or master to take specified
action, or refrain from taking specified action, in relation to the ship.
            (2) A direction under subsection (1) is
a ship enforcement order.
            (3) The Secretary may only give a ship
enforcement order if he or she reasonably believes that:
                    (a) the regulated Australian ship
named in the ship enforcement order has operated in contravention of this Act;
and
                    (b) the ship enforcement order is
necessary to safeguard against unlawful interference with maritime transport or
offshore facilities.
            (4) The ship enforcement order must:
                    (a) bear a clear and direct
relationship to the contravention; and
                    (b) be proportionate to the
contravention.
            (5) The action that a ship operator or master
may be directed to take under subsection (1) includes, but is not limited
to, the following:
                    (a) removing the ship from specified
waters;
                    (b) removing the ship from a security
regulated port;
                    (c) moving the ship within a security
regulated port;
                   (ca) removing the ship from an offshore
security zone;
                   (cb) if the ship is located in the
vicinity of a security regulated offshore facility and is engaged in any
activity in relation to the facility—removing the ship from the vicinity of the
facility;
                    (d) holding the ship in a particular
position for a specified period or until a specified event occurs;
                    (e) taking particular actions, or
ensuring that particular actions are taken, on board the ship;
                     (f) allowing a maritime security
inspector on board the ship to inspect the ship or ship security records
carried by the ship.
            (6) A ship enforcement order has no effect
unless the Secretary commits the direction to writing before giving it.
196Â
Enforcing ship enforcement orders
            (1) The ship operator for a regulated
Australian ship must not engage in conduct that contravenes a ship enforcement
order that relates to the ship.
            (2) If a ship operator contravenes subsection (1),
the ship operator may be subject to an injunction under section 197.
            (3) The master of a regulated Australian ship
must not engage in conduct that contravenes a ship enforcement order that
relates to the ship.
            (4) If the master of a ship contravenes subsection (3),
the master may be subject to an injunction under section 197.
Division 5—Injunctions
197Â
Injunctions
            (1) If a person has engaged, is engaging or
is proposing to engage in any conduct in contravention of this Act, the Federal
Court may, on the application of the Secretary, grant an injunction:
                    (a) restraining the person from
engaging in the conduct; or
                    (b) requiring the person to do an act
or thing.
            (2) On an application, the court may, if it
thinks it appropriate, grant an injunction by consent of all parties to the
proceedings, whether or not the court is satisfied that the person has engaged,
is engaging or is proposing to engage in any conduct in contravention of this
Act.
            (3) The court may, if it thinks it desirable,
grant an interim injunction pending its determination of an application.
            (4) The court is not to require the Secretary
or anyone else, as a condition of granting an interim injunction, to give an
undertaking as to damages.
            (5) The court may discharge or vary an
injunction it has granted.
            (6) The power to grant or vary an injunction
restraining a person from engaging in conduct may be exercised:
                    (a) whether or not it appears to the
court that the person intends to engage again, or to continue to engage, in
such conduct; and
                    (b) whether or not the person has
previously engaged in such conduct.
            (7) The power to grant or vary an injunction
requiring a person to do an act or thing may be exercised:
                    (a) whether or not it appears to the
court that the person intends to refuse or fail again, or to continue to refuse
or fail, to do that act or thing; and
                    (b) whether
or not the person has previously refused or failed to do that act or thing and
whether or not there is an imminent danger of substantial damage to any person
if the person refuses or fails to do that act or thing.
Division 6—Demerit points system
198Â
Demerit points system
                  The regulations may, in accordance with
this Division, establish a system (the demerit points system)
under which the approval of a maritime security plan, a ship security plan or
an offshore security plan may be cancelled.
199Â
Demerit points—maritime security plans
            (1) The demerit points system may provide
that the approval of a maritime security plan of a maritime industry
participant may be cancelled if the maritime industry participant accrues a
prescribed number of demerit points.
Note:Â Â Â Â Â Â Â Â Â Section 58 deals with the cancellation of
the approval of maritime security plans under the demerit points system.
            (2) Demerit points must only be accrued if
the maritime industry participant:
                    (a) is convicted or found guilty of an
offence against this Act; or
                    (b) under a scheme established under
regulations made under section 187, pays a penalty to the Commonwealth as
an alternative to prosecution.
            (3) Without limiting the scheme that may be
established under section 198, the scheme may provide that different
provisions apply to different kinds of maritime industry participants or to
different classes of participants within a kind of maritime industry participant.
200Â
Demerit points—ship security plans
            (1) The demerit points system may provide
that the approval of a ship security plan may be cancelled if the number of
demerit points prescribed by the regulations is accumulated in respect of the
ship.
Note:Â Â Â Â Â Â Â Â Â Section 77 deals with the cancellation of
the approval of ship security plans under the demerit points system.
            (2) The
demerit points system must only allow demerit points to be accumulated in
respect of the ship if a ship operator:
                    (a) is convicted or found guilty of an
offence against section 62 or 63 in respect of the ship; or
                    (b) under a scheme established under
regulations made under section 187, pays a penalty to the Commonwealth as
an alternative to prosecution for an offence against section 63 in respect
of the ship.
            (3) Without limiting the scheme that may be
established under section 198, the scheme may provide that different
provisions apply to different kinds of ships or to different classes of ships
within a kind of ship.
200AÂ
Demerit points—offshore security plans
            (1) The demerit points system may provide
that the approval of an offshore security plan of an offshore industry
participant may be cancelled if the offshore industry participant accrues a
prescribed number of demerit points.
Note:Â Â Â Â Â Â Â Â Â Section 100R deals with the cancellation
of the approval of offshore security plans under the demerit points system.
            (2) Demerit points must only be accrued if
the offshore industry participant:
                    (a) is convicted or found guilty of an
offence against this Act; or
                    (b) under a scheme established under
regulations made under section 187, pays a penalty to the Commonwealth as
an alternative to prosecution.
            (3) Without limiting the scheme that may be
established under section 198, the scheme may provide that different
provisions apply to different kinds of offshore industry participants or to
different classes of participants within a kind of offshore industry
participant.
Part 12—Review of decisions
201Â
Review of decisions by Administrative Appeals Tribunal
                  Application may be made to the
Administrative Appeals Tribunal for a review of a decision by the Secretary:
                    (a) to refuse to approve a maritime
security plan under subsection 51(2) or (4), a ship security plan under
subsection 70(2) or (4) or an offshore security plan under subsection 100K(2)
or (4); or
                   (aa) to refuse to approve a variation
of a maritime security plan under subsection 52A(5) or (7), a ship security
plan under subsection 71A(4) or (6) or an offshore security plan under subsection
100LA(5) or (7); or
                    (b) to direct a maritime industry
participant or ship operator to vary a plan under section 53, 72 or 100M;
or
                    (c) to direct a maritime industry
participant or ship operator to revise a plan under section 55, 74 or 100O;
or
                    (d) to cancel the approval of a
maritime security plan, a ship security plan or an offshore security plan under
section 57, 58, 76, 77, 100Q or 100R; or
                   (da) to refuse to grant an exemption
under section 61A or 79A; or
                    (e) to refuse an interim ISSC under
section 86 or 100ZC; or
                     (f) to declare that a particular
port, or a part of a particular port, is a security regulated port under
subsection 13(1); or
                    (g) to designate a person as a port
operator under section 14; or
                   (ga) to declare that one of the
following is a security regulated offshore facility under subsection 17B(1):
                             (i) an offshore facility;
                            (ii) a part of an offshore
facility;
                           (iii) a group of offshore
facilities;
                           (iv) parts of a group of
offshore facilities; or
                   (gb) to designate a person as an
offshore facility operator under section 17C; or
                    (h) to establish a port security zone
under section 102; or
                     (i) to declare, under section 106,
that a ship security zone is to operate around a security regulated ship; or
                     (j) to
establish an on‑board security zone under section 110; or
                    (k) to establish an offshore security
zone under section 113A.
Note:Â Â Â Â Â Â Â Â Â Section 27A of the Administrative
Appeals Tribunal Act 1975 requires the decision‑maker to notify
persons whose interests are affected by the decision of the making of the
decision and their right to have the decision reviewed. In so notifying, the
decision‑maker must have regard to the Code of Practice determined under
section 27B of that Act.
Part 13—Miscellaneous
202Â
Delegation
            (1) The Secretary may, by writing, delegate
all or any of his or her powers and functions under this Act to a person of the
following kind:
                    (a) an SES employee, or acting SES
employee, in the Department;
                    (b) an SES employee in the Attorney‑General’s
Department;
                    (c) the Agency Head of an Agency that
carries on activities that relate to national security.
         (1A) However, a delegation under
paragraph (1)(c) has no effect unless the Agency Head of the Agency agrees
to the delegation.
            (2) The Secretary may, by writing, delegate
all or any of his or her powers and functions under this Act, other than powers
or functions under Division 3 of Part 11, to an APS employee who
holds, or is acting in, an Executive Level 2, or equivalent, position in the
Department.
Note:Â Â Â Â Â Â Â Â Â The Secretary may delegate his or her powers
and functions under Part 4 to a person engaged by a recognised security
organisation: see section 88.
            (3) In exercising powers or functions under a
delegation, the delegate must comply with any directions of the Secretary.
            (4) In this section:
Attorney‑General’s Department means the
Department administered by the Minister who administers the Crimes Act 1914.
202AÂ
Sub‑delegation
            (1) If the Secretary delegates a power or
function to the Agency Head of an Agency under paragraph 202(1)(c), the Agency
Head may, by writing, sub‑delegate the power or function to an SES Band 3
employee in the Agency.
            (2) Sections 34AA, 34AB and 34A of the Acts
Interpretation Act 1901 apply in relation to the sub‑delegation in a
corresponding way to the way in which they apply to a delegation.
            (3) In exercising powers or functions under a
sub‑delegation, the delegate must comply with any directions of the
Agency Head of the Agency.
            (4) An SES Band 3 employee is
an SES employee with a classification of Senior Executive Band 3, and includes
an SES employee who has been temporarily assigned duties that have been
allocated a classification of Senior Executive Band 3.
203Â
Compensation for damage to electronic equipment
            (1) This section applies if:
                    (a) as a result of electronic
equipment being operated as mentioned in section 139, 140A, 141, 148 or
148A:
                             (i) damage is caused to
the equipment; or
                            (ii) the data recorded on
the equipment is damaged; or
                           (iii) programs associated
with the use of the equipment, or with the use of the data, are damaged or
corrupted; and
                    (b) the damage or corruption occurs
because:
                             (i) insufficient care was
exercised in selecting the person who was to operate the equipment; or
                            (ii) insufficient care was
exercised by the person operating the equipment.
            (2) The Commonwealth is liable to pay the
owner of the equipment, or the user of the data or programs, compensation of a
reasonable amount to the person in respect of the damage or corruption.
            (3) If the Commonwealth and the person do not
agree on the amount of the compensation, the person may take proceedings in the
Federal Court for the recovery from the Commonwealth of such reasonable amount
of compensation as the Court determines.
            (4) In determining the amount of compensation
payable, regard is to be had to whether the occupier of the premises, or the
occupier’s employees and agents, if they were available at the time, provided
any appropriate warning or guidance on the operation of the equipment.
            (5) Compensation is payable out of money
appropriated by the Parliament.
204Â
Compensation for acquisition of property
            (1) If:
                    (a) apart from this section, the
operation of this Act would result in the acquisition of property from a person
otherwise than on just terms; and
                    (b) the acquisition would be invalid
because of paragraph 51(xxxi) of the Constitution;
then the Commonwealth is liable to pay compensation of a
reasonable amount to the person in respect of the acquisition.
            (2) If the Commonwealth and the person do not
agree on the amount of the compensation, the person may take proceedings in the
Federal Court for the recovery from the Commonwealth of such reasonable amount
of compensation as the Court determines.
            (3) Compensation is payable out of money
appropriated by the Parliament.
205Â
Compensation for unnecessary delay—paid by the Commonwealth
            (1) If:
                    (a) the Secretary gives:
                             (i) a control direction to
a regulated foreign ship (see Division 3 of Part 5); or
                            (ii) a ship enforcement
order to a regulated Australian ship (see Division 4 of Part 11); and
                    (b) the ship is delayed because the
ship complies with the direction or order; and
                    (c) the delay is unreasonable in the
circumstances;
the Commonwealth is liable to pay compensation of a
reasonable amount to the ship operator for the ship in respect of the delay.
            (2) If the Commonwealth and the ship operator
do not agree on the amount of the compensation, the ship operator may take
proceedings in the Federal Court for the recovery from the Commonwealth of such
reasonable amount of compensation as the Court determines.
            (3) Compensation is payable out of money
appropriated by the Parliament.
206Â
Compensation for inspection and detention—paid by ship operators or other
persons
            (1) If:
                    (a) a person fails to comply with this
Act; and
                    (b) because of that failure a ship is
detained or inspected; and
                    (c) the detention or inspection is
reasonable in the circumstances; and
                    (d) the Commonwealth incurs costs in
connection with the detention or inspection;
the person is liable to pay compensation of a reasonable
amount to the Commonwealth in respect of the detention or inspection.
            (2) If the Commonwealth and the person do not
agree on the amount of the compensation, the Commonwealth may take proceedings
in the Federal Court for the recovery from the person of such reasonable amount
of compensation as the Court determines.
            (3) If:
                    (a) a security regulated ship (the non‑complying
ship) fails to comply with this Act; and
                    (b) because of that failure, the non‑complying
ship or another ship is detained or inspected; and
                    (c) the detention or inspection is
reasonable in the circumstances; and
                    (d) the Commonwealth incurs costs in
connection with the detention or inspection;
the ship operator for the non‑complying ship is
liable to pay compensation of a reasonable amount to the Commonwealth in
respect of the detention or inspection.
            (4) If the Commonwealth and the ship operator
do not agree on the amount of the compensation, the Commonwealth may take
proceedings in the Federal Court for the recovery from the ship operator of
such reasonable amount of compensation as the Court determines.
207Â
Saving of other laws
                  This Act does not affect an immunity or
privilege that is conferred by or under the Consular Privileges and
Immunities Act 1972, the Defence (Visiting Forces) Act 1963, the Diplomatic
Privileges and Immunities Act 1967, the Foreign States Immunities Act
1985 or any other Act.
208Â
Severability—additional effect of Act
            (1) Without limiting its effect apart from
this section, this Act also has effect as provided by this section.
            (2) This Act also has the effect that it
would have if its operation were expressly confined to acts or omissions of
corporations to which paragraph 51(xx) of the Constitution applies.
            (3) This Act also has the effect that it
would have if its operation were expressly confined to acts or omissions that
occur at Commonwealth places.
            (4) This Act also has the effect that it
would have if its operation were expressly confined to acts or omissions taking
place in the course of, or in relation to, trade or commerce:
                    (a) between Australia and places
outside Australia; or
                    (b) among the States; or
                    (c) within a Territory, between a
State and a Territory or between 2 Territories.
            (5) This Act also has the effect that it
would have if its operation were expressly confined to acts or omissions taking
place in a Territory.
            (6) This Act also has the effect that it
would have if its operation were expressly confined to acts or omissions taking
place outside Australia.
            (7) This Act also has the effect that it
would have if its operation were expressly confined to matters:
                    (a) in relation to which the
Commonwealth is under an obligation under an international agreement; or
                    (b) that are of international concern.
            (8) This Act also has the effect that it
would have if the provisions of this Act relating to security regulated
offshore facilities or the acts or omissions of persons in, around or in
relation to a security regulated offshore facility were expressly confined to
cases where the facility is:
                    (a) engaged or used in trade or
commerce:
                             (i) between Australia and
places outside Australia; or
                            (ii) among the States; or
                           (iii) within a Territory,
between a State and a Territory or between 2 Territories; or
                    (b) operated or controlled by a
corporation, or corporations, to which paragraph 51(xx) of the Constitution
applies.
209Â
Regulations
            (1) The Governor‑General may make
regulations prescribing 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) Without limiting subsection (1), the
regulations may:
                    (a) prescribe fees in respect of
matters under this Act (including the regulations); and
                    (b) prescribe penalties of not more
than 50 penalty units for offences against the regulations.
            (3) Paragraph (2)(b) does not limit any
provision in this Act that provides for the regulations to prescribe penalties
higher than 50 penalty units.