An Act relating to fisheries
Part 1—Preliminary
1
Short title [see Note 1]
This Act may be cited as the Fisheries
Management Act 1991.
2
Commencement [see Note 1]
(1) Sections 1 and 2 commence on the day
on which this Act receives the Royal Assent.
(2) Part 5 commences upon the repeal or
the ceasing to have effect (as the case may be) of Part IVA of the
Fisheries Act 1952.
(3) Subject to subsection (4), the
remaining provisions of this Act commence on a day or days to be fixed by
Proclamation.
(4) If a provision mentioned in subsection (3)
does not commence under that subsection within the period of 6 months
commencing on the day on which this Act receives the Royal Assent, it commences
on the first day after the end of that period.
3
Objectives
(1) The following objectives must be pursued
by the Minister in the administration of this Act and by AFMA in the
performance of its functions:
(a) implementing efficient and cost‑effective
fisheries management on behalf of the Commonwealth; and
(b) ensuring that the exploitation of
fisheries resources and the carrying on of any related activities are conducted
in a manner consistent with the principles of ecologically sustainable
development (which include the exercise of the precautionary principle), in
particular the need to have regard to the impact of fishing activities on non‑target
species and the long term sustainability of the marine environment; and
(c) maximising the net economic
returns to the Australian community from the management of Australian
fisheries; and
(d) ensuring accountability to the
fishing industry and to the Australian community in AFMA’s management of
fisheries resources; and
(e) achieving government targets in
relation to the recovery of the costs of AFMA.
(2) In addition to the objectives mentioned
in subsection (1), or in section 78 of this Act, the Minister, AFMA
and Joint Authorities are to have regard to the objectives of:
(a) ensuring, through proper
conservation and management measures, that the living resources of the AFZ are
not endangered by over‑exploitation; and
(b) achieving
the optimum utilisation of the living resources of the AFZ; and
(c) ensuring that conservation and
management measures in the AFZ and the high seas implement Australia’s obligations under international agreements that deal with fish stocks; and
(d) to the extent that Australia has obligations:
(i) under international
law; or
(ii) under the Compliance
Agreement or any other international agreement;
in relation to fishing
activities by Australian‑flagged boats on the high seas that are additional to
the obligations referred to in paragraph (c)—ensuring that Australia implements those first‑mentioned obligations;
but must ensure, as far as practicable, that measures
adopted in pursuit of those objectives must not be inconsistent with the
preservation, conservation and protection of all species of whales.
3A
Principles of ecologically sustainable development
The following principles are principles
of ecologically sustainable development:
(a) decision‑making processes should
effectively integrate both long‑term and short‑term economic, environmental,
social and equity considerations;
(b) if there are threats of serious or
irreversible environmental damage, lack of full scientific certainty should not
be used as a reason for postponing measures to prevent environmental
degradation;
(c) the principle of inter‑generational
equity—that the present generation should ensure that the health, diversity and
productivity of the environment is maintained or enhanced for the benefit of
future generations;
(d) the conservation of biological
diversity and ecological integrity should be a fundamental consideration in
decision‑making;
(e) improved valuation, pricing and
incentive mechanisms should be promoted.
4
Interpretation
(1) In this Act, unless the contrary
intention appears:
Administrator means the person or
organisation that is the Administrator within the meaning of the Treaty.
AFMA means the Australian Fisheries
Management Authority.
AFMA staff member has the same meaning as in
the Fisheries Administration Act 1991.
AFZ means the
Australian fishing zone.
approved means approved by AFMA or, in
relation to a Joint Authority fishery, by the Joint Authority.
Australian boat means:
(a) a boat:
(i) the operations of
which are based on a place in Australia or an external Territory; and
(ii) that is wholly‑owned
by a natural person who is a resident of, or by a company incorporated in, Australia or an external Territory; and
(iii) that was built in Australia or an external Territory; or
(b) a boat, not being a boat mentioned
in paragraph (a) or a boat owned by a foreign resident that is under a
demise charter, that is registered under the Shipping Registration Act 1981;
or
(c) a boat the subject of a
declaration under subsection (2).
Australian continental shelf means the
continental shelf adjacent to the coast of Australia and the continental shelf
adjacent to each of the external Territories.
Australian fishing
zone means:
(a) the waters adjacent to Australia within the outer limits of the exclusive economic zone adjacent to the coast of Australia; and
(b) the
waters adjacent to each external territory within the outer limits of the
exclusive economic zone adjacent to the coast of the external Territory;
but does not include:
(c) coastal waters of, or waters
within the limits of, a State or internal Territory; or
(d) waters that are excepted waters.
Australian‑flagged boat means a boat that:
(a) is an Australian ship as defined
in the Shipping Registration Act 1981; or
(b) would be an Australian ship as
defined in the Shipping Registration Act 1981 if it were a ship as
defined in that Act.
Australian national means:
(a) an Australian citizen; or
(b) a resident of Australia; or
(c) a body corporate incorporated by
or under a law of the Commonwealth or of a State or Territory; or
(d) any other body corporate that
carries on its activities principally in Australia.
Australian resident
means:
(a) a person who holds a permanent
visa (as defined in the Migration Act 1958) that is in effect; or
(b) a New Zealand citizen who is
usually resident in Australia or a Territory and who holds a special category
visa (as defined in the Migration Act 1958) that is in effect; or
(c) any other person who is usually
resident in Australia or a Territory and whose continued presence in Australia or a Territory is not subject to a limitation as to time imposed by law.
being investigated for a fisheries offence,
in relation to the holder of a fishing concession, means:
(a) AFMA is investigating whether the
holder has committed a fisheries offence; or
(b) a law enforcement agency has
notified AFMA that the agency is investigating whether the holder has committed
a fisheries offence; or
(c) the holder is charged with a
fisheries offence.
boat means launch, vessel or floating craft
of any description.
CEO has the same meaning as in the Fisheries
Administration Act 1991.
charter boat means a boat that is being used
exclusively for recreational fishing in the course of an arrangement under
which money or some other consideration is, or is required to be, paid or given
by or on behalf of a person or persons for the right to fish from that boat.
coastal waters has the meaning given by
section 5.
Commission has the same meaning as in the Fisheries
Administration Act 1991.
Compliance Agreement means the Agreement to
promote Compliance with International Conservation and Management Measures by
Fishing Vessels on the High Seas done at Rome on 24 November 1993, a copy of the English text of which is set out in Schedule 3.
computer function notice has the meaning
given by section 163D.
conservation area, for a conserved fish
stock, means the area to which the international fisheries management measure
that covers the fish stock relates.
conserved fish stock means a fish stock
covered by an international fisheries management measure.
conveyance includes an aircraft, vehicle or
vessel.
cooperative enforcement has the meaning given
by section 84B.
Cooperative Enforcement Agreement has the
meaning given by section 84B.
dealing includes a transmission by operation
of law.
defensive equipment has the meaning given by
section 89A.
electronic decision has the meaning given by
section 163B.
evidential material means a thing relevant to
an indictable offence, or a thing relevant to a summary offence, against this
Act or the regulations, including such a thing in electronic form.
excepted waters means waters specified by
Proclamation under section 11.
executing officer, in relation to a warrant,
means:
(a) the officer named in the warrant
by the magistrate who issued the warrant as being responsible for executing the
warrant; or
(b) if the officer so named does not
intend to be present at the execution of the warrant—another officer whose name
has been written in the warrant by the officer so named; or
(c) another officer whose name has
been written in the warrant by the officer last named in the warrant.
FAO means the Food and Agriculture Organization
of the United Nations.
fish includes all species of bony fish,
sharks, rays, crustaceans, molluscs and other marine organisms, but does not
include marine mammals or marine reptiles.
fisheries legislation means:
(a) this Act or the regulations; or
(b) another
Act or regulations that are:
(i) administered by the
Minister; and
(ii) prescribed under the
regulations.
fisheries offence means:
(a) an offence against this Act or the
regulations; or
(b) an offence against another Act
that relates to a fishing concession (including an offence for unlawfully
obtaining a fishing concession, for example).
fish receiver permit means a fish receiver
permit granted under section 91.
fishery means a class of activities by way of
fishing, including activities identified by reference to all or any of the
following:
(a) a species or type of fish;
(b) a description of fish by reference
to sex or any other characteristic;
(c) an area of waters or of seabed;
(d) a method of fishing;
(e) a class of boats;
(f) a class of persons;
(g) a purpose of activities.
fishing means:
(a) searching for, or taking, fish; or
(b) attempting to search for, or take,
fish; or
(c) engaging in any other activities
that can reasonably be expected to result in the locating, or taking, of fish;
or
(d) placing, searching for or
recovering fish aggregating devices or associated electronic equipment such as
radio beacons; or
(e) any operations at sea directly in
support of, or in preparation for, any activity described in this definition;
or
(f) aircraft use relating to any
activity described in this definition except flights in emergencies involving
the health or safety of crew members or the safety of a boat; or
(g) the processing, carrying or
transhipping of fish that have been taken.
fishing concession means:
(a) a statutory fishing right; or
(b) a fishing permit; or
(c) a foreign fishing licence.
fishing concession certificate has the
meaning given by section 163E.
fishing permit means a fishing permit granted
under section 32.
fishing right means a statutory fishing
right.
fishing vessel of the United States has the
same meaning as in the Treaty.
Fish Stocks Agreement means the Agreement for
the Implementation of the Provisions of the United Nations Convention on the
Law of the Sea of 10 December 1982 relating to the Conservation and
Management of Straddling Fish Stocks and Highly Migratory Fish Stocks, a copy
of the English text of which is set out in Schedule 2.
foreign boat means a boat other than an
Australian boat.
foreign fishing licence means a foreign
fishing licence granted under section 34.
foreign master fishing licence means a
foreign master fishing licence granted under section 40.
highly migratory fish stock has the same
meaning as in the Fish Stocks Agreement.
high seas means the waters that are:
(a) outside the outer limits of the
exclusive economic zones of all countries, including Australia and its external
Territories; or
(b) inside the outer limits of the
exclusive economic zone adjacent to the coast of the Australian Antarctic
Territory.
holder of a licence, permit or right:
(a) means:
(i) the person to whom the
licence, permit or right was granted; or
(ii) if the permit or right
has been transferred—the person to whom the permit or right was last transferred;
and
(b) in the case of a statutory fishing
right that is leased to another person by a lease registered under
section 46—includes the lessee of the statutory fishing right.
international conservation and management measure
means a measure to conserve and manage one or more species of living marine
resources that is adopted and applied, in accordance with the relevant rules of
international law as reflected in the 1982 United Nations Convention on the Law
of the Sea:
(a) by a global, regional or subregional
fisheries organisation; or
(b) by treaty or other international
agreement.
Note: The English text of the United Nations
Convention on the Law of the Sea is set out in Australian Treaty Series 1994
No. 31.
international fisheries management measure means
a measure prescribed by the regulations to give effect to a measure established
by an international fisheries management organisation.
international fisheries management organisation
means a global, regional or subregional fisheries organisation or arrangement
prescribed by the regulations.
international officer has the meaning given
by section 84B.
Joint Authority means an authority
established by or under section 61.
law enforcement agency means a government
body that has responsibility for the enforcement of the laws of:
(a) the Commonwealth; or
(b) a State or Territory.
lease, of a fishing right, means a temporary
assignment of the fishing right.
magistrate includes a justice of the peace or
other person employed in a court of a State or Territory who is authorised to
issue search warrants.
managed fishery means a fishery to which a
plan of management relates.
master, in relation to a boat, means the
master or other person in charge of the boat.
member, in relation to the Panel, means a
member of the Panel.
Ministerial Council means:
(a) subject to paragraph (b)—the
Ministerial Council on Forestry, Fisheries and Aquaculture, whether known by
that name or any other name; or
(b) if another body is prescribed by
the regulations for the purposes of this definition—that other body.
modification includes addition, omission and
substitution.
offence against this Act includes an offence
against section 136.1, 137.1, 137.2, 148.1, 148.2, 147.1 or 149.1 of the Criminal
Code that relates to this Act.
officer means:
(a) a person appointed under section 83
to be an officer for the purposes of this Act; or
(b) a member or special member of the
Australian Federal Police or a member of the police force of a State or
Territory; or
(c) a member of the Defence Force; or
(d) an officer of Customs (as defined
in the Customs Act 1901).
Pacific Island party, in relation to the
Treaty, has the same meaning as in the Treaty.
Pacific Island party
officer means a person (other than a person mentioned in paragraph (a),
(b) or (c) of the definition of officer) who is authorised by or
under the law of a Pacific Island party to perform the functions and duties of
an observer on Treaty boats.
Panel means the Statutory Fishing Rights
Allocation Review Panel.
party, in relation to the Treaty, has the
same meaning as in the Treaty.
plan of management means a plan of management
determined under section 17.
port permit means a port permit granted under
section 94.
precautionary principle has the same meaning
as in clause 3.5.1 of the Intergovernmental Agreement on the Environment,
a copy of which is set out in the Schedule to the National Environment
Protection Council Act 1994.
premises includes a place and a conveyance.
Presiding Member means the Presiding Member
of Australian Fisheries Management Authority Selection Committees appointed
under section 139.
primary stakeholder has the meaning given in
the Fisheries Administration Act 1991.
principles of ecologically sustainable development
has the meaning given by section 3A.
processing, in relation to fish, includes the
work of cutting up, dismembering, cleaning, sorting, packing or freezing.
receive, in
relation to fish, means receive fish for any purpose other than:
(a) personal or domestic consumption;
or
(b) solely for transportation.
Register means the Register of Statutory
Fishing Rights kept by AFMA under section 44.
relevant Treaty purpose has the meaning given
by subsection (6).
scientific permit means a scientific permit
granted under section 33.
sedentary organism means an organism of a
kind declared by Proclamation under section 12 to be a sedentary organism
to which this Act applies.
Selection Committee means an Australian
Fisheries Management Authority Selection Committee established under
section 141A.
statutory fishing right has the meaning given
by section 21.
straddling fish stock has the same meaning as
in the Fish Stocks Agreement.
take, in relation to fish, means catch,
capture, take or harvest.
temporary order means an order made under
section 43.
Treaty means the Treaty on Fisheries between
the Governments of Certain Pacific Island States and the Government of the
United States of America that was signed at Port Moresby on 2 April 1987,
a copy of which is set out in Schedule 1, and, subject to subsection (7),
includes that Treaty as amended from time to time.
Treaty area
has the same meaning as in the Treaty.
Treaty boat means a foreign boat that is a
fishing vessel of the United States.
Treaty licence means a licence issued, for
the purposes of the Treaty, by the Administrator in respect of a Treaty boat.
warrant means a warrant under section 85
or 86.
warrant premises means premises in relation
to which a warrant is in force.
whale means any member of the sub‑order
Mysticeti or Odontoceti of the order Cetacea.
(2) Where:
(a) a boat has been lawfully imported
into Australia for a limited period; and
(b) AFMA is satisfied that the extent
of participation of citizens or residents of Australia, either directly or
indirectly (whether through the holding of shares in a company or otherwise),
in the control of the operations of the boat in the AFZ during that period, and
the nature of those operations, will be such as to justify it in so doing;
AFMA may, by instrument published in the Gazette,
declare that, during that period, the boat is taken to be an Australian boat
for the purposes of this Act.
(3) AFMA may:
(a) because of a change in
circumstances, by instrument published in the Gazette, at any time
revoke an instrument under subsection (2); or
(b) by instrument published in the Gazette,
extend the period for which an instrument under subsection (2) is to
remain in force.
(4) For the
purposes of this Act:
(a) in relation to a fishery or a
managed fishery that is identified by reference to an area, a reference to
activities in the fishery or in the managed fishery includes activities in that
area; and
(b) in relation to a fishery or a
managed fishery that is identified by reference to any matter other than an
area, a reference to activities in the fishery or in the managed fishery
includes activities in relation to the fishery.
(5) For the purposes of this Act, a charter
boat, the person in charge of the boat and any other person fishing from the
boat are taken to be engaged in recreational fishing.
(6) A reference in this Act to a relevant
Treaty purpose is a reference to the purpose of:
(a) performing the functions and
duties of an observer in accordance with Part 6 of Annex 1 to the Treaty
or an observer program conducted in accordance with the Treaty; or
(b) ascertaining whether the
provisions of this Act have been or are being complied with on, or in relation
to the use of, a Treaty boat while it is in the AFZ.
(7) An amendment of the Treaty that alters
the Treaty area that is within the AFZ or that alters a condition of a Treaty
licence in a way that affects fishing by Treaty boats within the AFZ under a
Treaty licence:
(a) does not have effect for the
purposes of this Act unless the amendment is declared by the regulations to
have effect for the purposes of this Act; and
(b) takes effect for the purposes of
this Act on the day on which regulations mentioned in paragraph (a) take
effect or on such later day as is specified in those regulations.
(8) If an arrangement under Division 3
of Part 5 is varied, a reference in this Act to the arrangement is a
reference to the arrangement as varied.
5
Coastal waters
(1) For the
purposes of this Act, the coastal waters of a State or internal Territory are:
(a) the part or parts of the
territorial sea of Australia that are:
(i) within 3 nautical
miles of the baseline by reference to which the territorial limits of Australia are defined for the purposes of international law; and
(ii) adjacent to that State
or Territory; and
(b) any marine or tidal waters that
are on the landward side of that baseline and are adjacent to that State or
Territory but are not within the limits of a State or Territory.
(2) Any part of the territorial sea of Australia that is adjacent to the Jervis Bay Territory is, for the purposes of subsection (1),
taken to be adjacent to New South Wales.
6 Act
binds the Crown
(1) This Act binds the Crown in right of the
Commonwealth, of each of the States, of the Australian Capital Territory, of
the Northern Territory and of Norfolk Island.
(2) Nothing in this Act makes the Crown
liable to be prosecuted for an offence.
6A
Application of the Criminal Code
Chapter 2 (other than Part 2.5)
of the Criminal Code applies to all offences against this Act.
Note: Chapter 2 of the Criminal Code
sets out the general principles of criminal responsibility.
7
Application
(1) This Act extends to all of the
Territories and has extra‑territorial operation.
(2) In relation to the AFZ and to fishing for
sedentary organisms outside the AFZ, this Act applies to all persons, including
foreigners, and to all boats, including foreign boats.
(3) In
relation to fishing activities on waters outside the AFZ, this Act applies:
(a) to Australian boats and to
Australian‑flagged boats that are not Australian boats; and
(b) to all persons (including
foreigners) on boats to which paragraph (a) applies.
This subsection does not limit subsection (2) or
express provisions that extend the application of this Act.
(4) Subsections (2) and (3) do not limit
the extra‑territorial operation of this Act.
8
Application of Act to areas outside the AFZ
(1) The regulations may provide that, in
respect of specified areas outside the AFZ, or in respect of the high seas
generally, this Act applies to:
(a) Australian citizens; and
(b) bodies corporate that are
incorporated in Australia or carry on activities mainly in Australia; and
(c) Australian boats and Australian‑flagged
boats that are not Australian boats; and
(d) persons on board boats to which paragraph (c)
applies.
(2) The Act so applies subject to any
exceptions or modifications specified in the regulations.
(3) When a provision of this Act applies in
relation to such an area, then, subject to the regulations, references in that
provision to the AFZ are to be read as references to that area.
(4) This section does not limit the extra‑territorial
operation of this Act.
8A
Regulations may provide for placement of observers on foreign fishing boats
operating outside the AFZ
(1) The
regulations may:
(a) provide for the placement of
persons as observers on board foreign fishing boats that will be, or are,
operating outside the AFZ; and
(b) set out the functions, powers and
duties of persons so placed.
(2) Without otherwise limiting the generality
of subsection (1):
(a) a person may be so placed only if
the placement is authorised under a regional arrangement, or a bilateral or
multilateral treaty, to which Australia, or a body acting on behalf of
Australia, is a party; and
(b) the functions, powers and duties
conferred or imposed on persons so placed must be consistent with the terms of
that arrangement or treaty.
(3) In this section:
foreign fishing boat means a foreign boat
that is equipped for fishing.
9
Application of Act to Protected Zone
(1) This Act, other than this section and
sections 84 and 108, does not apply to or in relation to the Protected
Zone.
(2) Where there is in force a Proclamation
under subsection 15(1) or (2) of the Torres Strait Fisheries Act 1984 in
relation to an area adjacent to the Protected Zone, this Act, other than this
section and sections 84 and 108, does not, except as provided by subsection (3),
apply in relation to any activities within that area to which the Torres
Strait Fisheries Act 1984 applies by virtue of the Proclamation.
(3) If the Proclamation came into force after
the commencement of this section, this Act applies, in relation to matters that
occurred after that commencement but before the Proclamation came into force,
in relation to any activities within the area to which the Proclamation
relates.
(4) In this
section:
Protected Zone has the same meaning as in the
Torres Strait Fisheries Act 1984.
9A Act
not to apply so as to exceed Commonwealth power
(1) Unless the
contrary intention appears, if a provision of this Act:
(a) would, apart from this section,
have an invalid application; but
(b) also
has at least one valid application;
it is the Parliament’s intention that the provision is not
to have the invalid application, but is to have every valid application.
(2) Despite subsection (1), the
provision is not to have a particular valid application if:
(a) apart from this section, it is
clear, taking into account the provision’s context and the purpose or object
underlying this Act, that the provision was intended to have that valid
application only if every invalid application, or a particular invalid
application, of the provision had also been within the Commonwealth’s
legislative power; or
(b) the provision’s operation in
relation to that valid application would be different in a substantial respect
from what would have been its operation in relation to that valid application
if every invalid application of the provision had been within the
Commonwealth’s legislative power.
(3) Subsection (2) does not limit the
cases where a contrary intention may be taken to appear for the purposes of subsection (1).
(4) This section applies to a provision of
this Act, whether enacted before, at or after the commencement of this section.
(5) In this section:
application means an application in relation
to:
(a) one or more particular persons,
things, matters, places, circumstances or cases; or
(b) one or more classes (however
defined or determined) of persons, things, matters, places, circumstances or
cases.
invalid application, in relation to a
provision, means an application because of which the provision exceeds the
Commonwealth’s legislative power.
valid application, in relation to a
provision, means an application that, if it were the provision’s only
application, would be within the Commonwealth’s legislative power.
10
Operation of certain State and Territory laws
(1) Except as provided by subsections (2)
and (3), this Act is not intended to exclude or limit the concurrent operation
of any law of a State or Territory.
(2) Subject to subsection (3), the
Parliament intends that this Act is to apply to the exclusion of any law of a
State or Territory relating to fish or fishing so far as that law would, but
for this Act, apply to:
(a) activities in the AFZ; or
(b) activities in the coastal waters
of a State or Territory in respect of which a fishery to which an arrangement
mentioned in section 12K of the Fisheries Act 1952, or section 76
of this Act, relates; or
(c) the landing in the State or
Territory of fish taken under a statutory fishing right or fishing permit by
prohibiting such landing or by requiring such landing to be done under a
licence, permit or similar instrument or upon payment of a fee or charge.
(3) This Act
does not apply to:
(a) recreational fishing (whether from
a charter boat or otherwise) that is carried on in the AFZ or outside the AFZ
by the use of an Australian boat, other than recreational fishing that is
prohibited or regulated by a plan of management or temporary order; or
(b) recreational fishing (whether from
a charter boat or otherwise) that is carried on by the use of an Australian
boat in the coastal waters of a State or Territory, being coastal waters in
respect of which an arrangement mentioned in section 12K of the Fisheries
Act 1952, or section 76 of this Act, relates, other than recreational
fishing that is prohibited or regulated by a plan of management or temporary
order; or
(c) activities in the AFZ to which,
because of section 77, this Act does not apply.
(4) The reference in paragraph 10(2)(c) to
prohibiting the landing in a State or Territory of fish taken under a statutory
fishing right or fishing permit includes a reference to:
(a) directly prohibiting the landing
of such fish in the State or Territory; or
(b) directly prohibiting or regulating
the possession or processing of, or other dealing with, such fish in the State
or Territory in any respect that would be likely to substantially discourage
the landing of such fish in the State or Territory.
(5) For the avoidance of doubt, the reference
in subsection (2) to a law of a State or Territory relating to fish or
fishing does not include such a law that is for the protection of public
health, for ensuring safety or for any similar objective.
11
Excepted waters
The Governor‑General may, by
Proclamation, declare any waters to be excepted waters for the purposes of this
Act.
12
Sedentary organisms—Australian continental shelf
(1) If the Governor‑General is satisfied that
a marine organism of any kind is, for the purposes of international law, part
of the living natural resources of the Australian continental shelf because it
is, for the purposes of international law, an organism belonging to a sedentary
species, the Governor‑General may, by Proclamation, declare the organism to be
a sedentary organism to which this Act applies.
(2) Where by this Act (other than Part 5),
or the regulations, provision is made in relation to fishing in the AFZ or a
fishery, such provision, to the extent that it is capable of doing so, extends
by force of this section to fishing for sedentary organisms, in or on any part
of the Australian continental shelf not within the AFZ or the fishery as if
they were within the AFZ or the fishery.
(3) Without
limiting the operation of subsection (2), a reference in that subsection
to making provision in relation to fishing includes a reference to making
provision in respect of:
(a) the granting of fishing
concessions, scientific permits and foreign master fishing licences; and
(b) the prohibition or regulation of
fishing; and
(c) the powers of officers.
(4) A reference in this section to the
Australian continental shelf includes a reference to the waters above the
Australian continental shelf.
Part 2—Fishing and the marine environment
13
Driftnet fishing
(1) A person
must not engage in driftnet fishing activities in the AFZ.
Penalty: 500 penalty units.
(1A) In subsection (1), strict liability
applies to the physical element of circumstance, that the relevant conduct is
engaged in within the AFZ.
Note: For strict liability, see section 6.1 of
the Criminal Code.
(2) An
Australian citizen must not engage in driftnet fishing activities outside the
AFZ.
Penalty: 500 penalty units.
(3) A body
corporate that is incorporated in Australia or carries on activities mainly in Australia must not engage in driftnet fishing activities outside the AFZ.
Penalty: 2,500 penalty units.
(4) A person
must not, outside the AFZ, engage in driftnet fishing activities from an
Australian boat.
Penalty: 500 penalty units.
(4A) In subsections (2), (3) and (4),
strict liability applies to the physical element of circumstance, that the
relevant conduct is engaged in outside the AFZ.
Note: For strict liability, see section 6.1 of
the Criminal Code.
(5) In subsection (1):
driftnet means a gillnet or other net or a
combination of nets that is more than 2.5 kilometres in length, or such shorter
length as is prescribed, the purpose of which is to enmesh, entrap or entangle
fish by drifting on the surface of or in the water.
driftnet fishing
activities means:
(a) taking fish with the use of a
driftnet; or
(b) engaging in any other activity
that can reasonably be expected to result in the taking of fish with the use of
a driftnet, including searching for and locating fish to be taken by that method;
or
(c) any operations at sea in support
of, or in preparation for any activity described in this definition, including
operations of placing, searching for or recovering fish aggregating devices or
associated electronic equipment such as radio beacons; or
(d) aircraft use relating to the
activities described in this definition except for flights in emergencies
involving the health or safety of crew members or the safety of a boat; or
(e) transporting, transhipping and
processing any driftnet catch, and co‑operation in the provision of food, fuel
and other supplies for boats equipped for or engaged in driftnet fishing.
14
Regulation etc. of certain practices
(1) For the purpose of conserving the marine
environment, the regulations may prohibit, or make provision for the regulation
of, the engaging in specified activities, or the use of specified practices,
by:
(a) persons engaged in fishing in the
AFZ; and
(b) Australian boats, and persons on
Australian boats, engaged in fishing outside the AFZ.
(2) Without limiting the generality of subsection (1),
regulations may be made in relation to:
(a) the employment of specified
fishing practices or methods; and
(b) the use of specified fishing
equipment; and
(c) the taking, and treatment of, by‑catches,
and the making of returns in relation to by‑catches taken; and
(d) littering at sea.
15
Prohibition against certain fishing
(1) A person
must not (otherwise than in accordance with the terms of a scientific permit):
(a) in the AFZ, take black cod (Epinephelus
daemelii); or
(b) in
the AFZ, or in a part of the AFZ specified in the regulations, take prescribed
fish.
Penalty: 125 penalty units.
(2) A person
on an Australian boat must not, outside the AFZ, take a prescribed fish.
Penalty: 125 penalty units.
(3) It is a defence to a prosecution for an
offence against this section if the person charged satisfies the court that,
upon becoming aware of the taking of the fish, he or she took steps immediately
to return the fish to its natural environment.
(4) An offence under this section is an
offence of strict liability.
Note: For strict liability, see section 6.1 of
the Criminal Code.
15A
Prohibition against taking marlin
(1) A person must not, in the AFZ, take blue
marlin (Makaira mazara) or black marlin (Makaira indica) unless
the person:
(a) is the holder of a scientific
permit that authorises the taking of the fish; or
(b) takes the fish in the course of
recreational fishing (whether from a charter boat or otherwise).
Penalty: 125 penalty units.
(2) It is a defence to a prosecution for an
offence against this section if the person charged satisfies the court that,
upon becoming aware of the taking of the fish, he or she took steps immediately
to return the fish to its natural environment.
(3) An offence under this section is an
offence of strict liability.
Note: For strict liability, see section 6.1 of
the Criminal Code.
15B
Report on analysis of marlin stocks
(1) Not later than 12 months after the
commencement of the Fisheries Legislation Amendment Act (No. 1) 1998,
the Minister must cause an analysis to be undertaken in the AFZ of the
estimated numbers of blue marlin (Makaira mazara) and black marlin (Makaira
indica) and the impact on the species of such fishing as is permitted under
section 15A.
(2) The Minister must cause a report of an
analysis under subsection (1) to be laid before each House of the
Parliament as soon as practicable after the analysis is completed and, in any
case, not later than 2 years after the commencement of the Fisheries Legislation
Amendment Act (No. 1) 1998.
Part 3—Regulation of fishing
Division 1—Preliminary
16
AFMA to pursue objectives
(1) In performing its functions under this
Part, AFMA must pursue its objectives and, in addition, act in accordance with
its corporate plan and its current annual operational plan.
(2) Nothing in subsection (1) is taken
to limit the operation of subsection 17(10).
16A
AFMA to meet international fisheries management organisation and Fish Stocks
Agreement obligations
Boat involved in contravening international fisheries
management measure
(1) AFMA must not authorise under this Part
the use of an Australian‑flagged boat for fishing on the high seas for a conserved
fish stock during the period specified in subsection (2), if:
(a) a court has convicted a person of
an offence described in subsection (3) involving the use of the boat; and
(b) the court has ordered the person
to pay a fine for the offence (whether or not the person has also been
sentenced to imprisonment for the offence); and
(c) the court has not ordered the
forfeiture of the boat.
Period for which AFMA must not authorise use of boat
(2) The period starts when the person is
ordered to pay the fine and ends when one of the following events occurs:
(a) the person pays the fine;
(b) a penalty is imposed on the person
for failure to pay the fine;
(c) the court orders the forfeiture of
the boat (for the offence or another offence);
(d) the conviction of the person for
the offence for which the person was ordered to pay the fine is quashed.
Offences that prevent AFMA authorising use of boat
(3) Subsection (1) limits authorisation
of the use of a boat involved in any of the following offences:
(a) an offence against subsection
95(5) constituted by one of the following acts or omissions that contravenes a
condition of a fishing concession or scientific permit that authorises fishing
for a conserved fish stock on the high seas or contravenes a provision of a
temporary order relating to fishing for a conserved fish stock on the high
seas:
(i) fishing for the
conserved fish stock at a particular time, in a particular place or with
particular equipment;
(ii) failing to maintain
accurate records of catch;
(iii) failing to provide an
accurate return of fish taken, carried, transhipped or processed;
(iv) taking, carrying,
transhipping or processing more fish than authorised by the concession, permit
or order;
(v) changing or hiding the
markings of the boat;
(b) an offence against section 105A
involving a fish from a conserved fish stock and a boat;
(ba) an offence against
section 105AA or 105AB;
(c) an offence against section 105B
involving a boat equipped for fishing for a conserved fish stock;
(d) an offence against section 107
relating to a document, statement, return or information about catch of a
conserved fish stock;
(e) an offence against a prescribed
provision of this Act or the regulations that is constituted by a prescribed
act or omission relating to a conserved fish stock.
16B
Australian‑flagged boats that have previously undermined conservation and
management measures
(1) Subject to subsection (5), AFMA must
not, under this Part, grant a fishing concession authorising the use for
fishing activities on the high seas of an Australian‑flagged boat that was
previously registered in a foreign country and authorised by that country for
such fishing activities if:
(a) AFMA believes, on reasonable
grounds, that the boat is a boat to which subsection (2) or (3) applies;
and
(b) subsection (4) does not
apply.
(2) This subsection applies to an Australian‑flagged
boat that was previously registered in a foreign country that is a party to the
Compliance Agreement if:
(a) that foreign country has, because
the owner or operator of that boat has undermined international conservation
and management measures, suspended the authority to use that boat on the high
seas for a period and that period has not expired; or
(b) that foreign country has, because
the owner or operator of that boat has undermined international conservation and
management measures, cancelled the authority to use that boat on the high seas
and a period of 3 years has not elapsed since that cancellation.
(3) This subsection applies to an Australian‑flagged
boat that was previously registered in a foreign country that is not a party to
the Compliance Agreement if, on the basis of information available to it, AFMA
is satisfied that:
(a) the foreign country has, because
the owner or operator of that boat has undermined international conservation
and management measures, suspended the authority to use that boat on the high
seas for a period and that period has not expired; or
(b) the foreign country has, because
the owner or operator of that boat has undermined international conservation
and management measures, cancelled the authority for use of that boat on the
high seas and a period of 3 years has not elapsed since that cancellation.
(4) If the person seeking the grant of a
fishing concession authorising the use of a boat to which subsection (2)
or (3) applies for fishing activities on the high seas satisfies AFMA that the
owner or operator of the boat at the time the authority to use it was suspended
or cancelled has no present legal, beneficial or financial interest in, or
control of, the boat, AFMA may grant such a fishing concession authorising the
use of the boat despite the application of subsection (2) or (3).
(5) Despite subsection (1), AFMA may
grant a fishing concession authorising the use of an Australian‑flagged boat to
which subsection (2) or (3) applies for fishing activities on the high
seas if, having regard to the circumstances in which a foreign country’s
authorisation for the use of that boat for fishing activities on the high seas
was suspended or cancelled, AFMA is satisfied that the grant of that fishing
concession will not be likely to undermine international conservation and
management measures.
(6) Nothing in this section implies that AFMA
may not take other matters into consideration when deciding whether or not to
grant a fishing concession authorising the use of an Australian‑flagged boat
for fishing activities on the high seas.
Division 2—Plans of management
17
Plans of management
(1) Subject to subsection (1A), AFMA
must, in writing, after consultation with such persons engaged in fishing as
appear to AFMA to be appropriate and after giving due consideration to any
representations mentioned in subsection (3), determine plans of management
for all fisheries.
(1A) If, in all the circumstances, AFMA is of
the view that a plan of management is not warranted for a particular fishery,
AFMA may make a determination accordingly, including in the determination its
reasons for making the determination. While a determination under this
subsection is in force, AFMA is not required to determine a plan of management
for a fishery.
(1AB) If, at any time after making a determination
under subsection (1A) that a plan of management is not warranted for a
particular fishery, AFMA ceases to be of the view, AFMA may make a further
determination revoking the determination under subsection (1A).
(1B) A determination under subsection (1A)
must be notified:
(a) in the Gazette; and
(b) to all persons and organisations
listed in the register established under section 17A, at their addresses
as shown on the register.
(2) Before determining a plan of management
for a fishery, AFMA must prepare a draft of the plan and, by public notice:
(a) state that it intends to determine
a plan of management in respect of the fishery; and
(b) invite interested persons to make
representations in connection with the draft plan by a date specified in the
notice, not being less than one month after the date of publication of the
notice in the Gazette; and
(c) specify:
(i) an address from which
copies of the draft plan may be obtained; and
(ii) an address to which
representations may be forwarded.
(2A) In addition to issuing a public notice
under subsection (2) and before determining a plan of management for a
fishery, AFMA must notify the persons and organisations listed in the register
established under section 17A, at their addresses as shown on the
register, of the terms of the public notice.
(3) A person may, not later than the date
specified in the notice, make representations to AFMA in connection with the
draft plan.
(4) In this section, a reference to public
notice is a reference to notice published:
(a) in the Gazette; and
(b) in each State and Territory, in a
newspaper circulating throughout that State or Territory; and
(c) in such other newspaper or
publication (if any) that appears to AFMA to be appropriate in the
circumstances.
(5) A plan of management for a fishery may
set out:
(a) the objectives of the plan of
management; and
(b) measures by which the objectives
are to be attained; and
(c) performance criteria against
which, and time frames within which, the measures taken under the plan of
management may be assessed.
(5AA) The objectives to be set out under paragraph (5)(a)
must be consistent with, but are not limited to, the objectives set out in section 3.
(5C) A plan of management for a fishery
affecting straddling fish stocks, highly migratory fish stocks or ecologically
related fish stocks (within the meaning of the Fish Stocks Agreement) must set
out stock‑specific reference points (within the meaning of that Agreement) for
the stocks.
(6) Without limiting the operation of subsection (5),
a plan of management for a fishery may:
(a) determine the method or methods by
which the fishing capacity of the fishery or a part of the fishery is to be measured,
which may be or include, but are not limited to, a method based on a particular
area, a particular species or type or a particular quantity of fish, a
particular kind, size or quantity of fishing equipment, a particular number of
boats, a particular period of fishing, or any combination of the above; and
(aa) determine, or provide for AFMA to
determine, the fishing capacity, measured by that method or those methods,
permitted for the fishery or a part of the fishery in respect of a particular
period or periods; and
(b) provide for the management of the
fishery by means of a system of statutory fishing rights, and other fishing
concessions; and
(c) contain a description of the
fishery by reference to area, fish species, fishing methods to be employed or
any other matter; and
(d) subject to section 28,
formulate procedures to be followed for selecting persons to whom fishing
concessions are to be granted including, in the case of fishing rights:
(i) the holding of an
auction; or
(ii) the calling of
tenders; and
(e) specify the kind and quantity of
equipment that may be used in the fishery; and
(f) specify the circumstances in
which a statutory fishing right may authorise fishing by or from a foreign
boat; and
(g) impose obligations on the holders
of fishing concessions; and
(h) prohibit or regulate recreational
fishing in the fishery; and
(i) prohibit or regulate fishing for
scientific research purposes in the fishery.
(6A) Paragraph (6)(aa) authorises the
making of a determination in respect of the fishing capacity of a fishery or a
part of a fishery that has the effect that no fishing capacity is permitted for
the fishery or that part of the fishery in respect of a particular period or
periods.
(6B) A determination made by AFMA under paragraph (6)(aa)
is a legislative instrument.
(6C) If a plan of management for a fishery
provides for the management of the fishery by means of a system that consists
of or includes statutory fishing rights, the plan:
(a) may oblige a person who holds, in
respect of the fishery, a fishing concession of a particular kind or fishing
concessions of particular kinds also to hold, in respect of the fishery, a
fishing concession of another kind or fishing concessions of other kinds, as
stated in the plan; and
(b) without limiting the generality of
paragraph (a), may oblige a person who holds, in respect of the fishery, a
fishing right of a particular kind or fishing rights of particular kinds also
to hold, in respect of the fishery, a fishing right of another kind or fishing
rights of other kinds, as stated in the plan; and
(c) in respect of each kind of fishing
right that a person holds in respect of the fishery—may do either or both of
the following:
(i) oblige the person to
hold not fewer than such number of fishing rights of that kind as is stated in
the plan or worked out using a formula so stated;
(ii) oblige the person not
to hold more than such number of fishing rights of that kind as is stated in
the plan or worked out using a formula so stated.
(6D) A plan of management for a fishery must
contain measures directed at reducing to a minimum:
(a) the incidental catch of fish not
taken under and in accordance with that plan; and
(b) the incidental catch of other
species.
(7) A plan of management for a fishery must:
(a) if the plan makes provision in
relation to the management
of the fishery by means of a system of statutory fishing rights—provide for
registration of persons who are to be eligible for the grant of fishing rights
and specify the conditions relevant to such registration; and
(b) contain a statement of any right
of review that a person has in relation to such registration or the grant, or
refusal to make a grant, of a fishing concession.
(8) A plan of management may make provision
in relation to a matter by applying, adopting or incorporating, with or without
modification:
(a) a provision of any Act or any
regulation made under an Act, or of any other determination, as in force at a
particular time or as in force from time to time; or
(b) any matter contained in any other
instrument or writing as in force or existing at the time when the
determination takes effect.
(9) A plan of management has no effect to the
extent that it is inconsistent with a provision of this Act.
(10) While a plan of management is in force for
a fishery, AFMA must perform its functions, and exercise its powers, under this
Act in relation to the fishery in accordance with the plan of management.
(11) AFMA may, by writing under its common
seal, delegate any powers conferred on it under a plan of management for a
fishery in accordance with paragraph (6)(aa) to:
(a) the CEO; or
(b) a primary stakeholder who is to
assist AFMA to manage the fishery under a co‑management arrangement (within the
meaning of the Fisheries Administration Act 1991).
17A
Register of persons concerned about plans of management
(1) AFMA must maintain a register containing
a list of the names and postal addresses of persons and organisations who are
to be notified of, or of determinations affecting the preparation of, draft
plans of management.
(2) As soon as
is practicable after the commencement of this section and on each anniversary
of that commencement, AFMA must give public notice:
(a) inviting persons and organisations
to have their names and postal addresses entered on the register; and
(b) in the case of the second or a
later notice—inviting persons and organisations on the register (if any) to
have their names and postal addresses left on the register.
(3) A notice must state that the acceptance
of an invitation:
(a) is to be in writing, sent to AFMA
at a place specified in the notice and accompanied by particulars of the name
and postal address of the acceptor; and
(b) is to be given:
(i) in the case of a
person, or organisation, in existence on the publication of the notice—within
one month after that publication; and
(ii) in any other
case—within 12 months after that publication.
(4) Where a person or organisation accepts an
invitation in the way required by the notice, AFMA is to enter, or retain, the
name and postal address of the person or organisation on the register.
(5) AFMA may vary the address on the register
of a person or organisation at the written request of the person or
organisation.
(6) AFMA must remove the name and address of
a person or organisation from the register if:
(a) in the case of a name and address
that was on the register before the most recent notice under subsection (2)—the
invitation to keep that name and address on the register was not accepted within
one month after the publication of that notice; or
(b) the person or organisation makes a
written request for the removal; or
(c) AFMA becomes satisfied that:
(i) in the case of a
natural person—the person has died; or
(ii) in any other case—the
person or organisation has ceased to exist.
(7) In subsection (2), a reference to
public notice is a reference to a notice published:
(a) in the Gazette; and
(b) in each State and internal
Territory in a newspaper circulating generally in that State or Territory; and
(c) in each external Territory that
the Minister considers appropriate (if any) in a newspaper circulating
generally in that external Territory.
18
Action after determining a plan of management
(1) When AFMA has determined a plan of
management for a fishery, it must:
(a) submit the plan to the Minister;
and
(b) inform the Minister of the nature
of any representations it received, and the consultations it conducted, before
determining the plan.
(2) The Minister must accept the plan if it
appears to the Minister that:
(a) AFMA gave due consideration to any
representations it received, and conducted adequate consultations, before
determining the plan; and
(b) the plan is consistent with AFMA’s
corporate plan and current annual operational plan.
(3) If the Minister does not accept the plan,
the Minister must refer it to AFMA and inform AFMA why it was not accepted.
(4) When the plan has been so referred to
AFMA, AFMA must, as soon as practicable after receipt of the plan, take such
steps as appear to it to be necessary to ensure acceptance of the plan by the
Minister and again submit the plan to the Minister.
(5) If the Minister again does not accept the
plan, the procedures mentioned in subsections (3) and (4) continue to
apply in relation to the plan until it is accepted by the Minister or withdrawn
by AFMA.
19
Tabling, disallowance etc. of determinations
(1) AFMA must cause to be published in the Gazette,
in respect of each determination made under section 17 and accepted by the
Minister, notice of:
(a) the fact that the determination
has been made; and
(b) the place or places where copies
of the determination can be obtained.
(5) A determination is taken to be an
enactment for the purposes of the Administrative Appeals Tribunal Act 1975.
20
Amendment or revocation of plan of management
(1) AFMA may at any time amend a plan of
management.
(2) If AFMA amends a plan of management, it
must:
(a) give written notification of that
fact to each person who is the holder of a statutory fishing right granted in
accordance with the plan; and
(b) inform the person where copies of
the amended plan may be obtained.
(3) AFMA may revoke a plan of management.
(4) Where a plan of management for a fishery
is revoked under subsection (3), statutory fishing rights, fishing
permits, foreign fishing licences, scientific permits, foreign master fishing
licences and fish receiver permits granted by AFMA that relate to the fishery
cease to have effect in relation to the fishery.
(5) Sections 17, 18 and 19 apply in
relation to an amendment of a plan of management and the revocation of a plan
of management in the same way as they apply to a plan of management prepared
under section 17.
(6) However, subsection (2) of this
section, subsections 17(1B) to (4), and sections 18 and 19 do not apply to
an amendment of a plan of management that merely:
(a) corrects an error in the plan
(including a factual, grammatical, mapping or typographical error, for
example); or
(b) changes the format or presentation
of the plan; or
(c) changes a matter in the plan to
make the plan consistent with:
(i) this or another Act;
or
(ii) the regulations; or
(d) removes conditions from the plan
if conditions for the plan’s fishery about the same subject matter have been
prescribed in the regulations, whether or not the conditions are in the same
terms.
(7) Also, subsections 17(1B) to (4) and
section 19 do not apply to an amendment of a plan of management to remove
a provision from the plan if, within 1 year before the proposed amendment is to
take effect, the following entities have been given at least 28 days written
notice of the proposed amendment:
(a) if there is a management advisory
committee for the plan’s fishery—the management advisory committee;
(b) if a peak body represents the
holders of statutory fishing rights under the plan—the peak body;
(c) if there is no management advisory
committee or peak body—the holders of the licences, permits or rights for the
fishery.
(8) However, section 18 applies to an
amendment mentioned in subsection (7) in the same way as section 18
applies to a plan of management.
Division 3—Statutory fishing rights
21
Nature of a statutory fishing right
(1) For the purposes of this Act, each of the
following rights is a separate statutory fishing right:
(a) a right to take a particular
quantity of fish, or to take a particular quantity of fish of a particular
species or type, from, or from a particular area in, a managed fishery;
(b) a right to a particular proportion
of the fishing capacity that is permitted, by or under a plan of management,
for, or for a part of, a managed fishery;
(c) a right to engage in fishing in a
managed fishery at a particular time or times, on a particular number of days,
during a particular number of weeks or months, or in accordance with any
combination of the above, during a particular period or periods;
(d) a right to use a boat in a managed
fishery for purposes stated in a plan of management;
(e) a right to use particular fishing
equipment in a managed fishery;
(f) a right to use, in a managed
fishery, fishing equipment that is of a particular kind, of a particular size
or of a particular quantity or is a combination of any of the above;
(g) a right to use a particular type
of boat in a managed fishery;
(h) a right to use a boat of a
particular size or having a particular engine power, or of a particular size
and having a particular engine power, in a managed fishery;
(i) any other right in respect of
fishing in a managed fishery.
(1A) A plan of management for a fishery may do
any one or more of the following:
(a) provide for a statutory fishing
right of a kind mentioned in paragraph (1)(a) even though, in a particular
period, the quantity of fish to which the fishing right relates is nil or
negligible;
(b) provide
for a statutory fishing right of a kind mentioned in paragraph (1)(b) even
though the proportion of fishing capacity to which the fishing right relates
would result in a nil or negligible quantity of fish;
(c) provide for a statutory fishing right
of a kind mentioned in paragraph (1)(f) even though it may be
impracticable to make or use fishing equipment of the size or quantity, or size
and quantity, to which the fishing right relates;
(d) provide for a statutory fishing
right of a kind mentioned in paragraph (1)(h) even though it may be
impracticable to build or use a boat of the size or having the engine power, or
of the size and having the engine power, to which the fishing right relates.
(1B) For the purposes of subsection (1C),
the fishing rights in respect of a particular fishery that are referred to in
any one of the following paragraphs together constitute a class of fishing
rights:
(a) 2 or more identical fishing rights
of a kind mentioned in paragraph (1)(a);
(b) 2 or more identical fishing rights
of a kind mentioned in paragraph (1)(b);
(c) 2 or more identical fishing rights
of a kind mentioned in paragraph (1)(c);
(d) 2 or more identical fishing rights
of a kind mentioned in paragraph (1)(f);
(e) 2 or more identical fishing rights
of a kind mentioned in paragraph (1)(h).
(1C) If a person holds a class of fishing rights
in respect of a managed fishery, the fishing rights in the class together
confer fishing rights in respect of:
(a) if the fishing rights in the class
are fishing rights of a kind mentioned in paragraph (1)(a)—a quantity of
fish, or of fish of the relevant species or type, equal to the sum of the
quantities of fish, or of fish of that species or type, in relation to, or in
relation to the area in, the fishery, stated in the fishing rights in the
class; or
(b) if
the fishing rights in the class are fishing rights of a kind mentioned in paragraph (1)(b)—a
proportion of fishing capacity equal to the sum of the proportions of the
fishing capacity stated in the fishing rights in the class; or
(c) if the fishing rights in the class
are fishing rights of a kind mentioned in paragraph (1)(c) and each
fishing right relates to a particular number of days, weeks or months during a
particular period or periods—a number of days, weeks or months equal to the sum
of the numbers of days, weeks or months, as the case may be, during that period
or those periods, stated in the fishing rights in the class; or
(d) if the fishing rights in the class
are fishing rights of a kind mentioned in paragraph (1)(f)—fishing
equipment the total size or quantity of which is not greater than the sum of
the sizes or quantities, or the total size and total quantity of which are not
greater than the sum of the sizes and the sum of the quantities, as the case
may be, stated in the fishing rights in the class;
(e) if the fishing rights in the class
are fishing rights of a kind mentioned in paragraph (1)(h)—a boat of a
size not greater than the sum of the sizes, having an engine power not greater
than the sum of the engine powers, or of a size not greater than the sum of the
sizes and having an engine power not greater than the sum of the engine powers,
as the case may be, stated in the fishing rights in the class.
(2) A fishing right may authorise fishing:
(a) by or from an Australian boat; and
(b) if the relevant plan of management
so provides—by or from a foreign boat.
22
AFMA to establish system of statutory fishing rights
(1) Where a plan of management provides for
the management by AFMA of a fishery by means of a system of statutory fishing
rights, AFMA is to establish and administer such a system in accordance with
the plan.
(2) AFMA is to give to a person to whom it
grants a fishing right a certificate evidencing the grant of the fishing right.
(3) A fishing
right is granted subject to the following conditions:
(a) the holder of the fishing right
must comply with any obligations imposed by, or imposed by AFMA under, the
relevant plan of management on the holder of such a fishing right;
(b) the fishing right will cease to
have effect if the plan of management for the fishery to which the fishing
right relates is revoked under subsection 20(3);
(c) the fishing right may, under
subsection 75(7), cease to have effect or, under subsection 79(3), cease to
apply to a fishery;
(d) the fishing right may be cancelled
under section 39;
(e) no compensation is payable because
the fishing right is cancelled, ceases to have effect or ceases to apply to a
fishery.
Note: Sections 42 and 42A also impose conditions
on statutory fishing rights.
(4) A fishing right:
(a) is subject to such other
conditions as are specified in the certificate, including conditions relating
to the suspension or cancellation of the fishing right and the transferability
or otherwise of the fishing right; and
(b) comes into force on the day
specified for the purpose in the certificate, or, if no day is so specified, on
the day on which it is granted; and
(c) subject to this Act, remains in
force:
(i) until the day
specified for the purpose in the certificate; or
(ii) if no such day is
specified, until cancelled or surrendered or it otherwise ceases to have
effect, under this Act.
(5) AFMA may, by written notice given to the
holder of a fishing right, whether or not at the request of the holder, vary or
revoke a condition of the fishing right (not being a condition mentioned in subsection (3))
or specify a condition or a further condition to which the fishing right is to
be subject.
(5A) After the
commencement of this subsection and without limiting the generality of subsection (5),
if a statutory fishing right authorises an Australian‑flagged boat to fish on
the high seas, AFMA may attach a further condition to that right to the effect
that another boat may not be substituted for the first‑mentioned boat without
AFMA’s prior written agreement to the substitution.
(6) A fishing right ceases to be in force if
the holder of the fishing right surrenders it by written notice given to AFMA.
23
Certain decisions to be provisional
(1) Where AFMA or a Joint Authority makes a
decision as to the person or persons to whom the grant of a fishing right in a
managed fishery is to be made, not being a grant or grants to be made after:
(a) the holding of an auction in
respect of the grant; or
(b) the calling of tenders in respect
of the grant;
the following provisions of this section apply.
(2) AFMA or the Joint Authority, as the case
may be, by notice published in the Gazette, must set out the name of the
person or persons to whom the fishing rights are to be granted and a summary of
the fishing rights to be granted to each such person.
(3) A grant of
a fishing right must not be made to such a person:
(a) before the end of the period
within which, under section 143, applications to the Panel may be made for
review of the decision in relation to the grant; or
(b) if an application in relation to
the decision is made to the Panel under section 143—before the application
is dealt with by the Panel or otherwise disposed of.
Division 4—Ways of granting statutory fishing rights
24
Notice of intention to grant fishing rights
(1) AFMA may, by public notice, declare that
it intends to grant a fishing right or fishing rights specified in the notice
in relation to fishing in a specified managed fishery.
(2) A reference in subsection (1) to
public notice is a reference to notice published:
(a) in the Gazette; and
(b) in each State and Territory, in a
newspaper circulating throughout that State or Territory; and
(c) in such other newspaper or
publication (if any) that appears to AFMA to be appropriate in the
circumstances.
25
Contents of notice
AFMA must, in a notice under section 24:
(a) describe the fishing activities
that will be authorised by the fishing right or fishing rights; and
(b) specify the way in which the grant
is to be made and, if the grant is to be made otherwise than by auction or
tender, give full particulars of the procedures to be followed for selecting a
person to whom the grant will be made available under section 29; and
(c) set out the conditions (if any)
that are to be satisfied by persons applying under section 26 for
registration as eligible persons for the grant before they may be so
registered; and
(d) if an auction is to be held,
specify the lowest bid that will be a qualifying bid for the purposes of
subsection 29(1); and
(e) specify:
(i) the fees (if any)
payable by persons applying for registration; and
(ii) the period (if any)
for which the fishing right will be in force unless it is sooner cancelled or
otherwise ceases to apply or have effect; and
(iii) if the grant is to be
made otherwise than by auction or by calling tenders—the amount (if any) that
is the amount of charge on the grant for the purposes of the Statutory
Fishing Rights Charge Act 1991; and
(iv) whether any charge
imposed on the grant under the Statutory Fishing Rights Charge Act 1991 is
to be paid in one lump sum or by instalments and, if the charge is to be paid
by instalments, the number and frequency of those instalments; and
(v) the right of review
available to persons in relation to the grant of, or the refusal to grant, a
fishing right; and
(vi) an address from which
copies of the plan of management may be obtained; and
(vii) any other matter in
respect of the grant that, in the opinion of AFMA, should be notified to
prospective applicants; and
(f) invite interested persons to
apply to AFMA, in the approved form, within the period specified in the notice,
to be registered as eligible persons for the grant.
26
Registration of applicants
(1) A person may apply to AFMA, in the
approved form, for registration as an eligible person for a grant of a fishing
right.
(2) Subject to section 31K, AFMA must
register as an eligible person for a grant of a fishing right each applicant
who:
(a) satisfies the conditions (if any)
for registration specified in the plan of management in relation to the grant;
and
(b) has paid the prescribed fee; and
(c) in the case of an applicant
tendering for the grant—has complied with subsections 27(2) and (3).
(3) AFMA must, as soon as practicable, notify
the applicant in writing of its decision to register or not to register the
applicant as an eligible person for a grant of a fishing right and of the right
of review that the person has in relation to that decision.
27
Tenders for fishing rights
(1) This section applies where, under a plan
of management, tenders are to be called in respect of the grant of a fishing
right or fishing rights.
(2) An application for registration must be
accompanied by a tender made in accordance with subsection (3).
(3) The tender must:
(a) specify the amount that the
applicant is willing to pay to the Commonwealth for the grant; and
(b) be enclosed in a sealed, opaque
envelope on which is written only:
(i) the name and address
of the applicant; and
(ii) words identifying the
grant to which the tender relates.
(4) AFMA must take reasonable steps to ensure
that the envelope containing the tender is kept in such a way as to prevent
premature disclosure of the amount specified in the tender and, in particular,
must take reasonable steps to ensure that the envelope is not interfered with
until it is opened in accordance with the regulations.
28
Prescribed procedures for grant of fishing rights
(1) Where a grant of a fishing right is
required to be made by auction or tender, the regulations must prescribe the
procedures to be followed for selecting the person to whom the grant will be
made available under section 29.
(2) Without limiting the generality of subsection (1),
those procedures must include:
(a) in the case of an auction—the
procedures to be followed for:
(i) holding the auction;
and
(ii) where a grant of a
fishing right, being a grant that was available to a person under section 29
as a result of an auction, has ceased to be so available, holding another
auction in respect of the grant; and
(b) in
the case of tenders—the procedures to be followed for:
(i) opening the envelopes
containing the tenders lodged by the persons registered under subsection 26(2)
as eligible persons for the grant; and
(ii) recording the amount
specified in each of those tenders; and
(iii) ranking those persons
by reference to the amounts so recorded; and
(d) the preparation, where tenders
have been called, of a list (in this Division called the precedence list)
of all the persons who have been registered under section 26 as eligible
persons for the grant in the order in which they have, in accordance with the
procedures prescribed by the regulations, been ranked for the purposes of the
grant.
29
Grant made available to highest bidder etc.
(1) Where an auction has been held in respect
of the grant of a fishing right, the grant is available to the person who made
the highest qualifying bid for the grant at the auction.
(2) Where tenders have been called in respect
of the grant of a fishing right, the grant is available to the person ranked
highest on the precedence list prepared for the purposes of the grant.
(3) Where subsections (1) and (2) do not
apply in relation to a grant of a fishing right, the grant is available to the
person selected in accordance with the procedures specified for that purpose in
the plan of management relating to the grant.
(4) Where a
grant of a fishing right is available to a person under this section, AFMA must,
as soon as practicable:
(a) notify that fact in writing to
that person and to each other person who was registered under section 26
as an eligible person for the grant of that fishing right; and
(b) give to each such person a
statement in writing of the reasons for making the grant so available and of
any right of review that the person has in relation to the decision to make the
grant so available.
30
Amount of charge to be tendered
(1) If a person to whom a grant becomes
available under subsection 29(1) does not, immediately after having been
notified of that fact, tender the amount of charge due and payable at that time
under the Statutory Fishing Rights Charge Act 1991 in respect of the
grant, the grant ceases to be available to the person.
(2) If, within 30 days after a grant of
fishing rights has become available to a person, either because of subsection
29(2) or (3) or because of a previous application of this subsection, the
person does not tender the amount of any charge due and payable under the Statutory
Fishing Rights Charge Act 1991 in respect of the grant:
(a) the grant ceases to be available
to the person; and
(b) if a precedence list has been
prepared for the purposes of the grant:
(i) the name of the person
is, by force of this subsection, deleted from the list; and
(ii) the grant is available
to the person who then becomes the highest ranking person on that list.
31
AFMA to grant fishing right
Upon the request of a person to whom the
grant of a fishing right is available, AFMA must grant the fishing right to
that person.
Division 4A—Statutory fishing rights options
31A
Options arising when plan of management for fishery is revoked
(1) Subject to subsection (2), if a plan
of management for a fishery (the former plan) is revoked, each
person (a former holder of fishing rights) who held statutory
fishing rights of a particular class of fishing rights (the relevant
class) in respect of the fishery under the former plan immediately
before it was revoked holds a statutory fishing rights option in respect of
fishing rights of the relevant class.
(2) Subsection (1) does not apply if:
(a) a new plan of management is
determined for the fishery immediately after the revocation of the former plan;
and
(b) the new plan is in all substantial
respects identical to the former plan; and
(c) the persons who held statutory
fishing rights under the former plan are granted equivalent statutory fishing
rights under the new plan.
(3) Subsection 21(1B) applies in determining
the kinds of statutory fishing rights that together constitute a class of
fishing rights in respect of a fishery for the purposes of this Division,
except that fishing rights that, in AFMA’s opinion, are substantially the same
are taken to be identical for the purposes of that subsection.
(4) A statutory fishing rights option
entitles the holder of the option to be granted statutory fishing rights of the
relevant class under any plan of management (the new plan)
determined for a fishery after the revocation of the former plan if section 31B
or 31C applies to the new plan. The nature and extent of the entitlements are
set out in subsection 31B(2) or 31C(2), as the case may be.
31B
Rights of option holder where the new plan of management is the same or
substantially the same as the former plan of management
(1) This section applies to the new plan if:
(a) the new plan applies to a
geographical area that consists of or includes the whole or a part of the
geographical area to which the former plan applied; and
(b) the description (other than the
description of the geographical area) of the fishery to which the new plan
applies is, in AFMA’s opinion, the same, or substantially the same, as the
description of the fishery to which the former plan applied; and
(c) the new plan provides for the
granting of classes of statutory fishing rights that are the same, or
substantially the same, as the classes of statutory fishing rights provided for
in the former plan; and
(d) under the new plan the only
persons who are entitled to be granted statutory fishing rights are persons who
hold statutory fishing rights options in respect of statutory fishing rights
under the new plan.
(2) If a person holds a statutory fishing
rights option in respect of statutory fishing rights under the new plan, the
option entitles the person, subject to subsections (3) and (4), to be
granted under the new plan, to the extent to which the person exercises the
option in accordance with subsection 31D(1), the number of statutory fishing
rights of the relevant class worked out in accordance with the formula:

where:
person’s previous rights means the number of
statutory fishing rights of the relevant class held by:
(a) if the person was a former holder
of fishing rights—the person; or
(b) otherwise—the former holder of
fishing rights from whose statutory fishing rights under the former plan the
person directly or indirectly became entitled to the option;
under the former plan immediately before it was revoked.
total previous rights means the total number
of statutory fishing rights of the relevant class held by all persons under the
former plan immediately before it was revoked.
total new rights means the total number of
statutory fishing rights of the relevant class that are available to be granted
under the new plan.
(3) If the number of statutory fishing rights
worked out under subsection (2) includes a fraction, the number is to be
rounded off to the next highest or lowest whole number, as AFMA determines to
be reasonable in the circumstances.
(4) In making a determination under subsection (3),
AFMA may have regard to any matters that it considers appropriate, including
the total number of statutory fishing rights of the relevant class that are
available to be granted under the new plan.
31C
Rights of option holder where new plan of management has some features in
common with the former plan of management
(1) This section applies to the new plan if:
(a) in AFMA’s opinion section 31B
does not apply to the new plan; and
(b) the new plan applies to a
geographical area that consists of or includes the whole or a part of the
geographical area to which the former plan applied; and
(c) at least one of the species of
fish in respect of which statutory fishing rights are available to be granted
under the new plan (except any species that is a by‑catch) was also a species
of fish in respect of which statutory fishing rights were granted under the
former plan immediately before it was revoked.
(2) If a person holds a statutory fishing
rights option in respect of statutory fishing rights under the new plan, the
option entitles the person to be granted such number of such classes of
statutory fishing rights under the new plan as AFMA determines to be fair and
equitable having particular regard to the number and classes of statutory
fishing rights:
(a) if the person was a former holder
of fishing rights—held by the person; or
(b) otherwise—held by the former
holder of fishing rights from whose fishing rights under the former plan the
person directly or indirectly became entitled to the option;
under the former plan immediately before it was revoked.
(3) In determining the number of a class of
statutory fishing rights to be granted to a person under the new plan in
accordance with subsection (2), AFMA must take into account:
(a) the extent to which the new plan
applies to the fishery to which the former plan applied; and
(b) the number and classes of
statutory fishing rights:
(i) if the person was a
former holder of fishing rights—held by the person; or
(ii) otherwise—held by the
former holder of fishing rights from whose fishing rights under the former plan
the person directly or indirectly became entitled to the option;
under the former plan
immediately before it was revoked; and
(c) the procedures to be followed
under the new plan for the granting of fishing rights; and
(d) the conditions relevant to the
registration under the new plan of persons who are to be eligible for the grant
of statutory fishing rights.
31D
Exercise and lapsing of option
(1) A person who holds a statutory fishing
rights option is taken to exercise the option if the person has received a
notice under paragraph 31K(1)(a) and, within the period stated in the notice,
notifies AFMA, by writing signed by the person, that the person exercises the option
in respect of all, or a stated number, of the statutory fishing rights to which
the option relates.
(2) If a person does not exercise a statutory
fishing rights option in respect of all or some of the statutory fishing rights
to which the option relates, the option lapses in respect of the statutory
fishing rights in respect of which the option is not exercised.
31E
The Register of Statutory Fishing Rights Options
(1) AFMA is to keep a Register of Statutory
Fishing Rights Options (the Register).
(2) The Register may be kept wholly or partly
by use of a computer.
(3) If the
Register is kept wholly or partly by use of a computer:
(a) references in this Act to an entry
in the Register include references to a record of particulars kept by use of a
computer and comprising the Register or part of the Register; and
(b) references in this Act to
particulars being registered, or entered in the Register, include references to
the keeping of a record of those particulars as part of the Register by use of
the computer.
(4) The Register must, in relation to each
statutory fishing rights option:
(a) set out the name and address of
the person who for the time being holds the option; and
(b) contain such particulars as are
necessary to identify the former plan whose revocation gave rise to the option;
and
(c) set out the number and class of
statutory fishing rights to which the option relates; and
(d) if the option has been exercised
in respect of any statutory fishing rights—state the date of the exercise and the
number and class of rights in respect of which the option has been exercised;
and
(e) if the option has lapsed in
respect of any statutory fishing rights—state the date of the lapse and the
number and class of rights in respect of which the option has lapsed.
31F
Creation etc. of interests in statutory fishing rights options
(1) This section applies to a dealing that
would, apart from subsection (2), have the effect of creating, assigning,
transmitting or extinguishing an interest in a statutory fishing rights option.
(2) The dealing has no effect of a kind
mentioned in subsection (1) until it is registered under this section.
(3) A party to the dealing may lodge with
AFMA:
(a) an application, in the form
approved by AFMA, for registration of the dealing; and
(b) the instrument evidencing the
dealing; and
(c) an instrument setting out such
particulars (if any) as are prescribed for the purposes of an application for
registration of the dealing; and
(d) one copy each of the application
and of the instruments mentioned in paragraphs (b) and (c).
(4) A party to the dealing may, instead of
lodging the instrument evidencing the dealing, lodge with AFMA a summary of
that instrument containing the particulars required by AFMA for the purposes of
this subsection.
(5) Subject to subsections (6) and (7),
if an application for registration of the dealing, either the instrument
evidencing the dealing or a summary of that instrument that complies with subsection (4),
and the other documents referred to in paragraphs (3)(c) and (d), are
lodged with AFMA, AFMA must:
(a) register the dealing by entering
in the Register the following particulars:
(i) the name and address
of the person acquiring the interest in the option;
(ii) the
number and class of statutory fishing rights to which the dealing relates; and
(b) endorse on the instrument
evidencing the dealing and the copy of that instrument the fact of the entry
having been made together with the date and time of the making of the entry.
(6) For the purposes of this Division, if a
statutory fishing rights option is assigned to a person in respect of some only
of the statutory fishing rights to which the option relates:
(a) the assignee is taken to hold a
new statutory fishing rights option in respect of the statutory fishing rights
assigned to the assignee; and
(b) the assignor continues to hold the
first‑mentioned option in respect of such of the statutory fishing rights as
have not been assigned.
(7) AFMA may only refuse to register a
dealing if the registration of the dealing would be contrary to the
requirements of the new plan or a condition of statutory fishing rights in
respect of which the option is held.
(8) If a dealing is registered:
(a) the copies referred to in paragraph (3)(d)
and the summary (if any) lodged under subsection (4) are to be kept by
AFMA; and
(b) if a summary is not lodged under subsection (4),
the copy of the instrument evidencing the dealing is to be made available for
inspection in accordance with this Division; and
(c) if a summary is lodged under subsection (4),
the summary is to be made available for inspection in accordance with this
Division; and
(d) the original instrument is to be
returned to the person who made the application for registration.
(9) If a dealing creates a charge over some
or all of a body corporate’s assets, the party to the dealing who lodged the
application for registration of the dealing is taken to have complied with paragraph (3)(b),
and with paragraph (3)(d) in so far as that paragraph requires a copy of
the instrument evidencing the dealing to be lodged with AFMA, if the party has
lodged with AFMA 2 copies of each document required to be lodged with the
Australian Securities Commission relating to the creation of that charge under
section 263 of the Corporations Act 2001.
(10) AFMA is not concerned with the effect in
law of any instrument lodged under this section.
31G
Claims of interests in statutory fishing rights options
(1) If a person lodges with AFMA a notice, in
the form approved by AFMA:
(a) stating that a dealing of a kind
referred to in subsection 31F(1) that is described in the statement has taken
place; and
(b) claiming that, if the dealing were
registered, the person would have an interest in a statutory fishing rights
option; and
(c) setting out particulars of the
interest; and
(d) requesting AFMA to register the
claim;
AFMA must register the claim by entering in the register
the person’s name and particulars of the interest claimed.
(2) If, after the registration of a claim to
an interest in a statutory fishing rights option, the claimant, by notice
lodged with AFMA in the form approved by AFMA, withdraws the claim, AFMA must
cancel the registration by omitting from the register the entry relating to the
claim.
(3) If:
(a) a claim to an interest in a
statutory fishing rights option is registered; and
(b) an application is made to AFMA for
registration of a dealing in respect of the option;
AFMA must not register the dealing unless:
(c) AFMA has given written notice of
the application to the person whose name appears in the register in relation to
the claim; and
(d) either:
(i) the person has
withdrawn the claim under subsection (2); or
(ii) 21 days have elapsed
since the notice was given to the person.
31H
Trusts not registrable
Notice of any kind of trust relating to
a statutory fishing rights option is not receivable by AFMA and must not be
entered in the Register.
31J
Power of holder of statutory fishing rights option to deal with option
(1) The holder of a statutory fishing rights
option may, subject only to any rights appearing in the Register to be vested
in another person, deal with the option, in respect of all or any of the
statutory fishing rights to which the option relates, as absolute owner and
give good discharges for any consideration for any such dealing.
(2) Subsection (1) only protects a
person who deals with a holder of a statutory fishing rights option as a
purchaser in good faith for value and without notice of any fraud on the part
of the holder.
(3) Equities in relation to a statutory
fishing rights option may be enforced against the holder of the option except
to the prejudice of a person protected by subsection (2).
31K
Obligations of AFMA in respect of granting statutory fishing rights under the
new plan
(1) AFMA must not grant any statutory fishing
rights under the new plan unless:
(a) it has given written notice to
each person who holds a statutory fishing rights option in relation to the plan
asking the person to tell AFMA in writing within the period of 30 days after a
date stated in the notice (being a date not earlier than 2 days after the day
on which the notice is sent):
(i) whether the person
wishes to exercise the option; and
(ii) if so, the number of
fishing rights in respect of which the person exercises the option; and
(b) that period has elapsed.
(2) AFMA must develop procedures that will
ensure that the holders of options that are exercised are granted the statutory
fishing rights under the new plan to which they are entitled.
(3) AFMA may remove particulars of an option
from the Register when all the statutory fishing rights to which the option
relates have been granted or the option has lapsed.
31L
Administrative provisions
Sections 52 to 57 apply to the
Register of Statutory Fishing Rights Options and documents subject to
inspection under this Division in the same way as those sections apply to the
Register of Statutory Fishing Rights and documents subject to inspection under
Part 4.
Division 5—Fishing permits
32
Grant of fishing permits
(1) AFMA may, upon application made in the
approved form, grant to a person a fishing permit authorising, subject to subsections (1A),
(1B), (1C) and (1D), the use by that person, or by a person acting on that
person’s behalf, of an Australian boat for fishing in a specified area of the
AFZ or a specified fishery.
(1A) Subject to subsections (1C) and (1D),
if an Australian boat is specified in the permit, the permit authorises the use
as mentioned in subsection (1) of:
(a) subject to paragraph (b)—that
boat; or
(b) if the person to whom the permit
is granted, from time to time, by written notice given to AFMA, nominates for
the purposes of the permit another Australian boat in lieu of that boat—the
boat so nominated.
(1B) Subject to subsections (1C) and (1D),
if no Australian boat is specified in the permit, the permit authorises the use
as mentioned in subsection (1) of such Australian boat (if any) as the
person to whom the permit is granted, from time to time, by written notice given
to AFMA, nominates for the purposes of the permit.
(1BA) After the commencement of this subsection, a
boat may be nominated under subsection (1A) or (1B) only if:
(a) either:
(i) the boat’s particulars
are already registered on the Fishing Permits Register; or
(ii) the boat is an
Australian boat; and
(b) the acceptance of the nomination
would not be contrary to:
(i) a condition of the
permit; or
(ii) the regulations; and
(c) for the purposes of a permit to
fish in a specified fishery on the high seas—the boat is an Australian‑flagged
boat.
(1C) The permit does not authorise the use of an
Australian boat unless the boat complies with any conditions to which the
permit is subject.
(1D) If subsection 16A(1) prohibits AFMA from
authorising a use of a boat for a period described in subsection 16A(2), the
permit does not authorise the use of the boat during the period.
Note: Subsection
16A(1) prohibits AFMA from authorising the use of a boat to fish on the high
seas for a conserved fish stock if the boat has been used in the commission of
certain offences and the penalties for those offences have not been complied
with.
(2) An application made for the grant of a
fishing permit must provide AFMA with such information as it reasonably
requires for a proper consideration of the application.
(3) Without limiting the operation of subsection (1),
AFMA may refuse to grant a fishing permit if it has reason to believe that a
requirement of a law of the Commonwealth, or of a State or Territory, has not
been complied with in relation to the boat.
(4) A fishing permit may authorise the use of
a boat:
(a) for commercial fishing generally;
or
(b) for recreational fishing generally
(whether from a charter boat or otherwise); or
(d) for specified fishing activities,
including:
(i) the carrying of fish;
or
(ii) the processing of
fish; or
(iii) the testing of fishing
equipment.
(5) A fishing permit is granted subject to
the following conditions:
(a) if the fishing permit authorises
fishing in a specified managed fishery—the holder of the permit must comply
with any obligations imposed by, or imposed by AFMA under, the relevant plan of
management on the holder of such a fishing permit;
(b) if the fishing permit authorises
fishing in a specified managed fishery—the permit will cease to have effect if
the plan of management for the fishery is revoked under subsection 20(3);
(c) the fishing permit may, under
subsection 75(7), cease to have effect or, under subsection 79(3), cease to
apply to a fishery;
(d) the fishing permit may be
cancelled under section 39;
(e) no
compensation is payable because the fishing permit is cancelled, ceases to have
effect or ceases to apply to a fishery.
Note: Sections 42 and 42A also impose
conditions on fishing permits.
(6) A fishing
permit:
(a) is subject to such other
conditions as are:
(i) specified in the
permit; or
(ii) prescribed in relation
to permits granted under this section; and
(b) comes into force on the day
specified for the purpose in the permit or, if no day is so specified, on the
day on which it is granted; and
(c) subject to this Act, remains in
force until the day specified for the purpose in the permit, being a day not
later than 5 years after the day on which it came into force.
(7) Without limiting the operation of paragraph (6)(a),
the conditions that may be specified in a permit include conditions relating
to:
(a) the fish that may be taken; or
(b) the quantity of fish that may be
taken; or
(c) the rate at which fish may be
taken; or
(d) the methods or equipment that may
be used to take fish; or
(e) the methods or equipment that may
be used to process or carry fish.
(7A) If:
(a) AFMA has granted a fishing permit
under this section in respect of a particular fishery; and
(b) that fishery is a fishery to which
subsection 41A(1) applies; and
(c) AFMA subsequently, under section 41A,
gives a direction in respect of that fishery to the effect that fishing is not
to be engaged in in any part of the fishery, or in a particular area of the
fishery, during a period or periods specified in the direction;
it is a condition of the permit that the holder of the
permit comply with the terms of the direction.
(8) AFMA may, by written notice given to the
holder of a permit, whether or not at the request of the holder, vary or revoke
a condition of the permit (not being a condition mentioned in subsection (5)
or (7A)) or specify a condition or a further condition to which the permit is
to be subject.
(9) A permit ceases to be in force if the
holder of the permit surrenders the permit by written notice given to AFMA.
(11) A fishing permit is to be in the approved
form.
32A
Transfer of fishing permits
(1) This section is about the holder of a
fishing permit transferring the permit to another person.
(2) The holder of the fishing permit must
apply to AFMA, in the approved form, to register the transfer.
(3) The transfer takes effect when AFMA
registers the transfer.
(4) AFMA must register the transfer unless:
(a) the fishing permit is suspended
under section 38; or
(b) the holder of the fishing permit:
(i) is being investigated
for a fisheries offence; or
(ii) has been convicted of
a fisheries offence; or
(c) a levy on the fishing permit that
is due has not been paid; or
(d) other circumstances that are prescribed
under the regulations exist.
(5) Subsection (4) applies despite the
fact that a requirement in a plan of management relating to the transfer has
not been satisfied.
(6) This section does not apply to a fishing
permit that is stated to be non‑transferable.
Division 6—Scientific permits
33
Grant of scientific permits
(1) AFMA may, upon application made in the
approved form, grant to a person a scientific permit in respect of a specified
boat (including a foreign boat) authorising the use of the boat by that person,
or a person acting on that person’s behalf, for scientific research purposes in
a specified area of the AFZ or a specified fishery.
(2) An application made for the grant of a
scientific permit must provide AFMA with such information as it reasonably
requires for a proper consideration of the application.
(3) A scientific permit is granted subject to
the following conditions:
(a) if the permit authorises the use
of a boat for scientific research purposes in a specified managed fishery—the
permit will cease to have effect in relation to that fishery if the plan of
management for the fishery is revoked under subsection 20(3);
(b) the permit may, under subsection
75(7), cease to have effect or, under subsection 79(3), cease to apply to a fishery;
(c) the permit may be revoked under subsection (6);
(d) no compensation is payable because
the permit is revoked, ceases to have effect or ceases to apply to a fishery.
Note: Section 42A also imposes a condition on
some scientific permits.
(4) A scientific permit:
(a) is subject to such other
conditions as are specified in the permit; and
(b) comes into force on the day
specified for the purpose in the permit or, if no day is so specified, on the
day on which it is granted; and
(c) subject to this Act, remains in
force until the day specified for the purpose in the permit, being a day not
later than
6 months after the day on which it came into force.
(5) Without
limiting the operation of subsection (4), the conditions that may be
specified in a scientific permit include conditions relating to:
(a) the carriage on board the boat
concerned of persons nominated by AFMA to make scientific observations; or
(b) the sale or disposal of fish taken
during the course of activities carried out under the permit.
(5A) If:
(a) AFMA has granted a scientific
permit under this section in respect of a particular fishery; and
(b) that fishery is a fishery to which
subsection 41A(1) applies; and
(c) AFMA subsequently, under section 41A,
gives a direction in respect of that fishery to the effect that fishing is not
to be engaged in in any part of the fishery, or in a particular area of the
fishery, during a period or periods specified in the direction;
it is a condition of the permit that the holder of the
permit comply with the terms of the direction.
(6) AFMA may, by written notice given to the
holder of a scientific permit, whether or not at the request of the holder:
(a) revoke the permit; or
(b) vary or revoke a condition to
which the permit is subject (not being a condition mentioned in subsection (5A))
or specify a condition or further condition to which the permit is to be
subject.
(7) A scientific permit ceases to be in force
if the holder of the permit surrenders the permit by written notice given to
AFMA.
(8) A scientific permit is to be in the
approved form.
Division 7—Foreign fishing licences and Treaty licences
34
Grant of foreign fishing licences
(1) AFMA may, upon application made in the
approved form, grant to a person a foreign fishing licence authorising the use
of a specified foreign boat by that person, or a person acting on that person’s
behalf, for commercial fishing in a specified area of the AFZ or a specified
fishery.
(2) An application made for the grant of a
foreign fishing licence must provide AFMA with such information as it
reasonably requires for a proper consideration of the application.
(3) In considering whether to grant a foreign
fishing licence, AFMA must give effect to any obligation undertaken by the
Commonwealth contained in an agreement entered into by the Commonwealth that is
relevant in the particular case.
(4) A foreign fishing licence is granted
subject to the following conditions:
(a) if the licence authorises
commercial fishing in a specified managed fishery—the holder of the licence
must comply with any obligations imposed by, or imposed by AFMA under, the
relevant plan of management on the holder of such a licence;
(b) if the licence authorises
commercial fishing in a specified managed fishery—the licence will cease to
have effect in relation to the fishery if the plan of management for the
fishery is revoked under subsection 20(3);
(c) the licence may be cancelled under
section 39;
(d) no compensation is payable because
the licence is cancelled.
(5) A licence granted under this section:
(a) is subject to the condition that,
while the boat to which the licence relates is in the AFZ, the person in charge
of the boat is the holder of a foreign master fishing licence; and
(b) is subject to such other conditions
as are specified in the licence; and
(c) comes into force on the day
specified for the purpose in the licence or, if no day is so specified, on the
day on which it is granted; and
(d) subject to this Act, remains in
force until the day specified for the purpose in the licence, being a day not
later than
12 months after the day on which it came into force.
(6) Without limiting the operation of subsection (5),
the conditions that may be specified in a licence include conditions relating
to any matter that may be included in a fishing permit granted under section 32.
(6A) If:
(a) AFMA has granted a foreign fishing
licence under this section in respect of a particular fishery; and
(b) that fishery is a fishery to which
subsection 41A(1) applies; and
(c) AFMA subsequently, under section 41A,
gives a direction in respect of that fishery to the effect that fishing is not
to be engaged in in any part of the fishery, or in a particular area of the
fishery, during a period or periods specified in the direction;
it is a condition of the licence that the holder of the
licence comply with the terms of the direction.
(7) AFMA may, at any time, subject to such
conditions (if any) as are specified in the endorsement, endorse a licence so
as to extend it to authorise the boat to be brought into a specified port in Australia or in an external Territory at such time as is, or at such times as are,
specified in the endorsement.
(8) AFMA may, by written notice given to the
holder of a licence in respect of which an endorsement under subsection (7)
is in force, revoke the endorsement.
(9) AFMA may, by written notice given to the
holder of a licence, whether or not at the request of the holder, vary or
revoke a condition of the licence (not being a condition mentioned in subsection (4)
or (6A)) or specify a condition or further condition to which the licence is to
be subject.
(10) A licence ceases to be in force if the
holder of the licence surrenders the licence by written notice given to AFMA.
(11) A licence is to be in the approved form.
35
Agreements to grant foreign fishing licences
(1) AFMA, with the approval of the Minister,
may enter into an agreement with a person that contains a provision under which
AFMA agrees to grant a foreign fishing licence or 2 or more such licences
(whether to that person or to any other person or persons) in respect of a
foreign boat or 2 or more foreign boats.
(2) Where AFMA has entered into an agreement
with a person that contains a provision of a kind mentioned in subsection (1),
AFMA may, with the approval of the Minister, enter into a further agreement
with the person varying the terms of the provision or varying the terms of the
provision as varied under this subsection.
(3) The Minister is to cause a copy of such
an agreement or further agreement, as the case may be, to be laid before each
House of the Parliament within 15 sitting days of that House after the
agreement, or the further agreement, as the case may be, is entered into.
(4) Where:
(a) AFMA has entered into an agreement
under subsection (1); or
(b) there
is in force an agreement between the Commonwealth and the government of another
country that contains a provision under which foreign fishing licences are
agreed to be granted in respect of foreign boats (whether or not the provision
also provides for the payment of an amount or amounts to the Commonwealth);
AFMA must, in deciding whether or not to grant the licence
or any of the licences to which the agreement relates, have regard only to the
terms of the agreement.
(5) Subsection (4) has effect only so
far as that subsection is not a law imposing taxation within the meaning of
section 55 of the Constitution.
36
Fisheries agreements
(1) If the Commonwealth enters into an
agreement with the government of another country that contains a provision
under which foreign fishing licences are agreed to be granted in respect of
foreign boats (whether or not the provision also provides for the payment of an
amount or amounts to the Commonwealth), the Minister is to cause a copy of the
agreement to be laid before each House of the Parliament within 15 sitting days
of that House after the agreement is entered into.
(2) Where:
(a) an agreement that contains a
provision of a kind mentioned in subsection (1) is in force; and
(b) the provision provides for the
payment of an amount or amounts to the Commonwealth; and
(c) a foreign fishing licence or
licences to which the provision relates has or have been granted in respect of
a foreign fishing boat or foreign fishing boats; and
(d) the
whole or any part of an amount specified in the provision is not paid to the
Commonwealth in accordance with the terms of the provision;
AFMA may suspend each licence by written notice given to
the holder of the licence.
(3) Where AFMA has suspended a licence under subsection (2)
and the amount concerned is fully paid, AFMA must revoke the suspension by
written notice given to the holder of the licence.
(4) Subsections (2) and (3) have effect
only so far as those subsections are not laws imposing taxation within the
meaning of section 55 of the Constitution.
37 Treaty licences
(1) For the purposes of this Act, a Treaty
licence is taken to be in force in respect of a boat at all times during the
period of validity of the Treaty licence as stated in the licence, except when
the Treaty licence is suspended within the meaning of this section.
(2) A Treaty
licence issued in respect of a Treaty boat is suspended when:
(a) each party to the Treaty has been
notified in writing by the Minister that an investigation is being conducted in
relation to an alleged contravention of a provision of the Treaty with the use
of, or in relation to, the boat; or
(b) the Minister is notified in
writing by the Administrator that the Treaty licence has been suspended in
accordance with paragraph 8 of Article 5 of the Treaty.
(3) A notice under paragraph (2)(a) must
give particulars of the alleged contravention.
(4) A Treaty licence ceases to be suspended:
(a) where paragraph (2)(a)
applies—when the Minister has, in writing, notified the Administrator that the
investigation has been completed; or
(b) where paragraph (2)(b)
applies—when the Minister is notified in writing by the Administrator that the
Treaty licence is no longer suspended.
Division 8—Suspension and cancellation of fishing concessions
38
Suspension of fishing concessions
(1) AFMA may, by written notice given to the
holder of a fishing concession, suspend the operation of the concession if:
(a) any fee, levy, charge or other
money relating to the concession is not paid as it becomes due; or
(b) it has reasonable grounds to
believe that:
(i) there has been a
contravention of a condition of the concession; or
(ii) in an application
under this Act, the holder of the concession made a statement or furnished
information that was, to the holder’s knowledge, false or misleading in a
material particular, not being an act or omission in relation to which AFMA has
previously exercised powers under this subsection; or
(c) to do so would be in accordance with
a condition of the fishing concession relating to suspension of the concession.
(2) Subject to subsections (3) and (3A),
where a fishing concession is so suspended (otherwise than for the reason
mentioned in paragraph (1)(a)), the suspension, unless it is sooner
revoked, ceases:
(a) if proceedings for an offence
against this Act in relation to the alleged act or omission because of which
the concession was suspended are instituted against the holder of the
concession, or a person who acted on behalf of the holder of the concession,
within one month after the suspension—on completion of the proceedings; or
(b) in any other case—at the end of
one month after the suspension.
(3) AFMA may, by written notice given to the
holder of a fishing concession, suspend the fishing concession for such period
as is specified in the notice, if the holder of the fishing concession is
convicted of an offence against this Act, the regulations or any other law of
the Commonwealth relating to fishing or against a law of New Zealand, Papua New
Guinea or a State or Territory relating to fishing.
(3A) If:
(a) a contravention of an
international fisheries management measure has led to the imposition on the
holder of a fishing concession of sanctions by Australia or a foreign country;
and
(b) those sanctions have not been
complied with;
AFMA may, by written notice given to the holder of the
concession, suspend the fishing concession until the sanctions are fully
complied with.
(4) AFMA, by written notice given to the
holder of a fishing concession suspended under this section:
(a) may revoke the suspension; and
(b) if the concession was suspended
for the reason mentioned in paragraph (1)(a), must revoke the suspension:
(i) if the money is paid;
or
(ii) if the holder enters into
an arrangement mentioned in paragraph 39(c) in relation to the money; or
(iii) there is a remission
or refund made under the regulations of the whole of the money.
Note: Section 98 authorises a court in certain
circumstances to suspend a fishing concession.
39
Cancellation of fishing concessions
(1) AFMA may, by notice in writing given to
the holder of a fishing concession, whether or not it has previously suspended
the fishing concession, cancel the concession if:
(a) the holder of the concession is
convicted of an offence against this Act, the regulations or any other law of
the Commonwealth relating to fishing or against a law of New Zealand, Papua New
Guinea or a State or Territory relating to fishing; or
(b) to do so would be in accordance
with a condition of the concession relating to cancellation of the concession;
or
(c) any fee, levy, charge or other
money relating to the concession is not paid or the holder does not enter into
an arrangement satisfactory to AFMA in relation to the money within such period
as is prescribed after the time at which such fee, levy, charge or other money
became due; or
(d) both
of the following conditions are met:
(i) the concession
authorises the use of a boat for fishing for a fish stock covered by a global,
regional or subregional fisheries organisation or arrangement;
(ii) Australia is not
involved in the organisation or arrangement and has not agreed to apply
measures established by the organisation or arrangement.
Note: Section 98 authorises a court in certain
circumstances to cancel a fishing concession.
(2) If a fishing concession authorises the
use of an Australian‑flagged boat for fishing activities in waters wholly or
partly beyond the AFZ—the concession is taken, by force of this subsection, to
have been cancelled if the boat ceases to be an Australian‑flagged boat.
Division 9—Foreign master fishing licences
40
Grant of foreign master fishing licences
(1) AFMA may, upon application made in the
approved form, grant to a person a foreign master fishing licence authorising
the person to be in charge of a foreign boat that is being used for commercial
fishing in a specified area of the AFZ or a specified fishery.
(2) An application made for the grant of a
foreign master fishing licence must provide AFMA with such information as it
reasonably requires for a proper consideration of the application.
(3) A foreign master fishing licence is
granted subject to the following conditions:
(a) if the licence authorises a person
to be in charge of a foreign boat that is being used for commercial fishing in
a specified managed fishery—the holder of the licence must comply with any
obligations imposed on the holder by the relevant plan of management;
(b) if the licence authorises a person
to be in charge of a foreign boat that is being used for commercial fishing in
a specified managed fishery—the licence will cease to have effect in relation
to that fishery if the plan of management for the fishery is revoked under
subsection 20(3);
(c) the licence may be cancelled under
subsection (8);
(d) no compensation is payable because
the fishing permit is cancelled or ceases to have effect.
(4) A licence granted under this section:
(a) is subject to such other
conditions as are:
(i) specified in the
licence; or
(ii) prescribed in relation
to licences granted under this section; and
(b) comes into force on the day
specified for the purpose in the licence or, if no day is so specified, on the
day on which it is granted; and
(c) subject
to this section, remains in force until the day specified for the purpose in
the licence, being a day not later than the end of the period of 12 months
after the day on which the licence came into force.
(4A) If:
(a) AFMA has granted a foreign master
fishing licence under this section in respect of a particular fishery; and
(b) that fishery is a fishery to which
subsection 41A(1) applies; and
(c) AFMA subsequently, under section 41A,
gives a direction in respect of that fishery to the effect that fishing is not
to be engaged in in any part of the fishery, or in a particular area of the
fishery, during a period or periods specified in the direction;
it is a condition of the licence that the holder of the
licence comply with the terms of the direction.
(5) AFMA may, by written notice given to the
holder of a licence, whether or not at the request of the holder, vary or
revoke a condition of the licence (not being a condition mentioned in subsection (3)
or (4A)) or specify a condition or further condition to which the licence is to
be subject.
(6) A licence ceases to be in force if the
holder of the licence surrenders the licence by written notice given to AFMA.
(7) A licence under this section is to be in
the approved form.
(8) AFMA may, by written notice given to the
holder of a licence, cancel the licence if the holder of the licence is
convicted of an offence against this Act, the regulations or any other law of
the Commonwealth relating to fishing or against a law of New Zealand, Papua New Guinea or a State or Territory relating to fishing.
Division 10—Miscellaneous
41
Authority to extend to tender boats
Where the use by a person of a specified
boat is authorised by a fishing concession or scientific permit, the authority
to use that boat extends to the use of any tender boat carried by the
first‑mentioned boat.
41A
AFMA may give directions in relation to closure or partial closure of fishery
(1) This section applies to a fishery in
respect of which fishing concessions, scientific permits or foreign master
fishing licences are in force.
(2) If, after consultation with:
(a) the management advisory committee
for the fishery; or
(b) if there is no management advisory
committee for the fishery—the holders of fishing concessions, scientific
permits or foreign master fishing licences for the fishery;
AFMA may direct that fishing not be engaged in any part of
the fishery, or in a particular part of the fishery, during a period or periods
specified in the direction.
(2A) At least 7 days before the direction takes
effect, AFMA must tell the holders of the fishing concessions, scientific
permits or foreign master fishing licences, in writing, about the direction.
(2B) However, if a direction is given in an
emergency:
(a) subsection (2A) does not
apply; and
(b) AFMA must tell the holders of the
fishing concessions, scientific permits or foreign master fishing licences, in
writing, about the direction as soon as it can practicably do so.
(2C) AFMA may, by writing under its common seal,
delegate the power to give a direction under subsection (2) to:
(a) the CEO; or
(b) a primary stakeholder who is to
assist AFMA to manage the fishery under a co‑management arrangement (within the
meaning of the Fisheries Administration Act 1991).
(3) AFMA may, at any time, by a further
direction in writing, vary or revoke a direction given under subsection (2).
(4) If AFMA gives a direction under subsection (2),
or varies or revokes such a direction, it must ensure that a copy of the
direction is sent to each holder of a fishing permit, a scientific permit, a
foreign fishing licence or a foreign master fishing licence, in respect of the
fishery to which the direction, or direction as varied or revoked, relates.
(5) A direction under subsection (2), or
a variation or revocation of such a direction, is a disallowable instrument for
the purposes of section 46A of the Acts Interpretation Act 1901.
42
Determinations relating to logbooks and the furnishing of returns
(1) AFMA may, by a written determination, in
relation to a particular fishery, provide for holders of fishing concessions in
respect of that fishery to keep and maintain logbooks containing information in
respect of their activities in that fishery.
(1A) Without limiting the generality of subsection (1),
a determination by AFMA in respect of a particular fishery may cover matters
including:
(a) the form and content of logbooks
for that fishery to be kept by the concession holder; and
(b) the secure storage of such
logbooks; and
(c) the period for which retention of
such logbooks is required; and
(d) the furnishing to AFMA of such
logbooks or of returns of information contained in them.
(1B) The content of the logbook kept by the
holder of a fishing concession in respect of a particular fishery, and of any
return of information from such a logbook, may extend to information in
relation to:
(a) the taking of fish under that
fishing concession and the sale or disposal of such fish; or
(b) the carrying, landing,
transhipping or transporting of fish taken under that fishing concession; or
(c) the receipt or processing of fish
taken under that fishing concession and the sale or disposal of fish so
received or processed; or
(d) the course, or position at regular
intervals, inside or outside the outer limits of the AFZ, of boats to which the
fishing concession relates; or
(e) any other matter relevant to the
fishing concession in that fishery that is specified in the determination.
(1C) The obligations arising under this section
from a determination made under subsection (1) in relation to a particular
fishery override any provision to the contrary, in force immediately before the
making of the determination:
(a) in a plan of management for that
fishery; or
(b) in a condition to which a fishing
concession in respect of that fishery is subject.
(2) It is a condition of a fishing concession
that the holder of the fishing concession will comply with the requirements of
any determination made under subsection (1).
(3) A determination made under subsection (1)
is a disallowable instrument for the purposes of section 46A of the Acts
Interpretation Act 1901.
42A
Fishing concession condition to facilitate boarding
It is a condition of a fishing
concession, or scientific permit, authorising the use of an Australian‑flagged
boat outside the AFZ that the master of the boat:
(a) facilitate boarding of the boat;
and
(b) co‑operate with inspection of the
boat;
by officials of a foreign country acting in accordance
with the Fish Stocks Agreement or a measure established by an international
fisheries management organisation.
42B
Regulation‑making power for conditions
(1) The regulations may prescribe conditions
that apply to fishing concessions or foreign master fishing licences.
(2) A provision of a plan of management has
no effect to the extent that it is inconsistent with regulations made for the
purposes of this section.
43
Temporary orders
(1) The purpose of this section is to enable
quick action to be taken:
(a) to deal with:
(i) emergencies; or
(ii) other circumstances
where urgent action is required for purposes related to the management of a
fishery; or
(iii) the maintenance of
straddling fish stocks, highly migratory fish stocks or ecologically related
fish stocks (within the meaning of the Fish Stocks Agreement) before a plan of
management is determined, amended or revoked; or
(b) to correct errors or anomalies in
a plan of management.
(2) If AFMA is
satisfied that:
(a) it is necessary to take action for
the purpose of this section; and
(b) the action contemplated is
consistent with AFMA’s objectives; and
(c) no
other action is appropriate;
AFMA may make an order, consistent with this Act and the
regulations, with respect to:
(d) any matter directly or indirectly
connected with fishing:
(i) in a managed fishery;
or
(ii) in the AFZ but not in
a managed fishery; or
(iii) that is the subject of
an international agreement and occurs outside the AFZ; or
(e) any other matter relating to a
managed fishery, being a matter that may be provided for by a plan of
management; or
(f) any incidental matter.
(3) AFMA may at any time make an order
cancelling a previous order.
(4) An order ceases to have effect:
(a) on a day specified in the order;
or
(b) on being cancelled by another
order; or
(c) at
the end of 6 months after the order is made;
whichever is soonest.
(5) Subject to subsections (6) and (7),
AFMA must not make an order the same in substance as a previous order within 6
months after the previous order has ceased to have effect.
(6) While an order is in force, AFMA may make
one, and only one, further order the same in substance as the first‑mentioned
order.
(7) Nothing in subsections (5) and (6)
prevents AFMA from making a further order the same in substance as a previous
order to deal with a different emergency.
(8) AFMA may, by writing under its common
seal, delegate its powers under this section to the CEO, but to no other
person.
(9) If an order is inconsistent with a
provision of:
(a) a plan of management; or
(b) a
fishing concession, scientific permit, foreign master fishing licence or fish
receiver permit;
the order overrides the provision and, to that extent, the
provision has no effect.
(10) When an order ceases to have effect, any
provision overridden by the order revives, subject to this Act, unless the
regulations provide otherwise.
(11) An order is a disallowable instrument for
the purposes of
section 46A of the Acts Interpretation Act 1901.
Part 4—Register of Statutory Fishing Rights
44 The
Register
(1) AFMA is to keep a Register of Statutory
Fishing Rights.
(2) The Register may be kept wholly or partly
by use of a computer.
(3) If the Register is kept wholly or partly
by use of a computer:
(a) references in this Act to an entry
in the Register are to be read as including references to a record of particulars
kept by use of the computer and comprising the Register or part of the
Register; and
(b) references in this Act to
particulars being registered, or entered in the Register, are to be read as
including references to the keeping of a record of those particulars as part of
the Register by use of the computer; and
(c) references in this Act to the
rectification of the Register are to be read as including references to the
rectification of the record of particulars kept by use of the computer and
comprising the Register or part of the Register.
45
Information to be included in Register
(1) AFMA must register each fishing right
that it, or a Joint Authority managing a fishery that is (or part of which is)
managed in accordance with the law of the Commonwealth, grants by entering in
the Register the following particulars:
(a) the name of the person to whom the
fishing right is granted;
(b) a description of the fishing
right;
(c) the period (if any) for which the
fishing right is granted;
(d) the managed fishery in relation to
which the fishing right is granted;
(e) the conditions of the fishing
right;
(f) such other particulars (if any)
as are prescribed.
(2) Where a Joint Authority grants a fishing
right, it must give to AFMA such information in relation to the grant as will
enable AFMA to comply with subsection (1).
46
Creation etc. of interests in fishing rights
(1) This section applies to a dealing that
would, but for subsection (2), have the effect of creating, assigning,
transferring, transmitting or extinguishing an interest in a fishing right.
(2) The dealing has no effect of a kind
mentioned in subsection (1) until it is registered under this section.
(3) A party to the dealing may lodge with
AFMA:
(a) an application in the form
approved by AFMA for registration of the dealing; and
(b) the instrument evidencing the
dealing; and
(c) an instrument setting out such
particulars (if any) as are prescribed for the purposes of an application for
registration; and
(d) one copy each of the application
and of the instruments mentioned in paragraphs (b) and (c).
(3A) A party to the dealing may, instead of
lodging the instrument evidencing the dealing, lodge with AFMA a summary of
that instrument containing the particulars required by AFMA for the purposes of
this subsection.
(4) Subject to subsections (4C) and (4D),
if an application for registration of the dealing, either the instrument
evidencing the dealing or a summary of that instrument that complies with subsection (3A),
and the other documents referred to in paragraphs (3)(c) and (d), are
lodged with AFMA, AFMA must:
(a) register the dealing by entering
in the Register the following particulars:
(i) the name of the person
acquiring the interest in the fishing right;
(ii) a description of the
dealing; and
(b) endorse on the instrument
evidencing the dealing and the copy of that instrument the fact of the entry
having been made together with the date and time of the making of the entry.
(4A) If a person
lodges with AFMA a notice, in the form approved by AFMA:
(a) stating that a dealing of a kind
referred to in subsection (1) that is described in the statement has taken
place; and
(b) claiming that, if the dealing were
registered, the person would have an interest in a fishing right; and
(c) setting out particulars of the
interest; and
(d) requesting AFMA to register the
claim;
AFMA must register the claim by entering in the register
the person’s name and particulars of the interest claimed.
(4B) If, after the registration of a claim to an
interest in a fishing right, the claimant, by notice lodged with AFMA in the
form approved by AFMA, withdraws the claim, AFMA must cancel the registration
by omitting from the register the entry relating to the claim.
(4C) If:
(a) a claim to an interest in a
fishing right is registered; and
(b) an application is made to AFMA for
registration of a dealing in respect of the fishing right;
AFMA must not register the dealing unless:
(c) AFMA has given written notice of
the application to the person whose name appears in the register in relation to
the claim; and
(d) either:
(i) the person has
withdrawn the claim under subsection (4B); or
(ii) 21 days have elapsed
since the notice was given to the person.
(4D) AFMA must register a lease, or transfer of
ownership, of a fishing right unless:
(a) the fishing right is suspended
under section 38; or
(b) the holder of the fishing right:
(i) is being investigated
for a fisheries offence; or
(ii) has been convicted of
a fisheries offence; or
(c) a levy on the fishing right that
is due has not been paid; or
(d) other circumstances that are
prescribed under the regulations exist.
(4E) Subsection (4D) applies despite the
fact that any requirement in a plan of management relating to the lease, or
transfer, has not been satisfied.
(5) If a
dealing is registered:
(a) the copies referred to in paragraph (3)(d)
and the summary (if any) lodged under subsection (3A) are to be kept by
AFMA; and
(b) if a summary is not lodged under subsection (3A),
the copy of the instrument evidencing the dealing is to be made available for
inspection in accordance with this Part; and
(c) if a summary is lodged under subsection (3A),
the summary is to be made available for inspection in accordance with this
Part; and
(d) the original instrument is to be
returned to the person who made the application for registration.
(6) If a dealing creates a charge over some
or all of a body corporate’s assets, the party to the dealing who lodged the
application for registration of the dealing is taken to have complied with paragraph (3)(b),
and with paragraph (3)(d) in so far as that paragraph requires a copy of
the instrument evidencing the dealing to be lodged with AFMA, if the party has
lodged with AFMA 2 copies of each document required to be lodged with the
Australian Securities Commission relating to the creation of that charge under
section 263 of the Corporations Act 2001.
47
Trusts not registrable
Notice of any kind of trust relating to
a fishing right is not receivable by AFMA and must not be registered.
48
Power of holder of fishing right to deal with fishing right
(1) Except where a condition of a fishing
right provides otherwise, a holder of a fishing right may, subject only to any
rights appearing in the Register to be vested in another person and to section 49,
deal with the fishing right as its absolute owner and give good discharges for
any consideration for any such dealing.
(2) Subsection (1) only protects a
person who deals with such a holder as a purchaser in good faith for value and
without notice of any fraud on the part of the holder.
(3) Equities in relation to a fishing right
may be enforced against the holder of the fishing right except to the prejudice
of a person protected by subsection (2).
50
Suspension, cancellation etc. of fishing right to be noted in Register
(1) Where a fishing right registered under
this Part is suspended, cancelled or ceases to have effect (other than because
of subsection 43(9)), or a suspension of a fishing right is revoked, then:
(a) if the fishing right is suspended
or a suspension is revoked—AFMA must make a notation in the Register to that
effect; and
(b) if the fishing right is cancelled
or ceases to have effect—AFMA must make a notation in the Register to that
effect and cancel the registration of the fishing right.
(2) Where, because of a decision made by
AFMA, a Joint Authority, the Administrative Appeals Tribunal or a court, a
notation made by AFMA under subsection (1) is no longer correct, AFMA must
rectify the Register accordingly.
(3) Where:
(a) AFMA does anything under subsection (1)
or (2) in relation to a fishing right; and
(b) a
person other than the holder of the fishing right has an interest in the
fishing right, being an interest in relation to which a dealing has been
registered under section 46;
AFMA must give the person written notification of what it
has done.
(4) Where, because of subsection 43(9), a
provision of a fishing right registered under this Part has no effect, AFMA
must make a notation in the Register to that effect.
(5) Where AFMA has made a notation in the
Register under subsection (4) and the relevant provision of the fishing
right revives, AFMA must make a notation in the Register to that effect.
51
AFMA not concerned with certain matters
AFMA is not concerned with the effect in
law of any instrument lodged under section 46 and the registration of the
dealing does not give to the instrument any effect that it would not have if
this Part had not been enacted.
52
Inspection of Register and documents
(1) The Register and all instruments and
documents subject to inspection under this Part must be available for
inspection, in accordance with the regulations and upon payment of the
prescribed fee, by any person during the hours that AFMA is open for business.
(2) If the Register is kept wholly or partly
by use of a computer, subsection (1) is taken to be complied with, to the
extent that the Register is so kept, by giving members of the public access to
a computer terminal that they can use to inspect the Register, either on a
screen or in the form of a computer print‑out.
53
Evidentiary provisions
(1) The Register is prima facie evidence of
any particulars registered in it.
(2) If the Register is wholly or partly kept
by use of a computer, a document issued by AFMA producing in writing all or any
of the particulars comprising the Register, or that part of it, as the case may
be, is admissible in any proceedings as prima facie evidence of those
particulars.
(3) A signed copy of, or signed extract from,
the Register is admissible in any proceedings as if it were the original.
(4) A signed copy of, or signed extract from,
an instrument evidencing a dealing registered under this Part is admissible in
any proceedings as if it were the original.
(5) AFMA, upon application made in the form
approved by AFMA, must supply a person with a document mentioned in subsection (2)
or a signed copy of, or a signed extract from, an entry in the Register or an
instrument evidencing a dealing registered under this Part.
(6) In this section:
signed means signed by a person on behalf of
AFMA.
54
Orders for rectification of Register
(1) A person aggrieved by:
(a) the omission of an entry from the
Register; or
(b) an entry made in the Register
without sufficient cause; or
(c) an entry wrongly existing in the
Register; or
(d) an
error or defect in an entry in the Register;
may apply to a prescribed court for an order to rectify
the Register.
(2) On hearing an application, the court may:
(a) decide any question that it is
necessary or expedient to decide in connection with the rectification of the
Register; and
(b) make any order it thinks fit for
the rectification of the Register.
(3) AFMA:
(a) must
be given notice of an application; and
(b) may appear and be heard in the
proceedings; and
(c) an AFMA staff member must appear
if directed to do so by the court.
(4) A copy of an order must be served on AFMA
by the Registrar or other appropriate officer of the court.
(5) On receiving the copy of an order, AFMA must
rectify the Register accordingly.
(6) In this
section:
prescribed court means the Federal Court of
Australia, the Supreme Court of a State, the Supreme Court of the Australian Capital Territory, the Supreme Court of the Northern Territory or the Supreme
Court of Norfolk Island.
55
Correction of clerical errors etc. in Register
AFMA may correct, or cause to be
corrected, any clerical error or obvious mistake in the Register.
56
AFMA etc. not liable in certain circumstances
Neither AFMA nor a person acting for or
on behalf of AFMA is liable to an action, suit or proceeding for or in respect
of an act or matter in good faith done or omitted to be done in the exercise or
purported exercise of any power conferred by this Part.
57
Offences
A person is guilty of an offence if:
(a) the person produces or tenders a
document in evidence; and
(b) that document falsely purports to
be:
(i) an instrument, or a
copy of or extract from an instrument, lodged with AFMA under this Part; or
(ii) a
copy of or extract from an entry in the Register.
Maximum penalty: Imprisonment for 2 years.
Note 1: Chapter 2 of the Criminal Code sets
out the general principles of criminal responsibility.
Note 2: Subsections 137.1(1) and 137.2(1) of the Criminal
Code create offences for the provision of false or misleading documents or
information in purported compliance with Commonwealth legislation.
Part 4A—Register of vessels authorised to fish on high seas
57A
The High Seas Register
(1) AFMA must establish and must maintain a
separate register, to be called the High Seas Register, containing particulars
of all Australian‑flagged boats that are authorised from time to time to engage
in fishing activities on the high seas.
(2) The Register may be kept wholly or partly
by use of a computer.
(3) If the Register is kept wholly or partly
by use of a computer:
(a) references in this Act to an entry
in the Register are to be read as including references to a record of
particulars kept by use of the computer and comprising the Register or a part
of the Register; and
(b) references in this Act to
particulars being entered in the Register are to be read as including
references to the keeping of a record of those particulars as part of the
Register by use of the computer; and
(c) references in this Act to the
rectification of the Register are to be read as including references to the
rectification of the record of particulars kept by use of the computer and
comprising the Register or part of the Register.
57B
Information to be included in the High Seas Register
(1) AFMA must include in the Register:
(a) the identifying particulars of
each Australian‑flagged boat that is authorised by a fishing concession to be
used for fishing activities on the high seas; and
(b) the name and address of the owner
or owners of the boat; and
(c) the nature of the fishing
concession, how it covers fishing activities on the high seas and the period
for which it is granted.
(2) For the purposes of paragraph (1)(a),
the identifying particulars of an Australian‑flagged boat are:
(a) its name and any previous name or
names (if known to AFMA); and
(b) its registration number; and
(c) its port of registry; and
(d) any previous flag under which it
has sailed; and
(e) its international radio call sign
(if any); and
(f) the place where, and the period
when, it was built; and
(g) its type; and
(h) its length; and
(i) such other particulars (if any)
as are prescribed.
(3) Subject to subsections (4) and (5),
if any of the particulars required to be recorded under subsection (1) or
(2) in relation to an Australian‑flagged boat changes, AFMA must, as soon as it
becomes aware of that change, alter the Register to record that change.
(4) If, in relation to an Australian‑flagged
boat that is included in the Register:
(a) the fishing concession covering
that boat is suspended or the suspension is revoked; or
(b) the fishing concession covering
that boat is cancelled or ceases to have effect;
AFMA must record in the Register the fact of that
suspension, revocation, cancellation or cessation and also the reason for it.
(5) If, because of a decision made by AFMA, a
Joint Authority, the Administrative Appeals Tribunal or a court, a record made
by AFMA under subsection (4) is no longer correct, AFMA must rectify the
Register accordingly.
(6) If an Australian‑flagged boat that is
included in the Register:
(a) ceases to be an Australian‑flagged
boat; or
(b) is decommissioned or lost;
AFMA must record that fact in the Register.
57C
Notification obligations
(1) AFMA must:
(a) on the establishment of the High
Seas Register—notify the FAO of its contents; and
(b) whenever there is:
(i) an addition to, or a
change in the particulars on, the Register; or
(ii) a record placed on the
Register as required under subsection 57B(4) or (6); or
(iii) a rectification of the
Register as required under subsection 57B(5);
notify the FAO of that addition,
change, record or rectification and of the reason for it.
(2) If the reason for suspending or
cancelling a fishing concession authorising the use of an Australian‑flagged
boat for fishing activities on the high seas is that AFMA is satisfied that the
boat has been used in any activities that undermine international conservation
and management measures—the notification to the FAO must specify particulars of
the activities giving rise to AFMA’s action.
(3) If AFMA grants a fishing concession
authorising the use of an Australian‑flagged boat to fish on the high seas in
the circumstances set out in subsection 16B(5), AFMA must notify the FAO:
(a) of the fact that the concession
has been granted, despite the prior suspension or cancellation of an authority
granted by a foreign country; and
(b) of all data known to AFMA that is
relevant to the identification of the boat and of its current owners and
operators; and
(c) of all matters relevant to AFMA’s
decision to grant the concession.
(4) If AFMA believes, on reasonable grounds,
that a boat flying the flag of a foreign country has been used in any
activities that undermine international conservation and management measures:
(a) AFMA must notify the foreign
country of its belief and provide the foreign country with the evidence that
supports its belief; and
(b) AFMA may notify the FAO of its
belief and give it a summary of the supporting evidence.
57D
Inspection of the High Seas Register
(1) The High Seas Register must be available
for inspection in accordance with the regulations and on payment of the
prescribed fee by any person during the hours that AFMA is open for business.
(2) If the High Seas Register is kept wholly
or partly by use of a computer, subsection (1) is taken to have been
complied with, to the extent that the Register is so kept, by giving members of
the public access to a computer terminal so that they can inspect the Register,
either on a screen or in the form of a computer print‑out.
57E
Application of sections 53 to 56
Sections 53, 54, 55 and 56 apply to
the High Seas Register in like manner as they apply to the Register established
and maintained under Part 4.
57F
Offence
A person is guilty of an offence if:
(a) the person produces or tenders a
document in evidence; and
(b) that document falsely purports to
be:
(i) an instrument, or a
copy of or extract from an instrument, lodged with AFMA under this Part; or
(ii) a copy of or extract
from an entry in the High Seas Register.
Maximum penalty: Imprisonment for 2 years.
Note 1: Chapter 2 of the Criminal Code sets
out the general principles of criminal responsibility.
Note 2: Subsections 137.1(1) and 137.2(1) of the Criminal
Code create offences for the provision of false or misleading documents or
information in purported compliance with Commonwealth legislation.
Part 4B—Fishing Permits Register
57G
The Fishing Permits Register
(1) AFMA must establish and maintain a
Register relating to fishing permits granted under section 32 to be called
the Fishing Permits Register.
(2) The Fishing Permits Register may be kept
wholly or partly by use of a computer.
(3) If the Fishing Permits Register is kept
wholly or partly by use of a computer:
(a) references in this Act to an entry
in the Fishing Permits Register are to be read as including references to a
record of particulars kept by use of the computer and comprising the Fishing
Permits Register or a part of the Register; and
(b) references in this Act to
particulars being entered in the Fishing Permits Register are to be read as
including references to the keeping of a record of those particulars as part of
the Fishing Permits Register by use of the computer; and
(c) references in this Act to the
rectification of the Fishing Permits Register are to be read as including
references to the rectification of the record of particulars kept by use of the
computer and comprising the Fishing Permits Register or part of the Register.
57H
Information to be included in the Fishing Permits Register
(1) AFMA must register each fishing permit
that it grants under section 32 by entering in the Fishing Permits
Register:
(a) the name of the holder of the
permit; and
(b) the area of the AFZ, or the
fishery, that is specified in the permit; and
(c) the period for which the permit
remains in force; and
(d) if the permit is granted in
respect of a nominated boat or if, after the grant of the permit, a boat is
nominated—the name and distinguishing symbols for the nominated boat; and
(e) such other particulars (if any) as
are prescribed.
(2) Subject to subsections (3) and (4),
if any of the particulars required to be recorded under subsection (1)
changes, AFMA must, as soon as it becomes aware of that change, alter the
Fishing Permits Register to record that change.
(3) If, in relation to a boat particulars of
which are included in the Fishing Permits Register:
(a) the fishing permit covering that
boat is suspended or the suspension is revoked; or
(b) the fishing permit covering that
boat is cancelled or ceases to have effect;
AFMA must record in the Fishing Permits Register the fact
of that suspension, revocation, cancellation or cessation and also the reason
for it.
(4) Where, because of a decision made by
AFMA, a Joint Authority, the Administrative Appeals Tribunal or a court, a
record made by AFMA under subsection (3) is no longer correct, AFMA must
rectify the Fishing Permits Register accordingly.
57J
Inspection of the Fishing Permits Register
(1) The Fishing Permits Register must be
available for inspection in accordance with the regulations and on payment of
the prescribed fee by any person during the hours that AFMA is open for
business.
(2) If the Fishing Permits Register is kept
wholly or partly by use of a computer, subsection (1) is taken to have
been complied with, to the extent that the Register is so kept, by giving
members of the public access to a computer terminal so that they can inspect
the Register, either on a screen or in the form of a computer print‑out.
57K
Application of sections 53 to 56
Sections 53, 54, 55 and 56 apply to
the Fishing Permits Register in like manner as they apply to the Register
established and maintained under Part 4.
57L
Offence
A person is guilty of an offence if:
(a) the person produces or tenders a
document in evidence; and
(b) the document falsely purports to
be:
(i) an instrument, or a
copy of or extract from an instrument, lodged with AFMA under this Part; or
(ii) a
copy of or extract from an entry in the Fishing Permits Register.
Maximum penalty: Imprisonment for 2 years.
Note 1: Chapter 2 of the Criminal Code sets
out the general principles of criminal responsibility.
Note 2: Subsections 137.1(1) and 137.2(1) of the Criminal
Code create offences for the provision of false or misleading documents or
information in purported compliance with Commonwealth legislation.
Part 5—Co‑operation with States and Northern Territory in
management of fisheries
Division 1—Preliminary
58
Interpretation
(1) In this Part, unless the contrary
intention appears:
appropriate Minister, in relation to a State,
means the Minister of the State for the time being administering the laws of
the State relating to marine fishing.
Commonwealth Minister means the Minister.
Joint Authority fishery means a fishery in
respect of which there is in force an arrangement under this Part under which
the fishery is to be under the management of a Joint Authority.
(2) For the purposes of this Part, waters
relevant to a State are the coastal waters of the State and the AFZ.
59
Application of Part in relation to Northern Territory
(1) This Part has effect as if the Northern Territory were a State.
(2) A reference in this Part to the Governor
of a State is to be read, in relation to the Northern Territory, as a reference
to the Administrator of the Territory.
60
Acting Ministers
(1) The functions and powers of the
Commonwealth Minister under this Part, including the Minister’s functions and
powers as a member of a Joint Authority, may be performed and exercised by
another Minister of the Commonwealth acting for and on behalf of the
Commonwealth Minister, and references in this Part to the Commonwealth Minister
are to be read as including references to a Minister so acting.
(2) The functions and powers of the
appropriate Minister of a State under this Part, including the Minister’s
functions and powers as a member of a Joint Authority, may be performed and
exercised by a Minister of the State acting for and on behalf of the
appropriate Minister, and references in this Part to the appropriate Minister
of a State are to be read as including references to a Minister so acting.
Division 2—Joint Authorities
61
Establishment of Joint Authorities
(1) The Commonwealth may make an arrangement
with a State or States for the establishment of a Joint Authority consisting of
the Commonwealth Minister together with the appropriate Minister or Ministers
of that State or those States.
(2) Each arrangement is to be made by
instrument approved by the Governor‑General and the Governor or Governors of
the State or States represented on the Joint Authority.
(3) A Joint Authority may be abolished by a
further such instrument, but such an instrument does not take effect while
there is in operation an arrangement under Division 3 providing that the
Joint Authority is to have the management of a particular fishery.
(4) The Commonwealth Minister is to cause a
copy of every instrument so approved to be published in the Gazette and,
subject to subsection (3), the instrument takes effect on the day of
publication.
62
Functions of Joint Authority
A Joint Authority has such functions in
relation to fisheries in respect of which arrangements are made under Division 3
as are conferred on it by this Part or a law of a State that is represented on
the Joint Authority.
63
Deputies of members
(1) A member of a Joint Authority may, in
writing, appoint a person or persons to be his or her deputy or deputies.
(2) A deputy of a member is entitled, in the
absence from a meeting of the Joint Authority of the member and of the other
deputy or deputies (if any) of the member, to attend that meeting and, when so
attending, is taken to be a member.
64
Representation on Joint Authority
For the purposes of this Part, a State
is taken to be represented on a Joint Authority if the appropriate Minister of
the State is a member of the Joint Authority.
65
Delegation
(1) Subject to this section, a Joint
Authority may, by writing, delegate to an officer or employee of a State or of
an authority of a State any of its powers under this Act, other than its powers
under sections 18 and 20.
(2) Without limiting the operation of subsection (1),
a delegation may be expressed as a delegation to the person from time to time
holding, or performing the duties of, a specified position or office in the
service of a State or an authority of a State or under the law of a State.
(3) A delegate of a Joint Authority is, in
the exercise of his or her delegated powers, subject to the directions of the
Joint Authority.
(4) A delegation of a power under this
section:
(a) may be revoked, by instrument, by
the Joint Authority (whether or not constituted by the persons constituting the
Joint Authority at the time the power was delegated); and
(b) continues in force despite any
change in the membership of the Joint Authority.
(5) A certificate signed by a member of a
Joint Authority stating any matter with respect to a delegation of a power
under this section by the Joint Authority is prima facie evidence of that
matter.
(6) Nothing in this Part is intended to
prevent the delegation by a Joint Authority, in accordance with the law of a
State, of powers conferred on the Joint Authority by the law of that State.
66 Procedure
of Joint Authorities
(1) At a
meeting of a Joint Authority:
(a) if the Commonwealth Minister is
present—that Minister is to preside; and
(b) if deputies of members only are
present—the deputy of the Commonwealth Minister is to preside; and
(c) if neither paragraph (a) nor paragraph (b)
is applicable—the members present are to select one of their number, being a
Minister, to preside.
(2) Meetings of a Joint Authority are to be
convened by the Commonwealth Minister, and that Minister must convene such a
meeting at the request of any other member.
(3) The quorum for a meeting of a Joint
Authority is:
(a) if there are 2 members—2 members;
or
(b) if there are more than 2
members—the Commonwealth Minister or that Minister’s deputy and other members
not fewer in number than 2 and not fewer in number than half the number of
States represented on the Joint Authority.
(4) If, at a meeting of a Joint Authority,
the members present are not agreed as to the decision to be made on a matter,
the Commonwealth Minister may, subject to subsection (6), decide that
matter.
(5) A decision of the Commonwealth Minister
made under subsection (4) has effect as the decision of the Joint
Authority.
(6) Before deciding in accordance with subsection (4),
the Commonwealth Minister must:
(a) submit the matter for
consideration by the members of the Australian Fisheries Council, being the
body known by that name constituted by the Commonwealth Minister and Ministers
of the States and certain of the Territories; and
(b) for
that purpose, if so requested by a member of that Council, convene a meeting of
that Council;
but a decision of the Commonwealth Minister may not be
called into question in any legal proceedings on a ground arising out of this
subsection.
(7) Subject to this Division, a Joint
Authority may adopt its own rules of procedure.
67
Decisions taken without meeting
(1) A member of a Joint Authority may, by
written or other communication, submit a matter within the functions of the
Joint Authority for consideration by the other member, or each of the other
members, of the Joint Authority.
(2) If all the members of the Joint Authority
are agreed as to the decision to be made on the matter, the Joint Authority is
taken to have made a decision accordingly.
(3) The Commonwealth Minister, upon being
satisfied that the members are so agreed, must record the decision as a
decision of the Joint Authority.
68
Advisory committees
A Joint Authority may establish advisory
committees, consisting of such persons as it thinks fit, to provide information
and advice to the Joint Authority on matters related to any fishery.
69
Administration
(1) The Commonwealth Minister must, in
respect of each Joint Authority:
(a) appoint a person to be the
secretary of the Joint Authority; and
(b) make arrangements for the
provision of appropriate services in respect of the Authority.
(2) A person appointed under subsection (1)
to be the secretary of a Joint Authority must be an AFMA staff member if the
Joint Authority is to manage, or is managing, a fishery in accordance with the
law of the Commonwealth.
(3) The Commonwealth Minister must cause
written records to be kept of the decisions of a Joint Authority.
(4) Such a record, if signed by the
Commonwealth Minister, or deputy of the Commonwealth Minister, who took part in
or made the decision, is prima facie evidence that the decision, as recorded,
was duly made.
(5) In proceedings in any court, an
instrument or other document signed, on behalf of a Joint Authority, by a
member of that Joint Authority, is taken to be duly executed by the Joint
Authority and, unless the contrary is proved, is taken to be in accordance with
a decision of the Joint Authority.
70
Annual reports
(1) A Joint Authority must, as soon as
practicable after 30 June in each year, prepare a report on:
(a) the activities of the Joint
Authority in the immediately preceding financial year; and
(b) the condition during that year of
the fisheries to which the functions of the Joint Authority apply.
(2) The Commonwealth Minister is to cause a
copy of every report under this section to be laid before each House of the
Parliament as soon as practicable after the preparation of the report.
(3) A report for a financial year may,
subject to agreement between the Joint Authority and AFMA, be included, as a
separate part, in the annual report of AFMA for that financial year.
Division 3—Arrangements with respect to management of particular
fisheries
71
Arrangements with States—Joint Authority to manage
(1) The Commonwealth may make an arrangement
with the State or States represented on a Joint Authority that the Joint
Authority is to have the management of a particular fishery in waters relevant
to that State or to any of those States.
(2) An arrangement with only one State must
provide that:
(a) the fishery is to be managed in
accordance with the law of the Commonwealth; or
(b) the fishery is to be managed in
accordance with the law of the State; or
(c) the fishery is to be managed in
accordance with the law of the Commonwealth and the law of the State.
(3) An arrangement with 2 or more States must
provide that:
(a) the fishery is to be managed in
accordance with the law of the Commonwealth; or
(b) the fishery is to be managed in
accordance with the law of one or more of the States concerned; or
(c) the fishery is to be managed in
accordance with the law of the Commonwealth and the law of one or more of the
States concerned.
(4) An arrangement that provides that a
fishery is to be managed in accordance with the law of more than one
jurisdiction must identify, by reference to areas that do not overlap, the
parts of the fishery that are to be managed in accordance with each law.
(5) If, under an arrangement:
(a) a fishery is to be managed in
accordance with the law of a State; or
(b) a part of a fishery is to be
managed in accordance with the law of a State;
the arrangement may, if required by the Commonwealth,
provide for giving effect to Australia’s obligations under international law
(including international agreements) in relation to the fishery or part of the
fishery.
72
Other arrangements with States
(1) The Commonwealth may make an arrangement
with a State with respect to a particular fishery in waters relevant to the
State, not being a fishery to which an arrangement under section 71
applies:
(a) that the fishery (being a fishery
wholly or partly in the coastal waters of the State) is to be managed in
accordance with the law of the Commonwealth; or
(b) that the fishery (being a fishery
wholly or partly in waters on the seaward side of the coastal waters of the
State) is to be managed in accordance with the law of the State.
(2) If, under an arrangement, a fishery is to
be managed in accordance with the law of a State, the arrangement may, if
required by the Commonwealth, provide for giving effect to Australia’s obligations under international law (including international agreements) in
relation to the fishery.
73
Arrangements with States—general provisions
(1) An arrangement under this Division does
not have any effect in relation to:
(a) any area within the Protected
Zone; or
(b) if
there is in force a Proclamation under subsection 15(1) or (2) of the Torres
Strait Fisheries Act 1984 in relation to an area adjacent to the Protected
Zone—any activities within that area to which that Act applies by virtue of the
Proclamation.
(2) In this
section:
Protected Zone has the same meaning as in the
Torres Strait Fisheries Act 1984.
74
Arrangements—how made etc.
(1) An
arrangement under this Division is to be made by instrument approved by:
(a) the Commonwealth Minister on
behalf of the Commonwealth; and
(b) the appropriate Minister or
Ministers of the State or States concerned.
(2) The Commonwealth Minister must cause a
copy of every instrument so approved to be published in the Gazette, and
the instrument takes effect on the date of publication or on a later date
specified in the instrument.
(3) Subject to the requirements of section 23,
after an arrangement under this Division has been made but before the
arrangement takes effect, the following things may be done for the purposes of
the operation of this Act as affected by the arrangement as if the arrangement
had taken effect:
(a) plans of management, permits or
other instruments may be determined, granted or executed;
(b) fishing
rights may be granted;
but such a plan, instrument or right does not have effect
before the arrangement takes effect.
(4) An instrument approved under subsection (1)
is not a legislative instrument.
74A
Arrangements—how varied etc.
(1) An arrangement under this Division is to
be varied by instrument approved by:
(a) the Commonwealth Minister on
behalf of the Commonwealth; and
(b) the appropriate Minister or
Ministers of the State or States concerned.
(2) The Commonwealth Minister must cause a
copy of every instrument so approved to be published in the Gazette, and
the instrument takes effect on the date of publication or on a later date
specified in the instrument.
(3) Subject to the requirements of section 23,
after an arrangement under this Division has been varied but before the
variation takes effect, the following things may be done for the purposes of
the operation of this Act as affected by the variation as if the variation had
taken effect:
(a) plans of management, permits or
other instruments may be determined, granted or executed;
(b) fishing rights may be granted;
but such a plan, instrument or right does not have effect
before the variation takes effect.
(4) Upon the variation of an arrangement
under this Division:
(a) plans of management, fishing
permits, scientific permits and other instruments determined, granted, executed
or published; and
(b) statutory fishing rights granted;
for the purposes of the operation of this Act as affected
by the variation cease to have effect to the extent (if any) they are
inconsistent with the arrangement as varied.
(5) An instrument approved under subsection (1)
is not a legislative instrument.
75
Arrangements—how terminated etc.
(1) An arrangement under this Division may be
terminated by instrument approved by:
(a) the Commonwealth Minister on
behalf of the Commonwealth; and
(b) the appropriate Minister or
Ministers of the State or States concerned.
(2) The
Commonwealth Minister must cause a copy of such an instrument to be published
in the Gazette, and the instrument takes effect on the date of
publication or on a later date specified in the instrument.
(3) A party to an arrangement may:
(a) in the case of the
Commonwealth—with the approval of the Commonwealth Minister; or
(b) in
the case of a State—with the approval of the appropriate Minister of the State;
give written notice to the other party or parties that the
party giving the notice desires the arrangement to terminate upon a date
specified in the notice or notices, not being earlier than 6 months after the
day on which the notice, or the last of the notices, is given.
(4) Where a party has duly given such a
notice, the Commonwealth Minister must, not less than 3 months before the date
specified in the notice or notices, cause to be published in the Gazette a
notice stating that, because of notice of termination given by that party, the
arrangement will cease to have effect on the date specified in the notice or
notices.
(5) Where the Commonwealth Minister has
caused a notice to be so published, the arrangement ceases to have effect on
the specified date.
(6) An arrangement under this Division may
provide:
(a) that, for the purposes of the
application of subsection (3) in respect of the arrangement, a longer or
shorter period is to be substituted for the period of 6 months mentioned in
that subsection; and
(b) that, for the purposes of the
application of subsection (4) in respect of the arrangement, a longer or
shorter period is to be substituted for the period of 3 months mentioned in
that subsection.
(7) Upon the
termination of an arrangement under this Division, plans of management, fishing
permits, scientific permits and other instruments determined, granted, executed
or published, and statutory fishing rights granted, for the purposes of the
operation of this Act as affected by the arrangement cease to have effect.
(8) Subject to the requirements of section 23,
after action for the purpose of the termination of an arrangement under this
Division has been taken, but before the termination takes effect, the following
things may be done for the purposes of the operation of this Act as affected by
the termination of the arrangement, as if the arrangement had been terminated:
(a) plans of management, permits or
other instruments may be determined, granted or executed;
(b) fishing
rights may be granted;
but such a plan, instrument or fishing right does not have
effect before the termination of the arrangement takes effect.
(9) An instrument approved under subsection (1)
is not a legislative instrument.
76
Extension of operation of this Act
(1) Where an arrangement under this Division
provides that a particular fishery, being a fishery that is so defined that it
is or may be carried on partly within the coastal waters of a State, is to be
managed in accordance with the law of the Commonwealth, the coastal waters of
that State are taken to be in the AFZ, for the purposes of the application of
this Act in relation to that fishery.
(2) If an arrangement under this Division
provides that:
(a) a part of a fishery is to be
managed in accordance with the law of the Commonwealth; and
(b) that part of the fishery is so
identified that it is, or may be, carried on partly within the coastal waters
of a State;
the coastal waters of that State are taken to be in the
AFZ for the purposes of the application of this Act in relation to that part of
the fishery.
77
Exclusion of this Act (except this Division)
If an arrangement under this Division
provides that:
(a) a particular fishery is to be
managed in accordance with the law of a State; or
(b) a part of a particular fishery is
to be managed in accordance with the law of a State;
this Act, other than this Division, does not apply in
relation to that fishery, or that part of the fishery, except in relation to:
(c) foreign boats; and
(d) operations on and from foreign
boats; and
(e) persons on foreign boats; and
(f) matters that occurred before the
arrangement took effect.
78
Effect of arrangement
(1) If, in respect of a fishery, there is in
force an arrangement under this Division under which a Joint Authority has the
management of the fishery and the fishery is to be managed in accordance with
the law of the Commonwealth:
(a) AFMA has the same powers in
relation to the fishery as it would have if the fishery were under the
management of AFMA; and
(b) references in sections 18 and
20 to the Minister are taken, in relation to the fishery, to be references to
the Joint Authority.
(2) If:
(a) an arrangement is in force under
this Division under which a Joint Authority has the management of a fishery;
and
(b) a part of the fishery is to be
managed in accordance with the law of the Commonwealth;
then:
(c) AFMA has the same powers in
relation to the part of the fishery as it would have if the part of the fishery
were under the management of AFMA; and
(d) references in sections 18 and
20 to the Minister are taken, in relation to the part of the fishery, to be
references to the Joint Authority.
81
Evidentiary provision
A statement in an arrangement made under
this Division that specified waters:
(a) in the case of an arrangement
between the Commonwealth and one State—are waters relevant to that State; or
(b) in
the case of any other arrangement—are waters relevant to the States that are
parties to the arrangement or are waters relevant to a specified State or
States;
must, for all purposes of this Act, be conclusively
presumed to be correct.
Part 6—Surveillance and enforcement
Division 1—Officers
83
Appointment of officers
(1) AFMA may, by instrument, appoint:
(a) an officer or employee of the
Commonwealth, of the Administration of a Territory (other than a Territory
mentioned in paragraph (b)) or of an authority of the Commonwealth; or
(b) an
officer or employee of a State, the Northern Territory or the Australian
Capital Territory, or of an authority of a State or one of those Territories,
in relation to whom there is in force an arrangement between the Commonwealth
and the State or Territory, as the case may be;
to be an officer for the purposes of this Act.
(2) An officer appointed by AFMA is, in the
exercise of his or her powers and performance of his or her functions, subject
to the directions of AFMA.
84
Powers of officers
(1) An officer may:
(aa) for the purposes of boarding a
boat that is at a place where the officer may board it under paragraph (a)
or (b):
(i) require the master to
stop the boat at such a place to allow the officer to board it; and
(ii) if the master does not
stop the boat as required and the boat is not an Australian‑flagged boat, use
any reasonable means consistent with international law to stop the boat
(including firing at or into the boat after firing a warning shot, and using a
device to prevent or impede use of the system for propelling the boat); and
(a) board
a boat in the AFZ or in Australia or an external Territory or a boat that the
officer has reasonable grounds to believe has been used, is being used, or is
intended to be used, for fishing in the AFZ and may:
(i) search the boat for
fish, for equipment that has been used, is being used, is intended to be used
or is capable of being used for fishing or for any document or record relating
to the fishing operations of the boat; and
(ii) break open any hold,
compartment, container or other receptacle on the boat that the officer has
reasonable grounds to believe contains anything that may afford evidence as to
the commission of an offence against this Act; and
(aaa) subject to section 84AA,
search without warrant:
(i) a person on a boat
that the officer reasonably suspects is a foreign boat used in an offence
against subsection 95(2) or section 99, 100, 100A, 100B, 101, 101A or
101AA or a foreign boat used as the support boat in an offence against section 101B;
and
(ii) the person’s clothing;
to find out whether there is
hidden on the person or in the clothing:
(iii) a weapon; or
(iv) a thing capable of
being used to inflict bodily injury on another person; or
(v) a thing that may afford
evidence as to the commission of an offence against subsection 95(2) or section 99,
100, 100A, 100B, 101, 101A, 101AA or 101B; and
(b) board a boat in relation to which
a fishing concession is in force for the purpose of ascertaining whether a
condition of the fishing concession or a provision of a temporary order is
being, or has been, complied with and, in furtherance of that purpose, may
search the boat and break open any hold, compartment, container or other
receptacle on the boat; and
(c) examine anything found by action
taken under paragraph (a), (aaa) or (b); and
(d) where the officer has reasonable
grounds to believe that there is on any land or in any premises anything that
may afford evidence as to the commission of an offence against this Act, with
the consent of the owner or occupier of the land or premises or under a warrant
issued under section 85:
(i) enter the land or
premises; and
(ii) search the land or
premises and break open and search any cupboard, drawer, chest, trunk, box,
package or other receptacle, whether a fixture or not, in which the officer has
reasonable grounds to believe that there is any such thing; and
(iii) examine and take
possession of, or secure against interference, any such thing that the officer
has reasonable grounds to believe may afford evidence as to the commission of
an offence against this Act; and
(e) where
the officer has reasonable grounds to believe that there is in any vehicle or
aircraft anything that may afford evidence as to the commission of an offence
against this Act, and subject to subsections (1AA) and (1AB):
(i) stop and detain the
vehicle or detain the aircraft, as the case may be; and
(ii) enter and search the
vehicle or aircraft; and
(iii) break open and search
any compartment, container or other receptacle in which the officer has
reasonable grounds to believe there is any such thing; and
(iv) examine and take
possession of, or secure against interference, any such thing that the officer
has reasonable grounds to believe may afford evidence as to the commission of
an offence against this Act; and
(f) examine any equipment found in
any place, being equipment that the officer has reasonable grounds to believe
has been used, is being used, or is intended to be used, for fishing in the
AFZ; and
(fa) if a fishing concession provides
for the use of equipment of a particular type—require the holder of the
concession to give the officer such help as the officer reasonably requires for
the purpose of measuring the equipment; and
(g) subject to subsection (1A),
seize, detain, remove or secure:
(i) any fish that the
officer has reasonable grounds to believe has been taken, processed, carried or
landed in contravention of this Act; or
(ii) any boat, net, trap or
other equipment that the officer has reasonable grounds to believe has been
used, is being used or is intended to be used in contravention of this Act; or
(iii) any document or other
thing that the officer has reasonable grounds to believe may afford evidence as
to the commission of an offence against this Act; and
(ga) seize all or any of the following
that are forfeited to the Commonwealth under section 106A or that the
officer has reasonable grounds to believe are forfeited under that section:
(i) a boat;
(ii) a
net, trap or other equipment;
(iii) fish; and
(gb) seize all or any of the following
that are forfeited to the Commonwealth under section 106AA or that the
officer has reasonable grounds to believe are forfeited under that section:
(i) a net, trap or other
equipment;
(ii) fish; and
(gc) seize any fish that are the
property of the Commonwealth because of the operation of section 106AC or
that the officer has reasonable grounds to believe are the property of the
Commonwealth because of the operation of that section; and
(gd) seize anything:
(i) that is on, in or
attached to a boat and that forms part of the boat; and
(ii) that is the property
of the Commonwealth because of the operation of section 106AD or that the
officer has reasonable grounds to believe is the property of the Commonwealth
because of the operation of that section; and
(h) enter on land or premises
specified in a fish receiver permit for the purpose of finding out whether a
condition of the permit is being, or has been, complied with or whether a
person is contravening or has contravened a provision of this Act and, in
furtherance of that purpose:
(i) search the land or
premises for, and examine, fish; and
(ii) search the land or
premises for, inspect, take extracts from, and make copies of, any documents
relating to the receiving of fish; and
(iii) if the officer finds,
during the course of the search, any thing that he or she believes, on
reasonable grounds, may provide evidence of a contravention of a provision of
this Act, secure the thing pending the obtaining of a warrant to seize it; and
(i) with the consent of the holder of
a fish receiver permit or under a warrant issued under section 85, seize
any thing found during the course of a search that the officer believes, on
reasonable grounds, may provide evidence of a contravention of this Act; and
(j) without warrant, arrest a person
whom the officer has reasonable grounds to believe has committed an offence
against this Act; and
(k) if the officer has reasonable
grounds to believe that a boat has been used, is being used or is intended to
be used in contravention of this Act, require the master of the boat:
(i) if the boat is at a
place in Australia or a Territory—to remain in control of the boat at that
place; or
(ii) if
the boat is not at a place in Australia or a
Territory—to bring the boat to such a place, or to a place at sea, specified by
the officer and to remain in control of the boat at that place;
until an officer permits the
master to depart from that place; and
(l) require the master of a boat who,
because of a requirement under paragraph (k) or a previous requirement
under this paragraph, is in control of the boat at a place to take the boat to
another place in Australia or in a Territory, or to a place at sea, specified
by the officer and to remain in control of the boat at that place until an
officer permits the master to depart from that place; and
(m) bring a boat that the officer has
reasonable grounds to believe has been used, is being used or is intended to be
used in contravention of this Act to a place in Australia or in a Territory
(whether or not the boat has previously been brought to another place or other
places) and may remain in control of that boat pending the taking and
determination of proceedings in respect of that contravention; and
(n) require the master of a boat to
produce any fishing concession or Treaty licence, or evidence of the grant of
any such concession or licence, for or in respect of the boat; and
(o) take copies of, or extracts from,
a fishing concession, Treaty licence or any other document produced in
accordance with a requirement under paragraph (n); and
(p) require the master of a boat in
relation to which a fishing concession is in force under this Act or a Treaty
boat in respect of which a Treaty licence is in force to give information
concerning the boat and its crew and any person on board the boat; and
(q) require the master of a boat to
cause to be lifted from the sea any equipment that the officer has reasonable
grounds to believe is being, or has been, used by a person on board the boat in
contravention of this Act; and
(r) require a person who is on board
a boat in relation to which a fishing concession under this Act is in force, or
a Treaty boat in respect of which a Treaty licence is in force, or who is
engaged in fishing in the AFZ, or whom he or she reasonably suspects of having
committed an offence against this Act, to state the person’s name and address;
and
(s) require a person found on any
land or premises entered under paragraph (d) or in any vehicle or aircraft
detained or searched under paragraph (e):
(i) to state the person’s
name and address; or
(ii) to produce any
documents in the person’s possession or under the person’s control relating to
any fish found on the land or in the premises, vehicle or aircraft; or
(iii) to
give information concerning any such fish; and
(t) sell or otherwise dispose of any
fish seized by him or her under this Act.
Note: Schedule 1A gives officers powers
relating to detention of suspected illegal foreign fishers.
(1AA) Subject to subsection (1AB), the powers
of an officer under paragraph (1)(e) in respect of any vehicle or aircraft
must not be exercised without either:
(a) the consent of the owner or person
in charge of the vehicle or aircraft to the exercise of those powers; or
(b) the obtaining of a warrant under
section 85 or 86 authorising the exercise of those powers.
(1AB) If:
(a) the owner or person in charge of a
vehicle or aircraft referred to in subsection (1AA) refuses to consent to
the exercise by an officer of powers under paragraph (1)(e); and
(b) an officer seeking to exercise
those powers believes, on reasonable grounds:
(i) that there is in the
vehicle or aircraft anything that may afford evidence of an offence against
this Act; and
(ii) that the delay that
would occur if an application for a warrant were made (either in person or
under section 86) would frustrate the effective execution of the warrant;
those powers may be exercised without a warrant but, if
that is done, the officer must:
(c) if it is practicable to do so,
notify the owner or person in charge of a vehicle or aircraft that the officer
will be exercising powers under paragraph (1)(e) without a warrant and
that the reasons for the exercise of those powers may be requested; and
(d) as soon as reasonably practicable,
record the reasons for the exercise of those powers without a warrant; and
(e) upon request by the owner or
person in charge of the vehicle or aircraft—provide the record of those reasons
to the person affected by the exercise of those powers.
(1A) If an officer takes any action under subparagraph (1)(g)(i)
or (ii), the officer must, within 7 days after the action is taken, give
written notice of the grounds for the taking of the action to the person
believed by the officer:
(a) if the action is taken in relation
to any fish—to have taken, processed, carried or landed the fish, as the case
may be; or
(b) if the action is taken in relation
to any boat—to be the owner of the boat; or
(c) if the action is taken in relation
to any net, trap or other equipment—to have used, to be using or to be
intending to use the net, trap or other equipment, as the case may be.
Note: Subdivision C of Division 6 deals with
notice of seizure of things under paragraph 84(1)(ga), (gb), (gc) or (gd).
(1B) To avoid
doubt, the validity of the seizure of a boat by an officer under paragraph (1)(g)
is not affected merely because:
(a) the boat is brought or taken under
escort to a place; and
(b) the boat had to travel on the high
seas to reach the place.
(1BA) If there is a restraint on the liberty of a
person on a boat resulting from an officer’s exercise of a power under paragraph (1)(g),
(k), (l) or (m) (applying of its own force or because of another provision of
this Act) in relation to a boat:
(a) the restraint is not unlawful; and
(b) civil or criminal proceedings in
respect of the restraint may not be instituted or continued in any court
against:
(i) the officer; or
(ii) any person assisting
the officer in the exercise of the power; or
(iii) AFMA; or
(iv) the Commonwealth.
This subsection is not intended to affect the jurisdiction
of the High Court under section 75 of the Constitution.
(1C) To avoid doubt, paragraphs (1)(k) and
(l) allow an officer to require the master of a boat to bring or take the boat
to a specified place and remain in control of the boat there even if it is
necessary for the boat to travel on the high seas to reach the place.
(1D) To avoid doubt, paragraph (1)(m)
allows an officer to bring a boat to a place and remain in control of it there
even if it is necessary for the boat to travel on the high seas to reach the
place.
(2) Subject to subsection (3), a Pacific
Island party officer may, for a relevant Treaty purpose, exercise any of the
powers described in paragraphs (1)(a), (c), (g), (k), (l), (n), (o), (p),
(q) and (r) and, where a Pacific Island party officer exercises such a power,
he or she is taken, for the purposes of this Act, to have exercised the power
as an officer.
(3) Subsections (4) and (6) apply in
relation to the exercise of powers under this section by Pacific Island party officers as if:
(a) references in those subsections to
an officer were references to a Pacific Island party officer; and
(b) references in those subsections to
an officer’s identity card were references to a document:
(i) issued to a person by
a Pacific Island party; and
(ii) identifying the person
as a Pacific Island party officer authorised to perform the functions and
duties of an observer on a Treaty boat.
(4) Where an officer (other than a member of
the Defence Force who is in uniform) boards a boat, the officer must:
(a) in the case of a prescribed
person—produce, for inspection by the master of the boat, written evidence of
the fact that the officer is a prescribed person; or
(b) in
any other case—produce, for inspection by the master of the boat, the officer’s
identity card;
and, if the officer fails to do so, the officer is not
authorised to remain on board the boat.
(5) Where an officer (other than a member of
the Defence Force who is in uniform) proposes to enter and search, or to
detain, a vehicle or aircraft, the officer must, if there is a person in charge
of the vehicle or aircraft:
(a) where the officer is a prescribed
person—produce, for inspection by the person in charge of the vehicle or
aircraft, written evidence of the fact that the officer is a prescribed person;
or
(b) in
any other case—produce, for inspection by the person in charge of the vehicle
or aircraft, the officer’s identity card;
and, if the officer fails to do so, the officer is not
authorised to enter and search, or to detain, the vehicle or aircraft.
(6) Where an officer (other than a member of
the Defence Force who is in uniform) makes a requirement of a person (in this
subsection called the relevant person) under subsection (1)
the officer must make all reasonable efforts to identify himself or herself and
must, unless subsection (6A) applies:
(a) in the case of a prescribed
person—produce, for inspection by the relevant person, written evidence of the
fact that the officer is a prescribed person; or
(b) in
any other case—produce, for inspection by the relevant person, the officer’s
identity card;
and, if the officer fails to do so, the relevant person is
not obliged to comply with the requirement.
(6A) If the requirement under subsection (1)
is made in such circumstances that it is impossible to produce the written
evidence referred to in paragraph (6)(a) or the identity card referred to
in paragraph (6)(b), as the case requires, at the time of making the
requirement, that evidence or identity card must be produced for inspection by
the relevant person at the first available opportunity after the making of the
requirement.
(7) A reference in this section to an offence
against, or a contravention of, this Act or a particular provision of this Act
includes a reference to an offence against, or a contravention of:
(a) section 6 of the Crimes
Act 1914; or
(b) section 11.1, 11.4 or 11.5 of
the Criminal Code;
that relates to this Act or that provision.
(8) In this section:
examine includes count, measure, weigh, grade
or gauge.
prescribed person means a member or special
member of the Australian Federal Police or a member of the police force of a
State or Territory or an officer of Customs (as defined in the Customs Act
1901).
this Act includes the regulations.
84AA
Searches under paragraph 84(1)(aaa)
(1) A search under paragraph 84(1)(aaa) of a
person (the subject) may only be conducted by an officer of the
same sex as the subject.
(2) However, if an officer of the same sex as
the subject is not available to conduct the search, it may be conducted by
another person who:
(a) is of the same sex as the subject;
and
(b) agrees, at the request of an
officer, to conduct the search.
(3) Paragraph 84(1)(aaa) and this section do
not authorise the officer or other person:
(a) to remove any of the subject’s
clothing; or
(b) to require the subject to remove
any of his or her clothing; or
(c) to use more force, or subject the
subject to greater indignity, than is reasonably necessary to conduct the
search.
(4) If, in conducting a search, an officer
finds a weapon, or a thing mentioned in subparagraph 84(1)(aaa)(iv) or (v), an
officer may:
(a) take possession of the weapon or
thing; and
(b) keep the weapon or thing for such
time as he or she thinks necessary for the purposes of this Act.
(5) If, in conducting a search, the other
person finds a weapon or thing mentioned in subsection (4):
(a) he or she must take possession of
it and give it to an officer; and
(b) an officer may keep it for such
time as he or she thinks necessary for the purposes of this Act.
(6) If:
(a) under subsection (4) or (5)
an officer is keeping a weapon, or a thing mentioned in subparagraph
84(1)(aaa)(iv), found in a search of the subject; and
(b) the subject is detained under this
Act;
the officer may continue to keep the weapon or thing for
such time as he or she thinks necessary for the purposes of this Act or the Migration
Act 1958.
Note: Once the subject ceases to be detained under
this Act, the subject will generally need to be detained under the Migration
Act 1958 while he or she is in the migration zone (because his or her
enforcement visa under that Act will cease to have effect). Subsection (6)
ensures the officer can keep the weapon or thing while the subject is detained
under this Act or that Act.
84B
Cooperative Enforcement Agreement
Purpose
(1) The purpose of this section is to
implement the Agreement on Cooperative Enforcement of Fisheries Laws between
the Government of Australia and the Government of the French Republic in the
Maritime Areas Adjacent to the French Southern and Antarctic Territories, Heard
Island and the McDonald Islands that was done at Paris on 8 January 2007
(the Cooperative Enforcement Agreement).
Note 1: In 2010, the text of the Agreement was
accessible through the Australian Treaties Library on the AustLII website
(www.austlii.edu.au).
Note 2: The Agreement should be read together with the Treaty
between the Government of Australia and the Government of the French Republic
on cooperation in the Maritime Areas Adjacent to the French Southern and
Antarctic Territories (TAAF), Heard Island and the McDonald Islands, that was
done at Canberra on 24 November 2003. The text of the Treaty is set out in
Australian Treaty Series 2005 No. 6 ([2005] ATS 6). In 2010, the text of a
treaty in the Australian Treaty Series was accessible through the Australian
Treaties Library on the AustLII website (www.austlii.edu.au).
International officers
(2) An international officer may, for the
purposes of conducting cooperative enforcement, exercise any of the powers of
an officer in this Division. In doing so, the international officer is taken
for the purposes of this Act to have exercised the power as an officer.
(3) The regulations may prescribe conditions
for the exercise of a power by an international officer.
(4) Subsections 84(4) and (6) apply in
relation to the exercise of a power by an international officer as if
references in those subsections to the officer’s identity card were references
to a document:
(a) issued by an officer; and
(b) identifying the international
officer as an international officer authorised to conduct cooperative
enforcement.
(5) An international officer is not liable to
any civil or criminal proceedings in respect of anything done or omitted to be
done in good faith in the exercise or purported exercise of a power conferred
on an international officer by subsection (3).
Officers
(6) An officer may, for the purposes of conducting
cooperative enforcement, exercise any powers conferred by the Government of the
French Republic on officers in order to give effect to the Cooperative
Enforcement Agreement.
(7) An officer is not liable to any civil or
criminal proceedings in respect of anything done or omitted to be done in good
faith in the exercise or purported exercise of a power referred to in
subsection (6).
Definitions
(8) In this Act:
cooperative enforcement means cooperative
enforcement, as defined in the Cooperative Enforcement Agreement, that is
conducted in accordance with that Agreement.
international officer means a person who is
authorised to conduct cooperative enforcement by a competent authority of the
Government of the French Republic.
84C
Customs officers may carry arms in exercise of powers under this Act
(1) Subject to any directions from the Chief
Executive Officer of Customs (CEO), the commander of a Customs
vessel:
(a) may issue approved firearms and
other approved items of personal defence equipment to officers of Customs under
his or her command for the purpose of enabling the safe exercise, by such
officers, of powers conferred on them as officers within the meaning of section 4;
and
(b) must take all reasonable steps to
ensure that approved firearms, and other approved items of personal defence
equipment, that are available for issue under paragraph (1)(a), are kept
in secure storage at all times when not required for use.
(2) Directions given by the CEO for the
purposes of subsection 189A(2) of the Customs Act 1901 relating to the
deployment of approved firearms and other approved items of personal defence
equipment may extend to the deployment of such firearms and other items of
equipment under this section.
(3) If:
(a) approved firearms and other
approved items of personal defence equipment are issued to officers of Customs
in accordance with subsection 189A(1) of the Customs Act 1901; and
(b) those officers are subsequently
required, while carrying such firearms or other items of equipment, to exercise
powers conferred on them under this Act;
then:
(c) the deployment of such firearms or
other items of equipment has effect as if the firearms or other items of
equipment had been issued under this section; and
(d) any directions given by the CEO that
relate to any aspect of that deployment have effect accordingly.
(4) An officer
of Customs is not required under, or by reason of, a law of a State or
Territory:
(a) to obtain a licence or permission
for the possession or use of an approved firearm or approved item of personal
defence equipment in the circumstances set out in this section; or
(b) to register such a firearm or
other item of equipment.
(5) In this section:
approved firearm means a firearm that is an
approved firearm for the purposes of section 189A of the Customs Act
1901.
approved item of personal defence equipment
means an item that is an approved item of personal defence equipment for the
purposes of section 189A of the Customs Act 1901.
Customs vessel means a Commonwealth ship (within
the meaning of the Customs Act 1901) that is under the command of an
officer of Customs (including an officer of Customs exercising powers as an
officer within the meaning of this Act) and flying a Customs flag within the
meaning of section 14 of the Customs Act 1901.
85
When search warrants can be issued
(1) A magistrate may, upon application by an
officer, issue a warrant to search premises if the magistrate is satisfied by
information on oath that there are reasonable grounds for suspecting that there
is, or there will be within the next 72 hours, any evidential material at the
premises.
(2) If the person applying for the warrant
suspects that, in executing the warrant, it will be necessary to use firearms,
the person must state the suspicion, and the grounds for the suspicion, in the
information.
(3) If a magistrate issues a warrant, the
magistrate is to set out in the warrant:
(a) the offence to which the warrant
relates; and
(b) a description of the premises to
which the warrant relates; and
(c) the kinds of evidential material
that are to be searched for under the warrant; and
(d) the name of the officer who,
unless he or she inserts the name of another officer in the warrant, is to be
responsible for executing the warrant; and
(e) the period for which the warrant
remains in force, which must not be more than 7 days; and
(f) whether the warrant may be
executed at any time or only during particular hours.
(4) The magistrate is also to state that the
warrant authorises the seizure of a thing (other than evidential material of
the kind referred to in paragraph (3)(c)) found at the premises in the
course of the search that the executing officer or a person helping believes on
reasonable grounds to be:
(a) evidential material in relation to
an offence to which the warrant relates; or
(b) a thing relevant to another
offence against this Act or the regulations that is an indictable offence;
if the executing officer or a person helping believes on
reasonable grounds that seizure of the thing is necessary to prevent its
concealment, loss or destruction or its use in committing an offence against
this Act or the regulations.
(5) Paragraph (3)(e) does not prevent
the issue of successive warrants in relation to the same premises.
(6) If the
application for the warrant is made under section 86, this section applies
as if:
(a) subsection (1) referred to 48
hours rather than 72 hours; and
(b) paragraph (3)(e) referred to
48 hours rather than 7 days.
(7) A magistrate in New South Wales or the Australian Capital Territory may issue a warrant in relation to premises in the Jervis Bay Territory.
(8) A magistrate in a State or internal
Territory may:
(a) issue a warrant in relation to
premises in that State or Territory; or
(b) issue a warrant in relation to
premises in an external Territory; or
(c) issue
a warrant in relation to premises in another State or internal Territory
(including the Jervis Bay Territory) if he or she is satisfied that there are
special circumstances that make the issue of the warrant appropriate.
85A
The things that are authorised by a search warrant
(1) A warrant authorises the executing
officer or a person helping:
(a) to enter the warrant premises and,
if the premises are a conveyance, to enter the conveyance, wherever it is; and
(b) to search for and record
fingerprints found at the premises and to take samples of things found at the
premises for forensic purposes; and
(c) to search the premises for the
kinds of evidential material specified in the warrant, and to seize things of
that kind found at the premises; and
(d) to seize other things found at the
premises in the course of the search that the executing officer or a person
helping believes on reasonable grounds to be:
(i) evidential material in
relation to an offence to which the warrant relates; or
(ii) evidential material in
relation to another offence against this Act or the regulations that is an
indictable offence;
if the executing officer or a
person helping believes on reasonable grounds that seizure of the things is
necessary to prevent their concealment, loss or destruction or their use in
committing an offence against this Act or the regulations.
(2) If the warrant states that it may be
executed only during particular hours, the warrant must not be executed outside
those hours.
(3) If things are seized under a warrant, the
warrant authorises the executing officer to make the things available to
officers of other agencies if it is necessary to do so for the purpose of
investigating or prosecuting an offence to which the things relate.
85B
Availability of assistance and use of force in executing a warrant
In
executing a warrant:
(a) the executing officer may obtain
such help; and
(b) the executing officer, or a person
who is an officer and is helping in executing the warrant may use such force
against persons and things; and
(c) a person who is not an officer and
has been authorised to help in executing the warrant may use such force against
things;
as is necessary and reasonable in the circumstances.
85C
Copy of warrant to be given to occupier etc.
(1) If a warrant is being executed and the
occupier of the premises or another person who apparently represents the
occupier is present at the premises, the executing officer or a person helping
must make available to that person a copy of the warrant.
(2) The executing officer must produce his or
her identity card to the person at the premises.
(3) The copy of the warrant referred to in subsection (1)
need not include the signature of the magistrate or the seal of the relevant
court.
85D
Specific powers available to officer executing warrant
(1) In executing a warrant, the executing
officer or a person helping may:
(a) for a purpose incidental to the
execution of the warrant; or
(b) if the occupier of the premises
consents in writing;
take photographs (including video recordings) of the
premises or of things at the premises.
(2) If a warrant is being executed, the
executing officer or a person helping may, if the warrant is still in force,
complete the execution of the warrant after the officer and all persons helping
temporarily cease its execution and leave the premises:
(a) for not more than one hour; or
(b) for a longer period if the
occupier of the premises consents in writing.
(3) If:
(a) the execution of a warrant is
stopped by an order of a court; and
(b) the order is later revoked or
reversed on appeal; and
(c) the warrant is still in force;
the execution of the warrant may be completed.
85E
Use of equipment to examine or process things
(1) The executing officer or a person helping
may bring to the warrant premises any equipment reasonably necessary for the
examination or processing of things found at the premises in order to determine
whether they are things that may be seized under the warrant.
(2) If:
(a) it is not practicable to examine
or process the things at the warrant premises; or
(b) the occupier of the premises
consents in writing;
the things may be moved to another place so that the
examination or processing can be carried out in order to determine whether they
are things that may be seized under the warrant.
(3) If things are moved to another place for
the purpose of examination or processing under subsection (2), the
executing officer must, if it is practicable to do so:
(a) inform the occupier of the address
of the place, and the time, at which the examination or processing will be
carried out; and
(b) allow the occupier or his or her
representative to be present during the examination or processing.
(4) The executing officer or a person helping
may operate equipment already at the warrant premises to carry out the
examination or processing of a thing found at the premises in order to
determine whether it is a thing that may be seized under the warrant if the
executing officer or person believes on reasonable grounds that:
(a) the equipment is suitable for the
examination or processing; and
(b) the examination or processing can
be carried out without damage to the equipment or the thing.
85F
Use of electronic equipment at premises
(1) The executing officer or a person helping
may operate electronic equipment at the premises to see whether evidential
material is accessible by doing so if he or she believes on reasonable grounds
that the operation of the equipment can be carried out without damage to the
equipment.
(2) If the executing officer or a person
helping, after operating the equipment, finds that evidential material is
accessible by doing so, he or she may:
(a) seize the equipment and any disk,
tape or other associated device; or
(b) if
the material can, by using facilities at the premises, be put in documentary
form—operate the facilities to put the material in that form and seize the
documentation so produced; or
(c) if the material can be transferred
to a disk, tape or other storage device that:
(i) is brought to the
premises; or
(ii) is at the premises and
the use of which for the purpose has been agreed to in writing by the occupier
of the premises;
operate the equipment or other
facilities to copy the material to the storage device and take the storage
device from the premises.
(3) A person may seize equipment under paragraph (2)(a)
only if:
(a) it is not practicable to put the
material in documentary form as mentioned in paragraph (2)(b) or to copy
the material as mentioned in paragraph (2)(c); or
(b) possession by the occupier of the
equipment could constitute an offence against this Act or the regulations.
(4) If the executing officer or a person
helping believes on reasonable grounds that:
(a) evidential material may be
accessible by operating electronic equipment at the premises; and
(b) expert assistance is required to
operate the equipment; and
(c) if he or she does not take action
under this subsection, the material may be destroyed, altered or otherwise
interfered with;
he or she may do whatever is necessary to secure the
equipment, whether by locking it up, placing a guard or otherwise.
(5) The executing officer or a person helping
must give notice to the occupier of the premises of his or her intention to
secure equipment and of the fact that the equipment may be secured for up to 24
hours.
(6) The equipment may be secured until:
(a) the end of a period of not more
than 24 hours; or
(b) the equipment has been operated by
the expert;
whichever happens first.
(7) If the executing officer or a person
helping believes on reasonable grounds that the expert assistance will not be
available within 24 hours, he or she may apply to the magistrate for an
extension of that period.
(8) The executing officer or a person helping
must give notice to the occupier of the premises of his or her intention to
apply for an extension, and the occupier is entitled to be heard in relation to
the application.
(9) The provisions of this Division relating
to the issue of warrants apply, with any modifications that are necessary, to
the issuing of an extension.
85G
Compensation for damage to electronic equipment
(1) If:
(a) damage is caused to equipment as a
result of being operated as mentioned in section 85E or 85F; and
(b) the damage was caused as a result
of:
(i) insufficient care
being exercised in selecting the person who was to operate the equipment; or
(ii) insufficient
care being exercised by the person operating the equipment;
compensation for the damage is payable to the owner of the
equipment.
(2) Compensation is payable out of money
appropriated by the Parliament for the purpose.
(3) In determining the amount of compensation
payable, regard is to be had to whether the occupier of the premises and his or
her employees and agents, if they were available at the time, had provided any
warning or guidance as to the operation of the equipment that was appropriate
in the circumstances.
85H
Copies of seized things to be provided
(1) Subject to subsection (2), if a
person seizes, under a warrant:
(a) a document, film, computer file or
other thing that can be readily copied; or
(b) a
storage device the information in which can be readily copied;
the person must, if requested to do so by the occupier of
the premises or by another person who apparently represents the occupier and is
present when the warrant is executed, give a copy of the thing or the
information to the person who made the request as soon as practicable after the
seizure.
(2) Subsection (1) does not apply if:
(a) the thing that has been seized was
seized under paragraph 85F(2)(b) or (c); or
(b) possession by the occupier of the
document, film, computer file, thing or information could constitute an
offence.
85J
Occupier entitled to be present during search
(1) If a warrant is being executed and the
occupier of the premises or another person who apparently represents the
occupier is present at the premises, the person is, subject to Part IC of
the Crimes Act 1914, entitled to observe the search being conducted.
(2) The right to observe the search being
conducted ceases if the person impedes the search.
(3) This section does not prevent 2 or more
areas of the premises being searched at the same time.
85K
Receipts for things seized under warrant
(1) If a thing is seized under a warrant or
moved under subsection 85E(2), the executing officer or a person helping must
provide a receipt for the thing.
(2) If 2 or more things are seized or moved,
they may be covered in the one receipt.
86
Warrants by telephone or other electronic means
(1) An officer may make an application to a
magistrate for a warrant by telephone, telex, facsimile or other electronic
means:
(a) in an urgent case; or
(b) if the delay that would occur if
an application were made in person would frustrate the effective execution of
the warrant.
(2) The magistrate may require communication
by voice to the extent that is practicable in the circumstances.
(3) An application under this section must
include all information required to be provided in an ordinary application for
a warrant, but the application may, if necessary, be made before the
information is sworn.
(4) If an application is made to a magistrate
under this section and the magistrate, after considering the information and
having received and considered such further information (if any) as the
magistrate required, is satisfied that:
(a) a warrant in the terms of the
application should be issued urgently; or
(b) the delay that would occur if an
application were made in person would frustrate the effective execution of the
warrant;
the magistrate may complete and sign the same form of
warrant as would be issued under section 85.
(5) If the magistrate decides to issue the
warrant, the magistrate is to tell the applicant, by telephone, facsimile or
other electronic means, of the terms of the warrant and the day on which and
the time at which it was signed.
(6) The applicant must then complete a form
of warrant in terms substantially corresponding to those given to the
magistrate, stating on the form the magistrate’s name and the day on which and
the time at which the warrant was signed.
(7) The applicant must, not later than the
day after the day of expiry of the warrant or the day after the day on which
the warrant was executed, whichever is the earlier, give or send to the
magistrate the form of warrant completed by the applicant and, if the
information referred to in subsection (3) was not sworn, that information
duly sworn.
(8) The magistrate is to attach to the
documents provided under subsection (7) the form of warrant completed by
the magistrate.
(9) If:
(a) it is material, in any
proceedings, for a court to be satisfied that the exercise of a power under a
warrant issued under this section was duly authorised; and
(b) the form of warrant signed by the
magistrate is not produced in evidence;
the court is to assume, unless the contrary is proved,
that the exercise of the power was not duly authorised.
87 Officers’
powers at place outside AFZ following pursuit
(1) An officer may exercise, with respect to
boats (including foreign boats) and persons (including foreign nationals) at a
place at sea outside the AFZ, a power conferred on the officer under section 84
if:
(a) subsection (1A), (1B) or (1C)
applies in relation to the person or boat; and
(b) the power is exercised at or
immediately after the end of the pursuit referred to in whichever of
subsection (1A), (1B) or (1C) applies.
(1AA) Subsection (1) does not apply to a place
within the territorial sea of another country, unless the other country has
given written permission for the power to be exercised in the other country’s
territorial sea (including permission given in a treaty, for example).
Person or boat pursued from within AFZ
(1A) This subsection applies in relation to a
person or a boat if one or more officers (whether or not including the officer
exercising the power under section 84):
(a) pursued the person or boat without
interruption from a place in the AFZ to the place referred to in subsection (1);
and
(b) if the power is to be exercised in
relation to a foreign boat or a person who is on such a boat—ordered, when the
boat was in the AFZ, the master of the boat to stop the boat to allow an
officer to board it.
Australian boat outside AFZ supporting foreign boat in
AFZ
(1B) This subsection applies in relation to an
Australian boat (the support boat), or a person on such a boat,
if:
(a) one or more officers (whether or
not including the officer exercising the power under section 84) have
pursued the support boat without interruption from a place outside the AFZ to
the place referred to in subsection (1); and
(b) the officer exercising the power
under section 84 has reasonable grounds to believe that:
(i) the support boat has
been used in support of, or in preparation for, the use of another boat in the
commission of an offence against section 100, 100A, 100B, 101, 101A or
101AA; and
(ii) immediately before the
pursuit began, the support boat was still being used in support of the other
boat or in preparation for the commission of such an offence by the other boat;
and
(c) the other boat was in the AFZ when
the pursuit began.
Foreign boat outside AFZ supporting foreign boat in AFZ
(1C) This subsection applies in relation to a
foreign boat (the support boat), and a person on such a boat, if:
(a) one or more officers (whether or
not including the officer exercising the power under section 84) have
pursued the support boat without interruption from a place outside the AFZ to
the place referred to in subsection (1); and
(b) the officer exercising the power
under section 84 has reasonable grounds to believe that the support boat
has been used in support of, or in preparation for, the use of another boat in
the commission of an offence against section 100, 100A, 100B, 101, 101A or
101AA; and
(c) one or more officers (whether or
not including the officer exercising the power under section 84), as soon
as practicable after the offence referred to in paragraph (b) was
committed, ordered the master of the support boat to stop the support boat to
allow an officer to board it; and
(d) the officer exercising the power
under section 84 has reasonable grounds to believe that, immediately
before the order was made, the support boat was still being used in support of
the other boat or in preparation for the commission of an offence referred to
in paragraph (b) by the other boat; and
(e) the other boat was in the AFZ when
the order referred to in paragraph (c) was made.
(2) For the purposes of subsections (1A),
(1B) and (1C), a pursuit of a person or boat is not taken to be interrupted
only because the officer or officers concerned lose sight of the person or
boat.
(3) A reference in subsection (2) to
losing sight of a person or boat includes a reference to losing output from a
radar or other sensing device.
(4) For the purposes of
subsections (1A), (1B) and (1C), a person or boat is taken to have been
pursued even if the person or boat does not seek to evade an officer.
(5) An officer may use any reasonable means
to make an order under paragraph (1A)(b) or (1C)(c).
(6) An order is still made under
paragraph (1A)(b) or (1C)(c) even if:
(a) there was no master on board the
boat to receive the order; or
(b) the master did not receive or
understand the order.
(7) Paragraph 84(1)(a) applies, for the
purposes of subsection (1), in relation to a support boat to which
subsection (1B) or (1C) applies, as if the support boat were in the AFZ.
87G
Officers’ powers: Australian‑flagged boat beyond AFZ
(1) Section 84 applies in relation to an
Australian‑flagged boat that is outside the AFZ (and the master of the boat, a
person on the boat and a thing on the boat) in the same way as that section
applies to a boat that is in the AFZ, Australia or an external Territory (and
the master of the boat, a person on the boat and a thing on the boat).
(2) This section does not limit:
(a) the extra‑territorial operation
that section 84 has apart from this section; or
(b) section 87.
87H
Officers’ powers: boat on high seas without nationality
Power to board and inspect
(1) An officer may board and inspect a boat
on the high seas that is equipped for fishing if the officer has reasonable
grounds to believe that the boat does not have a nationality.
Producing identification for master to inspect
(2) The officer must produce written
identification of the officer for the master of the boat to inspect as soon as
practicable after the officer has boarded. If the officer does not do so, he or
she must not remain on the boat.
Searching persons for weapons
(2A) An officer who has boarded the boat may
search without warrant a person on the boat and the person’s clothing to find
out whether there is hidden on the person or in the clothing a weapon or a
thing capable of being used to inflict bodily injury on another person.
(2B) Section 84AA:
(a) applies in relation to the search,
and weapons and other things found in the search, in the same way as that
section applies in relation to a search under paragraph 84(1)(aaa) and weapons and
things found in a search under that paragraph; and
(b) applies in relation to subsection (2A)
of this section in the same way as it applies in relation to paragraph
84(1)(aaa).
Giving report of exercise of powers
(3) After one or more officers have finished
inspecting the boat, an officer must give the master of the boat a report of
the inspection during the period while one or more officers were on the boat.
Report to note master’s statements
(4) The report must include a note of any
objection or statement the master of the boat asked an officer to include in
the report.
Minimising duplication
(5) This section does not require:
(a) more than one report to be given
in relation to the period for which one or more officers are on the boat (even
if the same officer is not on the boat throughout the period); or
(b) a report to be given to the master
if another provision of this Act or the regulations requires a report to be
given to the master.
87HA
Officers’ powers under international agreements and arrangements
Foreign boats in Australia or Australian waters after
contraventions on the high seas
(1) An officer may exercise powers under
section 84 in relation to a foreign boat (and the master of the boat, a
person on the boat and a thing on the boat) in the AFZ, Australia or an
external Territory if:
(a) the officer has reasonable grounds
to believe that the boat is on a fishing trip; and
(b) the officer has reasonable grounds
to believe that, during the fishing trip, the boat was used on the high seas in
contravention of a measure established by an international fisheries management
organisation; and
(c) the exercise of the powers in
relation to the boat has been authorised by the appropriate authority of the
country of nationality of the boat.
Foreign boats on the high seas
(2) An officer may exercise powers under
section 84 in relation to a foreign boat (and the master of the boat, a
person on the boat and a thing on the boat) on the high seas if:
(a) the officer has reasonable grounds
to believe the boat has been used, is being used, or is intended to be used,
for fishing; and
(b) the exercise of the powers in
relation to the boat has been authorised by the appropriate authority of the
country of nationality of the boat.
Foreign boats in foreign countries or foreign waters
(3) An officer may exercise powers under
section 84 in relation to a foreign boat (and the master of the boat, a
person on the boat and a thing on the boat) at a place in a foreign country or
in the exclusive economic zone, territorial sea, archipelagic waters (as
defined in the United Nations Convention on the Law of the Sea) or internal
waters of a foreign country if:
(a) the boat was brought or taken to
the place:
(i) as a result of a
requirement made by an officer under paragraph 84(1)(k) or (l) in the exercise
of powers under subsection (1) or (2); or
(ii) by an officer under
paragraph 84(1)(m) in the exercise of powers under subsection (1) or (2);
and
(b) the exercise of the powers in
relation to the boat has been authorised by:
(i) the appropriate
authority of the country of nationality of the boat; and
(ii) if the boat is at a
place in a foreign country or in the territorial sea, archipelagic waters (as
defined in the United Nations Convention on the Law of the Sea) or internal
waters of a foreign country—the appropriate authority of that country.
Applying section 84
(4) For the purposes of subsections (1)
to (3), section 84 applies:
(a) as if:
(i) a reference to the AFZ
included a reference to the high seas; and
(ii) a reference to
Australia or an external Territory included a reference to a foreign country,
including the exclusive economic zone, territorial sea, archipelagic waters (as
defined in the United Nations Convention on the Law of the Sea) or internal waters
of that country; and
(iii) a reference to a
fishing concession, or a fishing concession under this Act, included a
reference to an authorisation to fish (however described) issued by a foreign
country or an international fisheries management organisation; and
(iv) a reference to an
offence against subsection 95(2) included a reference to an offence against
section 105E, 105EA, 105F, 105FA, 105H or 105I; and
(b) as affected by:
(i) other provisions of
this Act; or
(ii) regulations made for
the purposes of section 84 or any other provision of this Act.
Regulations may prescribe procedural requirements
(5) In exercising powers under
subsections (1) to (3), an officer must follow the procedures (if any)
prescribed by the regulations.
(6) The regulations may prescribe different
procedures for the exercise of powers in relation to:
(a) boats of different nationalities;
or
(b) boats covered by:
(i) different
international fisheries management organisations; or
(ii) different
international fisheries management measures; or
(c) boats covered by the Fish Stocks
Agreement.
Extra‑territorial operation of Act
(7) This section does not limit:
(a) the extra‑territorial operation
that section 84 has apart from this section; or
(b) section 87.
87J
Use of force to exercise powers relating to boat
Force to be used only in limited circumstances
(1) An officer must not use force in the
exercise of the officer’s powers under a provision of section 84 (as it
applies of its own force or because of section 87G or 87HA) or under
section 87H, unless it is necessary to do so:
(a) to ensure the safety of an
officer; or
(b) to overcome obstruction of an
officer in the exercise of that officer’s powers.
Force used must be reasonable
(2) The force used must not be more than is
reasonably required for the relevant purpose described in paragraph (1)(a)
or (b).
88
Release of seized property
(1) Where any property is under the control
of an officer because of the exercise by an officer of powers under section 84
(as it applies of its own force or because of section 87, 87G or 87HA),
AFMA may direct that the property be released:
(a) in the case of a boat—to the owner
or the master of the boat; and
(b) in
any other case—to the owner of the property or to the person from whose
possession the property was seized, or from whose control the property was
removed;
on such conditions (if any) as AFMA thinks fit, including
conditions as to the giving of security:
(c) for payment of the value of the
property if it is forfeited; and
(d) for the payment of any fines that
may be imposed under this Act in respect of offences that AFMA has reason to
believe have been committed with the use of, or in relation to, that property;
and
(e) if the property is a foreign boat
in respect of which the Commonwealth has incurred pursuit costs in the
circumstances set out in section 106L—for the pursuit costs in respect of
that boat as notified in accordance with Subdivision CA of Division 6.
(1A) If:
(a) any property referred to in subsection (1):
(i) is also property
referred to in section 106; and
(ii) was under the control
of an officer because an offence referred to in that section is alleged to have
been committed in respect of the property; and
(b) were the person to be convicted of
the offence an order could be made by the court directing the person to pay the
costs of the prosecution;
the conditions on which the property may be released under
subsection (1) include a condition as to the giving of security for
payment of those costs if the person is convicted of the offence.
(2) For the purposes of this section:
(a) a reference to property includes a
reference to fish; and
(b) property is taken to be under the
control of an officer if any person is, in relation to that property, subject
to the directions of the officer; and
(c) a reference to pursuit costs, in
respect of a foreign boat, has the same meaning as in Subdivision CA of
Division 6.
88A
Seizure and forfeiture of foreign boats etc.
(1) The regulations may provide that some or
all of the provisions of this Act that relate to seizure and forfeiture of
property do not apply in relation to:
(a) foreign boats (including nets,
traps, equipment or fish on such boats) covered by a specified:
(i) international
fisheries management organisation; or
(ii) international
fisheries management measure; or
(b) foreign boats covered by the Fish
Stocks Agreement; or
(c) foreign boats mentioned in
paragraph (a) or (b) in specified circumstances.
(2) The regulations may prescribe procedures
to be followed in dealing with property:
(a) under the control of an officer;
and
(b) covered by regulations made under
subsection (1).
89
Identity cards
(1) The CEO must cause an identity card to be
issued to an officer appointed under section 83 and may cause such a card
to be issued to any other officer.
(2) An identity card must:
(a) contain a recent photograph of the
officer to whom it is issued; and
(b) be in the approved form.
(3) A person who stops being an officer must,
as soon as practicable, return his or her identity card to the CEO.
(4) A person who contravenes subsection (3)
is guilty of an offence punishable upon conviction by a fine not exceeding 2
penalty units.
(5) Subsection (4) does not apply if the
person has a reasonable excuse.
Note: The defendant bears an evidential burden in
relation to the matter in subsection (5). See subsection 13.3(3) of the Criminal
Code.
(6) An offence under subsection (4) is
an offence of strict liability.
Note: For strict liability, see section 6.1 of
the Criminal Code.
89A
Defensive equipment
(1) This section is about defensive
equipment.
(2) Defensive equipment is:
(a) a bulletproof vest; or
(b) an extendible baton; or
(c) handcuffs; or
(d) other equipment prescribed under
the regulations.
(3) The CEO may authorise an officer to be
issued with, carry, use and store defensive equipment if the CEO considers:
(a) it is reasonably necessary for the
officer to use the equipment in order to perform functions or exercise powers
under this Act; and
(b) the officer has received adequate
training in the effective, lawful and safe carriage, use and storage of
defensive equipment.
(4) The CEO may make the authorisation
subject to conditions.
(5) The
officer may use the defensive equipment if the officer considers it is
reasonably necessary to do so in order to perform functions or exercise powers
under this Act or the regulations, subject to:
(a) any conditions in the CEO’s
authorisation; and
(b) section 87J.
(6) A person commits an offence if:
(a) the person has been issued with
defensive equipment; and
(b) the person stops being an officer;
and
(c) the person does not, as soon as
practicable, return the defensive equipment to the CEO.
Penalty: 2 penalty units.
(7) Subsection (6) does not apply if the
person has a reasonable excuse for not returning the defensive equipment to the
CEO as soon as practicable.
Note: A defendant bears an evidential burden in
relation to the matter in subsection (7): see subsection 13.3(3) of the Criminal
Code.
(8) An offence against subsection (6) is
an offence of strict liability.
Note: For strict liability, see section 6.1 of
the Criminal Code.
90
Officer etc. not liable to certain actions
An officer or a person assisting an
officer in the exercise of powers under this Act or the regulations, is not
liable to an action, suit or proceeding for or in respect of anything done in
good faith or omitted to be done in good faith in the exercise or purported
exercise of any power conferred by this Act or the regulations.
Division 2—Fish receiver permits
91
Grant of fish receiver permits
(1) AFMA may, by notice published in the Gazette,
declare a specified fishery to be a fishery to which this Division applies.
(2) AFMA may, upon application made in the
approved form, grant to a person a fish receiver permit authorising the person
to receive fish from a person engaged in commercial fishing in a specified
fishery declared under subsection (1).
(3) An application made for the grant of a
fish receiver permit must provide AFMA with such information as it reasonably
requires for a proper consideration of the application.
(4) A fish receiver permit is granted subject
to the following conditions:
(a) if the permit relates to a managed
fishery—the permit will cease to have effect if the plan of management for the
fishery is revoked under subsection 20(3);
(b) the permit may, under subsection
75(7), cease to have effect or, under subsection 79(3), cease to apply to a
fishery;
(c) the permit may be cancelled under
Division 8 of Part 3;
(d) no compensation is payable because
the permit is cancelled, ceases to have effect or ceases to apply to a fishery.
(5) A permit under this section:
(a) is subject to such other
conditions as are specified in the permit; and
(b) may specify premises at which fish
received under the permit by the holder of the permit are to be kept while in
possession of the holder; and
(c) comes into force on the day
specified for the purpose in the permit, or if no day is so specified, on the
day on which it is granted; and
(d) subject
to this Act, remains in force until the day specified for the purpose in the
permit not being a day later than
12 months after the day on which it came into force.
(6) AFMA may, by written notice given to the
holder of the permit, whether or not at the request of the holder, vary or
revoke a condition of the permit (not being a condition mentioned in subsection (4))
or specify a condition or a further condition to which the permit is to be
subject.
(7) A permit ceases to be in force if the
holder of the permit surrenders the permit by written notice given to AFMA.
(8) A permit is to be in the approved form.
(9) Division 8 of Part 3 applies in
relation to a permit as if the permit were a fishing concession.
(10) AFMA may, upon application made by the
holder of a permit, renew the permit from time to time for a period that is not
greater than 12 months.
92
Holder of fish receiver permit to give information etc.
(1) An officer may, by written notice given
to a person who is the holder of a fish receiver permit, require the person:
(a) to give the officer, within such
reasonable time as is specified in the notice, such return or information in
relation to fish received by the person as is specified in the notice; and
(b) to verify any such return or
information by statutory declaration.
(2) The regulations may make provision:
(a) requiring holders of fish receiver
permits to make and keep accounts and other records in respect of fish received
by them; and
(b) requiring such persons to give
returns or information in relation to fish received by them, not being returns
or information mentioned in subsection (1).
93
Offences in relation to returns etc.
(1) A holder of a fish receiver permit must
not refuse or fail to give a return or information that the person is required
to give under section 92 or under regulations made for the purposes of
that section.
Penalty: Imprisonment for 6 months.
(2) Subsection (1) does not apply if the
person has a reasonable excuse.
Note: The defendant bears an evidential burden in
relation to the matter in subsection (2). See subsection 13.3(3) of the Criminal
Code.
(3) In subsection (1), strict liability
applies to the physical element of circumstance, that the requirement is under
section 92 or under regulations made for the purposes of that section.
Note: For strict liability, see section 6.1 of
the Criminal Code.
Division 3—Foreign fishing boats—port permits
94
Grant of port permits
(1) AFMA may, upon application made in the
approved form, if it appears to AFMA to be appropriate to do so for the purpose
of monitoring movements of foreign fishing boats, grant to a person a port
permit authorising the person, or a person acting on that person’s behalf to
bring a specified foreign fishing boat in respect of which a foreign fishing
licence is not in force:
(a) from a point outside the AFZ to a
specified port in Australia or in an external Territory; and
(b) from that port to a point outside
the AFZ.
(2) An application made for the grant of a
port permit must provide AFMA with such information as it reasonably requires
for a proper consideration of the application.
(3) A port permit is granted subject to the
following conditions:
(a) the permit may be revoked under subsection (5);
(b) no compensation is payable because
the permit is so revoked.
(4) A permit granted under this section:
(a) is subject to such other
conditions as are specified in the permit; and
(b) comes into force on the day
specified for the purpose in the permit or, if no day is so specified, on the
day on which it is granted; and
(c) subject to this Act, remains in
force until the day specified for the purpose in the permit; and
(d) is authority for entry to the
specified port on such number of occasions as is specified in the permit.
(5) AFMA may, by written notice given to the
holder of a permit:
(a) revoke the permit; or
(b) whether or not at the request of
the holder, vary or revoke the conditions to which the permit is subject (not
being a condition mentioned in subsection (3)) or specify a condition or a
further condition to which the permit is to be subject.
(6) A permit ceases to be in force if the
holder of the permit surrenders the permit by written notice given to AFMA.
(7) A permit is to be in the approved form.
(8) In this section:
foreign fishing boat means a foreign boat:
(a) that is equipped for fishing; or
(b) that AFMA has reasonable grounds
to believe is being used, or is intended to be used, in activities in support
of fishing by foreign boats.
Division 4—Enforcement generally
95
Offences
(1) A person must not:
(a) at a place in the AFZ, engage in
commercial fishing unless:
(i) the person is, or is
acting on behalf of, the holder of a fishing concession, or a scientific
permit, that is in force authorising commercial fishing at that place; or
(ii) if a Treaty boat is
used—a Treaty licence is in force in respect of the boat authorising commercial
fishing at that place; or
(b) in the AFZ, be in charge of a
Treaty boat that is being used for commercial fishing unless a Treaty licence
is in force in respect of the boat; or
(c) in the AFZ, have a fish in the
person’s possession or under his or her control in a boat at a time when the
taking of the fish was not authorised by a fishing concession or a scientific
permit; or
(d) being the holder of a fishing
concession, scientific permit, fish receiver permit, port permit or foreign
master fishing licence that is in force, contravene a condition of the fishing
concession, permit or licence or a provision of a temporary order; or
(e) being the holder of a fishing
concession, scientific permit, fish receiver permit or port permit that is in
force, cause or permit a person acting on his or her behalf to contravene a
condition of the fishing concession or permit or a provision of a temporary
order, as the case may be; or
(f) being a person acting on behalf
of the holder of a fishing concession, scientific permit, fish receiver permit
or port permit that is in force, contravene a condition of the fishing
concession or permit or a provision of a temporary order, as the case may be;
or
(g) keep or purport to keep a logbook,
or furnish or purport to furnish a logbook or return, relating to a matter
specified in subsection 42(1B) knowing that the logbook so kept or the logbook
or return so furnished contains a statement in respect of that matter that is
false or misleading in a material particular.
(1AA) Paragraphs (1)(d), (e) and (f) (and the
rest of this section so far as it relates to those paragraphs) apply whether
the contravention occurs inside or outside the outer limits of the AFZ.
(1A) A person does not contravene subsection (1)
because of an act or omission that the person is authorised to do, or not to
do, as the case may be:
(a) under the management plan for the
relevant fishery; or
(b) under regulations made for the
relevant fishery; or
(c) in relation to a by‑catch under
regulations made for the purposes of paragraph 14(2)(c).
(2) A person who contravenes paragraph (1)(a)
or (b) with the use of, or in relation to, a foreign boat or in relation to a
foreign fishing licence is guilty of an offence punishable on conviction by a
fine not exceeding 500 penalty units.
(3) An offence mentioned in subsection (2)
is an indictable offence but may be heard and determined, with the consent of
the prosecutor and the defendant, by a court of summary jurisdiction.
(4) If an offence mentioned in subsection (2)
is dealt with by a court of summary jurisdiction, the penalty that the court
may impose is a fine not exceeding 250 penalty units.
(5) A person who contravenes subsection (1)
in circumstances in which the person is not guilty of an offence against subsection (2)
is guilty of an offence punishable, on conviction, by a fine not exceeding 250
penalty units.
(5A) Strict liability applies to subsections (2)
and (5).
(6) It is a defence to a prosecution for an
offence arising under paragraph (1)(c) if the person charged satisfies the
court that the fish was not taken in the AFZ.
(7) A prosecution for an offence against subsection (2)
or (5) may be commenced within 2 years after the commission of the offence.
96
Removing fish from traps etc.
A person must not, in the AFZ, remove a
fish from a net, trap or other equipment for the taking of fish unless the
person is the owner of the net, trap or other equipment or is acting with the
authority of the owner.
Penalty: 125 penalty units.
97
Persons not to receive fish in certain circumstances
(1) A person
who is not the holder of a fish receiver permit that is in force must not,
otherwise than for the person’s private or domestic use, receive fish from a
person whom the first‑mentioned person knows, or has reason to suspect, to be
engaged in fishing in a fishery in relation to which a declaration under
subsection 91(1) is in force.
Penalty: 125 penalty units.
(2) Subsection (1) does not apply to a
person who receives fish as the servant or agent of the holder of a fish
receiver permit.
98
Court may make certain orders
(1) Where a court convicts a person of an
offence arising out of a contravention of paragraph 95(1)(d), (e) or (f), the
court may, in addition to imposing a penalty in respect of that offence, order
that the person must not, during such period as the court determines, be on a
boat in the AFZ with the intention of engaging in commercial fishing.
(1A) A court may
order a person (including a foreigner) not to be on any Australian‑flagged boat
outside the AFZ for the purposes of commercial fishing during a period
specified by the court if the court convicted the person of an offence:
(a) involving an Australian‑flagged
boat and a contravention of paragraph 95(1)(d), (e) or (f); or
(b) against section 105A, 105AA,
105AB, 105B or 105C (which deal with an Australian‑flagged boat beyond the AFZ);
or
(c) against section 105E, 105EA,
105F, 105FA, 105H or 105I.
(2) A person who contravenes an order made
under subsection (1) or (1A) is guilty of an offence punishable, on
conviction, imprisonment for 12 months.
(3) If:
(a) a court convicts a person of an
offence against this Act or any other Act; and
(b) the offence was committed while
the person was doing something authorised by a fishing concession held by the
person;
the court may, in addition to imposing a penalty in
respect of the offence or making any other order, make an order:
(c) cancelling the fishing concession;
or
(d) suspending the operation of the
fishing concession for a period stated in the order.
(4) A period determined under subsection (1)
or stated in an order suspending the operation of a fishing concession made
under subsection (3):
(a) may commence at the time of the
making of the determination or order, or at a later time, as specified by the
court; and
(b) may exclude any period that the
court identifies as not counting towards the period so determined or ordered.
Division 5—Foreign boats—additional enforcement provisions
99
Using foreign boat for recreational fishing—strict liability offence
(1) A person must not, in the AFZ:
(a) use a foreign boat for recreational
fishing; or
(b) use
a foreign boat for processing or carrying fish that have been taken in the
course of recreational fishing with the use of that boat or another boat.
Penalty: 250 penalty units.
(2) Strict liability applies to subsection (1).
100 Using
foreign boat for fishing in AFZ—strict liability offence
(1) A person must not, at a place in the AFZ,
use a foreign boat for commercial fishing unless:
(a) there is in force a foreign
fishing licence authorising the use of the boat at that place; or
(b) if the boat is a Treaty boat—a
Treaty licence is in force in respect of the boat authorising the use of the
boat at that place.
(2) A person who contravenes subsection (1)
is guilty of an offence punishable on conviction by a fine not exceeding 2,500
penalty units.
(2A) Strict liability applies to subsection (2).
(3) An offence against this section is an
indictable offence but may be heard and determined, with the consent of the
prosecutor and the defendant, by a court of summary jurisdiction.
(4) If an offence is dealt with by a court of
summary jurisdiction,
the penalty that the court may impose is a fine not exceeding 250 penalty
units.
100A
Offence of using foreign boat for fishing in AFZ
(1) A person is guilty of an offence if:
(a) the person intentionally uses a
boat; and
(b) the boat is a foreign boat and the
person is reckless as to that fact; and
(c) the use of the boat is for
commercial fishing and the person is reckless as to that fact; and
(d) the boat is at a place in the AFZ
at the time of the use and the person is reckless as to that fact.
(2) The offence is punishable on conviction:
(a) if the boat involved in the
offence has a length of, or exceeding, 24 metres—by a fine of not more than
7,500 penalty units; and
(b) if the boat involved in the
offence has a length of less than 24 metres—by a fine of not more than 5,000
penalty units.
(2A) For the purposes of subsection (2),
the length of a boat is the overall length of the boat determined in accordance
with section 10 of the Shipping Registration Act 1981.
(3) The offence is an indictable offence.
(4) Subsection (1) does not apply if:
(a) a foreign fishing licence is in
force authorising the use of the boat at the place; or
(b) the boat is a Treaty boat and a
Treaty licence is in force in respect of the boat authorising the use of the
boat at the place.
Note: The defendant bears an evidential burden in
relation to the matters in subsection (4). See subsection 13.3(3) of the Criminal
Code.
100B
Using foreign boat for fishing in territorial sea within AFZ
(1) A person commits an offence if:
(a) the person intentionally uses a
boat; and
(b) the boat is a foreign boat and the
person is reckless as to that fact; and
(c) the use of the boat is for
commercial fishing and the person is reckless as to that fact; and
(d) the boat is at a place that is, at
the time of the use, in a part of the territorial sea of Australia that is in the AFZ.
Penalty:
(a) if the boat involved in the
offence has a length of, or exceeding, 24 metres—7,500 penalty units or 3 years
imprisonment, or both; or
(b) if the boat involved in the
offence has a length of less than 24 metres—5,000 penalty units or 2 years
imprisonment, or both.
(1A) Strict liability applies to
paragraph (1)(d).
Note: For strict liability, see
section 6.1 of the Criminal Code.
(2) The reference to the AFZ in paragraph (1)(d)
does not include a reference to coastal waters taken to be in the AFZ because
of section 76.
(3) For the purposes of the penalty at the
end of subsection (1), the length of a boat is the overall length of the
boat determined in accordance with section 10 of the Shipping
Registration Act 1981.
(4) Subsection (1) does not apply if:
(a) a foreign fishing licence is in
force authorising the use of the boat at the place; or
(b) the boat is a Treaty boat and a
Treaty licence is in force in respect of the boat authorising the use of the
boat at the place.
Note: The defendant bears an evidential burden in
relation to the matters in subsection (4). See subsection 13.3(3) of the Criminal
Code.
101
Having foreign boat equipped for fishing—strict liability offence
(1) A person must not, at a place in the AFZ,
have in his or her possession or in his or her charge a foreign boat equipped
for fishing unless:
(a) the use, or presence, of the boat
at that place is authorised by a foreign fishing licence, or a port permit; or
(b) a Treaty licence is in force in
respect of the boat; or
(c) the boat’s fishing equipment is
stowed and the boat is at that location in accordance with the approval of AFMA
given under, and in accordance with, the regulations; or
(d) the boat’s fishing equipment is
stowed and the boat is travelling, by the shortest practicable route, through
the AFZ from a point beyond the outer limits of the AFZ to another such point;
or
(e) the use of the boat for scientific
research purposes in that area is authorised under a scientific permit.
(1A) For the purposes of paragraphs (1)(c)
and (d), a boat’s fishing equipment is not stowed unless all of the boat’s:
(a) nets, traps and other fishing
equipment; and
(b) associated equipment, including
buoys and beacons;
are disengaged and secured, and where practicable stored
inside the boat, in such a manner as not to be readily available for fishing.
(2) A person who contravenes subsection (1)
is guilty of an offence punishable on conviction by a fine not exceeding 2,500
penalty units.
(2A) Strict liability applies to subsection (2).
(3) An offence against this section is an
indictable offence but may be heard and determined, with the consent of the
prosecutor and the defendant, by a court of summary jurisdiction.
(4) If an offence is dealt with by a court of
summary jurisdiction, the penalty that the court may impose is a fine not
exceeding 250 penalty units.
101A
Offence of having foreign boat equipped for fishing
(1) A person is guilty of an offence if:
(a) the person intentionally has in
his or her possession or charge a boat; and
(b) the boat is a foreign boat and the
person is reckless as to that fact; and
(c) the boat is equipped for fishing
and the person is reckless as to that fact; and
(d) the boat is at a place in the AFZ
and the person is reckless as to that fact.
(2) The offence is punishable on conviction
by a fine not more than 5,000 penalty units.
(3) The offence is an indictable offence.
(4) Subsection (1) does not apply if:
(a) the use or presence of the boat at
the place is authorised by a foreign fishing licence or port permit; or
(b) a Treaty licence is in force in
respect of the boat; or
(c) the boat’s fishing equipment is
stowed and the boat is at the place in accordance with the approval of AFMA
given under, and in accordance with, the regulations made for the purposes of
paragraph 101(1)(c); or
(d) the boat’s fishing equipment is
stowed and the boat is travelling, by the shortest practicable route, through
the AFZ from a point beyond the outer limits of the AFZ to another such point;
or
(e) the use of the boat for scientific
research purposes in the place is authorised under a scientific permit.
Note: The defendant bears an evidential burden in
relation to the matters in subsection (4). See subsection 13.3(3) of the Criminal
Code.
(5) For the purposes of
paragraphs (4)(c) and (d), a boat’s fishing equipment is not stowed unless
all of the boat’s:
(a) nets, traps and other fishing
equipment; and
(b) associated equipment, including
buoys and beacons;
are disengaged and secured, and where practicable stored
inside the boat, in such a manner as not to be readily available for fishing.
101AA
Having foreign boat equipped for fishing in territorial sea within AFZ
(1) A person commits an offence if:
(a) the person intentionally has in
his or her possession or charge a boat; and
(b) the boat is a foreign boat and the
person is reckless as to that fact; and
(c) the boat is equipped for fishing
and the person is reckless as to that fact; and
(d) the boat is at a place that is in
a part of the territorial sea of Australia that is in the AFZ.
Penalty: 5,000 penalty units or 2 years imprisonment, or
both.
(1A) Strict liability applies to
paragraph (1)(d).
Note: For strict liability, see
section 6.1 of the Criminal Code.
(2) Subsection (1) does not apply if:
(a) the use or presence of the boat at
the place is authorised by a foreign fishing licence or port permit; or
(b) a Treaty licence is in force in
respect of the boat; or
(c) the boat’s fishing equipment is
stowed and the boat is at the place in accordance with the approval of AFMA
given under, and in accordance with, the regulations made for the purposes of
paragraph 101(1)(c); or
(d) the boat’s fishing equipment is
stowed and the boat is travelling, by the shortest practicable route, through
the AFZ from a point beyond the outer limits of the AFZ to another such point;
or
(e) the use of the boat for scientific
research purposes in the place is authorised under a scientific permit.
Note: The defendant bears an evidential burden in
relation to the matters in subsection (2). See subsection 13.3(3) of the Criminal
Code.
(2A) For the purposes of paragraphs (2)(c)
and (d), a boat’s fishing equipment is not stowed unless all of the boat’s:
(a) nets, traps and other fishing
equipment; and
(b) associated equipment, including
buoys and beacons;
are disengaged and secured, and where practicable stored
inside the boat, in such a manner as not to be readily available for fishing.
(3) A reference to the AFZ in this section
does not include a reference to coastal waters taken to be in the AFZ because
of section 76.
101B
Using boat outside AFZ to support illegal foreign fishing in AFZ
(1) A person
(the supporter) is guilty of an offence if:
(a) the supporter intentionally uses a
boat (the support boat); and
(b) the support boat is outside the
AFZ but not in the territorial sea of a foreign country, and the supporter is
reckless as to that fact; and
(c) the
use of the support boat is directly in support of, or in preparation for:
(i) the use of a foreign
boat (other than the support boat) by a person in the AFZ in contravention of
section 100 or 100A; or
(ii) a person having
possession or charge of a foreign boat (other than the support boat) in the AFZ
in contravention of section 101 or 101A;
and the supporter is reckless as
to that fact.
(2) The offence is punishable on conviction by
a fine not more than 5,000 penalty units.
(6) This section applies to all persons
(including foreigners) and all boats (including foreign boats).
102
Certain foreign boats not to enter Australian ports
(1) A person, being the master of a foreign
fishing boat who, otherwise than in accordance with:
(a) a foreign fishing licence or a
port permit; or
(b) the provisions of a prescribed
agreement between the Commonwealth and another country; or
(c) the
direction of an officer exercising powers under section 84 (as it applies
of its own force or because of section 87, 87G or 87HA) or a person
exercising powers under another law of the Commonwealth or a law of a State or
Territory;
brings the boat into a port in Australia or in an external
Territory is guilty of an offence punishable on conviction by a fine not
exceeding 500 penalty units.
(2) Where:
(a) a foreign fishing boat is brought
into a port in Australia or in an external Territory under a port permit; and
(b) the permit is subject to a
condition limiting the period during which the boat may remain in that port;
and
(c) the
boat remains in the port in contravention of that condition;
then, except where the master of the foreign fishing boat
ought in the circumstances to be excused, the master is guilty of an offence
punishable on conviction by a fine not exceeding 500 penalty units.
(3) It is a defence to a prosecution for an
offence against subsection (1) if the person charged satisfies the court
that:
(a) the boat was brought into the port
at a time when the boat was engaged in operations that included the carrying of
cargo, in the ordinary course of trade, between Australia and a foreign
country, between Australia and an external Territory or between an external
Territory and a country other than Australia; or
(b) the boat was being lawfully
imported into Australia or the external Territory, as the case may be, by or on
behalf of a person who was, or by or on behalf of persons each of whom was, at
the time when the boat was brought into the port:
(i) a resident of Australia or of an external Territory; or
(ii) a company incorporated
in Australia or in an external Territory; or
(c) an unforeseen emergency rendered
it necessary to bring the boat into a port in Australia or in an external Territory
in order to secure the safety of human life or of the boat.
(4) An offence against this section is an
indictable offence but may be heard and determined, with the consent of the
prosecutor and the defendant, by a court of summary jurisdiction.
(5) If an offence is dealt with by a court of
summary jurisdiction, the penalty that the court may impose is a fine not
exceeding 250 penalty units.
(5A) An offence under this section is an offence
of strict liability.
Note: For strict liability, see section 6.1 of
the Criminal Code.
(6) In this section:
foreign fishing boat means a foreign boat:
(a) that is equipped for fishing; or
(b) that AFMA has reasonable grounds
to believe is being used, or is intended to be used, in activities in support
of fishing by foreign boats.
103
Foreign boats not to land fish in Australia
(1) A person is guilty of an offence if:
(a) the person is the master of a
foreign boat; and
(b) the person intentionally lands or
tranships (or causes to be landed or transhipped) fish from the boat at a
place; and
(c) the place is in Australia or an external Territory and the person is reckless as to that fact.
(1A) The offence is punishable on conviction by
a fine not more than 500 penalty units.
(1B) Subsection (1) does not apply if:
(a) the fish were landed or
transhipped in accordance with:
(i) the terms of a foreign
fishing licence; or
(ii) an entry under
paragraph 21(2)(b) of the Torres Strait Fisheries Act 1984; or
(iii) the terms of an
approval given by the Minister; or
(b) the person has a reasonable excuse
for causing the fish to be landed or transhipped.
Note: The defendant bears an evidential burden in
relation to the matter in subsection (1B). See subsection 13.3(3) of the Criminal
Code.
(1C) The Minister may give a person written
approval of the landing or transhipment of fish. The approval may be expressed
to be subject to conditions.
(1D) The conditions to which an approval may be
expressed to be subject include:
(a) a condition that the person (the approved
person) to whom the approval relates notify a specified person of the
landing or transhipment; and
(b) a condition that the approved
person give a specified person a return of the species and quantity of fish
landed or transhipped; and
(c) a condition that the landing or
transhipment occur under the supervision of a specified person.
This does not limit subsection (1C).
(2) An offence against this section is an
indictable offence but may be heard and determined, with the consent of the
prosecutor and the defendant, by a court of summary jurisdiction.
(3) If an offence is dealt with by a court of
summary jurisdiction, the penalty that the court may impose is a fine not
exceeding 250 penalty units.
(4) An offence under subsection (1) is
an offence of strict liability.
Note: For strict liability, see section 6.1 of
the Criminal Code.
104
Foreign boats not to contravene condition of Treaty licence
(1) A person must not, in an area of the AFZ
that is within the Treaty area:
(a) use a Treaty boat; or
(b) do
an act or omit to do an act on, or in relation to, a Treaty boat;
in respect of which a Treaty licence is in force, in
contravention of a requirement that is, under the Treaty, a condition of the
Treaty licence.
(2) A person who contravenes subsection (1)
is guilty of an offence punishable on conviction by a fine not exceeding 500
penalty units.
(3) An offence mentioned in subsection (1)
is an indictable offence but may be heard and determined, with the consent of
the prosecutor and the defendant, by a court of summary jurisdiction.
(4) If an offence mentioned in subsection (1)
is dealt with by a court of summary jurisdiction, the penalty that the court
may impose is a fine not exceeding 250 penalty units.
(4A) An offence mentioned in subsection (1)
is an offence of strict liability.
Note: For strict liability, see section 6.1 of
the Criminal Code.
(5) For the purposes of subsection (1),
the use of an aircraft in association with the fishing activities of a Treaty
boat is taken to be an act done or omitted to be done in relation to the Treaty
boat.
(6) Where a court convicts a person of an
offence arising out of a contravention of subsection (1), the court may,
in addition to imposing a penalty in respect of that offence, order that the
person must not, during such period as the court determines, be on a boat in
the AFZ with the intention of engaging in fishing.
(7) A person who contravenes such an order is
guilty of an offence punishable, on conviction, by a fine not exceeding 50
penalty units.
105
Certain prosecutions to require consent of Minister
A prosecution for an offence against
this Act or the regulations that is alleged to have been committed on, with the
use of, or in relation to, a Treaty boat, must not be instituted except with
the Minister’s written consent.
Division 5A—Offences in places beyond the AFZ
Subdivision A—Australian‑flagged boats beyond the AFZ
105A
Australian‑flagged boat with fish on high seas
(1) A person is guilty of an offence if:
(a) the person intentionally has a
fish in his or her possession or control; and
(b) the fish is on an Australian‑flagged
boat on the high seas and the person is reckless as to that fact; and
(c) the taking of the fish is not
authorised by a fishing concession or scientific permit and the person is
reckless as to that fact.
(2) The offence is punishable on conviction
by a fine not more than 500 penalty units.
105AA
Person fishing for conserved fish stock on high seas without a
concession—strict liability
(1) A person is guilty of an offence if:
(a) the person uses a boat for
fishing; and
(b) the fishing is for a conserved
fish stock; and
(c) the boat is an Australian‑flagged
boat; and
(d) the boat is on the high seas in a
part of the conservation area for the fish stock; and
(e) the fishing is not authorised by a
fishing concession.
(2) The offence is punishable on conviction
by a fine of not more than 60 penalty units.
(3) An offence under this section is an
offence of strict liability.
Note: For strict liability, see section 6.1 of
the Criminal Code.
105AB
Person fishing for conserved fish stock on high seas without a concession
(1) A person is guilty of an offence if:
(a) the person uses a boat for
fishing; and
(b) the fishing is for a conserved
fish stock; and
(c) the boat is an Australian‑flagged
boat; and
(d) the boat is on the high seas in a
part of the conservation area for the fish stock; and
(e) the fishing is not authorised by a
fishing concession.
(2) The offence is punishable on conviction
by a fine of not more than 500 penalty units.
105B
Australian‑flagged boat on high seas equipped for fishing
(1) A person is guilty of an offence if:
(a) a person intentionally has in his
or her possession or charge an Australian‑flagged boat; and
(b) the boat is equipped with nets,
traps or other equipment for fishing and the person is reckless as to that
fact; and
(c) the boat is at a place on the high
seas and the person is reckless as to that fact.
(2) The offence is punishable on conviction
by a fine not more than 500 penalty units.
(3) Subsection (1) does not apply if:
(a) the person holds a fishing
concession or scientific permit authorising the boat to be at that location
equipped with nets, traps or other equipment for fishing; or
(b) the person is acting on behalf of
the holder of such a concession or permit; or
(c) the boat is engaged solely in the
ordinary course of trade of carrying cargo between:
(i) Australia and a foreign country; or
(ii) Australia and an external Territory; or
(iii) an external Territory
and a foreign country; or
(iv) 2 external Territories;
or
(d) the person has a reasonable
excuse.
Note: Even if subsection (1) does not apply
because the person holds, or acts for the holder of, a fishing concession or
scientific permit, the person will commit an offence under section 95 if
the person contravenes a condition of the concession or permit.
(4) The only burden of proof that a defendant
bears in respect of subsection (3) is the burden of adducing or pointing
to evidence that suggests a reasonable possibility that the matter in question
existed.
105C
Australian‑flagged boat fishing in foreign waters
(1) A person is guilty of an offence if:
(a) the person intentionally uses an
Australian‑flagged boat for fishing; and
(b) the boat is in the exclusive
economic zone, territorial sea, archipelagic waters (as defined in the United
Nations Convention on the Law of the Sea) or internal waters of a foreign
country and the person is reckless as to that fact; and
(c) the law of the country requires
the person to have an authorisation (however described) given under the law of
the country for the fishing and the person is reckless as to that fact.
(2) The offence is punishable on conviction
by a fine not more than 500 penalty units.
(3) Subsection (1) does not apply if the
person has an authorisation (however described) issued under the law of the
country for the fishing.
(4) The only
burden of proof that a defendant bears in respect of subsection (3) is the
burden of adducing or pointing to evidence that suggests a reasonable
possibility that the matter in question existed.
(5) If the person has been convicted or
acquitted in the foreign country of an offence involving the fishing, the
person cannot be convicted of an offence under this section involving the
fishing.
105D
Authorising foreign officials’ action affecting Australian‑flagged boats
Boarding boats suspected of illegal fishing in foreign
waters
(1) On behalf of Australia, AFMA may
authorise officials of a foreign country that is party to the Fish Stocks
Agreement or that participates in an international fisheries management
organisation to board and inspect an Australian‑flagged boat on the high seas
if:
(a) AFMA or Australia has received a
request from the appropriate authority of the foreign country for that
country’s officials to board and inspect the boat; and
(b) AFMA has reasonable grounds to
believe that the boat has been used for fishing in the exclusive economic zone,
territorial sea, archipelagic waters (as defined in the United Nations
Convention on the Law of the Sea) or internal waters of the foreign country
without an authorisation (however described) given under the law of that
country; and
(c) AFMA is satisfied that the
boarding and inspection will be carried out in accordance with the Fish Stocks
Agreement or measures established by the international fisheries management
organisation.
Investigating breach of international fisheries
management measures
(2) On behalf of Australia, AFMA may
authorise an authority of a foreign country that is party to the Fish Stocks
Agreement or that participates in an international fisheries management
organisation to investigate an alleged contravention of an international
fisheries management measure involving an Australian‑flagged boat if:
(a) an official of the foreign country
has boarded the boat on the high seas in an area covered by the international
fisheries management organisation; and
(b) the
appropriate authority of the foreign country has notified AFMA or Australia
that the official has reasonable grounds for believing that the boat has been
used in contravention of the international fisheries management measure; and
(c) AFMA is satisfied that the
investigation will be carried out in accordance with the Fish Stocks Agreement or
measures established by the international fisheries management organisation.
Revocation of authorisation by AFMA
(3) AFMA may revoke an authorisation AFMA has
given under this section.
Form of authorisation or revocation by AFMA
(4) An authorisation, or revocation of an
authorisation, by AFMA must be in writing or by electronic transmission.
However, an authorisation or revocation cannot be made by electronic
transmission of an oral message.
Enforcement action for breach of international
fisheries management measures
(5) On behalf of Australia, the Attorney‑General
may authorise in writing an authority of a foreign country to take specified
action to enforce a law of the foreign country against a contravention of an
international fisheries management measure on the high seas involving an
Australian‑flagged boat if:
(a) AFMA has authorised an authority
of the foreign country under subsection (2) to investigate the alleged
contravention; and
(b) the appropriate authority of the
foreign country has communicated the results of the investigation to Australia; and
(c) the Attorney‑General is satisfied
that the action will be taken in accordance with the Fish Stocks Agreement or
measures established by the international fisheries management organisation.
Revocation of authorisation by Attorney‑General
(6) The Attorney‑General may revoke in
writing an authorisation he or she has given under this section.
Subdivision B—Using foreign boat to contravene international fisheries
management measure
105E
Contravention on high seas—strict liability
(1) A person commits an offence if:
(a) the person uses a boat for
fishing; and
(b) the person contravenes an
international fisheries management measure in relation to the fishing; and
(c) the boat is on the high seas; and
(d) the boat is a foreign boat.
Penalty: 60 penalty units.
(2) Strict liability applies to
subsection (1).
Note: For strict liability, see section 6.1 of
the Criminal Code.
(3) Subsection (1) does not apply if the
act that contravenes the international fisheries management measure is fishing
that is authorised by an authorisation (however described) issued under the law
of the country of nationality of the boat.
Note: A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
105EA
Contravention on high seas
(1) A person commits an offence if:
(a) the person uses a boat for
fishing; and
(b) the person contravenes an
international fisheries management measure in relation to the fishing; and
(c) the boat is on the high seas; and
(d) the boat is a foreign boat.
Penalty: 500 penalty units.
(2) Strict liability applies to
paragraphs (1)(c) and (d).
Note: For strict liability, see section 6.1 of
the Criminal Code.
(3) Subsection (1) does not apply if the
act that contravenes the international fisheries management measure is fishing
that is authorised by an authorisation (however described) issued under the law
of the country of nationality of the boat.
Note: A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
105EB
Attorney‑General’s consent required for prosecution
(1) The Attorney‑General’s written consent is
required before a charge of an offence against section 105E or 105EA,
alleged to have been committed by a person other than an Australian national,
can proceed to hearing or determination.
(2) Before granting such a consent, the
Attorney‑General must take into account any views expressed by the government
of the country of nationality of the boat alleged to be involved in the
offence.
(3) Even though the Attorney‑General has not
granted such a consent, the absence of consent is not to prevent or delay:
(a) the arrest of the suspected
offender or proceedings related to arrest (such as proceedings for the issue
and execution of a warrant); or
(b) the laying of a charge against the
suspected offender; or
(c) proceedings for the extradition to
Australia of the suspected offender; or
(d) proceedings for remanding the
suspected offender in custody or on bail.
(4) If the Attorney‑General declines to grant
consent, the court in which the suspected offender has been charged with the
offence must permanently stay proceedings on the charge.
(5) In any proceedings, an apparently genuine
document purporting to be a copy of a written consent granted by the Attorney‑General
in accordance with this section will be accepted, in the absence of proof to
the contrary, as proof of such consent.
105F
Australian national on foreign boat in foreign waters—strict liability
(1) A person commits an offence if:
(a) the person uses a boat for
fishing; and
(b) the person is an Australian
national; and
(c) the person contravenes an
international fisheries management measure in relation to the fishing; and
(d) the boat is in the exclusive
economic zone, territorial sea, archipelagic waters (as defined in the United
Nations Convention on the Law of the Sea) or internal waters of a foreign
country; and
(e) the boat is a foreign boat.
Penalty: 60 penalty units.
(2) Strict liability applies to
subsection (1).
Note: For strict liability, see section 6.1 of
the Criminal Code.
(3) Subsection (1) does not apply if the
act that contravenes the international fisheries management measure is fishing
that is authorised by an authorisation (however described) issued under the law
of the country covered by paragraph (1)(d).
Note: A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
105FA
Australian national on foreign boat in foreign waters
(1) A person commits an offence if:
(a) the person uses a boat for
fishing; and
(b) the person is an Australian
national; and
(c) the person contravenes an
international fisheries management measure in relation to the fishing; and
(d) the boat is in the exclusive
economic zone, territorial sea, archipelagic waters (as defined in the United
Nations Convention on the Law of the Sea) or internal waters of a foreign
country; and
(e) the boat is a foreign boat.
Penalty: 500 penalty units.
(2) Strict liability applies to
paragraphs (1)(d) and (e).
Note: For strict liability, see section 6.1 of
the Criminal Code.
(3) Subsection (1) does not apply if the
act that contravenes the international fisheries management measure is fishing
that is authorised by an authorisation (however described) issued under the law
of the country covered by paragraph (1)(d).
Note: A defendant bears an evidential burden in
relation to the matter in subsection (3) (see subsection 13.3(3) of the Criminal
Code).
Subdivision C—Unauthorised foreign boat on high seas
105H
Unauthorised fishing—strict liability
(1) A person commits an offence if:
(a) the person uses a boat for
fishing; and
(b) the boat is a foreign boat; and
(c) the boat is on the high seas; and
(d) a law of the country of
nationality of the boat requires the fishing to be authorised (however
described); and
(e) the fishing is not so authorised.
Penalty: 60 penalty units.
(2) Strict liability applies to
subsection (1).
Note: For strict liability, see section 6.1 of
the Criminal Code.
105I
Unauthorised fishing
(1) A person commits an offence if:
(a) the person uses a boat for
fishing; and
(b) the boat is a foreign boat; and
(c) the boat is on the high seas; and
(d) a law of the country of
nationality of the boat requires the fishing to be authorised (however
described); and
(e) the fishing is not so authorised.
Penalty: 500 penalty units.
105J
Attorney‑General’s consent required for prosecution
(1) The Attorney‑General’s written consent is
required before a charge of an offence against this Subdivision, alleged to
have been committed by a person other than an Australian national, can proceed
to hearing or determination.
(2) Before granting such a consent, the
Attorney‑General must take into account any views expressed by the government
of the country of nationality of the boat alleged to be involved in the
offence.
(3) Even though the Attorney‑General has not
granted such a consent, the absence of consent is not to prevent or delay:
(a) the arrest of the suspected
offender or proceedings related to arrest (such as proceedings for the issue
and execution of a warrant); or
(b) the laying of a charge against the
suspected offender; or
(c) proceedings for the extradition to
Australia of the suspected offender; or
(d) proceedings for remanding the
suspected offender in custody or on bail.
(4) If the Attorney‑General declines to grant
consent, the court in which the suspected offender has been charged with the
offence must permanently stay proceedings on the charge.
(5) In any proceedings, an apparently genuine
document purporting to be a copy of a written consent granted by the Attorney‑General
in accordance with this section will be accepted, in the absence of proof to
the contrary, as proof of such consent.
Division 5B—Provisions relating to detention of suspected illegal foreign
fishers
105Q
Provisions relating to detention of suspected illegal foreign fishers
Schedule 1A has effect.
Division 6—General
Subdivision A—Forfeiture by court order
106
Forfeiture of things used in certain offences
(1) Where a court convicts a person of an
offence against section 13 or subsection 95(5) the court may order the
forfeiture of all or any of the following:
(a) if a boat was used in the
commission of the offence—that boat; or
(b) a net, trap or equipment that was
on board that boat at the time of the commission of the offence, or that was
used in the commission of the offence; or
(c) fish on board that boat at that
time or in relation to which the offence was committed; or
(d) the proceeds of the sale of fish
of the kind referred to in paragraph (c).
(2) Where a court convicts a person of an
offence against section 102, 103 or 104 or Division 5A of Part 6
the court may order the forfeiture of all or any of the following:
(a) the boat in relation to which the
offence is committed;
(b) a net, trap or equipment on board
that boat at the time of the offence;
(c) fish on board that boat at that
time or in relation to which the offence is committed;
(d) fish landed in contravention of
section 103;
(e) the proceeds of the sale of any
such fish.
(2A) If a court convicts a person:
(a) of an offence against paragraph
95(1)(g) of this Act; or
(b) of an offence against section 136.1,
137.1 or 137.2 of the Criminal Code that relates to this Act;
in respect of a logbook kept or purported to be kept, or a
logbook or return furnished or purported to be furnished, under section 42
of this Act, the court may order the forfeiture of all or any of the following:
(c) if the logbook or return related,
in whole or in part, to the taking, carrying, landing, transhipping,
transporting or processing of fish—any boat employed in that activity;
(d) if
the logbook or return related, in whole or in part, to the taking or processing
of fish—any net, trap or equipment on board a boat employed in that taking or
processing for purposes related to that taking or processing;
(e) if the logbook or return related,
in whole or in part, to the taking, carrying, landing, transhipping,
transporting or processing of fish—any fish on board a boat employed in that
activity that were, or should have been, covered by the logbook or return;
(f) if the logbook or return related,
in whole or in part, to the taking, carrying, landing, transhipping,
transporting, receipt or processing of fish—the proceeds of the sale of the
fish that were, or should have been, covered by the logbook or return.
106AAA
Forfeiture of additional things on forfeited boats
(1) This section applies if:
(a) a court orders a boat to be
forfeited under section 106 because:
(i) it was used in the
commission of an offence (the relevant offence) against
section 13 or subsection 95(5); or
(ii) it is a boat in
relation to which an offence (also referred to as the relevant offence)
against section 102, 103 or 104 or Division 5A of Part 6 was
committed; and
(b) at the time the court makes the
order, there are nets, traps, equipment or fish (the additional things)
on the boat that the court cannot order to be forfeited under section 106.
Forfeiture within 2 years
(2) If the order for the boat to be forfeited
is made within 2 years after the commission of the relevant offence, the court
may order the forfeiture of the additional things.
Things owned by the person who owned the boat
(3) If the additional things are owned by the
person who owned the boat immediately before the relevant offence was
committed, the court may order the forfeiture of the additional things.
(4) For the purposes of subsection (3),
the additional things are taken, unless the contrary is proved, to be owned by
the person who owned the boat immediately before the relevant offence was
committed.
Things owned by persons who commit offences
(5) If the additional things are owned:
(a) by the person who committed the
relevant offence; or
(b) by a person who committed an
offence against:
(i) section 6 of the Crimes
Act 1914; or
(ii) an ancillary offence
(within the meaning of the Criminal Code);
that relates to the relevant
offence;
the court may order the forfeiture of the additional
things.
(6) For the purposes of subsection (5),
the additional things are taken, unless the contrary is proved, to be owned:
(a) for the purposes of paragraph (5)(a)—by
the person who committed the relevant offence; and
(b) for the purposes of
paragraph (5)(b)—by a person who committed an offence against:
(i) section 6 of the Crimes
Act 1914; or
(ii) an ancillary offence
(within the meaning of the Criminal Code);
that relates to the relevant
offence.
(7) To avoid doubt, nothing in
subsection (2), (3) or (5) limits the operation of another subsection of
this section.
106AAB
Forfeited things become the property of the Commonwealth
Any boat or other property (including
fish) ordered by a court to be forfeited under this Subdivision becomes the
property of the Commonwealth and must be dealt with or disposed of in
accordance with the directions of the Minister.
106AAC
Rights and interests of the Commonwealth not limited
To avoid doubt, a provision of this
Subdivision giving the Commonwealth rights or interests in relation to property
does not limit any other right or interest the Commonwealth has or acquires
otherwise than under this Subdivision.
Subdivision B—Automatic forfeiture of things
106A
Forfeiture of things used in certain offences
(1) The following things are forfeited to the
Commonwealth:
(a) a foreign boat used in an offence
against:
(i) subsection 95(2); or
(ii) section 99; or
(iii) section 100; or
(iv) section 100A; or
(v) section 100B; or
(vi) section 101; or
(vii) section 101A; or
(viii) section 101AA;
(b) a boat used in an offence against
section 101B as a support boat (as defined in that section);
(c) a net or trap, or equipment, that:
(i) was on a boat
described in paragraph (a) or (b) at the time of the offence mentioned in
that paragraph; or
(ii) was used in the
commission of an offence against subsection 95(2) or section 99, 100,
100A, 100B, 101, 101A, 101AA or 101B;
(d) fish:
(i) on a boat described in
paragraph (a) or (b) at the time of the offence mentioned in that
paragraph; or
(ii) involved in the
commission of an offence against subsection 95(2) or section 99, 100,
100A, 100B, 101, 101A, 101AA or 101B.
Note: Paragraph 84(1)(ga) allows an officer to seize
a thing that is forfeited under this section or that the officer has reasonable
grounds to believe is forfeited.
(2) If:
(a) a boat is forfeited to the
Commonwealth under subsection (1) because it was used in the commission of
an offence; and
(b) the boat is seized under paragraph
84(1)(ga);
any nets, traps or equipment on the boat at the time it is
seized are taken, unless the contrary is proved:
(c) for the purposes of
subparagraph (1)(c)(i)—to have been on the boat at the time of the
offence; and
(d) for the purposes of
subparagraph (1)(c)(ii)—to have been used in the commission of an offence
against subsection 95(2) or section 99, 100, 100A, 100B, 101, 101A, 101AA
or 101B.
(3) If:
(a) a boat is forfeited to the
Commonwealth under subsection (1) because it was used in the commission of
an offence; and
(b) the boat is seized under paragraph
84(1)(ga);
any fish on the boat at the time it is seized are taken,
unless the contrary is proved:
(c) for the purposes of
subparagraph (1)(d)(i)—to have been on the boat at the time of the
offence; and
(d) for the purposes of
subparagraph (1)(d)(ii)—to have been involved in the commission of an
offence against subsection 95(2) or section 99, 100, 100A, 100B, 101,
101A, 101AA or 101B.
106AA
Forfeiture of additional things on seized boats
(1) This section applies if:
(a) a boat is forfeited to the
Commonwealth under section 106A because it was used in the commission of
an offence (the relevant offence); and
(b) the boat is seized under paragraph
84(1)(ga); and
(c) at the time the boat is seized,
there are nets, traps, equipment or fish (the additional things)
on the boat that have not been forfeited under section 106A.
Seizure within 2 years
(2) If the boat is seized within 2 years
after it is forfeited, the additional things are forfeited to the Commonwealth
at the time the boat is seized.
Things owned by the person who owned the boat
(3) If the additional things are owned by the
person who owned the boat immediately before the relevant offence was
committed, the additional things are forfeited to the Commonwealth at the time
the boat is seized.
(4) For the purposes of subsection (3),
the additional things are taken, unless the contrary is proved, to be owned by
the person who owned the boat immediately before the relevant offence was
committed.
Things owned by persons who commit offences
(5) If the additional things are owned:
(a) by the person who committed the
relevant offence; or
(b) by a person who committed an offence
against:
(i) section 6 of the Crimes
Act 1914; or
(ii) an ancillary offence
(within the meaning of the Criminal Code);
that relates to the relevant
offence;
the additional things are forfeited to the Commonwealth at
the time the boat is seized.
(6) For the purposes of subsection (5),
the additional things are taken, unless the contrary is proved, to be owned:
(a) for the purposes of
paragraph (5)(a)—by the person who committed the relevant offence; and
(b) for the purposes of
paragraph (5)(b)—by a person who committed an offence against:
(i) section 6 of the Crimes
Act 1914; or
(ii) an ancillary offence
(within the meaning of the Criminal Code);
that relates to the relevant
offence.
(7) To avoid doubt, nothing in
subsection (2), (3) or (5) limits the operation of another subsection of
this section.
106AB
Rights and interests of the Commonwealth not limited
To avoid doubt, a provision of this
Subdivision giving the Commonwealth rights or interests in relation to property
does not limit any other right or interest the Commonwealth has or acquires
otherwise than under this Subdivision.
Subdivision BA—Automatic ownership of things
106AC
Fish taken with Commonwealth property
If:
(a) a thing is forfeited to the
Commonwealth under section 106 or 106A; and
(b) the thing is used for, or in the
taking of, fish:
(i) after it is forfeited;
and
(ii) without the written
permission of the Minister for such use;
the fish are the property of the Commonwealth.
106AD
Things on, in or attached to boats
At any time during which a boat is the
property of the Commonwealth because:
(a) the court has ordered the
forfeiture of the boat under section 106; or
(b) the boat is forfeited under
section 106A;
anything on, in or attached to the boat that forms part of
the boat is also the property of the Commonwealth.
106AE
Rights and interests of the Commonwealth not limited
To avoid doubt, a provision of this
Subdivision giving the Commonwealth rights or interests in relation to property
does not limit any other right or interest the Commonwealth has or acquires
otherwise than under this Subdivision.
Subdivision C—Dealing with things seized
106B
Application of this Subdivision
This Subdivision sets out rules about
the following:
(a) a thing that an officer seizes
under paragraph 84(1)(ga) or (gb):
(i) because the thing is
forfeited under Subdivision B; or
(ii) because the officer
has reasonable grounds to believe the thing is forfeited under Subdivision B;
(b) a thing that an officer seizes
under paragraph 84(1)(gc) or (gd):
(i) because the thing is
the property of the Commonwealth because of the operation of Subdivision BA; or
(ii) because the officer
has reasonable grounds to believe the thing is the property of the Commonwealth
because of the operation of Subdivision BA.
106C
Notice of seizure
Giving notice
(1) The officer must give written notice of
the seizure of the thing:
(a) if the thing is, or was on, a
boat, or was used in connection with a boat:
(i) to the person who was
the master of the boat immediately before the seizure; or
(ii) to the person whom the
officer has reasonable grounds to believe was the master of the boat
immediately before the seizure; or
(b) in a case not covered by
paragraph (a):
(i) to the owner of the
thing; or
(ii) to the person who had
possession, custody or control of the thing immediately before it was seized.
(1A) However, if the officer cannot conveniently
give the notice to the person in person, the officer may give written notice of
the seizure of the thing by fixing the notice to a prominent part of the thing,
unless the thing is a fish.
Content of notice
(2) The notice must:
(a) identify the thing; and
(b) state that the thing has been
seized; and
(c) state that the thing will be
condemned as forfeited unless the owner of the thing or the person who had
possession, custody or control of the thing immediately before it was seized
gives the CEO within 30 days a written claim in English for the thing; and
(d) specify the address of the CEO.
Note: Section 106E condemns the thing if it is
not claimed within 30 days. Section 106G condemns the thing if it is
claimed but the claimant does not get a court order supporting the claim.
106D
Dealing with thing before it is condemned
(1) On behalf of the Commonwealth, AFMA may
cause the thing to be disposed of or destroyed if it is a boat and AFMA is
satisfied that:
(a) the boat is unseaworthy; or
(b) the boat poses a serious risk to
safety, public health or quarantine; or
(c) the boat poses a serious risk of damage
to other property or the environment; or
(d) the expenses of custody and
maintenance of the boat between its seizure and condemnation are likely to be
greater than its value.
(2) If AFMA causes the boat to be disposed
of, it may cause the disposal to be made subject to specified conditions.
(3) The table lists some other provisions
relevant to dealing with things before they are condemned as forfeited to the
Commonwealth:
|
Provisions about
dealing with things before they are condemned
|
|
Item
|
Provision
|
Subject of provision
|
|
1
|
Paragraph 84(1)(t)
|
Officer’s power to dispose of seized fish
|
|
2
|
Section 88
|
Release of seized property
|
106E
Thing condemned if not claimed in time
(1) By force of this subsection, the thing is
condemned as forfeited to the Commonwealth 30 days after notice of seizure of
the thing has been given under section 106C, unless:
(a) within the 30 days the owner of
the thing or the person who had possession, custody or control of it
immediately before it was seized gives the CEO a written claim for the thing;
and
(b) the claim is in English; and
(c) the claim sets out an address for
service on the person making the claim.
Note: Section 106H requires things condemned as
forfeited to be dealt with in accordance with the Minister’s directions.
(2) A person may claim the thing even if it
is disposed of or destroyed before or after the claim.
106F
Dealing with claim for thing
(1) If the thing is claimed as described in
section 106E:
(a) an officer may retain possession
of the thing without starting any proceedings for the condemnation of the
goods; and
(b) the CEO may give the claimant a
written notice stating that the thing will be condemned if the claimant does
not institute proceedings against the Commonwealth within 2 months:
(i) to recover the thing;
or
(ii) for a declaration that
the thing is not forfeited.
Note 1: An officer may retain possession even if the CEO
does not give notice. If so, the claimant will be able to recover the thing
only if it is released under section 88 or a court orders its release to
the claimant.
Note 2: If the CEO does give the notice and the
claimant institutes proceedings, whether the claimant recovers the thing will
depend on the outcome of the proceedings.
(2) The CEO may give the notice to the claimant
by posting it prepaid as a letter to the last address of the claimant that is
known to the CEO. If the CEO does so, the letter is taken to be properly
addressed for the purposes of section 29 of the Acts Interpretation Act
1901.
(3) Subsection (2) does not limit the
ways in which the notice may be given.
Note: Sections 28A and 29 of the Acts
Interpretation Act 1901 explain how a notice can be given, and when it is
taken to be given.
(4) To avoid doubt, the CEO may give the
notice even if the thing has been released under section 88.
106G
Condemnation of thing if it is claimed
Application
(1) This section applies if the CEO gives the
claimant a notice under section 106F about instituting proceedings:
(a) to recover the thing; or
(b) for a declaration that the thing
is not forfeited.
Condemnation if proceedings not started within 2 months
(2) By force of this subsection, the thing is
condemned as forfeited to the Commonwealth 2 months after the notice is given
if the claimant does not institute the proceedings within that period.
Condemnation at end of proceedings started within 2
months
(3) By force of this subsection, the thing is
condemned as forfeited to the Commonwealth at the end of the proceedings that
are instituted by the claimant against the Commonwealth within 2 months of the
claimant being given the notice if, at the end of the proceedings, there is
not:
(a) an order for the claimant to
recover the thing; or
(b) an order for the Commonwealth to
pay the claimant the proceeds of the sale of the thing if it has been sold
before the end of the proceedings; or
(c) an order for the Commonwealth to
pay the claimant the market value of the thing at the time it was disposed of
(except by sale) or destroyed, if it has been disposed of (except by sale) or
destroyed before the end of the proceedings; or
(d) a declaration that the thing is
not forfeited.
End of proceedings that go to judgment
(4) For the purposes of subsection (3),
if the proceedings go to judgment, they end:
(a) at the end of the period for
lodging an appeal against the judgment, if no appeal is lodged within that
period; or
(b) when the appeal lapses or is
finally determined, if an appeal is lodged against the judgment within that
period.
Proceedings relating to thing that has been disposed of
(5) Proceedings relating to the thing may be
instituted or continued even if it is disposed of or destroyed.
Order for payment if thing has been disposed of or
destroyed
(6) If the court hearing the proceedings
decides that it would have ordered that the thing be delivered to a person
apart from the fact that the thing had been disposed of or destroyed, the court
must order the Commonwealth to pay the person an amount equal to:
(a) the proceeds of the sale of the
thing, if it has been sold before the end of the proceedings; or
(b) the market value of the thing at
the time it was disposed of (except by sale) or destroyed, if it has been
disposed of (except by sale) or destroyed before the end of the proceedings.
106H
Dealing with thing after it is condemned
If the thing is condemned as forfeited
to the Commonwealth, the thing must be dealt with or disposed of in accordance
with the directions of the Minister.
106HA
Evidence
(1) For the purposes of proceedings taken:
(a) to recover a thing forfeited under
Subdivision B; or
(b) for a declaration that a thing
seized under paragraph 84(1)(ga) or (gb) is not forfeited under Subdivision B;
if a person has been convicted of an offence mentioned in
paragraph 106A(1)(a) or (b), the person is taken, unless the contrary is
proved, to have committed the offence.
(2) Subsection (1) does not apply in
relation to a conviction:
(a) in respect of which a review or
appeal (however described) has been instituted but not finally determined; or
(b) that has been quashed or set
aside; or
(c) in respect of which a pardon has
been given.
Subdivision CA—Recovery of pursuit costs in relation to certain foreign
boats
106J
Preliminary
In this Subdivision:
costs reasonably incurred by or on behalf of the Commonwealth,
in respect of pursuit activities conducted in respect of a foreign boat, means
all costs:
(a) that the Commonwealth is liable to
pay in respect of such activities; and
(b) that are directly attributable to
the conduct of those activities;
and, without limiting the generality of the above,
includes:
(c) costs incurred by any Commonwealth
agency or body in respect of such activities; and
(d) costs incurred by any arm of the
Australian Defence Force that provides assistance in respect of such activities;
and
(e) costs incurred by the government
of any foreign country that provides assistance or facilities in respect of
such activities, being costs so incurred on the basis that those costs will be
reimbursed by the Commonwealth.
Federal Court means the Federal Court of
Australia.
foreign boat to which this Subdivision applies
has the meaning given by subsection 106L(1).
processing place, in respect of a foreign
boat to which this Subdivision applies, means the place in Australia or in an external Territory that is determined by AFMA under section 106L to
be the processing place in relation to that boat.
pursuit activities,
in respect of a foreign boat, means the activities of pursuing and apprehending
the boat and bringing the boat, or causing the boat to be brought, with or
without an escort, to its processing place.
pursuit costs, in respect of a foreign boat,
means the costs reasonably incurred by or on behalf of the Commonwealth in
respect of pursuit activities conducted in respect of the boat.
106K
Working out pursuit costs
The regulations may set out principles
for working out the costs incurred by or on behalf of the Commonwealth that are
directly attributable to the conduct of pursuit activities.
106L
Debt in relation to pursuit costs
(1) This Subdivision applies to a foreign
boat if:
(a) the foreign boat is forfeited to
the Commonwealth under section 106A; and
(b) the master of the boat fails:
(i) to stop the boat in
accordance with the requirement under paragraph 84(1)(aa); or
(ii) to bring the boat to a
place and to remain in control of the boat at that place in accordance with a
requirement under paragraph 84(1)(k) or (l); and
(c) as a result of that failure,
pursuit activities are taken in respect of the boat culminating in its arrival
at a place in Australia or an external Territory that is determined by AFMA to
be the processing place in relation to that boat.
(2) Subject to the operation of this
Subdivision, the owner of a foreign boat to which this Subdivision applies is
liable to pay to the Commonwealth, by way of penalty, all pursuit costs
incurred in respect of that boat.
(3) If a foreign boat has more than one
owner, then the owners are jointly and severally liable to pay the pursuit
costs incurred in respect of the boat.
(4) Costs payable by an owner of a foreign
boat to the Commonwealth under this Subdivision may be recovered by the
Commonwealth as a debt due to the Commonwealth in a court of competent
jurisdiction.
106M
Preliminary notice of debt
(1) As soon as practicable after bringing a
foreign boat to which this Subdivision applies to its processing place and
after notice of seizure of the boat has been given under section 106C, an AFMA
staff member must give written notice to the person:
(a) who was the master of the boat
immediately before its apprehension; or
(b) whom the officer has reasonable
grounds to believe was the master of the boat immediately before its
apprehension;
of the fact that a debt for the pursuit costs has been
incurred in respect of that boat.
However, if the officer cannot conveniently give the
notice to the person in person, the officer may give notice of the debt in
respect of the boat by fixing the notice to a prominent part of the boat.
(2) The notice
must:
(a) state that a debt for pursuit
costs has been incurred; and
(b) specify the circumstances in which
the debt has been incurred; and
(c) state that full particulars of the
pursuit costs will be provided in accordance with section 106N as soon as
they are available and not later than 10 days after the date of giving the
notice; and
(d) indicate that, on provision of
full particulars of the debt, the debt is required to be paid unless the owner
of the boat informs the CEO, within 30 days of those full particulars being
provided under section 106N, that the owner will institute proceedings in
the Federal Court to contest the debt; and
(e) specify the address of the CEO.
106N
Full particulars of the pursuit costs
(1) Within 10 days of the giving of a
preliminary notice of debt in relation to pursuit costs in respect of a foreign
boat, an AFMA staff member must give a further notice setting out full
particulars of the debt and the means of its calculation.
(2) The notice must be given to the person
referred to in subsection 106M(1) or, if the officer cannot conveniently give
the notice to the person in person, the officer may give the notice by fixing
it to a prominent part of the boat.
106P
Debt for pursuit costs payable if no notification of intention to contest debt
(1) By force of this section, if the owner of
a foreign boat in respect of which full particulars of pursuit costs have been
provided under a notice under section 106N does not, within 30 days after
the giving of that notice, inform the CEO, by notice in writing, of an
intention to contest the debt, the debt is due and payable at the expiration of
that period.
(2) For the purposes of subsection (1),
the notice of intention to contest the debt:
(a) must be in English; and
(b) must set out an address for
service for the person proposing to contest the debt.
106Q
Debt for pursuit costs payable if no action taken to contest debt
(1) If the owner of a foreign boat gives a
notice of intention to contest a debt for pursuit costs in respect of a foreign
boat as described in section 106N, the CEO must inform the owner that the
debt for those costs will become due and payable at the end of the period of 2
months after the giving of the notice of intention unless the owner institutes
proceedings against the Commonwealth in the Federal Court, not later than the
end of that period, for an order that:
(a) the debt is not payable because
the boat was not forfeited to the Commonwealth; or
(b) the debt, or a part of the debt,
was not reasonably incurred.
(2) If the owner does not institute the
proceedings referred to in subsection (1) before the end of the period of
2 months referred to in that subsection, the debt is due and payable at the
expiration of that period.
(3) For the avoidance of doubt, the reference
in subsection (1) to proceedings instituted against the Commonwealth for
an order that the debt for pursuit costs payable in respect of a foreign boat
is not payable because the boat was not forfeited to the Commonwealth is taken
to include a reference to any proceedings instituted in accordance with section 106F
for a declaration that the boat is not forfeited, even if those proceedings do
not directly relate to the liability for pursuit costs.
106R
Federal Court may determine contested debt
(1) Jurisdiction is conferred on the Federal
Court to hear and determine any proceedings to contest a debt for pursuit
costs.
(2) The Federal Court may, if it is satisfied
that:
(a) the owner was not informed, and
did not otherwise become aware, of the particulars of the pursuit costs
provided under section 106N within such time as to afford the owner a
reasonable opportunity to give the CEO, under subsection 106P(1), notice of its
intention to contest the debt; and
(b) in all the circumstances of the
case, the owner should be permitted to contest the debt even though the owner
did not give that notice;
make an order that:
(c) the owner may contest the debt;
and
(d) if the Court is satisfied that the
owner still does not have full particulars of the pursuit costs—that the CEO
provide those particulars to the owner.
(3) If the Federal Court makes an order under
subsection (2):
(a) sections 106P and 106Q cease
to apply; and
(b) unless
the owner institutes proceedings against the Commonwealth of the kind described
in subsection 106Q(1) within the period of 2 months after the making of the
order, or the provision of full particulars of pursuit costs in accordance with
the order—the debt becomes due and payable at the expiration of that period.
(4) If the owner of a foreign boat institutes
proceedings of the kind referred to in subsection 106Q(1) either:
(a) under that subsection; or
(b) under this section;
to contest a debt for pursuit costs in respect of that
boat before the end of the period of 2 months referred to in subsection 106Q(1)
or in subsection (3) of this section, as the case requires, the Federal
Court may:
(c) if the Court is satisfied that the
boat is not forfeited to the Commonwealth—make an order that the pursuit costs
are not payable to the Commonwealth; and
(d) if
the Court is satisfied, having regard to the circumstances of the case, that
the pursuit costs, or any particular part of the pursuit costs, claimed in
respect of the boat are not costs reasonably incurred—make an order that the
pursuit costs, or that particular part of the pursuit costs, are not so payable
to the Commonwealth.
106S
Burden of proof
In any proceedings of the kind referred
to in subsection 106Q(1) that are brought by the owner of a foreign boat
against the Commonwealth to contest a debt for pursuit costs:
(a) the onus lies on the owner to
establish, on the balance of probabilities, that the boat is not forfeited to
the Commonwealth; and
(b) the onus lies on the Commonwealth
to establish, on the balance of probabilities:
(i) that the circumstances
set out in subparagraph 106L(1)(b)(i) or (ii) and in paragraph 106L(1)(c) apply
in relation to the boat; and
(ii) that
the pursuit costs notified in relation to the boat are reasonable and have been
correctly worked out.
Subdivision E—Obstruction of officers
108
Obstruction of officers etc.
(1) A person must not:
(a) fail to facilitate by all
reasonable means the boarding of a boat by an officer; or
(b) refuse to allow a search to be
made that is authorised by or under this Act; or
(c) refuse or neglect to comply with a
requirement made by an officer under section 84 (as it applies of its own
force or because of section 87, 87G or 87HA); or
(d) when lawfully required to state
the person’s name and address to an officer, state a false name or address to
the officer; or
(e) use abusive or threatening
language to an officer or other person exercising a power or performing a
function under this Act; or
(f) assault, resist or obstruct an
officer or other person exercising a power or performing a function under this
Act in the exercise of the power or performance of the function; or
(g) impersonate
an officer.
Penalty: Imprisonment for 12 months.
(2) Paragraphs (1)(b) and (c) do not
apply if the person has a reasonable excuse.
Note: The defendant bears an evidential burden in
relation to the matter in subsection (2). See subsection 13.3(3) of the Criminal
Code.
(3) In paragraph (1)(c), strict
liability applies to the physical element of circumstance, that the requirement
is under section 84.
Note: For strict liability, see section 6.1 of
the Criminal Code.
Subdivision F—Enforcement action prevails over admiralty action
108A
Seizure or forfeiture has effect despite admiralty proceedings
(1) The seizure, detention or forfeiture of a
boat under this Act has effect despite any or all of the following events:
(a) the arrest of the boat under the Admiralty
Act 1988;
(b) the making of an order for the
sale of the boat by a court in proceedings brought under the Admiralty Act
1988;
(c) the sale of the boat under an
order made by a court in proceedings brought under the Admiralty Act 1988.
(2) Subsection (1) has effect regardless
of whether the seizure, detention or forfeiture, or the event that was the
basis for the seizure, detention or forfeiture, occurred before or after the
arrest, making of the order or sale (as appropriate).
Subdivision G—Disclosures relating to illegal fishing activities
108B
Minister may disclose information relating to illegal fishing activities
(1) The Minister may disclose, or authorise a
prescribed agency within the meaning of subsection (3) to disclose on the
Minister’s behalf, information relating to fishing activities that may involve
a breach of the laws of Australia or of a foreign country, including personal
information relating to the fishing activities of individuals that may involve
such a breach, to:
(a) the government of a foreign
country; or
(b) an instrumentality of such a
government; or
(c) an international intergovernmental
body.
(2) In disclosing the information, or in
authorising its disclosure, the Minister may require that it:
(a) not be disclosed by the
government, instrumentality or body to which it is provided; or
(b) be disclosed only for such
purposes, and on such conditions, as the Minister specifies.
(3) An agency is a prescribed agency for the
purposes of subsection (1) if:
(a) it is an agency within the meaning
of section 7 of the Public Service Act 1999; and
(b) it is declared by the regulations
to be a prescribed agency for the purposes of that subsection.
Part 7—Collection of levy and charge
Division 1—Collection of levy imposed by the Fishing Levy Act 1991
109
Interpretation
In this Division:
levy means levy imposed by the Fishing
Levy Act 1991.
110
When is levy due?
Levy is due and payable at a time or
times ascertained in accordance with the regulations.
111
Payment by instalments
(1) The regulations may provide for the
payment of an amount of levy to be made by instalments, and, subject to subsection (2),
each instalment is due and payable at a time ascertained in accordance with the
regulations.
(2) If:
(a) the regulations provide for the
payment of an amount of levy to be made by instalments; and
(b) an
instalment is not paid at or before the time due for payment of the instalment;
the whole of the amount of levy unpaid becomes due and
payable at that time.
112
Penalty for non‑payment
If an amount of levy remains unpaid
after the day on which it becomes due for payment, there is payable to the
Commonwealth by way of penalty, in addition to that amount of levy, an amount
calculated at the rate of 20% per annum upon the amount of levy from time to
time remaining unpaid, to be calculated from the time when the amount of levy
became payable.
113
Recovery of levy and other amounts
(1) The following amounts may be recovered by
the Commonwealth as debts due to the Commonwealth:
(a) levy that is due and payable;
(b) an amount payable under section 112.
(2) If:
(a) levy is due and payable in respect
of a fishing permit granted under section 32; and
(b) that permit is surrendered before
any fishing activities are undertaken under the permit;
AFMA may, on behalf of the Commonwealth, by written notice
given to the holder of the permit, waive:
(c) the levy payable in respect of
that permit; and
(d) if any amount is payable under
section 112 in respect of that levy—the amount so payable.
Division 2—Collection of levy imposed by the Foreign Fishing Licences
Levy Act 1991
114
Interpretation
In this Division:
levy means levy imposed by the Foreign
Fishing Licences Levy Act 1991.
115
Arrangements between AFMA and person by whom levy payable
AFMA may make arrangements with a person
by whom an amount of levy is, or will become, payable in relation to:
(a) the time for payment; or
(b) the
manner of payment;
of the amount of levy or any part of that amount.
116
When is levy due?
An amount of levy on the grant of a
licence becomes due and payable:
(a) where AFMA has, under section 115,
made arrangements with a person by whom the amount of levy is or will become
payable in relation to the time for payment of the amount of levy or any part
of that amount—in accordance with the arrangements; and
(b) in any other case—at the end of
the period of 30 days after the grant of the licence.
117
Penalty for non‑payment
Where a person who is liable to pay an
amount of levy fails to pay that amount or any part of that amount to the
Commonwealth at or before the time when that amount becomes due and payable,
the person is liable to pay to the Commonwealth, by way of penalty, in addition
to that amount of levy, an amount calculated at the rate of 10% per month upon
the amount of levy from time to time remaining unpaid, computed for the period
commencing on the day on which that amount of levy became due and payable and
ending on the day specified in the licence as being the day until which the
licence is to remain in force.
118
Recovery of levy and other amounts
The following amounts may be recovered
by the Commonwealth as debts due to the Commonwealth:
(a) levy that is due and payable;
(b) an amount payable under section 117.
Division 3—Collection of charge imposed by the Statutory Fishing Rights
Charge Act 1991
119
Interpretation
In this Division:
charge means charge imposed by the Statutory
Fishing Rights Charge Act 1991.
120
When is charge due?
Subject to section 121, charge is
due and payable:
(a) at a time or times ascertained in
accordance with the regulations; or
(b) if the regulations do not make
such provision—at the time of the grant of the statutory fishing right.
121
Payment by instalments
(1) The regulations may provide for the
payment of an amount of charge to be made by instalments, and subject to subsection (2),
each instalment is due and payable at a time ascertained in accordance with the
regulations.
(2) If:
(a) the regulations provide for the
payment of an amount of charge to be made by instalments; and
(b) an
instalment is not paid at or before the time due for payment of the instalment;
the whole of the amount of the charge unpaid becomes due
and payable at that time.
122
Penalty for non‑payment
If an
amount of charge remains unpaid after the day on which it becomes due for
payment, there is payable to the Commonwealth, by way of penalty, in addition
to that amount of charge, an amount calculated at the rate of 20% per annum
upon the amount of charge from time to time remaining unpaid, to be calculated
from the time when the amount of charge became payable.
123
Recovery of charge and other amounts
The following amounts may be recovered
by the Commonwealth as debts due to the Commonwealth:
(a) charge that is due and payable;
and
(b) an amount payable under section 122.
Part 8—Review by the Statutory Fishing Rights Allocation Review
Panel
Division 1—Establishment etc. of Panel
124
Establishment of Panel
A Statutory Fishing Rights Allocation
Review Panel is established.
125
Constitution
The Panel is to consist of the following
members:
(a) a Principal Member;
(b) such other members as are
appointed in accordance with this Act, not exceeding the number (if any)
specified in the regulations.
126
Appointment of members
(1) The members of the Panel are to be
appointed by the Minister.
(2) A person may not be appointed as a member
for more than 3 consecutive terms.
(3) Members of the Panel, other than the
Principal Member, are to be appointed from persons nominated under Division 2.
(4) Subject to this Part, a member holds
office for such term (not exceeding 4 years) as is specified in the instrument
of appointment, but is eligible for re‑appointment in accordance with this
Part.
(5) A member is to be appointed as a part‑time
member.
(6) The appointment of a person as a member
is not invalid because of a defect or irregularity in connection with the
person’s nomination or appointment.
127
Qualifications etc. of Principal Member
The Minister is to appoint a person to
be the Principal Member of the Panel only if the Minister is satisfied that the
person has had experience at a high level in industry, commerce or public
administration or in the practice of a profession.
128
Acting Principal Member
The Minister may appoint a person to act
in the office of Principal Member:
(a) during a vacancy in that office,
whether or not an appointment has previously been made to the office; or
(b) during any period, or during all
periods, when the Principal Member is absent from duty or from Australia or is,
for any other reason, unable to perform the duties of the office of Principal
Member.
Note: For rules that apply to acting appointments,
see section 33A of the Acts Interpretation Act 1901.
129
Constitution of Panel for exercise of powers
For the purpose of a particular review,
the Panel is to be constituted by:
(a) the Principal Member; and
(b) 2 members selected by the
Principal Member.
130
Member unable to complete review
If the Panel has commenced or completed
a review of a decision but has not finally determined the matter and one of the
members (other than the Principal Member) constituting the Panel for the
purposes of the review has:
(a) ceased to be a member; or
(b) ceased to be available for the
purposes of the review, whether because of the operation of section 134 or
otherwise;
the hearing and determination, or the determination, of
the review is to be completed by the Panel constituted by the remaining
members.
131
Remuneration and allowances of members
(1) A member is to be paid such remuneration
as is determined by the Remuneration Tribunal but, if no determination is in operation,
the member is to be paid such remuneration as is prescribed.
(2) A member is to be paid such allowances as
are prescribed.
(3) Where:
(a) a person who is a member of, or a
candidate for election to, the Parliament of a State; and
(b) under the law of the State, the
person would not be eligible to remain, or to be elected, as a member of that
Parliament if the person were entitled to remuneration or allowances under this
Act;
the person must not be paid remuneration or allowances
under this Act, but is to be reimbursed the expenses that the person reasonably
incurs in performing duties under this Act.
(4) Where a member:
(a) is a member of the Parliament of a
State, but subsection (3) does not apply in relation to the person; or
(b) is in the service or employment of
a State, or an authority of a State, on a full‑time basis; or
(c) holds or performs the duties of an
office or position established by or under a law of a State on a full‑time
basis;
it is a condition of the person’s holding office under
this Act that the person pay to the State, within one month of receiving an
amount of remuneration under this Act, an amount equal to the amount of the
remuneration.
(5) An amount payable under subsection (4)
may be recovered by the State as a debt due to the State.
(6) This section has effect subject to the Remuneration
Tribunal Act 1973.
(7) In this
section:
Parliament means:
(a) in relation to the Australian Capital Territory—the Legislative Assembly for the Australian Capital Territory;
and
(b) in relation to the Northern Territory—the Legislative Assembly of the Northern Territory.
State includes the Australian Capital
Territory and the Northern Territory.
132
Other terms and conditions
A member holds office on such terms and
conditions (if any) in respect of matters not provided for by this Act as are
determined by the Minister in writing.
133
Resignation
A member of the Panel may resign by
giving to the Minister a signed notice of resignation.
134
Disclosure of interests
(1) Where a member is, or is to be, a member
of the Panel constituted for the purposes of a review and has a conflict of
interest in relation to the review, the member:
(a) must disclose the matters giving
rise to that conflict to the parties to the proceeding; and
(b) except with the consent of all the
parties to the proceeding, must not take part in the review or exercise any
powers in relation to the review.
(2) Where the Principal Member becomes aware
that a member is, or is to be, a member of the Panel as constituted for the
purposes of a review and that the member has a conflict of interest in relation
to the review:
(a) if the Principal Member considers
that the member should not take part, or should not continue to take part, in
the review—the Principal Member must direct the member accordingly; or
(b) in any other case—the Principal
Member must disclose the member’s interest to all the parties to the
proceedings.
(3) Where the Principal Member discloses the
member’s interest to all the parties to the proceedings, the member must not,
except with the consent of all the parties, take part in the review or exercise
any powers in relation to the review.
(4) For the purposes of this section, a
member has a conflict of interest in relation to a review by the Panel if the
member has any interest, pecuniary or otherwise, that could conflict with the
proper performance of the member’s functions in relation to that review.
135
Termination of appointment
(1) The Minister may terminate the
appointment of a member of the Panel for:
(a) misbehaviour or physical or mental
incapacity; or
(b) inefficiency or incompetence.
(2) If a member becomes bankrupt, applies to
take the benefit of any law for the relief of bankrupt or insolvent debtors,
compounds with his or her creditors or makes an assignment of his or her
remuneration for their benefit, the Minister may terminate the appointment of
the member.
136
Registries
The Minister is to arrange for the
establishment of such Registries of the Panel as the Minister thinks fit.
137
Officers of Panel
(1) There are to be a Registrar of the Panel
and such Deputy Registrars and other officers of the Panel as are required.
(2) The Registrar, Deputy Registrars and
other officers of the Panel are to be appointed by the Minister.
(3) The officers of the Panel have:
(a) such duties, powers and functions
as are provided by this Act and the regulations; and
(b) such other duties and functions as
the Principal Member directs.
(4) The Registrar, Deputy Registrars and
other officers of the Panel are to be persons engaged under the Public
Service Act 1999.
138
Acting appointments
(1) The Minister may appoint a person engaged
under the Public Service Act 1999 to act in a Panel office:
(a) during a vacancy in the office; or
(b) during a period when the holder of
the office is absent from duty.
(2) In this section:
Panel office means:
(a) the office of the Registrar of the
Panel; or
(b) an office of Deputy Registrar of
the Panel; or
(c) the office of any other officer of
the Panel appointed under section 137.
Division 2—Nomination and selection process for members of the Panel
139
Presiding Member
(1) The Minister is to appoint a person to be
the Presiding Member of Australian Fisheries Management Authority Selection
Committees.
(2) The Presiding Member is to be appointed
on a part‑time basis.
(3) Subject to this Division, the Presiding
Member holds office for such period, not exceeding 3 years, as is specified in
the instrument of appointment, but is eligible to be re‑appointed once in
accordance with this Act.
140
Acting Presiding Member
The Minister may appoint a person to act
as Presiding Member:
(a) during a vacancy in the office of
Presiding Member (whether or not an appointment has previously been made to the
office); or
(b) during
any period, or during all periods, when the Presiding Member is absent from Australia or is, for any other reason, unable to perform the duties of the office.
Note: For rules that apply to acting appointments,
see section 33A of the Acts Interpretation Act 1901.
141
Request for nominations
(1) The Minister may, by written notice given
to the Presiding Member, request the Presiding Member to establish a Selection
Committee for the purpose of:
(a) nominating a person or persons for
appointment (otherwise than as the Principal Member) as a member or members of
the Panel; or
(b) if there is a vacancy caused by
the resignation of, or the ending of the appointment of, any member (other than
the Principal Member)—nominating a person for appointment.
(2) The Minister is to specify in the notice
a period within which the Selection Committee is to comply with the notice.
141A
Selection Committee
(1) Where the Presiding Member receives a
request under section 141, he or she must:
(a) establish a Selection Committee
for the purpose of nominating a person or persons for appointment to the Panel;
and
(b) give to the body that is the peak
industry body within the meaning of the Fisheries Administration Act 1991
a written notice requesting the body to nominate to the Minister persons for
appointment to the Selection Committee; and
(c) give to the Ministerial Council a
written notice requesting the Council to nominate to the Minister a person for
appointment to the Selection Committee; and
(d) take reasonable steps to inform
members of the public (which may consist of advertising in a newspaper
circulating generally throughout the Commonwealth), and members of such groups
of persons (if any) as the Presiding Member thinks appropriate, of the following
matters:
(i) that nominations are
being sought for appointment of a person or persons to the Panel;
(ii) the qualifications for
nomination required by a person.
(2) The function of the Selection Committee
is, in accordance with the request of the Minister, to nominate a person or
persons for appointment to the Panel.
(3) The Selection Committee has power to do
all things that are necessary or convenient to be done for, or in connection
with, the performance of its function.
141B
Membership of Selection Committee
(1) A Selection Committee is to consist of
the following members:
(a) the Presiding Member;
(b) 2 members determined by the
Minister, one of whom has knowledge of environmental conservation issues;
(c) 2 members nominated by the peak industry
body referred to in paragraph 141A(1)(b);
(d) a member nominated by the
Ministerial Council.
(2) A Selection Committee member referred to
in paragraph (1)(b), (c) or (d) is to be appointed by the Minister in
writing and holds office on a part‑time basis.
141C
Selection of nominees
(1) A Selection Committee must only nominate
for appointment as members of the Panel persons who have expertise in one or
more of the following fields:
(a) commercial fishing;
(b) fishing industry operations other
than commercial fishing;
(c) fisheries science;
(d) natural resource management;
(e) marine ecology;
(f) economics;
(g) business management;
(h) such other fields (if any) as are
prescribed.
(2) In selecting persons for nomination, a
Selection Committee must try to choose such persons as will ensure, as far as
practicable, that the members of the Panel collectively possess expertise in
all of the fields referred to in subsection (1).
(3) A Selection Committee must not nominate a
person who is:
(a) a member of the Selection
Committee; or
(b) a commissioner of the Commission;
or
(c) under subsection 126(2),
ineligible for appointment.
141D
Nomination
(1) Within the period specified in a notice
under section 141:
(a) the Selection Committee must select
a person or persons for nomination according to the request; and
(b) the Presiding Member must, on
behalf of the Committee, nominate the person or persons selected by the
Committee.
(2) A nomination must:
(a) be in writing; and
(b) be given to the Minister.
(3) A Selection Committee must select only
one person in respect of each appointment to be made by the Minister.
(4) Where a person is nominated for
appointment, the Presiding Member must attach to the nomination a statement
setting out:
(a) details of the person’s
qualifications and experience; and
(b) any other information regarding
the person that the Committee considers will assist the Minister in deciding
whether to appoint the person.
141E
Rejection of nominations
(1) If the Minister is not satisfied that a
person nominated by a Selection Committee is suitable for appointment, the
Minister may give the Presiding Member written notice that he or she rejects
the nomination of the person.
(2) The Minister may include in a notice of
rejection a further request under section 141 for a nomination of a person
for appointment to the position concerned.
141F
Meetings of a Selection Committee
(1) Meetings of a Selection Committee are to
be held at such times and places as the Committee determines.
(2) The Presiding Member may convene a
meeting of a Committee.
(3) At a meeting, the following persons
constitute a quorum:
(a) the Presiding Member;
(b) a member referred to in paragraph
141B(1)(b);
(c) a member referred to in paragraph
141B(1)(c);
(d) one other member who may also be a
member referred to in one of those paragraphs.
(4) The Presiding Member is to preside at all
meetings of a Committee.
(5) A question arising at a meeting of a
Committee is to be decided by a majority of the votes of the members present
and voting.
(6) At a meeting of a Committee, the
Presiding Member has a deliberative vote and, if there is an equality of votes,
also has a casting vote.
(7) A Committee must keep a record of its
proceedings.
(8) The procedure of a Committee is to be as
determined by the Committee.
141G
Remuneration and allowances
(1) The Presiding Member of a Selection
Committee is to be paid such remuneration as is determined by the Remuneration
Tribunal but, if no determination is in operation, the Presiding Member is to
be paid such remuneration as is prescribed.
(2) The Presiding Member is to be paid such
allowances as are prescribed.
(3) A member (other than the Presiding
Member) is to be paid such travelling allowance as is prescribed.
(4) This section has effect subject to the Remuneration
Tribunal Act 1973.
141H
Leave of absence
(1) The Minister may grant to the Presiding
Member leave of absence from a meeting of a Selection Committee.
(2) The Presiding Member may grant to another
member of a Committee leave of absence from a meeting of the Committee.
141J
Resignation
A member of a Selection Committee may
resign by giving to the Minister a signed notice of resignation.
141K
Termination of appointment of member of Selection Committee
(1) The Minister may terminate the
appointment of a member of a Selection Committee for:
(a) misbehaviour or physical or mental
incapacity; or
(b) inefficiency or incompetence.
(2) If a member of a Committee:
(a) becomes bankrupt, applies to take the
benefit of any law for the relief of bankrupt or insolvent debtors, compounds
with his or her creditors or makes an assignment of remuneration for their
benefit; or
(b) fails, without reasonable excuse,
to comply with his or her obligations under section 141L; or
(c) is
absent, without leave of absence, from 3 consecutive meetings of the Committee;
the Minister may terminate the appointment of the member.
141L
Disclosure of interests by members of Selection Committees
(1) Where:
(a) a member of a Selection Committee
has a direct or indirect interest in a matter being considered, or about to be
considered, by the Committee; and
(b) the
interest could conflict with the proper performance of the member’s duties in
relation to the consideration of the matter;
the member must, as soon as practicable after the relevant
facts have come to the member’s knowledge, disclose the nature of the interest
at a meeting of the Committee.
(2) A disclosure under subsection (1)
must be recorded in the minutes of the meeting.
141M
Resolutions without meetings
(1) Where:
(a) copies of a document setting out a
proposed resolution of a Selection Committee are received by at least 4 members
of the Committee, of whom one is the Presiding Member; and
(b) at
least 4 such members, being members who would constitute a quorum at a meeting
of the Committee, sign a copy of the document;
the Committee is taken to have passed a resolution in the
terms set out in the document at a meeting of the Committee.
(2) The resolution is taken to have been
passed:
(a) on the day on which copies of the
document were signed by members; or
(b) if the copies were signed on
different days—on the latest of those days.
141N
Consultants etc.
(1) The Presiding Member may, on behalf of a
Selection Committee, engage persons as consultants to assist the Committee in
the performance of its functions.
(2) The Presiding Member may only engage
persons who have suitable qualifications and experience.
(3) The Presiding Member may, on behalf of a
Selection Committee, engage persons to perform clerical or administrative
services in connection with the performance of the Committee’s functions.
(4) The terms and conditions of engagement of
persons under subsection (1) or (3) are to be determined by the Committee.
141P
Presiding Member to abolish Selection Committee
Where:
(a) the Minister has appointed to the
Panel a person or persons nominated by a Selection Committee; and
(b) the Committee has not made any
nominations for appointment that have yet to be accepted or rejected by the
Minister; and
(c) there
are no matters in a request by the Minister under section 141 or 141E that
are still to be dealt with by the Committee;
the Presiding Member must abolish the Committee.
141Q
Annual reports of Selection Committees
(1) The Presiding Member must, as soon as
practicable after 30 June in each year, prepare and give to the Minister a
report on the operations, during the immediately preceding financial year, of
Selection Committees (if any) established by the Presiding Member or any other
Presiding Member.
(2) Where the first appointment of a
Presiding Member does not begin on 1 July, subsection (1) has effect
in relation to the period beginning on the day the appointment begins and
ending on the next 30 June as if:
(a) if the period is less than 3
months—the period were included in the next financial year; or
(b) in any other case—the period were
a financial year.
(3) A report for a financial year may,
subject to agreement between the Presiding Member and the Secretary of the
Department, be included, as a discrete part, in the annual report of the
Department for that financial year.
(4) If subsection (3) does not apply to
a report under this section, the Minister must cause a copy of the report to be
laid before each House of the Parliament within 15 sitting days of that House
after the Minister receives the report.
Division 3—Review by Panel
142
Function
(1) The Panel has the function of reviewing
decisions mentioned in subsection 23(1) made by AFMA or a Joint Authority as to
the person or persons to whom the grant of a fishing right in a managed fishery
is to be made.
(2) It is not a function of the Panel to
review the first decision to grant fishing rights made by AFMA under the first
plan of management determined by AFMA for the fishery known as the Northern
Prawn Fishery or for the fishery known as the Southern Bluefin Tuna Fishery.
143
Application to Panel for review
(1) A person who:
(a) is dissatisfied with a decision
that is reviewable under section 142; and
(b) was
registered under section 26 in relation to the grant of a fishing right to
which the decision relates;
may, within 14 days after being notified by AFMA or by the
Joint Authority of the decision, by written notice, apply to the Panel for
review of the decision.
(2) An application for review must:
(a) include details of the decision in
respect of which review is sought; and
(b) include details of the reasons why
the review is sought.
144
AFMA or Joint Authority to be notified of application for review
(1) Where an application for a review of a
decision is made under section 143, the Principal Member must, as soon as
practicable, give written notice of the making of the application:
(a) to AFMA or the Joint Authority,
whichever made the decision; and
(b) to each other person who was
registered under section 26 in relation to the grant of a fishing right to
which the decision related.
(2) Where AFMA or a Joint Authority is
notified of an application for review, it must, within 14 days of being so
notified, give to the Principal Member a copy of:
(a) the reasons for the decision; and
(b) each other document or part of a
document that is in the possession or control of AFMA or the Joint Authority
and is considered by it to be relevant to the review of the decision,
including, if required by the Panel, documents relating to the general state of
the fishery to which the decision under review relates.
(3) A person (including AFMA), or a Joint
Authority, to whom a notice is given under subsection (1) is a party to
the proceeding before the Panel.
145
Arrangements for hearing of application
(1) If an application is made to the Panel
for review of a decision, the Principal Member must fix the date, time and
place for the hearing of the application.
(2) The Principal Member must give to each
party to a proceeding before the Panel written notice of the date, time and
place fixed for the hearing of the application.
146
Powers of the Panel etc.
(1) For the purposes of the review of a decision,
the Panel may:
(a) take evidence on oath or
affirmation; and
(b) adjourn the review from time to
time.
(2) The
Principal Member may, in relation to a review:
(a) summon a person to appear before
the Panel to give evidence; and
(b) summon a person to produce to the
Panel such documents as are referred to in the summons; and
(c) require a person appearing before
the Panel to give evidence to take an oath or to make an affirmation; and
(d) administer an oath or affirmation
to a person so appearing.
(3) The oath or affirmation to be taken or
made by a person for the purposes of this section is an oath or affirmation
that the evidence that the person will give will be true.
(4) A person appearing before the Panel to
give evidence is not entitled:
(a) to be represented before the Panel
by any other person; or
(b) to examine or cross‑examine any
other person appearing before the Panel to give evidence.
(5) Despite anything else contained in this
section, the Panel may accept from a person, instead of oral evidence, a
written statement verified by statutory declaration.
147
Procedure of Panel
(1) In a proceeding before the Panel:
(a) the procedure of the Panel is,
subject to this Act and the regulations, within the discretion of the Panel;
and
(b) the proceeding is to be conducted
with as little formality and technicality, and as quickly, as the requirements
of this Act and a proper consideration of the matter before the Panel permit;
and
(c) the Panel is not bound by rules of
evidence but may inform itself on any matter in any way it thinks appropriate.
(2) For the purposes of subsection (1),
directions as to the procedure to be followed at or in connection with the
hearing of an application may be given:
(a) where the hearing has not commenced—by
the Principal Member or by a member authorised by the Principal Member to give
directions for the purposes of this paragraph; and
(b) where the hearing of the
application has commenced—by the Principal Member or by any other member
authorised by the Principal Member to give such directions.
(3) A direction may be varied or revoked at
any time by any member empowered to give such a direction.
(4) The Principal Member may at any time vary
or revoke an authorisation under this section.
148
Representation before Panel
At the hearing of an application, a
party to the proceeding may appear in person or may be represented by some
other person.
149
Oral evidence usually given in public
(1) Subject to this section, the Panel is to
take oral evidence in public.
(2) Where the Panel is satisfied that it is
in the public interest to do so, the Panel may direct that particular oral
evidence, or oral evidence for the purposes of a particular review, is to be
taken in private.
(3) Where the Panel gives a direction under subsection (2),
it may give directions as to the persons who may be present when the oral
evidence is given.
150
Powers in relation to decisions under review
(1) The Panel may, for the purposes of
reviewing a decision, exercise all the powers and discretions that are
conferred by this Act on the person or persons who made the decision.
(2) The Panel may:
(a) affirm the decision; or
(b) vary the decision; or
(c) set the decision aside and
substitute a new decision.
(3) If the Panel:
(a) varies the decision; or
(b) sets
aside the decision and substitutes a new decision;
the decision as varied or substituted is (except for the
purposes of applications to the Panel for review or of appeals from decisions
of the Panel) taken to be a decision of AFMA or the Joint Authority, as the
case may be.
(4) A decision made by the Panel takes effect
when the applicant is notified of the decision under subsection 160(2).
151
Withdrawal of application for review
(1) An applicant for review of a decision may
withdraw the application at any time.
(2) A withdrawal may be made by sending or
delivering written notice of withdrawal to the Panel.
152
Power to dismiss application
(1) If:
(a) a person makes an application to
the Panel for review of a decision; and
(b) the
Principal Member is satisfied, either after having communicated with the person
or having made reasonable attempts to contact the person and having failed to
do so, that the person does not intend to proceed with the application;
the Principal Member may dismiss the application.
(2) If the Principal Member dismisses an
application under subsection (1) the application is taken to have been
withdrawn at the time when the application is dismissed.
153
Refusal to be sworn or to answer questions etc.
(1) A person
appearing before the Panel to give evidence must not:
(a) when required under section 146
either to take an oath or to make an affirmation—refuse or fail to comply with
the requirement; or
(b) refuse
or fail to answer a question that the person is required to answer by the
Panel.
Penalty: 30 penalty units.
(1A) Subsection (1) does not apply if the
person has a reasonable excuse.
Note: The defendant bears an evidential burden in
relation to the matter in subsection (1A). See subsection 13.3(3) of the Criminal
Code.
(1B) In paragraph (1)(a), strict liability
applies to the physical element of circumstance, that the requirement is under
section 146.
Note: For strict liability, see section 6.1 of
the Criminal Code.
(2) A person
must not refuse or fail to produce a document that a person is required to
produce by a summons under section 146 served on the person as prescribed.
Penalty: 30 penalty units.
(2A) Subsection (2) does not apply if the
person has a reasonable excuse.
Note: The defendant bears an evidential burden in
relation to the matter in subsection (2A). See subsection 13.3(3) of the Criminal
Code.
(2B) In subsection (2), strict liability
applies to the physical element of circumstance, that the requirement is under
section 146.
Note: For strict liability, see section 6.1 of
the Criminal Code.
(3) A person
appearing before the Panel to give evidence must not intentionally give
evidence, knowing that it is false or misleading in a material particular.
Penalty: Imprisonment for 6 months.
154
Majority decision
Any question relating to the review of a
decision before the Panel is to be decided:
(a) according to the opinion of a
majority of the members constituting the Panel for the purposes of the review;
or
(b) if the Panel, for a reason
mentioned in section 130, is constituted by the Principal Member and
another member—according to the opinion of the Principal Member.
155
Panel may restrict publication of certain matters
(1) Where the Panel is satisfied, in relation
to a review, that it is in the public interest that:
(a) any evidence given before the
Panel; or
(b) any information given to the
Panel; or
(c) the contents of any document
produced to the Panel;
should not be published, or should not be published except
in a particular manner and to particular persons, the Panel may give a written
direction accordingly.
(2) A person
must not contravene a direction given by the Panel under subsection (1).
Penalty: Imprisonment for 6 months.
(3) Where the Panel has given a direction
under subsection (1) in relation to the publication of any evidence or
information or of the contents of a document, the direction does not:
(a) excuse the Panel from its
obligations under section 160; or
(b) prevent a person from
communicating to another person a matter contained in the evidence, information
or document if the first‑mentioned person has knowledge of the matter otherwise
than because of the evidence or information having been given or the document
having been produced to the Panel.
156
Failure of witness to attend
(1) A person who has been served, as
prescribed, with a summons to appear before the Panel to give evidence and
tendered reasonable expenses must not:
(a) fail to attend as required by the
summons; or
(b) fail
to appear and report from day to day unless excused, or released from further
attendance, by a member.
Penalty: 30 penalty units.
(2) Subsection (1) does not apply if the
person has a reasonable excuse.
Note: The 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 under subsection (1) is
an offence of strict liability.
Note: For strict liability, see section 6.1 of
the Criminal Code.
157
Protection of members and persons giving evidence
(1) A member has, in the performance of his
or her duties as a member, the same protection and immunity as a member of the
Administrative Appeals Tribunal.
(2) Subject to this Part, a person summoned
to attend, or appearing, before the Panel to give evidence has the same
protection, and is, in addition to the penalties provided by this Part, subject
to the same liabilities, as a witness in a proceeding before the Administrative
Appeals Tribunal.
158
Fees for persons giving evidence
(1) A person, other than a party to a
proceeding, summoned to appear before the Panel to give evidence is entitled to
be paid, in respect of his or her attendance, fees and allowances for expenses,
fixed by or in accordance with the regulations.
(2) The fees
and allowances are to be paid:
(a) where a party to a proceeding
notifies the Panel that he or she wants the Panel to obtain evidence from the
person—by the party; and
(b) in any other case—by AFMA.
159
Person must not obstruct etc.
A person must not:
(a) obstruct or hinder the Panel or a
member in the performance of the functions of the Panel; or
(b) disrupt
the taking of evidence by the Panel.
Penalty: Imprisonment for 6 months.
160
Procedure following Panel decision
(1) Where the Panel makes its decision on a
review, the panel is to prepare a written statement:
(a) setting out the decision of the
Panel on the review; and
(b) setting out the reasons for the
decision.
(2) The Panel must give each party to the
proceeding a copy of the statement as soon as practicable after the decision
concerned is made.
Division 4—Appeals
161
Appeal to Federal Court of Australia on question of law
(1) An appeal lies to the Federal Court of
Australia, on a question of law, from any decision of the Panel made under this
Part.
(2) An appeal may be instituted by a party to
a proceeding before the Panel.
(3) An appeal must be instituted within 28
days after the appellant is notified under subsection 160(2) of the decision
concerned.
(4) The Federal Court of Australia is to hear
and determine the appeal and may make such order as it thinks appropriate.
(5) Without limiting the generality of subsection (4),
the orders that may be made by the Federal Court of Australia on an appeal
include:
(a) an order affirming or setting
aside the Panel’s decision; and
(b) an order remitting the matter to
be reviewed and decided again, either with or without the taking of further
evidence, by the Panel in accordance with the directions of that court.
162
Operation etc. of decision subject to appeal
(1) Subject to this section, the institution
of an appeal to the Federal Court of Australia from a decision of the Panel
does not:
(a) affect the operation of the
decision; or
(b) prevent the taking of action to
implement the decision; or
(c) prevent the taking of action in
reliance on the making of the decision.
(2) Where an appeal is instituted in the
Federal Court of Australia from a decision of the Panel, that court or a Judge
of that court may make such orders of the kind mentioned in subsection (3)
as that court or Judge considers appropriate for the purpose of securing the
effectiveness of the hearing and the determination of the appeal.
(3) The orders that may be made under subsection (2)
are orders staying, or otherwise affecting the operation or implementation of,
either or both of the following:
(a) the decision of the Panel or a
part of the decision;
(b) the decision to which the
proceeding before the Panel related or a part of the decision.
(4) The Federal Court of Australia or a Judge
of that court may, by order, vary or revoke an order in force under subsection (2)
(including an order that has previously been varied under this subsection).
(5) An order in force under subsection (2):
(a) is subject to such conditions as
are specified in the order; and
(b) has effect until:
(i) where a period for the
operation of the order is specified in the order—the end of that period or, if
a decision is given on the appeal before the end of that period, the giving of
the decision; or
(ii) where no period is so
specified—the giving of a decision on the appeal.
Part 9—Miscellaneous
Division 1—Electronic decision‑making
163A
What this Division is about
This Division is about AFMA using a
computer program to make certain decisions.
163B
Electronic decision‑making
(1) AFMA may approve a computer program,
which is under AFMA’s control, to be used to make a decision under:
(a) section 32; or
(b) section 32A; or
(c) section 46; or
(d) section 91; or
(e) a plan of management; or
(f) another provision of the
fisheries legislation that is prescribed under the regulations.
(2) While the approval is in force, the
outcome of the use of the computer program (an electronic decision)
is taken to be:
(a) a decision; and
(b) a decision made by AFMA.
(3) AFMA’s approval must be made in writing.
(4) An approval made under this section is
not a legislative instrument.
163C
Replacing an electronic decision
(1) This section applies if AFMA is satisfied
that an electronic decision that was made by a computer program was made at a
time when the computer program was not functioning correctly.
(2) A computer program is not functioning
correctly if the electronic decision that was made by the computer program is
not the same as the decision that AFMA would have made if an employee of AFMA
had made the decision.
Example: A computer program may not be functioning
correctly because of a computer virus or because of a typographical error that
was made when data was entered into the computer.
(3) AFMA may revoke the electronic decision
and replace it with the decision that AFMA would have made if an employee of
AFMA had made the decision.
(4) AFMA may do so:
(a) on its own initiative; or
(b) on the written application of the
applicant who had sought the electronic decision.
(5) If AFMA revokes an electronic decision
after AFMA has notified the applicant about the electronic decision, AFMA must,
as soon as practicable after revoking the electronic decision, give to the
applicant a written notice that states:
(a) that the electronic decision has
been revoked; and
(b) the reasons for revoking the
electronic decision; and
(c) the new decision.
163D Evidence of whether computer is functioning
correctly
(1) In any proceedings, a computer function
notice is prima facie evidence of the matters that are stated in the notice.
(2) A computer function notice
is a document that:
(a) is, or is purported to be, signed
by the CEO; and
(b) states whether or not a specified
computer program was functioning correctly:
(i) in relation to a
specified electronic decision; and
(ii) at a specified time or
during a specified period.
(3) A computer program is functioning
correctly if an electronic decision that the computer program makes is the same
as the decision that AFMA would have made if an employee of AFMA had made the
decision.
163E Return of fishing concession certificate not
necessary
(1) This section applies if a plan of
management requires the holder of a fishing concession to return the fishing concession
certificate to AFMA.
(2) The fishing concession certificate
is the certificate that AFMA issued to the holder of the fishing concession as
evidence of the grant of the fishing concession.
(3) The holder of the fishing concession is
no longer required to return the fishing concession certificate to AFMA.
Division 2—Other miscellaneous provisions
163
Delegation by Minister
The Minister may, by signed instrument,
delegate to:
(a) the Commission; or
(b) the CEO; or
(ba) an AFMA staff member; or
(c) an
officer of the Department;
any of the Minister’s powers and functions under this Act
other than powers and functions under sections 18, 20, 74, 74A and 75.
164
Conduct of directors, servants and agents
(1) Where, in proceedings for an offence against
this Act it is necessary to establish the state of mind of a body corporate in
relation to particular conduct, it is sufficient to show:
(a) that the conduct was engaged in by
a director, servant or agent of the body corporate within the scope of his or
her actual or apparent authority; and
(b) that the director, servant or
agent had the state of mind.
(2) Any conduct engaged in on behalf of a
body corporate by a director, servant or agent of the body corporate within the
scope of his or her actual or apparent authority is taken, for the purposes of
a prosecution for an offence against this Act, to have been engaged in also by
the body corporate unless the body corporate establishes that the body
corporate took reasonable precautions and exercised due diligence to avoid the
conduct.
(3) Where, in proceedings for an offence
against this Act, it is necessary to establish the state of mind of a person
other than a body corporate in relation to particular conduct, it is sufficient
to show:
(a) that the conduct was engaged in by
a servant or agent of the person within the scope of his or her actual or
apparent authority; and
(b) that the servant or agent had the
state of mind.
(4) Any conduct engaged in on behalf of a
person other than a body corporate by a servant or agent of the person within
the scope of his or her actual or apparent authority is taken, for the purposes
of a prosecution for an offence against this Act, to have been engaged in also
by the first‑mentioned person unless the first‑mentioned person establishes
that the first‑mentioned person took reasonable precautions and exercised due
diligence to avoid the conduct.
(5) Where:
(a) a person other than a body
corporate is convicted of an offence; and
(b) the
person would not have been convicted of the offence if subsections (3) and
(4) had been enacted;
the person is not liable to be punished by imprisonment
for that offence.
(6) A reference in subsection (1) or (3)
to the state of mind of a person includes a reference to:
(a) the knowledge, intention, opinion,
belief or purpose of the person; and
(b) the person’s reasons for the
intention, opinion, belief or purpose.
(7) A reference in this section to a director
of a body corporate includes a reference to a constituent member of a body
corporate incorporated for a public purpose by a law of the Commonwealth, of a
State or of a Territory.
(8) A reference in this section to engaging
in conduct includes a reference to failing or refusing to engage in conduct.
(9) A reference in this section to an offence
against this Act includes a reference to:
(a) an offence created by the
regulations; and
(b) an offence against section 6
of the Crimes Act 1914, or section 11.1, 11.4 or 11.5 of the Criminal
Code, that relates to an offence against this Act or the regulations.
(10) Part 2.5 of the Criminal Code
does not apply to an offence against this Act.
Note: Part 2.5 of the Criminal Code
deals with corporate criminal responsibility.
165
Reconsideration by AFMA and right to review by Administrative Appeals Tribunal
(1) In this section, unless the contrary
intention appears:
decision has the same meaning as in the
Administrative Appeals Tribunal Act 1975.
relevant decision means a decision of AFMA
under subsection 4(2), 4(3), 22(5) or 26(2), section 31 (other than a
decision following an auction or tender), paragraph 31B(1)(b), section 31C,
subsection 31F(7), section 32 or 33, subsection 34(9), 38(1), (2) or (3),
section 39, subsection 40(5) or (8) or section 91.
reviewable decision means a decision of AFMA
under
subsection (5).
(1A) The first decision made by AFMA to register
persons under subsection 26(2) in connection with the first plan of management
determined by AFMA for the fishery known as the Northern Prawn Fishery or for
the fishery known as the Southern Bluefin Tuna Fishery is not a relevant
decision for the purposes of this section.
(2) A person affected by a relevant decision
who is dissatisfied with the decision may:
(a) within 21 days after being
notified of the decision; or
(b) within
such further period (if any) as AFMA, upon application made under subsection (3),
by written notice to the person allows;
request AFMA, in writing, to reconsider the decision.
(3) A person, before the end of the period
mentioned in paragraph (2)(a), may apply to AFMA for an extension of time
within which to request a reconsideration of the decision.
(4) The request must set out the reasons for
making the request.
(5) AFMA must, within 45 days after receiving
the request, reconsider the relevant decision and may make a decision:
(a) in substitution for the relevant
decision whether in the same terms as the relevant decision or not; or
(b) revoking the relevant decision.
(6) Where, as a result of a reconsideration
under subsection (5), AFMA makes a decision in substitution for or
revoking the relevant decision, AFMA must, by written notice given to the
person who made the request under subsection (2) for the reconsideration:
(a) inform the person of the result of
the reconsideration; and
(b) give the reasons for the decision.
(7) An application may be made to the
Administrative Appeals Tribunal for a review of a reviewable decision.
(8) An application made by a person to the
Administrative Appeals Tribunal for a review of a reviewable decision where the
primary decision was under subsection 26(2) must be lodged with that Tribunal
within 14 days of giving the notice mentioned in subsection (6).
(9) Section 37 of the Administrative
Appeals Tribunal Act 1975 applies in respect of an application mentioned in
subsection (8) as if references in that section to 28 days were references
to 14 days.
(10) The Administrative Appeals Tribunal must,
as soon as practicable after the lodging of documents with that Tribunal under
section 37 of the Administrative Appeals Tribunal Act 1975, in
relation to an application mentioned in subsection (8) convene a
directions hearing to determine a timetable for disposing of the matter.
(11) Where a relevant decision is made and the
person who made the relevant decision gives to a person whose interests are
affected by the decision written notice of the making of the decision, that
notice must include a statement to the effect that a person affected by the
decision:
(a) may, if the person is dissatisfied
with the decision, seek a reconsideration of the decision by AFMA under
subsection (2); and
(b) may, subject to the Administrative
Appeals Tribunal Act 1975, if the person is dissatisfied with a decision of
AFMA upon that reconsideration, make application to the Administrative Appeals
Tribunal for review of that decision.
(12) Where AFMA makes a reviewable decision and
gives to a person whose interests are affected by the decision written notice
of the making of the decision, that notice must include a statement to the effect
that, subject to the Administrative Appeals Tribunal Act 1975,
application may be made to the Administrative Appeals Tribunal for review of
the decision to which the notice relates by or on behalf of a person whose
interests are affected by the decision.
(13) Any failure to comply with the
requirements of subsection (11) or (12) in relation to a decision does not
affect the validity of the decision.
166
Evidence
(1) In any proceedings for an offence against
this Act, an averment of the prosecutor, contained in the information or
complaint, that:
(a) the defendant was at a particular
place at the time of the alleged offence; or
(b) the boat, aircraft or other thing
referred to in the information or complaint was at a particular place at the
time of the alleged offence; or
(c) fishing
engaged in by or from a boat, not being a charter boat, in relation to which a
fishing concession was in force at the time of the alleged offence was
commercial fishing;
is prima facie evidence of the matter averred.
(2) AFMA may give a certificate:
(a) that, at a time or during a period
specified in the certificate, a boat specified in the certificate was, or was
not, an Australian boat; or
(b) that, at a time or during a period
specified in the certificate, an area of waters specified in the certificate
was part of the AFZ; or
(ba) that, at a time or during a period
specified in the certificate, an area of waters specified in the certificate:
(i) was part of the
territorial sea of Australia that was, at the time or during the period, in the
AFZ; and
(ii) was not part of
coastal waters taken to be in the AFZ because of section 76; or
(c) that, at a time or during a period
specified in the certificate, a person specified in the certificate was, or was
not, the holder of a statutory fishing right that was in force in relation to a
managed fishery specified in the certificate; or
(d) that, at a time or during a period
specified in the certificate, a person specified in the certificate was, or was
not, or no person was, the holder of a fishing permit that was in force
authorising the use of a boat specified in the certificate for commercial
fishing in an area of the AFZ, or a specified fishery, specified in the
certificate; or
(e) that, at a time or during a period
specified in the certificate, a person specified in the certificate was, or was
not, or no person was, the holder of a scientific permit that was in force
authorising the use of a boat specified in the certificate for scientific
research purposes in an area of the AFZ, or a fishery, specified in the
certificate; or
(f) that, at a time or during a
period specified in the certificate, a person specified in the certificate was,
or was not, or no person was, the holder of a foreign fishing licence that was
in force authorising the use of a foreign boat specified in the certificate for
commercial fishing in an area of the AFZ, or a fishery, specified in the
certificate; or
(g) that, at a time or during a period
specified in the certificate, a person specified in the certificate was, or was
not, the holder of a foreign master fishing licence that was in force
authorising the person to be in charge of a foreign fishing boat being used for
commercial fishing in an area of the AFZ, or a fishery, specified in the certificate;
or
(h) that, at a time or during a period
specified in the certificate, a person specified in the certificate was, or was
not, the holder of a fish receiver permit that was in force authorising the
person to receive fish from a person engaged in fishing in a fishery specified
in the certificate; or
(i) that,
at a time or during a period specified in the certificate, a person specified
in the certificate was, or was not, or no person was, the holder of a fish
receiver permit that was in force specifying premises specified in the
certificate as premises at which fish received under the permit by the holder
of the permit are to be kept while in the possession of the holder; or
(j) that, at a time or during a
period specified in the certificate, a person specified in the certificate was,
or was not, or no person was, the holder of a port permit authorising the
bringing of a foreign boat specified in the certificate into a port in
Australia, or in an external Territory, specified in the certificate; or
(k) that, at a time or during a period
specified in the certificate, notice of a temporary order was given in the
manner specified in the certificate.
(3) The
Minister may give a certificate:
(a) that at a particular time
specified in the certificate the Minister had notified all the parties to the
Treaty that an investigation of an alleged contravention of the kind mentioned
in paragraph 37(2)(a) was being conducted in relation to a Treaty boat
specified in the certificate in respect of which a Treaty licence was in force
and that the Minister had not, at or before a particular time specified in the
certificate, notified the Administrator that the investigation had been
completed; or
(b) that at a particular time
specified in the certificate, the Minister was notified in writing by the
Administrator of the suspension, in accordance with the Treaty, of a Treaty
licence issued in respect of a Treaty boat specified in the certificate and
either:
(i) at a particular time
specified in the certificate the Minister was notified in writing by the
Administrator that the Treaty licence was no longer suspended; or
(ii) at a particular time
specified in the certificate no such notification had been received by the
Minister; or
(c) that
a document attached to the certificate and stating:
(i) the date on which a
Treaty licence was issued by the Administrator, or if more than one such Treaty
licence has been issued by the Administrator, the date on which the most recent
Treaty licence was so issued, in respect of the boat specified in the document
and the date on which that Treaty licence expires; or
(ii) that
there has been no Treaty licence issued by the Administrator in respect of the
boat specified in the document;
is a copy of a letter, facsimile
transmission, telex or cablegram received by an officer or AFMA staff member or
the Commonwealth from the Administrator; or
(d) that a document that:
(i) is attached to the
certificate; and
(ii) states that the person
named in the document was, at the time or during the period specified in the
document, authorised by or under the law of the Pacific Island party specified
in the document to perform the functions and duties of an observer on Treaty
boats;
is a copy of a letter, facsimile
transmission, telex or cablegram received by an officer or employee of AFMA or
the Commonwealth from an authority of that Pacific Island party.
(5) The Minister may give a certificate
certifying as to any matter relating to the making of decisions by a Joint
Authority or relating to instruments executed by a Joint Authority.
(6) A person giving a certificate under this
section that a person was the holder of a statutory fishing right or of a
licence or permit granted under this Act may, in the certificate, certify that
conditions specified in the certificate were the conditions to which the
fishing right, licence or permit, as the case may be, was subject.
(7) In proceedings for an offence against
this Act or the regulations, a certificate given under this section is:
(a) in all cases—prima facie evidence
of the matters stated in the certificate; and
(b) in the case of a certificate of
the kind mentioned in paragraph (3)(c) or (d) given in respect of a
particular document—prima facie evidence of the matters stated in that
document.
(8) A document purporting to have been
signed, issued or given under this Act is, on mere production, admissible in
any proceedings as prima facie evidence of the fact that it was duly signed,
issued or given.
167
AFMA to compile statistics
(1) AFMA must cause to be compiled, from
logbooks or returns furnished under section 42 or from other sources,
statistics in relation to matters mentioned in subsection 42(1B).
(1A) AFMA may publish or make available, in any
way it thinks fit, any of the statistics compiled under subsection (1).
(2) AFMA, if directed in writing by the
Minister to do so, must make available to a person specified by the Minister
such statistics mentioned in subsection (1) as are specified by the
Minister.
167A
Compensation for acquisition of property
(1) If, apart from this section, the
operation of this Act would result in the acquisition of property from a person
otherwise than on just terms, the Commonwealth is liable to pay reasonable
compensation to the person.
(2) If the Commonwealth and the person do not
agree on the amount of the compensation, the person may apply to the Federal
Court to determine a reasonable amount of compensation.
(3) The jurisdiction of the Federal Court is
exclusive of the jurisdiction of all other courts except that of the High
Court.
(4) Any damages or compensation recovered, or
other remedy given, in a proceeding begun otherwise than under this section
must be taken into account in assessing compensation payable in a proceeding
begun under this section and arising out of the same event or transaction.
(5) In this section:
acquisition of property and just terms
have the same meaning as in paragraph 51(xxxi) of the Constitution.
167B
AFMA may give information about boats to Customs
(1) This section applies if AFMA has any
information relating to boats that AFMA got by means of a vessel monitoring
system (see subsection (4)).
(2) AFMA may give information of that kind to
Customs if AFMA, having had regard to any advice received from Customs,
considers that giving Customs the information would help Customs to perform a
function or activity of Customs that relates to civil surveillance.
(3) This section does not, by implication,
affect any other power of AFMA to give information.
(4) In this section:
vessel monitoring system means a system in
which boats are fitted with an electronic device that can give information
about the boats’ course or position, or other such information.
168
Regulations
(1) The Governor‑General may make
regulations, not inconsistent with this Act, prescribing all matters:
(a) required or permitted by this Act
to be prescribed; or
(b) necessary or convenient to be
prescribed in carrying out or giving effect to this Act.
(2) Without limiting the generality of subsection (1),
regulations may be made:
(a) prescribing penalties not
exceeding 25 penalty units for offences against the regulations; and
(b) providing for the remission or
refund of levy under the Fishing Levy Act 1991 or the Foreign Fishing
Licences Levy Act 1991 or of charge under the Statutory Fishing Rights
Charge Act 1991 or of penalty payable under Part 7 in relation to such
levy or charge; and
(c) providing for giving effect to,
and enforcing the observance of, plans of management; and
(d) providing for the replacement of
certificates, licences, permits and other instruments granted or executed under
this Act or the regulations and prescribing fees for such replacement; and
(e) providing for the imposition and
recovery of fees in respect of:
(i) draft plans of
management being made available; and
(ii) the making of
applications under this Act; and
(iii) the lodging and
registration of documents; and
(iiia) the giving of a notice
to AFMA nominating an Australian boat under paragraph 32(1A)(b) or subsection
32(1B); and
(iv) the issue of a document
mentioned in subsection 53(2); and
(v) the supplying of signed
copies of, or extracts from, entries in the Register or instruments evidencing
dealings registered in the Register; and
(f) providing for the return to a
person ascertained in accordance with the regulations or a plan of management
of:
(i) certificates,
licences, permits and other instruments granted or executed under this Act or
the regulations; or
(ii) certificates
and other documents issued to a person under a plan of management;
that have been cancelled; and
(g) prescribing signals and rules of
navigation to be observed in the AFZ by masters of boats in respect of which a
fishing rights, or any licences or permits, are in force under this Act or under
the Treaty; and
(h) providing for the marking of boats
engaged in commercial fishing in the AFZ and of nets, traps and other equipment
used for taking fish; and
(ha) providing for the marking of
Australian‑flagged boats in relation to which fishing concessions or scientific
permits allowing fishing outside the AFZ are in force; and
(hb) subject to section 8A,
providing for the placement of persons as observers on board boats used for
commercial fishing; and
(i) enabling a person who is alleged
to have contravened section 93, 95 or 100 or a determination made for the
purposes of section 42 to pay to AFMA, as an alternative to prosecution, a
specified penalty, not exceeding the maximum penalty by which a contravention
of that provision is otherwise punishable; and
(j) providing for the sale or
disposal of unclaimed nets, traps or other fishing equipment found in the AFZ;
and
(k) regulating the rights of priority
as between masters of boats in respect of which a fishing concession is in
force under this Act in the AFZ and for prescribing the rules of fishing in the
AFZ; and
(l) facilitating the exercise by
officers of their powers under section 84 (as it applies of its own force
or because of section 87, 87G or 87HA); and
(m) providing for the inspection of
foreign boats the use of which is authorised by a foreign fishing licence or a
Treaty licence and of nets, traps and other equipment belonging to such boats
and of fish taken with the use of such boats; and
(n) providing for the reporting of the
positions of boats:
(i) the use of which is
authorised by a fishing concession at times when such boats are in the AFZ; or
(ii) in relation to which
an approval is in force under regulations made for the purposes of paragraph
101(1)(c); and
(na) providing for the use of systems
for reporting the position of Australian‑flagged boats when on the high seas in
an area covered by an international fisheries management organisation; and
(o) providing procedures to be
followed to facilitate the recognition of foreign boats the use of which is
authorised by a foreign fishing licence; and
(p) prescribing short methods of
reference to areas of the AFZ specified in the regulations and the purposes for
which those methods of reference may be used; and
(q) providing for the furnishing of
information relating to persons on board:
(i) a boat that is in the
AFZ, being a boat the use of which is authorised by a fishing concession; and
(ii) an Australian boat
engaged in fishing outside the AFZ; and
(r) providing for the carrying of
persons on board boats the use of which is authorised by a fishing concession;
and
(s) providing for the furnishing of
information relating to the use in the AFZ of foreign boats the use of which is
authorised by a foreign fishing licence; and
(t) providing for the giving by AFMA
of certificates as to the giving, or not giving, of approvals under regulations
made for the purposes of paragraph 101(1)(c); and
(u) providing (in addition to the
collection of information in the exercise or performance of its other powers
and functions under this Act) for the collection by AFMA of information
relating to:
(i) possible breaches of
the laws of Australia or of a foreign country; or
(ii) the control and
protection of Australia’s borders; or
(iii) the administration and
management of fisheries or marine environments; or
(iv) research or monitoring
conducted, or proposed to be conducted, into fisheries or marine environments;
and
(v) providing for the disclosure by
AFMA of information, including personal information, relating to:
(i) possible breaches of
the laws of Australia or of a foreign country; or
(ii) the control and
protection of Australia’s borders; or
(iii) the administration and
management of fisheries or marine environments; or
(iv) research or monitoring
conducted, or proposed to be conducted, into fisheries or marine environments.
(3) Notwithstanding section 49A of the Acts
Interpretation Act 1901, the regulations may make provision for or in
relation to a matter by applying, adopting or incorporating, with or without
modification, any matter contained in a plan of management, being a plan of
management as in force at a particular time or as in force from time to time.
SCHEDULE 6
PURSE SEINE UNLOADING LOGSHEET
Radio Call Sign or
Vessel Name .................................. Regional
Register No. ................
(1) Port
..................................................................................................
or, If at sea,
position: Lat .................................. Long ............................
(2) Dates
(a).. At
unloading point
...... Arrival .................................. Departure
.............................
(b).. At
unloading
...... Commencement
.................... Completion ..........................
(3) Partial
or complete unloading ...........................................................
(4) Unloading
to ....................................................................................
(5) (a) Carrier
Vessel Name .................................................................
and
Radio call sign or regional Register No. .....................................
or
(b).. Name and
address of company accepting fish ..........................
.................................................................................................................
(6) Destination
of fish ...........................................................................
.................................................................................................................
(7) Quantity
unloaded
|
|
Yellowfin
|
Skipjack
|
Bigeye
|
Marlin
|
Other
|
Unit of Measurement
|
|
Accepted
|
.............
|
.............
|
.............
|
.............
|
.........
|
................
|
|
Rejected
|
............
|
.............
|
.............
|
............
|
.........
|
................
|
|
Signatures
|
|
|
|
|
|
|
.................................................................................................................
Vessel Master Receiving
Agent
ANNEX II
1. For the
purposes of this Annex:
(a) “Licensing
Period” means the period of validity of licences issued in accordance with this
Treaty.
2. The Government
of the United States shall make application for a licence in respect of any
fishing vessel of the United States intended by the operator to be used for
purse seine fishing in the Licensing Area at any time in the Licensing Period
by providing to the Administrator a complete application form as set out in
Schedule 1.
3. Licences
issued pursuant to this Treaty shall not take effect until the Administrator
has received payment, free of any charges whatsoever, of the amounts set out in
Part 1 of Schedule 2 for that Licensing Period in the manner
described in that Schedule. Other financial commitments shall be provided
during the Licensing Period pursuant to Part 2 of Schedule 2.
4. Subject to
paragraph 5, a licence may be denied:
(a) where
the application is not in accordance with the requirements of paragraph 2;
(b) where
the owner or charterer is the subject of proceedings under the bankruptcy laws
of the United States, unless reasonable financial assurances have been provided
to the Administrator;
(c) where
the vessel in respect of which application for a licence has been made does not
have good standing on the Regional Register of Foreign Fishing Vessels,
maintained by the South Pacific Forum Fisheries Agency, provided that:
(i) good
standing is withdrawn only as a result of:
(A) the
commission of a serious offence against fisheries laws or regulations of a Pacific Island State and the operator has not fully complied with any civil or criminal
judgment rendered with respect to such an offence;
(B) evidence
existing that gives reasonable cause to believe that the operator has committed
a serious offence against the fisheries laws or regulations of any Pacific
Island State and that it has not been possible to bring the vessel operator to
trial; or
(C) the
vessel operator has failed to comply with information requirements for
registration as notified by the Administrator to the Government of the United States;
(ii) the
Pacific Island party requesting withdrawal of good standing has first consulted
the Government of the United States and has made all reasonable efforts to
resolve the dispute in question before utilizing the procedures for withdrawal
of good standing;
(iii) in
the event of a request for withdrawal of good standing from the Regional
Register of Foreign Fishing Vessels of a vessel licensed pursuant to this
Treaty, the Pacific Island parties agree to take into consideration that vessel’s
compliance with the terms of this Treaty in determining whether to approve such
a request; and
(iv) following
a withdrawal of good standing the Pacific Island party involved promptly
advises the Government of the United States in writing of the reason for the
withdrawal and the requirements which must be fulfilled to reinstate good
standing;
(d) where
there has been a failure to satisfy a final judgment or other final
determination for a breach of this Treaty by the owner, charterer or master of
the vessel in respect of which application for a licence has been made, until
such time as the final judgment or other final determination is satisfied, and
subsequent change in ownership of a vessel shall not affect the application of
this provision; or
(e) where
an operator has committed, or the vessel has been used for:
(i) a
violation of this Treaty, providing that the Pacific Island parties, following
consultation with the Government of the United States, determine that the
violation is of a serious nature; or
(ii) any
violation of this Treaty on more than one occasion, providing that the Pacific
Island parties, following consultation with the Government of the United
States, determine that such multiple violations constitute a serious disregard
of this Treaty.
5. A maximum
number of licences may be issued for any Licensing Period as set out in
Schedule 2, and, upon request by the Government of the United States, the Pacific Island parties may agree to vary such number.
6. On receipt of an application for a licence in accordance with this
Annex, the Administrator shall take the necessary steps to ensure that:
(a) a
licence in the form set out in Schedule 3 in respect of the vessel
identified in the application; or
(b) a
statement setting out the reasons that a licence in respect of the vessel
identified in the application is denied together with a refund of the amount or
amounts provided with the application;
is promptly provided to the
Government of the United States.
SCHEDULE 1
TREATY ON FISHERIES BETWEEN THE GOVERNMENTS OF
CERTAIN PACIFIC ISLAND STATES AND THE GOVERNMENT OF THE UNITED STATES OF AMERICA
APPLICATION
FORM
Application is hereby made for a
licence authorising the use of the vessel named in this application for fishing
in the Licensing Area.
1.... FULL NAME OF VESSEL: ..............................................................
2.... RADIO CALL SIGN OF VESSEL: ...................................................
3.... REGIONAL REGISTER NUMBER OF VESSEL: ............................
4.... FULL NAME AND ADDRESS OF EACH PERSON WHO
IS AN OPERATOR OF THE VESSEL, AND STATE WHETHER OWNER, CHARTERER, MASTER OR
OTHER. IF OTHER, SPECIFY DETAILS:
..........................................................................................................
..........................................................................................................
5.... FULL NAME AND ADDRESS OF INSURER FOR
PURPOSES OF ARTICLE 4.3 (a) OF THE TREATY:
..........................................................................................................
6.... REGISTRATION NUMBER AND MAKE OF
HELICOPTER, IF ANY, TO BE CARRIED ON VESSEL:
..........................................................................................................
7.... REGISTRATION NUMBER AND MAKE OF ANY
AIRCRAFT TO BE USED IN ASSOCIATION WITH FISHING ACTIVITIES AND NAME AND ADDRESS
OF OPERATOR:
..........................................................................................................
8.... STATE WHETHER OWNER OR CHARTERER IS THE
SUBJECT OF PROCEEDINGS UNDER THE BANKRUPTCY LAWS OF THE UNITED STATES: .......................
9.... STATE WHETHER OPERATOR OR VESSEL HAS BEEN
INVOLVED IN A VIOLATION OF THIS TREATY. IF YES, SPECIFY DETAILS: ...........................................................
.........................................................................................................
..........................................................................................................
|
Date of application
|
Director
of the Southwest Region National Marine Fisheries Service National Oceanic
and Atmospheric Administration
|
SCHEDULE 2
PAYMENTS
The following amounts are payable
annually for a period of five (5) years pursuant to paragraph 3 of Annex II.
PART 1
1. The amounts
payable as set forth in this paragraph.
(a) Annual
industry payments shall be made as follows:
(i) for
the first annual Licensing Period, a lump sum of US$1.75 million for 35
vessels, with the next five licences to be made available for the same pro‑rata
payment as the first 35 licences, and an additional 10 licences to be made
available at US$60,000 per vessel;
(ii) for
subsequent annual Licensing Periods, 40 vessel licences calculated on the same
basis as the first 40 vessel licences in sub‑paragraph (i) and indexed to
the price of fish as set forth below, with 10 additional licences to be made
available at US$60,000 per vessel and indexed to the price of fish as set forth
below.
(b) The
indexation shall be applied as follows:
(i) DEFINITIONS
A. Base
Vessel Payment: The Base Vessel Payment is US$50,000 for the first 40 vessels
to be licensed and US$60,000 for vessels to be licensed in excess of 40
vessels.
B. Adjusted
Individual Vessel Payment: The Adjusted Individual Vessel Payment is the
individual vessel payment of each annual Licensing Period after the first
annual Licensing Period. The Adjusted Individual Vessel Payment will always
apply to the Licensing Period immediately following its calculation.
C. Landed Price:
The Landed Price is the published standard price per ton (American Tuna Sales
Association) for fish delivered to American Samoa prevailing at the time a United States purse seine vessel arrives in port for the purpose of offloading its catch.
D. Average
Landed Price: The Average Landed Price is calculated by averaging the
established landed price categories for yellowfin and skipjack tuna in American Samoa. The landed price categories to be used are: over 7.5 pounds, 4 to 7.5
pounds and 3 to 4 pounds for skipjack; over 20 pounds, 7.5 to 20 pounds and 4
to 7.5 pounds for yellowfin.
E. Base
Price: The Base Price is the Average Landed Price for the three months prior to
the Treaty entering into force.
F. Estimated
Landed Value: The Estimated Landed Value is the Average Landed Price in effect
at the time of a vessel’s landing weighted by the yellowfin/skipjack mix ratio
to be calculated from information on Schedule 6 for that vessel.
G. Average
Estimated Landed Value: The Average Estimated Landed Value is the Estimated
Landed Value for all landings by United States purse seine vessels in American Samoa in the four quarters preceding the final quarter of the applicable Licensing
Period divided by the total number of those landings for the same period.
(ii) CALCULATION
AND APPLICATION OF INDEXING FACTOR
A. To
obtain the indexing factor by which the Adjusted Individual Vessel Payment
shall be calculated, divide the Average Estimated Landed Value for the
preceding four quarters by the Base Price.
B. To
obtain the Adjusted Individual Vessel Payment, multiply the Base Vessel Payment
by the indexing factor obtained in Paragraph (ii) A.
C. In
no case shall the Adjusted Individual Vessel Payment be less than the Base
Vessel Payment.
(iii) NOTIFICATIONS
The
established prices and any changes shall be supplied to the Administrator by
the Government of the United States within ten (10) days of their publication.
The Administrator shall notify the Government of the United States sixty (60)
days before the start of each Licensing Period of the Adjusted Individual
Vessel Payment along with the computation used to arrive at the Adjusted
Individual Vessel Payment. The Adjusted Individual Vessel Payment shall become
final thirty (30) days after receipt by the Government of the United States, unless the Government of the United States advises the Administrator
otherwise, in which case consultations shall be held.
(iv) CONSULTATIONS
If
the established price categories are revised, or if there is a change in the
tuna industry structure which makes the price calculations as set forth above
inappropriate, the Administrator may consult with representatives of the
Government of the United States as necessary to revise the formula.
(c) There
shall be no pro‑ration of the Base Vessel Payment or the Adjusted Individual
Vessel Payment. There shall be no refunds of the Base Vessel Payment or the
Adjusted Individual Vessel Payment following licence issuance pursuant to Annex
II.
2. Sums payable
pursuant to the related Agreement between the South Pacific Forum Fisheries
Agency and the Government of the United States.
PART 2
3. Technical
assistance, including provision of assistance by technicians, by the United States tuna industry valued at US$250,000 annually in response to requests co‑ordinated
through the Administrator.
SCHEDULE 3
TREATY ON FISHERIES BETWEEN THE GOVERNMENTS OF
CERTAIN PACIFIC ISLAND STATES AND THE GOVERNMENT OF THE UNITED STATES OF AMERICA
LICENCE FORM
The
vessel described in this licence is hereby authorised to engage in fishing in
the Licensing Area for the period described in this licence, in accordance with
the terms and conditions referred to in Annex I.
Full name of vessel: .....................................................................................
Radio call sign of vessel: .............................................................................
Regional register number of
vessel: .............................................................
Helicopter or other aircraft which
may be used in association with the fishing activities of the vessel:
Period of validity:
The period of validity of this
licence shall be no longer than one year:
From ................................... ,
19......
To ....................................... ,
19......
......................................................
For and on
behalf of the Pacific Island parties
Date of issue: ...............................
Licence number: ..........................
Warning: It
is an offence against the laws of many nations, including the United States of America, to violate the requirements of Annex I. Penalties may include
substantial fines and vessel forfeiture.
Schedule 2—Fish Stocks
Agreement
Note: See subsection 4(1) (definition of Fish
Stocks Agreement).
AGREEMENT FOR THE IMPLEMENTATION OF THE PROVISIONS OF THE
UNITED NATIONS CONVENTION ON THE LAW OF THE SEA OF 10 DECEMBER 1982
RELATING TO THE CONSERVATION AND MANAGEMENT OF STRADDLING FISH STOCKS AND
HIGHLY MIGRATORY FISH STOCKS
The States Parties to
this Agreement,
Recalling the
relevant provisions of the United Nations Convention on the Law of the Sea of 10 December 1982,
Determined to
ensure the long‑term conservation and sustainable use of straddling fish stocks
and highly migratory fish stocks,
Resolved to
improve cooperation between States to that end,
Calling for more
effective enforcement by flag States, port States and coastal States of the
conservation and management measures adopted for such stocks,
Seeking to
address in particular the problems identified in chapter 17, programme
area C, of Agenda 21 adopted by the United Nations Conference on Environment
and Development, namely, that the management of high seas fisheries is
inadequate in many areas and that some resources are overutilized; noting that
there are problems of unregulated fishing, over‑capitalization, excessive fleet
size, vessel reflagging to escape controls, insufficiently selective gear,
unreliable databases and lack of sufficient cooperation between States,
Committing
themselves to responsible fisheries,
Conscious
of the need to avoid adverse impacts on the marine environment, preserve
biodiversity, maintain the integrity of marine ecosystems and minimize the risk
of long‑term or irreversible effects of fishing operations,
Recognizing the
need for specific assistance, including financial, scientific and technological
assistance, in order that developing States can participate effectively in the
conservation, management and sustainable use of straddling fish stocks and
highly migratory fish stocks,
Convinced that an
agreement for the implementation of the relevant provisions of the Convention
would best serve these purposes and contribute to the maintenance of
international peace and security,
Affirming that
matters not regulated by the Convention or by this Agreement continue to be
governed by the rules and principles of general international law,
Have agreed as
follows:
PART I
GENERAL PROVISIONS
Article 1
Use of terms and scope
1. For the purposes of this
Agreement:
(a) “Convention”
means the United Nations Convention on the Law of the Sea of 10 December 1982;
(b) “conservation
and management measures” means measures to conserve and manage one or more
species of living marine resources that are adopted and applied consistent with
the relevant rules of international law as reflected in the Convention and this
Agreement;
(c) “fish” includes
molluscs and crustaceans except those belonging to sedentary species as defined
in article 77 of the Convention; and
(d) “arrangement”
means a cooperative mechanism established in accordance with the Convention and
this Agreement by two or more States for the purpose, inter alia, of
establishing conservation and management measures in a subregion or region for
one or more straddling fish stocks or highly migratory fish stocks.
2. (a) “States Parties”
means States which have consented to be bound by this Agreement and for which
the Agreement is in force.
(b) This Agreement
applies mutatis mutandis:
(i) to any entity referred to in article
305, paragraph 1(c), (d) and (e), of the Convention and
(ii) subject to article 47, to any entity
referred to as an “international organization” in Annex IX, article 1, of the
Convention
which becomes a Party to this
Agreement, and to that extent “States Parties” refers to those entities.
3. This Agreement applies mutatis
mutandis to other fishing entities whose vessels fish on the high seas.
Article 2
Objective
The objective of this
Agreement is to ensure the long‑term conservation and sustainable use of
straddling fish stocks and highly migratory fish stocks through effective
implementation of the relevant provisions of the Convention.
Article 3
Application
1. Unless otherwise
provided, this Agreement applies to the conservation and management of
straddling fish stocks and highly migratory fish stocks beyond areas under
national jurisdiction, except that articles 6 and 7 apply also to the
conservation and management of such stocks within areas under national
jurisdiction, subject to the different legal regimes that apply within areas
under national jurisdiction and in areas beyond national jurisdiction as
provided for in the Convention.
2. In the exercise of its
sovereign rights for the purpose of exploring and exploiting, conserving and
managing straddling fish stocks and highly migratory fish stocks within areas
under national jurisdiction, the coastal State shall apply mutatis mutandis
the general principles enumerated in article 5.
3. States shall give due
consideration to the respective capacities of developing States to apply
articles 5, 6 and 7 within areas under national jurisdiction and their need for
assistance as provided for in this Agreement. To this end, Part VII
applies mutatis mutandis in respect of areas under national
jurisdiction.
Article 4
Relationship between this Agreement
and the Convention
Nothing in this
Agreement shall prejudice the rights, jurisdiction and duties of States under
the Convention. This Agreement shall be interpreted and applied in the context
of and in a manner consistent with the Convention.
PART II
CONSERVATION AND MANAGEMENT
OF STRADDLING
FISH STOCKS AND HIGHLY MIGRATORY FISH
STOCKS
Article 5
General principles
In order to conserve and
manage straddling fish stocks and highly migratory fish stocks, coastal States
and States fishing on the high seas shall, in giving effect to their duty to
cooperate in accordance with the Convention:
(a) adopt measures
to ensure long‑term sustainability of straddling fish stocks and highly
migratory fish stocks and promote the objective of their optimum utilization;
(b) ensure that such
measures are based on the best scientific evidence available and are designed
to maintain or restore stocks at levels capable of producing maximum
sustainable yield, as qualified by relevant environmental and economic factors,
including the special requirements of developing States, and taking into
account fishing patterns, the interdependence of stocks and any generally
recommended international minimum standards, whether subregional, regional or
global;
(c) apply the
precautionary approach in accordance with article 6;
(d) assess the
impacts of fishing, other human activities and environmental factors on target
stocks and species belonging to the same ecosystem or associated with or
dependent upon the target stocks;
(e) adopt, where
necessary, conservation and management measures for species belonging to the
same ecosystem or associated with or dependent upon the target stocks, with a
view to maintaining or restoring populations of such species above levels at
which their reproduction may become seriously threatened;
(f) minimize
pollution, waste, discards, catch by lost or abandoned gear, catch of non‑target
species, both fish and non‑fish species, (hereinafter referred to as non‑target
species) and impacts on associated or dependent species, in particular
endangered species, through measures including, to the extent practicable, the
development and use of selective, environmentally safe and cost‑effective
fishing gear and techniques;
(g) protect
biodiversity in the marine environment;
(h) take measures to
prevent or eliminate overfishing and excess fishing capacity and to ensure that
levels of fishing effort do not exceed those commensurate with the sustainable
use of fishery resources;
(i) take into
account the interests of artisanal and subsistence fishers;
(j) collect and
share, in a timely manner, complete and accurate data concerning fishing
activities on, inter alia, vessel position, catch of target and non‑target
species and fishing effort, as set out in Annex I, as well as information from
national and international research programmes;
(k) promote and
conduct scientific research and develop appropriate technologies in support of
fishery conservation and management; and
(l) implement and
enforce conservation and management measures through effective monitoring,
control and surveillance.
Article 6
Application of the precautionary approach
1. States shall apply the
precautionary approach widely to conservation, management and exploitation of
straddling fish stocks and highly migratory fish stocks in order to protect the
living marine resources and preserve the marine environment.
2. States shall be more
cautious when information is uncertain, unreliable or inadequate. The absence
of adequate scientific information shall not be used as a reason for postponing
or failing to take conservation and management measures.
3. In implementing the
precautionary approach, States shall:
(a) improve decision‑making
for fishery resource conservation and management by obtaining and sharing the
best scientific information available and implementing improved techniques for
dealing with risk and uncertainty;
(b) apply the
guidelines set out in Annex II and determine, on the basis of the best
scientific information available, stock‑specific reference points and the
action to be taken if they are exceeded;
(c) take into
account, inter alia, uncertainties relating to the size and productivity
of the stocks, reference points, stock condition in relation to such reference
points, levels and distribution of fishing mortality and the impact of fishing
activities on non‑target and associated or dependent species, as well as
existing and predicted oceanic, environmental and socio‑economic conditions;
and
(d) develop data
collection and research programs to assess the impact of fishing on non‑target
and associated or dependent species and their environment, and adopt plans
which are necessary to ensure the conservation of such species and to protect
habitats of special concern.
4. States shall take
measures to ensure that, when reference points are approached, they will not be
exceeded. In the event that they are exceeded, States shall, without delay,
take the action determined under paragraph 3(b) to restore the stocks.
5. Where the status of
target stocks or non‑target or associated or dependent species is of concern,
States shall subject such stocks and species to enhanced monitoring in order to
review their status and the efficacy of conservation and management measures.
They shall revise those measures regularly in the light of new information.
6. For new or exploratory
fisheries, States shall adopt as soon as possible cautious conservation and
management measures, including, inter alia, catch limits and effort
limits. Such measures shall remain in force until there are sufficient data to
allow assessment of the impact of the fisheries on the long‑term sustainability
of the stocks, whereupon conservation and management measures based on that
assessment shall be implemented. The latter measures shall, if appropriate,
allow for the gradual development of the fisheries.
7. If a natural phenomenon
has a significant adverse impact on the status of straddling fish stocks or
highly migratory fish stocks, States shall adopt conservation and management
measures on an emergency basis to ensure that fishing activity does not
exacerbate such adverse impact. States shall also adopt such measures on an
emergency basis where fishing activity presents a serious threat to the
sustainability of such stocks. Measures taken on an emergency basis shall be
temporary and shall be based on the best scientific evidence available.
Article 7
Compatibility of conservation and
management measures
1. Without prejudice to the
sovereign rights of coastal States for the purpose of exploring and exploiting,
conserving and managing the living marine resources within areas under national
jurisdiction as provided for in the Convention, and the right of all States for
their nationals to engage in fishing on the high seas in accordance with the
Convention:
(a) with respect to
straddling fish stocks, the relevant coastal States and the States whose
nationals fish for such stocks in the adjacent high seas area shall seek,
either directly or through the appropriate mechanisms for cooperation provided
for in Part III, to agree upon the measures necessary for the conservation
of these stocks in the adjacent high seas area;
(b) with respect to
highly migratory fish stocks, the relevant coastal States and other States
whose nationals fish for such stocks in the region shall cooperate, either
directly or through the appropriate mechanisms for cooperation provided for in
Part III, with a view to ensuring conservation and promoting the objective
of optimum utilization of such stocks throughout the region, both within and
beyond the areas under national jurisdiction.
2. Conservation
and management measures established for the high seas and those adopted for
areas under national jurisdiction shall be compatible in order to ensure conservation
and management of the straddling fish stocks and highly migratory fish stocks
in their entirety. To this end, coastal States and States fishing on the high
seas have a duty to cooperate for the purpose of achieving compatible measures
in respect of such stocks. In determining compatible conservation and
management measures, States shall:
(a) take into
account the conservation and management measures adopted and applied in
accordance with article 61 of the Convention in respect of the same stocks by
coastal States within areas under national jurisdiction and ensure that
measures established in respect of such stocks for the high seas do not
undermine the effectiveness of such measures;
(b) take into
account previously agreed measures established and applied for the high seas in
accordance with the Convention in respect of the same stocks by relevant
coastal States and States fishing on the high seas;
(c) take into
account previously agreed measures established and applied in accordance with
the Convention in respect of the same stocks by a subregional or regional
fisheries management organization or arrangement;
(d) take into
account the biological unity and other biological characteristics of the stocks
and the relationships between the distribution of the stocks, the fisheries and
the geographical particularities of the region concerned, including the extent
to which the stocks occur and are fished in areas under national jurisdiction;
(e) take into
account the respective dependence of the coastal States and the States fishing
on the high seas on the stocks concerned; and
(f) ensure that
such measures do not result in harmful impact on the living marine resources as
a whole.
3. In giving effect to their
duty to cooperate, States shall make every effort to agree on compatible
conservation and management measures within a reasonable period of time.
4. If no agreement can be
reached within a reasonable period of time, any of the States concerned may
invoke the procedures for the settlement of disputes provided for in Part VIII.
5. Pending agreement on
compatible conservation and management measures, the States concerned, in a
spirit of understanding and cooperation, shall make every effort to enter into
provisional arrangements of a practical nature. In the event that they are
unable to agree on such arrangements, any of the States concerned may, for the
purpose of obtaining provisional measures, submit the dispute to a court or
tribunal in accordance with the procedures for the settlement of disputes
provided for in Part VIII.
6. Provisional arrangements
or measures entered into or prescribed pursuant to paragraph 5 shall take into
account the provisions of this Part, shall have due regard to the rights and
obligations of all States concerned, shall not jeopardize or hamper the
reaching of final agreement on compatible conservation and management measures
and shall be without prejudice to the final outcome of any dispute settlement
procedure.
7. Coastal States shall
regularly inform States fishing on the high seas in the subregion or region,
either directly or through appropriate subregional or regional fisheries
management organizations or arrangements, or through other appropriate means,
of the measures they have adopted for straddling fish stocks and highly
migratory fish stocks within areas under their national jurisdiction.
8. States fishing on the
high seas shall regularly inform other interested States, either directly or
through appropriate subregional or regional fisheries management organizations
or arrangements, or through other appropriate means, of the measures they have
adopted for regulating the activities of vessels flying their flag which fish
for such stocks on the high seas.
PART III
MECHANISMS FOR INTERNATIONAL
COOPERATION
CONCERNING STRADDLING FISH STOCKS AND
HIGHLY MIGRATORY FISH STOCKS
Article 8
Cooperation for conservation and management
1. Coastal States and States
fishing on the high seas shall, in accordance with the Convention, pursue
cooperation in relation to straddling fish stocks and highly migratory fish
stocks either directly or through appropriate subregional or regional fisheries
management organizations or arrangements, taking into account the specific
characteristics of the subregion or region, to ensure effective conservation
and management of such stocks.
2. States shall enter into
consultations in good faith and without delay, particularly where there is
evidence that the straddling fish stocks and highly migratory fish stocks
concerned may be under threat of over‑exploitation or where a new fishery is
being developed for such stocks. To this end, consultations may be initiated at
the request of any interested State with a view to establishing appropriate
arrangements to ensure conservation and management of the stocks. Pending
agreement on such arrangements, States shall observe the provisions of this
Agreement and shall act in good faith and with due regard to the rights,
interests and duties of other States.
3. Where a subregional or
regional fisheries management organization or arrangement has the competence to
establish conservation and management measures for particular straddling fish
stocks or highly migratory fish stocks, States fishing for the stocks on the
high seas and relevant coastal States shall give effect to their duty to
cooperate by becoming members of such organization or participants in such
arrangement, or by agreeing to apply the conservation and management measures
established by such organization or arrangement. States having a real interest
in the fisheries concerned may become members of such organization or
participants in such arrangement. The terms of participation in such
organization or arrangement shall not preclude such States from membership or
participation; nor shall they be applied in a manner which discriminates
against any State or group of States having a real interest in the fisheries
concerned.
4. Only those States which
are members of such an organization or participants in such an arrangement, or
which agree to apply the conservation and management measures established by
such organization or arrangement, shall have access to the fishery resources to
which those measures apply.
5. Where there is no
subregional or regional fisheries management organization or arrangement to
establish conservation and management measures for a particular straddling fish
stock or highly migratory fish stock, relevant coastal States and States
fishing on the high seas for such stock in the subregion or region shall
cooperate to establish such an organization or enter into other appropriate
arrangements to ensure conservation and management of such stock and shall
participate in the work of the organization or arrangement.
6. Any State intending to
propose that action be taken by an intergovernmental organization having
competence with respect to living resources should, where such action would
have a significant effect on conservation and management measures already
established by a competent subregional or regional fisheries management
organization or arrangement, consult through that organization or arrangement
with its members or participants. To the extent practicable, such consultation
should take place prior to the submission of the proposal to the
intergovernmental organization.
Article 9
Subregional and regional fisheries management
organizations and arrangements
1. In establishing
subregional or regional fisheries management organizations or in entering into
subregional or regional fisheries management arrangements for straddling fish
stocks and highly migratory fish stocks, States shall agree, inter alia,
on:
(a) the stocks to
which conservation and management measures apply, taking into account the
biological characteristics of the stocks concerned and the nature of the fisheries
involved;
(b) the area of
application, taking into account article 7, paragraph 1, and the
characteristics of the subregion or region, including socio‑economic,
geographical and environmental factors;
(c) the relationship
between the work of the new organization or arrangement and the role,
objectives and operations of any relevant existing fisheries management
organizations or arrangements; and
(d) the mechanisms
by which the organization or arrangement will obtain scientific advice and review
the status of the stocks, including, where appropriate, the establishment of a
scientific advisory body.
2. States cooperating in the
formation of a subregional or regional fisheries management organization or
arrangement shall inform other States which they are aware have a real interest
in the work of the proposed organization or arrangement of such cooperation.
Article 10
Functions of subregional and regional
fisheries management organizations
and arrangements
In fulfilling their
obligation to cooperate through subregional or regional fisheries management
organizations or arrangements, States shall:
(a) agree on and
comply with conservation and management measures to ensure the long‑term
sustainability of straddling fish stocks and highly migratory fish stocks;
(b) agree, as
appropriate, on participatory rights such as allocations of allowable catch or
levels of fishing effort;
(c) adopt and apply
any generally recommended international minimum standards for the responsible
conduct of fishing operations;
(d) obtain and
evaluate scientific advice, review the status of the stocks and assess the
impact of fishing on non‑target and associated or dependent species;
(e) agree on
standards for collection, reporting, verification and exchange of data on
fisheries for the stocks;
(f) compile and
disseminate accurate and complete statistical data, as described in Annex I, to
ensure that the best scientific evidence is available, while maintaining
confidentiality where appropriate;
(g) promote and
conduct scientific assessments of the stocks and relevant research and
disseminate the results thereof;
(h) establish
appropriate cooperative mechanisms for effective monitoring, control,
surveillance and enforcement;
(i) agree on means
by which the fishing interests of new members of the organization or new
participants in the arrangement will be accommodated;
(j) agree on
decision‑making procedures which facilitate the adoption of conservation and
management measures in a timely and effective manner;
(k) promote the
peaceful settlement of disputes in accordance with Part VIII;
(l) ensure the full
cooperation of their relevant national agencies and industries in implementing
the recommendations and decisions of the organization or arrangement; and
(m) give due
publicity to the conservation and management measures established by the
organization or arrangement.
Article
11
New
members or participants
In determining the
nature and extent of participatory rights for new members of a subregional or
regional fisheries management organization, or for new participants in a
subregional or regional fisheries management arrangement, States shall take
into account, inter alia:
(a) the status of
the straddling fish stocks and highly migratory fish stocks and the existing
level of fishing effort in the fishery;
(b) the respective
interests, fishing patterns and fishing practices of new and existing members
or participants;
(c) the respective
contributions of new and existing members or participants to conservation and
management of the stocks, to the collection and provision of accurate data and
to the conduct of scientific research on the stocks;
(d) the needs of
coastal fishing communities which are dependent mainly on fishing for the
stocks;
(e) the needs of
coastal States whose economies are overwhelmingly dependent on the exploitation
of living marine resources; and
(f) the interests
of developing States from the subregion or region in whose areas of national
jurisdiction the stocks also occur.
Article
12
Transparency
in activities of subregional and regional
fisheries
management organizations and arrangements
1. States shall provide for
transparency in the decision‑making process and other activities of subregional
and regional fisheries management organizations and arrangements.
2. Representatives from
other intergovernmental organizations and representatives from non‑governmental
organizations concerned with straddling fish stocks and highly migratory fish
stocks shall be afforded the opportunity to take part in meetings of
subregional and regional fisheries management organizations and arrangements as
observers or otherwise, as appropriate, in accordance with the procedures of
the organization or arrangement concerned. Such procedures shall not be unduly
restrictive in this respect. Such intergovernmental organizations and non‑governmental
organizations shall have timely access to the records and reports of such
organizations and arrangements, subject to the procedural rules on access to
them.
Article 13
Strengthening of existing organizations
and arrangements
States shall cooperate
to strengthen existing subregional and regional fisheries management
organizations and arrangements in order to improve their effectiveness in
establishing and implementing conservation and management measures for
straddling fish stocks and highly migratory fish stocks.
Article 14
Collection and provision of information
and cooperation in scientific research
1. States shall ensure that
fishing vessels flying their flag provide such information as may be necessary
in order to fulfil their obligations under this Agreement. To this end, States
shall in accordance with Annex I:
(a) collect and
exchange scientific, technical and statistical data with respect to fisheries
for straddling fish stocks and highly migratory fish stocks;
(b) ensure that data
are collected in sufficient detail to facilitate effective stock assessment and
are provided in a timely manner to fulfil the requirements of subregional or
regional fisheries management organizations or arrangements; and
(c) take appropriate
measures to verify the accuracy of such data.
2. States shall cooperate,
either directly or through subregional or regional fisheries management
organizations or arrangements:
(a) to agree on the
specification of data and the format in which they are to be provided to such
organizations or arrangements, taking into account the nature of the stocks and
the fisheries for those stocks; and
(b) to develop and
share analytical techniques and stock assessment methodologies to improve
measures for the conservation and management of straddling fish stocks and
highly migratory fish stocks.
3. Consistent with Part XIII
of the Convention, States shall cooperate, either directly or through competent
international organizations, to strengthen scientific research capacity in the
field of fisheries and promote scientific research related to the conservation
and management of straddling fish stocks and highly migratory fish stocks for
the benefit of all. To this end, a State or the competent international
organization conducting such research beyond areas under national jurisdiction
shall actively promote the publication and dissemination to any interested
States of the results of that research and information relating to its
objectives and methods and, to the extent practicable, shall facilitate the
participation of scientists from those States in such research.
Article 15
Enclosed and semi‑enclosed seas
In implementing this Agreement
in an enclosed or semi‑enclosed sea, States shall take into account the natural
characteristics of that sea and shall also act in a manner consistent with Part IX
of the Convention and other relevant provisions thereof.
Article 16
Areas of high seas surrounded entirely by an
area under the national jurisdiction of a
single State
1. States fishing for
straddling fish stocks and highly migratory fish stocks in an area of the high
seas surrounded entirely by an area under the national jurisdiction of a single
State and the latter State shall cooperate to establish conservation and
management measures in respect of those stocks in the high seas area. Having
regard to the natural characteristics of the area, States shall pay special
attention to the establishment of compatible conservation and management
measures for such stocks pursuant to article 7. Measures taken in respect of
the high seas shall take into account the rights, duties and interests of the
coastal State under the Convention, shall be based on the best scientific
evidence available and shall also take into account any conservation and
management measures adopted and applied in respect of the same stocks in
accordance with article 61 of the Convention by the coastal State in the area
under national jurisdiction. States shall also agree on measures for
monitoring, control, surveillance and enforcement to ensure compliance with the
conservation and management measures in respect of the high seas.
2. Pursuant to article 8,
States shall act in good faith and make every effort to agree without delay on
conservation and management measures to be applied in the carrying out of
fishing operations in the area referred to in paragraph 1. If, within a
reasonable period of time, the fishing States concerned and the coastal State
are unable to agree on such measures, they shall, having regard to paragraph 1,
apply article 7, paragraphs 4, 5 and 6, relating to provisional arrangements or
measures. Pending the establishment of such provisional arrangements or
measures, the States concerned shall take measures in respect of vessels flying
their flag in order that they not engage in fisheries which could undermine the
stocks concerned.
PART IV
NON‑MEMBERS AND NON‑PARTICIPANTS
Article 17
Non‑members of organizations and
non‑participants in arrangements
1. A State which is not a
member of a subregional or regional fisheries management organization or is not
a participant in a subregional or regional fisheries management arrangement,
and which does not otherwise agree to apply the conservation and management
measures established by such organization or arrangement, is not discharged
from the obligation to cooperate, in accordance with the Convention and this
Agreement, in the conservation and management of the relevant straddling fish
stocks and highly migratory fish stocks.
2. Such State shall not
authorize vessels flying its flag to engage in fishing operations for the
straddling fish stocks or highly migratory fish stocks which are subject to the
conservation and management measures established by such organization or
arrangement.
3. States which are members
of a subregional or regional fisheries management organization or participants
in a subregional or regional fisheries management arrangement shall, individually
or jointly, request the fishing entities referred to in article 1, paragraph 3,
which have fishing vessels in the relevant area to cooperate fully with such
organization or arrangement in implementing the conservation and management
measures it has established, with a view to having such measures applied de
facto as extensively as possible to fishing activities in the relevant area.
Such fishing entities shall enjoy benefits from participation in the fishery
commensurate with their commitment to comply with conservation and management
measures in respect of the stocks.
4. States which are members
of such organization or participants in such arrangement shall exchange
information with respect to the activities of fishing vessels flying the flags
of States which are neither members of the organization nor participants in the
arrangement and which are engaged in fishing operations for the relevant
stocks. They shall take measures consistent with this Agreement and
international law to deter activities of such vessels which undermine the
effectiveness of subregional or regional conservation and management measures.
PART V
DUTIES OF THE FLAG STATE
Article 18
Duties of the flag State
1. A State whose vessels
fish on the high seas shall take such measures as may be necessary to ensure
that vessels flying its flag comply with subregional and regional conservation
and management measures and that such vessels do not engage in any activity
which undermines the effectiveness of such measures.
2. A State shall authorize
the use of vessels flying its flag for fishing on the high seas only where it
is able to exercise effectively its responsibilities in respect of such vessels
under the Convention and this Agreement.
3. Measures to be taken by a
State in respect of vessels flying its flag shall include:
(a) control of such
vessels on the high seas by means of fishing licences, authorizations or
permits, in accordance with any applicable procedures agreed at the
subregional, regional or global level;
(b) establishment of
regulations:
(i) to apply terms and conditions to the
licence, authorization or permit sufficient to fulfil any subregional, regional
or global obligations of the flag State;
(ii) to prohibit fishing on the high seas by
vessels which are not duly licensed or authorized to fish, or fishing on the
high seas by vessels otherwise than in accordance with the terms and conditions
of a licence, authorization or permit;
(iii) to require vessels fishing on the high
seas to carry the licence, authorization or permit on board at all times and to
produce it on demand for inspection by a duly authorized person; and
(iv) to ensure that vessels flying its flag do
not conduct unauthorized fishing within areas under the national jurisdiction
of other States;
(c) establishment of
a national record of fishing vessels authorized to fish on the high seas and
provision of access to the information contained in that record on request by
directly interested States, taking into account any national laws of the flag
State regarding release of such information;
(d) requirements for
marking of fishing vessels and fishing gear for identification in accordance
with uniform and internationally recognizable vessel and gear marking systems,
such as the Food and Agriculture Organization of the United Nations Standard
Specifications for the Marking and Identification of Fishing Vessels;
(e) requirements
for recording and timely reporting of vessel position, catch of target and non‑target
species, fishing effort and other relevant fisheries data in accordance with
subregional, regional and global standards for collection of such data;
(f) requirements
for verifying the catch of target and non‑target species through such means as
observer programs, inspection schemes, unloading reports, supervision of
transshipment and monitoring of landed catches and market statistics;
(g) monitoring,
control and surveillance of such vessels, their fishing operations and related
activities by, inter alia:
(i) the implementation of national
inspection schemes and subregional and regional schemes for cooperation in
enforcement pursuant to articles 21 and 22, including requirements for such
vessels to permit access by duly authorized inspectors from other States;
(ii) the implementation of national observer
programs and subregional and regional observer programmes in which the flag
State is a participant, including requirements for such vessels to permit
access by observers from other States to carry out the functions agreed under
the programmes; and
(iii) the development and implementation of
vessel monitoring systems, including, as appropriate, satellite transmitter
systems, in accordance with any national programmes and those which have been
subregionally, regionally or globally agreed among the States concerned;
(h) regulation of
transshipment on the high seas to ensure that the effectiveness of conservation
and management measures is not undermined; and
(i) regulation of
fishing activities to ensure compliance with subregional, regional or global
measures, including those aimed at minimizing catches of non‑target species.
4. Where there is a
subregionally, regionally or globally agreed system of monitoring, control and
surveillance in effect, States shall ensure that the measures they impose on
vessels flying their flag are compatible with that system.
PART VI
COMPLIANCE AND ENFORCEMENT
Article 19
Compliance and enforcement
by the flag State
1. A State shall ensure
compliance by vessels flying its flag with subregional and regional
conservation and management measures for straddling fish stocks and highly
migratory fish stocks. To this end, that State shall:
(a) enforce such
measures irrespective of where violations occur;
(b) investigate
immediately and fully any alleged violation of subregional or regional
conservation and management measures, which may include the physical inspection
of the vessels concerned, and report promptly to the State alleging the
violation and the relevant subregional or regional organization or arrangement
on the progress and outcome of the investigation;
(c) require any
vessel flying its flag to give information to the investigating authority
regarding vessel position, catches, fishing gear, fishing operations and
related activities in the area of an alleged violation;
(d) if satisfied
that sufficient evidence is available in respect of an alleged violation, refer
the case to its authorities with a view to instituting proceedings without
delay in accordance with its laws and, where appropriate, detain the vessel
concerned; and
(e) ensure that,
where it has been established, in accordance with its laws, a vessel has been
involved in the commission of a serious violation of such measures, the vessel
does not engage in fishing operations on the high seas until such time as all
outstanding sanctions imposed by the flag State in respect of the violation
have been complied with.
2. All
investigations and judicial proceedings shall be carried out expeditiously.
Sanctions applicable in respect of violations shall be adequate in severity to
be effective in securing compliance and to discourage violations wherever they
occur and shall deprive offenders of the benefits accruing from their illegal
activities. Measures applicable in respect of masters and other officers of
fishing vessels shall include provisions which may permit, inter alia,
refusal, withdrawal or suspension of authorizations to serve as masters or
officers on such vessels.
Article 20
International cooperation
in enforcement
1. States shall cooperate,
either directly or through subregional or regional fisheries management
organizations or arrangements, to ensure compliance with and enforcement of
subregional and regional conservation and management measures for straddling
fish stocks and highly migratory fish stocks.
2. A flag State conducting
an investigation of an alleged violation of conservation and management
measures for straddling fish stocks or highly migratory fish stocks may request
the assistance of any other State whose cooperation may be useful in the
conduct of that investigation. All States shall endeavour to meet reasonable
requests made by a flag State in connection with such investigations.
3. A flag State may
undertake such investigations directly, in cooperation with other interested
States or through the relevant subregional or regional fisheries management
organization or arrangement. Information on the progress and outcome of the
investigations shall be provided to all States having an interest in, or
affected by, the alleged violation.
4. States shall assist each
other in identifying vessels reported to have engaged in activities undermining
the effectiveness of subregional, regional or global conservation and
management measures.
5. States shall, to the
extent permitted by national laws and regulations, establish arrangements for
making available to prosecuting authorities in other States evidence relating
to alleged violations of such measures.
6. Where there are
reasonable grounds for believing that a vessel on the high seas has been
engaged in unauthorized fishing within an area under the jurisdiction of a
coastal State, the flag State of that vessel, at the request of the coastal
State concerned, shall immediately and fully investigate the matter. The flag
State shall cooperate with the coastal State in taking appropriate enforcement
action in such cases and may authorize the relevant authorities of the coastal
State to board and inspect the vessel on the high seas. This paragraph is
without prejudice to article 111 of the Convention.
7. States Parties which are
members of a subregional or regional fisheries management organization or
participants in a subregional or regional fisheries management arrangement may
take action in accordance with international law, including through recourse to
subregional or regional procedures established for this purpose, to deter
vessels which have engaged in activities which undermine the effectiveness of
or otherwise violate the conservation and management measures established by
that organization or arrangement from fishing on the high seas in the subregion
or region until such time as appropriate action is taken by the flag State.
Article 21
Subregional and regional cooperation
in enforcement
1. In any high seas area
covered by a subregional or regional fisheries management organization or
arrangement, a State Party which is a member of such organization or a
participant in such arrangement may, through its duly authorized inspectors,
board and inspect, in accordance with paragraph 2, fishing vessels flying the
flag of another State Party to this Agreement, whether or not such State Party
is also a member of the organization or a participant in the arrangement, for
the purpose of ensuring compliance with conservation and management measures
for straddling fish stocks and highly migratory fish stocks established by that
organization or arrangement.
2. States shall establish,
through subregional or regional fisheries management organizations or
arrangements, procedures for boarding and inspection pursuant to paragraph 1,
as well as procedures to implement other provisions of this article. Such
procedures shall be consistent with this article and the basic procedures set
out in article 22 and shall not discriminate against non‑members of the
organization or non‑participants in the arrangement. Boarding and inspection as
well as any subsequent enforcement action shall be conducted in accordance with
such procedures. States shall give due publicity to procedures established
pursuant to this paragraph.
3. If, within two years of
the adoption of this Agreement, any organization or arrangement has not
established such procedures, boarding and inspection pursuant to paragraph 1,
as well as any subsequent enforcement action, shall, pending the establishment
of such procedures, be conducted in accordance with this article and the basic
procedures set out in article 22.
4. Prior to taking action
under this article, inspecting States shall, either directly or through the
relevant subregional or regional fisheries management organization or
arrangement, inform all States whose vessels fish on the high seas in the
subregion or region of the form of identification issued to their duly
authorized inspectors. The vessels used for boarding and inspection shall be
clearly marked and identifiable as being on government service. At the time of
becoming a Party to this Agreement, States shall designate an appropriate
authority to receive notifications pursuant to this article and shall give due
publicity of such designation through the relevant subregional or regional
fisheries management organization or arrangement.
5. Where, following a
boarding and inspection, there are clear grounds for believing that a vessel
has engaged in any activity contrary to the conservation and management
measures referred to in paragraph 1, the inspecting State shall, where
appropriate, secure evidence and shall promptly notify the flag State of the
alleged violation.
6. The
flag State shall respond to the notification referred to in paragraph 5 within
three working days of its receipt, or such other period as may be prescribed in
procedures established in accordance with paragraph 2, and shall either:
(a) fulfil, without
delay, its obligations under article 19 to investigate and, if evidence so
warrants, take enforcement action with respect to the vessel, in which case it
shall promptly inform the inspecting State of the results of the investigation
and of any enforcement action taken; or
(b) authorize the
inspecting State to investigate.
7. Where the flag State
authorizes the inspecting State to investigate an alleged violation, the
inspecting State shall, without delay, communicate the results of that
investigation to the flag State. The flag State shall, if evidence so warrants,
fulfil its obligations to take enforcement action with respect to the vessel.
Alternatively, the flag State may authorize the inspecting State to take such
enforcement action as the flag State may specify with respect to the vessel,
consistent with the rights and obligations of the flag State under this
Agreement.
8. Where, following boarding
and inspection, there are clear grounds for believing that a vessel has
committed a serious violation, and the flag State has either failed to respond or
failed to take action as required under paragraphs 6 or 7, the inspectors may
remain on board and secure evidence and may require the master to assist in
further investigation including, where appropriate, by bringing the vessel
without delay to the nearest appropriate port, or to such other port as may be
specified in procedures established in accordance with paragraph 2. The
inspecting State shall immediately inform the flag State of the name of the
port to which the vessel is to proceed. The inspecting State and the flag State
and, as appropriate, the port State shall take all necessary steps to ensure
the well‑being of the crew regardless of their nationality.
9. The inspecting State
shall inform the flag State and the relevant organization or the participants
in the relevant arrangement of the results of any further investigation.
10. The inspecting State shall
require its inspectors to observe generally accepted international regulations,
procedures and practices relating to the safety of the vessel and the crew,
minimize interference with fishing operations and, to the extent practicable,
avoid action which would adversely affect the quality of the catch on board.
The inspecting State shall ensure that boarding and inspection is not conducted
in a manner that would constitute harassment of any fishing vessel.
11. For
the purposes of this article, a serious violation means:
(a) fishing without
a valid licence, authorization or permit issued by the flag State in accordance
with article 18, paragraph 3(a);
(b) failing
to maintain accurate records of catch and catch‑related data, as required by
the relevant subregional or regional fisheries management organization or
arrangement, or serious misreporting of catch, contrary to the catch reporting
requirements of such organization or arrangement;
(c) fishing in a
closed area, fishing during a closed season or fishing without, or after
attainment of, a quota established by the relevant subregional or regional
fisheries management organization or arrangement;
(d) directed fishing
for a stock which is subject to a moratorium or for which fishing is
prohibited;
(e) using prohibited
fishing gear;
(f) falsifying or
concealing the markings, identity or registration of a fishing vessel;
(g) concealing,
tampering with or disposing of evidence relating to an investigation;
(h) multiple
violations which together constitute a serious disregard of conservation and
management measures; or
(i) such other
violations as may be specified in procedures established by the relevant
subregional or regional fisheries management organization or arrangement.
12. Notwithstanding the other
provisions of this article, the flag State may, at any time, take action to
fulfil its obligations under article 19 with respect to an alleged violation.
Where the vessel is under the direction of the inspecting State, the inspecting
State shall, at the request of the flag State, release the vessel to the flag
State along with full information on the progress and outcome of its investigation.
13. This
article is without prejudice to the right of the flag State to take any
measures, including proceedings to impose penalties, according to its laws.
14. This
article applies mutatis mutandis to boarding and inspection by a State
Party which is a member of a subregional or regional fisheries management
organization or a participant in a subregional or regional fisheries management
arrangement and which has clear grounds for believing that a fishing vessel
flying the flag of another State Party has engaged in any activity contrary to
relevant conservation and management measures referred to in paragraph 1 in the
high seas area covered by such organization or arrangement, and such vessel has
subsequently, during the same fishing trip, entered into an area under the
national jurisdiction of the inspecting State.
15. Where
a subregional or regional fisheries management organization or arrangement has
established an alternative mechanism which effectively discharges the
obligation under this Agreement of its members or participants to ensure
compliance with the conservation and management measures established by the
organization or arrangement, members of such organization or participants in
such arrangement may agree to limit the application of paragraph 1 as between
themselves in respect of the conservation and management measures which have
been established in the relevant high seas area.
16. Action taken by States
other than the flag State in respect of vessels having engaged in activities contrary
to subregional or regional conservation and management measures shall be
proportionate to the seriousness of the violation.
17. Where there are reasonable
grounds for suspecting that a fishing vessel on the high seas is without
nationality, a State may board and inspect the vessel. Where evidence so
warrants, the State may take such action as may be appropriate in accordance
with international law.
18. States shall be liable for
damage or loss attributable to them arising from action taken pursuant to this
article when such action is unlawful or exceeds that reasonably required in the
light of available information to implement the provisions of this article.
Article 22
Basic procedures for boarding and
inspection pursuant to article 21
1. The inspecting State
shall ensure that its duly authorized inspectors:
(a) present
credentials to the master of the vessel and produce a copy of the text of the
relevant conservation and management measures or rules and regulations in force
in the high seas area in question pursuant to those measures;
(b) initiate notice
to the flag State at the time of the boarding and inspection;
(c) do not interfere
with the master’s ability to communicate with the authorities of the flag State
during the boarding and inspection;
(d) provide a copy
of a report on the boarding and inspection to the master and to the authorities
of the flag State, noting therein any objection or statement which the master
wishes to have included in the report;
(e) promptly leave
the vessel following completion of the inspection if they find no evidence of a
serious violation; and
(f) avoid the use
of force except when and to the degree necessary to ensure the safety of the
inspectors and where the inspectors are obstructed in the execution of their
duties. The degree of force used shall not exceed that reasonably required in
the circumstances.
2. The duly authorized
inspectors of an inspecting State shall have the authority to inspect the
vessel, its licence, gear, equipment, records, facilities, fish and fish
products and any relevant documents necessary to verify compliance with the
relevant conservation and management measures.
3. The flag State shall
ensure that vessel masters:
(a) accept and
facilitate prompt and safe boarding by the inspectors;
(b) cooperate with
and assist in the inspection of the vessel conducted pursuant to these
procedures;
(c) do not obstruct,
intimidate or interfere with the inspectors in the performance of their duties;
(d) allow the
inspectors to communicate with the authorities of the flag State and the
inspecting State during the boarding and inspection;
(e) provide
reasonable facilities, including, where appropriate, food and accommodation, to
the inspectors; and
(f) facilitate safe
disembarkation by the inspectors.
4. In the event that the
master of a vessel refuses to accept boarding and inspection in accordance with
this article and article 21, the flag State shall, except in circumstances
where, in accordance with generally accepted international regulations,
procedures and practices relating to safety at sea, it is necessary to delay
the boarding and inspection, direct the master of the vessel to submit
immediately to boarding and inspection and, if the master does not comply with
such direction, shall suspend the vessel’s authorization to fish and order the
vessel to return immediately to port. The flag State shall advise the
inspecting State of the action it has taken when the circumstances referred to
in this paragraph arise.
Article 23
Measures taken by a port State
1. A port State has the
right and the duty to take measures, in accordance with international law, to
promote the effectiveness of subregional, regional and global conservation and
management measures. When taking such measures a port State shall not
discriminate in form or in fact against the vessels of any State.
2. A port State may, inter
alia, inspect documents, fishing gear and catch on board fishing vessels,
when such vessels are voluntarily in its ports or at its offshore terminals.
3. States may adopt
regulations empowering the relevant national authorities to prohibit landings
and transshipments where it has been established that the catch has been taken
in a manner which undermines the effectiveness of subregional, regional or
global conservation and management measures on the high seas.
4. Nothing in this article
affects the exercise by States of their sovereignty over ports in their
territory in accordance with international law.
PART VII
REQUIREMENTS OF DEVELOPING
STATES
Article 24
Recognition of the special requirements
of developing States
1. States shall give full
recognition to the special requirements of developing States in relation to
conservation and management of straddling fish stocks and highly migratory fish
stocks and development of fisheries for such stocks. To this end, States shall,
either directly or through the United Nations Development Programme, the Food
and Agriculture Organization of the United Nations and other specialized
agencies, the Global Environment Facility, the Commission on Sustainable
Development and other appropriate international and regional organizations and
bodies, provide assistance to developing States.
2. In giving effect to the
duty to cooperate in the establishment of conservation and management measures
for straddling fish stocks and highly migratory fish stocks, States shall take
into account the special requirements of developing States, in particular:
(a) the
vulnerability of developing States which are dependent on the exploitation of
living marine resources, including for meeting the nutritional requirements of
their populations or parts thereof;
(b) the need to
avoid adverse impacts on, and ensure access to fisheries by, subsistence, small‑scale
and artisanal fishers and women fishworkers, as well as indigenous people in
developing States, particularly small island developing States; and
(c) the need to
ensure that such measures do not result in transferring, directly or
indirectly, a disproportionate burden of conservation action onto developing
States.
Article 25
Forms of cooperation with
developing States
1. States shall cooperate,
either directly or through subregional, regional or global organizations:
(a) to enhance the
ability of developing States, in particular the least‑developed among them and
small island developing States, to conserve and manage straddling fish stocks
and highly migratory fish stocks and to develop their own fisheries for such
stocks;
(b) to assist
developing States, in particular the least‑developed among them and small
island developing States, to enable them to participate in high seas fisheries
for such stocks, including facilitating access to such fisheries subject to
articles 5 and 11; and
(c) to facilitate
the participation of developing States in subregional and regional fisheries
management organizations and arrangements.
2. Cooperation with
developing States for the purposes set out in this article shall include the
provision of financial assistance, assistance relating to human resources
development, technical assistance, transfer of technology, including through
joint venture arrangements, and advisory and consultative services.
3. Such assistance shall, inter
alia, be directed specifically towards:
(a) improved
conservation and management of straddling fish stocks and highly migratory fish
stocks through collection, reporting, verification, exchange and analysis of
fisheries data and related information;
(b) stock assessment
and scientific research; and
(c) monitoring,
control, surveillance, compliance and enforcement, including training and
capacity‑building at the local level, development and funding of national and
regional observer programmes and access to technology and equipment.
Article 26
Special assistance in the implementation
of this Agreement
1. States shall cooperate to
establish special funds to assist developing States in the implementation of
this Agreement, including assisting developing States to meet the costs
involved in any proceedings for the settlement of disputes to which they may be
parties.
2. States and international
organizations should assist developing States in establishing new subregional
or regional fisheries management organizations or arrangements, or in
strengthening existing organizations or arrangements, for the conservation and
management of straddling fish stocks and highly migratory fish stocks.
PART VIII
PEACEFUL SETTLEMENT OF
DISPUTES
Article 27
Obligation to settle disputes
by peaceful means
States have the
obligation to settle their disputes by negotiation, inquiry, mediation,
conciliation, arbitration, judicial settlement, resort to regional agencies or
arrangements, or other peaceful means of their own choice.
Article 28
Prevention of disputes
States shall cooperate
in order to prevent disputes. To this end, States shall agree on efficient and
expeditious decision‑making procedures within subregional and regional
fisheries management organizations and arrangements and shall strengthen
existing decision‑making procedures as necessary.
Article 29
Disputes of a technical nature
Where a dispute concerns
a matter of a technical nature, the States concerned may refer the dispute to
an ad hoc expert panel established by them. The panel shall confer with the
States concerned and shall endeavour to resolve the dispute expeditiously
without recourse to binding procedures for the settlement of disputes.
Article 30
Procedures for the settlement
of disputes
1. The provisions relating
to the settlement of disputes set out in Part XV of the Convention apply mutatis
mutandis to any dispute between States Parties to this Agreement concerning
the interpretation or application of this Agreement, whether or not they are
also Parties to the Convention.
2. The provisions relating
to the settlement of disputes set out in Part XV of the Convention apply mutatis
mutandis to any dispute between States Parties to this Agreement concerning
the interpretation or application of a subregional, regional or global
fisheries agreement relating to straddling fish stocks or highly migratory fish
stocks to which they are parties, including any dispute concerning the
conservation and management of such stocks, whether or not they are also
Parties to the Convention.
3. Any
procedure accepted by a State Party to this Agreement and the Convention
pursuant to article 287 of the Convention shall apply to the settlement of
disputes under this Part, unless that State Party, when signing, ratifying or
acceding to this Agreement, or at any time thereafter, has accepted another
procedure pursuant to article 287 for the settlement of disputes under this
Part.
4. A State Party to this
Agreement which is not a Party to the Convention, when signing, ratifying or
acceding to this Agreement, or at any time thereafter, shall be free to choose,
by means of a written declaration, one or more of the means set out in article
287, paragraph 1, of the Convention for the settlement of disputes under this
Part. Article 287 shall apply to such a declaration, as well as to any dispute
to which such State is a party which is not covered by a declaration in force.
For the purposes of conciliation and arbitration in accordance with Annexes V,
VII and VIII to the Convention, such State shall be entitled to nominate conciliators,
arbitrators and experts to be included in the lists referred to in Annex V,
article 2, Annex VII, article 2, and Annex VIII, article 2, for the settlement
of disputes under this Part.
5. Any court or tribunal to
which a dispute has been submitted under this Part shall apply the relevant
provisions of the Convention, of this Agreement and of any relevant
subregional, regional or global fisheries agreement, as well as generally
accepted standards for the conservation and management of living marine
resources and other rules of international law not incompatible with the
Convention, with a view to ensuring the conservation of the straddling fish
stocks and highly migratory fish stocks concerned.
Article 31
Provisional measures
1. Pending the settlement of
a dispute in accordance with this Part, the parties to the dispute shall make
every effort to enter into provisional arrangements of a practical nature.
2. Without prejudice to
article 290 of the Convention, the court or tribunal to which the dispute has
been submitted under this Part may prescribe any provisional measures which it
considers appropriate under the circumstances to preserve the respective rights
of the parties to the dispute or to prevent damage to the stocks in question,
as well as in the circumstances referred to in article 7, paragraph 5, and
article 16, paragraph 2.
3. A State Party to this
Agreement which is not a Party to the Convention may declare that,
notwithstanding article 290, paragraph 5, of the Convention, the International
Tribunal for the Law of the Sea shall not be entitled to prescribe, modify or
revoke provisional measures without the agreement of such State.
Article 32
Limitations on applicability of procedures
for the settlement of disputes
Article 297, paragraph
3, of the Convention applies also to this Agreement.
PART IX
NON‑PARTIES TO THIS AGREEMENT
Article 33
Non‑parties to this Agreement
1. States Parties shall
encourage non‑parties to this Agreement to become parties thereto and to adopt
laws and regulations consistent with its provisions.
2. States Parties shall take
measures consistent with this Agreement and international law to deter the
activities of vessels flying the flag of non‑parties which undermine the
effective implementation of this Agreement.
PART X
GOOD FAITH AND ABUSE OF
RIGHTS
Article 34
Good faith and abuse of rights
States Parties shall
fulfil in good faith the obligations assumed under this Agreement and shall
exercise the rights recognized in this Agreement in a manner which would not
constitute an abuse of right.
PART XI
RESPONSIBILITY AND LIABILITY
Article 35
Responsibility and liability
States Parties are
liable in accordance with international law for damage or loss attributable to
them in regard to this Agreement.
PART XII
REVIEW CONFERENCE
Article 36
Review conference
1. Four years after the date
of entry into force of this Agreement, the Secretary‑General of the United
Nations shall convene a conference with a view to assessing the effectiveness
of this Agreement in securing the conservation and management of straddling
fish stocks and highly migratory fish stocks. The Secretary‑General shall
invite to the conference all States Parties and those States and entities which
are entitled to become parties to this Agreement as well as those
intergovernmental and non‑governmental organizations entitled to participate as
observers.
2. The conference shall
review and assess the adequacy of the provisions of this Agreement and, if
necessary, propose means of strengthening the substance and methods of
implementation of those provisions in order better to address any continuing
problems in the conservation and management of straddling fish stocks and
highly migratory fish stocks.
PART XIII
FINAL PROVISIONS
Article 37
Signature
This Agreement shall be
open for signature by all States and the other entities referred to in article
1, paragraph 2(b), and shall remain open for signature at United Nations
Headquarters for twelve months from the fourth of December 1995.
Article 38
Ratification
This Agreement is
subject to ratification by States and the other entities referred to in article
1, paragraph 2(b). The instruments of ratification shall be deposited with the
Secretary‑General of the United Nations.
Article 39
Accession
This Agreement shall
remain open for accession by States and the other entities referred to in
article 1, paragraph 2(b). The instruments of accession shall be deposited with
the Secretary‑General of the United Nations.
Article 40
Entry into force
1. This Agreement shall
enter into force 30 days after the date of deposit of the thirtieth instrument
of ratification or accession.
2. For each State or entity
which ratifies the Agreement or accedes thereto after the deposit of the
thirtieth instrument of ratification or accession, this Agreement shall enter
into force on the thirtieth day following the deposit of its instrument of
ratification or accession.
Article 41
Provisional application
1. This Agreement shall be
applied provisionally by a State or entity which consents to its provisional
application by so notifying the depositary in writing. Such provisional
application shall become effective from the date of receipt of the
notification.
2. Provisional application
by a State or entity shall terminate upon the entry into force of this
Agreement for that State or entity or upon notification by that State or entity
to the depositary in writing of its intention to terminate provisional
application.
Article 42
Reservations and exceptions
No reservations or
exceptions may be made to this Agreement.
Article 43
Declarations and statements
Article 42 does not
preclude a State or entity, when signing, ratifying or acceding to this
Agreement, from making declarations or statements, however phrased or named,
with a view, inter alia, to the harmonization of its laws and
regulations with the provisions of this Agreement, provided that such
declarations or statements do not purport to exclude or to modify the legal
effect of the provisions of this Agreement in their application to that State
or entity.
Article 44
Relation to other agreements
1. This Agreement shall not
alter the rights and obligations of States Parties which arise from other
agreements compatible with this Agreement and which do not affect the enjoyment
by other States Parties of their rights or the performance of their obligations
under this Agreement.
2. Two or more States
Parties may conclude agreements modifying or suspending the operation of
provisions of this Agreement, applicable solely to the relations between them,
provided that such agreements do not relate to a provision derogation from
which is incompatible with the effective execution of the object and purpose of
this Agreement, and provided further that such agreements shall not affect the
application of the basic principles embodied herein, and that the provisions of
such agreements do not affect the enjoyment by other States Parties of their
rights or the performance of their obligations under this Agreement.
3. States Parties intending
to conclude an agreement referred to in paragraph 2 shall notify the other
States Parties through the depositary of this Agreement of their intention to
conclude the agreement and of the modification or suspension for which it
provides.
Article 45
Amendment
1. A State Party may, by
written communication addressed to the Secretary‑General of the United Nations,
propose amendments to this Agreement and request the convening of a conference
to consider such proposed amendments. The Secretary‑General shall circulate
such communication to all States Parties. If, within six months from the date
of the circulation of the communication, not less than one half of the States
Parties reply favourably to the request, the Secretary‑General shall convene
the conference.
2. The decision‑making
procedure applicable at the amendment conference convened pursuant to paragraph
1 shall be the same as that applicable at the United Nations Conference on
Straddling Fish Stocks and Highly Migratory Fish Stocks, unless otherwise
decided by the conference. The conference should make every effort to reach
agreement on any amendments by way of consensus and there should be no voting
on them until all efforts at consensus have been exhausted.
3. Once adopted, amendments
to this Agreement shall be open for signature at United Nations Headquarters by
States Parties for twelve months from the date of adoption, unless otherwise
provided in the amendment itself.
4. Articles 38, 39, 47 and
50 apply to all amendments to this Agreement.
5. Amendments to this
Agreement shall enter into force for the States Parties ratifying or acceding
to them on the thirtieth day following the deposit of instruments of
ratification or accession by two thirds of the States Parties. Thereafter, for
each State Party ratifying or acceding to an amendment after the deposit of the
required number of such instruments, the amendment shall enter into force on
the thirtieth day following the deposit of its instrument of ratification or
accession.
6. An amendment may provide
that a smaller or a larger number of ratifications or accessions shall be
required for its entry into force than are required by this article.
7. A State which becomes a
Party to this Agreement after the entry into force of amendments in accordance
with paragraph 5 shall, failing an expression of a different intention by that
State:
(a) be considered as
a Party to this Agreement as so amended; and
(b) be considered as
a Party to the unamended Agreement in relation to any State Party not bound by
the amendment.
Article 46
Denunciation
1. A State Party may, by
written notification addressed to the Secretary‑General of the United Nations,
denounce this Agreement and may indicate its reasons. Failure to indicate
reasons shall not affect the validity of the denunciation. The denunciation
shall take effect one year after the date of receipt of the notification,
unless the notification specifies a later date.
2. The denunciation shall
not in any way affect the duty of any State Party to fulfil any obligation
embodied in this Agreement to which it would be subject under international law
independently of this Agreement.
Article 47
Participation in international
organizations
1. In cases where an
international organization referred to in Annex IX, article 1, of the
Convention does not have competence over all the matters governed by this
Agreement, Annex IX to the Convention shall apply mutatis mutandis to
participation by such international organization in this Agreement, except that
the following provisions of that Annex shall not apply:
(a) article 2, first
sentence; and
(b) article 3,
paragraph 1.
2. In cases where an
international organization referred to in Annex IX, article 1, of the
Convention has competence over all the matters governed by this Agreement, the
following provisions shall apply to participation by such international
organization in this Agreement:
(a) at the time of
signature or accession, such international organization shall make a
declaration stating:
(i) that it has competence over all the
matters governed by this Agreement;
(ii) that, for this reason, its member States
shall not become States Parties, except in respect of their territories for
which the international organization has no responsibility; and
(iii) that it accepts the rights and
obligations of States under this Agreement;
(b) participation of
such an international organization shall in no case confer any rights under
this Agreement on member States of the international organization;
(c) in the event of
a conflict between the obligations of an international organization under this
Agreement and its obligations under the agreement establishing the
international organization or any acts relating to it, the obligations under
this Agreement shall prevail.
Article 48
Annexes
1. The Annexes form an
integral part of this Agreement and, unless expressly provided otherwise, a
reference to this Agreement or to one of its Parts includes a reference to the
Annexes relating thereto.
2. The Annexes may be
revised from time to time by States Parties. Such revisions shall be based on
scientific and technical considerations. Notwithstanding the provisions of
article 45, if a revision to an Annex is adopted by consensus at a meeting of
States Parties, it shall be incorporated in this Agreement and shall take
effect from the date of its adoption or from such other date as may be
specified in the revision. If a revision to an Annex is not adopted by
consensus at such a meeting, the amendment procedures set out in article 45
shall apply.
Article 49
Depositary
The Secretary‑General of
the United Nations shall be the depositary of this Agreement and any amendments
or revisions thereto.
Article 50
Authentic texts
The Arabic, Chinese,
English, French, Russian and Spanish texts of this Agreement are equally
authentic.
IN WITNESS WHEREOF, the
undersigned Plenipotentiaries, being duly authorized thereto, have signed this
Agreement.
OPENED FOR SIGNATURE at New York,
this fourth day of December, one thousand nine hundred and ninety‑five, in a
single original, in the Arabic, Chinese, English, French, Russian and Spanish
languages.
ANNEX I
STANDARD REQUIREMENTS FOR THE
COLLECTION AND SHARING OF DATA
Article 1
General principles
1. The timely collection,
compilation and analysis of data are fundamental to the effective conservation
and management of straddling fish stocks and highly migratory fish stocks. To
this end, data from fisheries for these stocks on the high seas and those in
areas under national jurisdiction are required and should be collected and
compiled in such a way as to enable statistically meaningful analysis for the
purposes of fishery resource conservation and management. These data include
catch and fishing effort statistics and other fishery‑related information, such
as vessel‑related and other data for standardizing fishing effort. Data
collected should also include information on non‑target and associated or
dependent species. All data should be verified to ensure accuracy. Confidentiality
of non‑aggregated data shall be maintained. The dissemination of such data
shall be subject to the terms on which they have been provided.
2. Assistance, including
training as well as financial and technical assistance, shall be provided to
developing States in order to build capacity in the field of conservation and
management of living marine resources. Assistance should focus on enhancing
capacity to implement data collection and verification, observer programs, data
analysis and research projects supporting stock assessments. The fullest
possible involvement of developing State scientists and managers in
conservation and management of straddling fish stocks and highly migratory fish
stocks should be promoted.
Article 2
Principles of data collection,
compilation and exchange
The following general
principles should be considered in defining the parameters for collection,
compilation and exchange of data from fishing operations for straddling fish
stocks and highly migratory fish stocks:
(a) States should
ensure that data are collected from vessels flying their flag on fishing
activities according to the operational characteristics of each fishing method
(e.g., each individual tow for trawl, each set for long‑line and purse‑seine,
each school fished for pole‑and‑line and each day fished for troll) and in
sufficient detail to facilitate effective stock assessment;
(b) States should
ensure that fishery data are verified through an appropriate system;
(c) States should
compile fishery‑related and other supporting scientific data and provide them
in an agreed format and in a timely manner to the relevant subregional or
regional fisheries management organization or arrangement where one exists.
Otherwise, States should cooperate to exchange data either directly or through
such other cooperative mechanisms as may be agreed among them;
(d) States should
agree, within the framework of subregional or regional fisheries management
organizations or arrangements, or otherwise, on the specification of data and
the format in which they are to be provided, in accordance with this Annex and
taking into account the nature of the stocks and the fisheries for those stocks
in the region. Such organizations or arrangements should request non‑members or
non‑participants to provide data concerning relevant fishing activities by
vessels flying their flag;
(e) such
organizations or arrangements shall compile data and make them available in a
timely manner and in an agreed format to all interested States under the terms
and conditions established by the organization or arrangement; and
(f) scientists of
the flag State and from the relevant subregional or regional fisheries
management organization or arrangement should analyse the data separately or
jointly, as appropriate.
Article 3
Basic fishery data
1. States shall collect and
make available to the relevant subregional or regional fisheries management
organization or arrangement the following types of data in sufficient detail to
facilitate effective stock assessment in accordance with agreed procedures:
(a) time series of
catch and effort statistics by fishery and fleet;
(b) total catch in
number, nominal weight, or both, by species (both target and non‑target) as is
appropriate to each fishery. [Nominal weight is defined by the Food and
Agriculture Organization of the United Nations as the live‑weight equivalent of
the landings];
(c) discard
statistics, including estimates where necessary, reported as number or nominal
weight by species, as is appropriate to each fishery;
(d) effort
statistics appropriate to each fishing method; and
(e) fishing
location, date and time fished and other statistics on fishing operations as
appropriate.
2. States shall also collect
where appropriate and provide to the relevant subregional or regional fisheries
management organization or arrangement information to support stock assessment,
including:
(a) composition of
the catch according to length, weight and sex;
(b) other biological
information supporting stock assessments such as information on age, growth,
recruitment, distribution and stock identity; and
(c) other relevant
research, including surveys of abundance, biomass surveys, hydro‑acoustic
surveys, research on environmental factors affecting stock abundance, and
oceanographic and ecological studies.
Article 4
Vessel data and information
1. States should collect the
following types of vessel‑related data for standardizing fleet composition and
vessel fishing power and for converting between different measures of effort in
the analysis of catch and effort data:
(a) vessel
identification, flag and port of registry;
(b) vessel type;
(c) vessel
specifications (e.g., material of construction, date built, registered length,
gross registered tonnage, power of main engines, hold capacity and catch
storage methods); and
(d) fishing gear
description (e.g., types, gear specifications and quantity).
2. The flag State will
collect the following information:
(a) navigation and
position fixing aids;
(b) communication
equipment and international radio call sign; and
(c) crew size.
Article 5
Reporting
A State shall ensure
that vessels flying its flag send to its national fisheries administration and,
where agreed, to the relevant subregional or regional fisheries management
organization or arrangement, logbook data on catch and effort, including data
on fishing operations on the high seas, at sufficiently frequent intervals to
meet national requirements and regional and international obligations. Such data
shall be transmitted, where necessary, by radio, telex, facsimile or satellite
transmission or by other means.
Article 6
Data verification
States or, as
appropriate, subregional or regional fisheries management organizations or
arrangements should establish mechanisms for verifying fishery data, such as:
(a) position
verification through vessel monitoring systems;
(b) scientific
observer programs to monitor catch, effort, catch composition (target and non‑target)
and other details of fishing operations;
(c) vessel trip,
landing and transshipment reports; and
(d) port sampling.
Article 7
Data exchange
1. Data collected by flag
States must be shared with other flag States and relevant coastal States
through appropriate subregional or regional fisheries management organizations
or arrangements. Such organizations or arrangements shall compile data and make
them available in a timely manner and in an agreed format to all interested
States under the terms and conditions established by the organization or
arrangement, while maintaining confidentiality of non‑aggregated data, and
should, to the extent feasible, develop database systems which provide
efficient access to data.
2. At the global level,
collection and dissemination of data should be effected through the Food and
Agriculture Organization of the United Nations. Where a subregional or regional
fisheries management organization or arrangement does not exist, that
organization may also do the same at the subregional or regional level by
arrangement with the States concerned.
ANNEX II
GUIDELINES FOR THE APPLICATION OF PRECAUTIONARY REFERENCE
POINTS IN CONSERVATION AND MANAGEMENT
OF STRADDLING FISH STOCKS AND HIGHLY MIGRATORY
FISH STOCKS
1. A precautionary reference
point is an estimated value derived through an agreed scientific procedure,
which corresponds to the state of the resource and of the fishery, and which
can be used as a guide for fisheries management.
2. Two types of
precautionary reference points should be used: conservation, or limit,
reference points and management, or target, reference points. Limit reference
points set boundaries which are intended to constrain harvesting within safe
biological limits within which the stocks can produce maximum sustainable
yield. Target reference points are intended to meet management objectives.
3. Precautionary reference
points should be stock‑specific to account, inter alia, for the
reproductive capacity, the resilience of each stock and the characteristics of
fisheries exploiting the stock, as well as other sources of mortality and major
sources of uncertainty.
4. Management strategies
shall seek to maintain or restore populations of harvested stocks, and where
necessary associated or dependent species, at levels consistent with previously
agreed precautionary reference points. Such reference points shall be used to
trigger pre‑agreed conservation and management action. Management strategies
shall include measures which can be implemented when precautionary reference
points are approached.
5. Fishery management
strategies shall ensure that the risk of exceeding limit reference points is
very low. If a stock falls below a limit reference point or is at risk of
falling below such a reference point, conservation and management action should
be initiated to facilitate stock recovery. Fishery management strategies shall
ensure that target reference points are not exceeded on average.
6. When information for
determining reference points for a fishery is poor or absent, provisional
reference points shall be set. Provisional reference points may be established
by analogy to similar and better‑known stocks. In such situations, the fishery
shall be subject to enhanced monitoring so as to enable revision of provisional
reference points as improved information becomes available.
7. The fishing mortality
rate which generates maximum sustainable yield should be regarded as a minimum
standard for limit reference points. For stocks which are not overfished,
fishery management strategies shall ensure that fishing mortality does not
exceed that which corresponds to maximum sustainable yield, and that the
biomass does not fall below a predefined threshold. For overfished stocks, the
biomass which would produce maximum sustainable yield can serve as a rebuilding
target.
Schedule 3—Compliance
Agreement
Note: See subsection 4(1) (definition of Compliance
Agreement).
Agreement to Promote Compliance
with International Conservation and Management
Measures by Fishing Vessels on the High Seas
PREAMBLE
The Parties to this Agreement,
Recognizing that all States have the right for their
nationals to engage in fishing on the high seas, subject to the relevant rules
of international law, as reflected in the United Nations Convention on the Law
of the Sea,
Further recognizing that, under international law as
reflected in the United Nations Convention on the Law of the Sea, all States
have the duty to take, or to cooperate with other States in taking, such
measures for their respective nationals as may be necessary for the
conservation of the living resources of the high seas,
Acknowledging the right and interest of all States to
develop their fishing sectors in accordance with their national policies, and
the need to promote cooperation with developing countries to enhance their
capabilities to fulfil their obligations under this Agreement,
Recalling that Agenda 21, adopted by the United
Nations Conference on Environment and Development, calls upon States to take
effective action, consistent with international law, to deter reflagging of
vessels by their nationals as a means of avoiding compliance with applicable
conservation and management rules for fishing activities on the high seas,
Further recalling that the Declaration of Cancun,
adopted by the International Conference on Responsible Fishing, also calls on
States to take action in this respect,
Bearing in mind that under Agenda 21, States commit
themselves to the conservation and sustainable use of marine living resources
on the high seas,
Calling upon States which do not participate in
global, regional or subregional fisheries organizations or arrangements to join
or, as appropriate, to enter into understandings with such organizations or
with parties to such organizations or arrangements with a view to achieving
compliance with international conservation and management measures,
Conscious of the duties of every State to exercise
effectively its jurisdiction and control over vessels flying its flag,
including fishing vessels and vessels engaged in the transhipment of fish,
Mindful that the practice of flagging or reflagging
fishing vessels as a means of avoiding compliance with international
conservation and management measures for living marine resources, and the
failure of flag States to fulfil their responsibilities with respect to fishing
vessels entitled to fly their flag, are among the factors that seriously
undermine the effectiveness of such measures,
Realizing that the objective of this Agreement can be
achieved through specifying flag States’ responsibility in respect of fishing
vessels entitled to fly their flags and operating on the high seas, including
the authorization by the flag State of such operations, as well as through
strengthened international cooperation and increased transparency through the
exchange of information on high seas fishing,
Noting that this Agreement will form an integral part
of the International Code of Conduct for Responsible Fishing called for in the
Declaration of Cancun,
Desiring to conclude an international agreement
within the framework of the Food and Agriculture Organization of the United
Nations, hereinafter referred to as FAO, under Article XIV of the FAO
Constitution,
Have agreed as follows:
Article
I
DEFINITIONS
For the purposes of this
Agreement:
(a) “fishing
vessel” means any vessel used or intended for use for the purposes of the
commercial exploitation of living marine resources, including mother ships and
any other vessels directly engaged in such fishing operations;
(b) “international
conservation and management measures” means measures to conserve or manage one
or more species of living marine resources that are adopted and applied in
accordance with the relevant rules of international law as reflected in the
1982 United Nations Convention on the Law of the Sea. Such measures may be
adopted either by global, regional or subregional fisheries organizations,
subject to the rights and obligations of their members, or by treaties or other
international agreements;
(c) “length” means
(i) for
any fishing vessel built after 18 July 1982, 96 percent of the total
length on a waterline at 85 percent of the least moulded depth measured from
the top of the keel, or the length from the foreside of the stem to the axis of
the rudder stock on that waterline, if that be greater. In ships designed with
a rake of keel the waterline on which this length is measured shall be parallel
to the designed waterline;
(ii) for
any fishing vessel built before 18 July 1982, registered length as entered
on the national register or other record of vessels;
(d) “record of fishing vessels” means a record of fishing vessels
in which are recorded pertinent details of the fishing vessel. It may
constitute a separate record for fishing vessels or form part of a general
record of vessels;
(e) “regional
economic integration organization” means a regional economic integration
organization to which its member States have transferred competence over
matters covered by this Agreement, including the authority to make decisions
binding on its member States in respect of those matters;
(f) “vessels
entitled to fly its flag” and “vessels entitled to fly the flag of a State”,
includes vessels entitled to fly the flag of a member State of a regional
economic integration organization.
Article
II
APPLICATION
1. Subject to the following paragraphs of this
Article, this Agreement shall apply to all fishing vessels that are used or
intended for fishing on the high seas.
2. A Party may exempt fishing vessels of less than
24 metres in length entitled to fly its flag from the application of this
Agreement unless the Party determines that such an exemption would undermine
the object and purpose of this Agreement, provided that such exemptions:
(a) shall
not be granted in respect of fishing vessels operating in fishing regions
referred to in paragraph 3 below, other than fishing vessels that are entitled
to fly the flag of a coastal State of that fishing region; and
(b) shall
not apply to the obligations undertaken by a Party under paragraph 1 of Article
III, or paragraph 7 of Article VI of this Agreement.
3. Without prejudice to the provisions of paragraph
2 above, in any fishing region where bordering coastal States have not yet
declared exclusive economic zones, or equivalent zones of national jurisdiction
over fisheries, such coastal States as are Parties to this Agreement may agree,
either directly or through appropriate regional fisheries organizations, to
establish a minimum length of fishing vessels below which this Agreement shall
not apply in respect of fishing vessels flying the flag of any such coastal
State and operating exclusively in such fishing region.
Article III
FLAG STATE RESPONSIBILITY
1. (a) Each
Party shall take such measures as may be necessary to ensure that fishing
vessels entitled to fly its flag do not engage in any activity that undermines
the effectiveness of international conservation and management measures.
(b) In
the event that a Party has, pursuant to paragraph 2 of Article II, granted an
exemption for fishing vessels of less than 24 metres in length entitled to fly
its flag from the application of other provisions of this Agreement, such Party
shall nevertheless take effective measures in respect of any such fishing
vessel that undermines the effectiveness of international conservation and
management measures. These measures shall be such as to ensure that the fishing
vessel ceases to engage in activities that undermine the effectiveness of the
international conservation and management measures.
2. In particular, no Party shall allow any fishing
vessel entitled to fly its flag to be used for fishing on the high seas unless
it has been authorized to be so used by the appropriate authority or
authorities of that Party. A fishing vessel so authorized shall fish in
accordance with the conditions of the authorization.
3. No Party shall
authorize any fishing vessel entitled to fly its flag to be used for fishing on
the high seas unless the Party is satisfied that it is able, taking into
account the links that exist between it and the fishing vessel concerned, to
exercise effectively its responsibilities under this Agreement in respect of
that fishing vessel.
4. Where a fishing vessel that has been authorized
to be used for fishing on the high seas by a Party ceases to be entitled to fly
the flag of that Party, the authorization to fish on the high seas shall be
deemed to have been cancelled.
5. (a) No
Party shall authorize any fishing vessel previously registered in the territory
of another Party that has undermined the effectiveness of international
conservation and management measures to be used for fishing on the high seas,
unless it is satisfied that
(i)
any period of suspension by another Party of an authorization for such
fishing vessel to be used for fishing on the high seas has expired; and
(ii) no
authorization for such fishing vessel to be used for fishing on the high
seas has been withdrawn by another Party within the last three years.
(b) The provisions of subparagraph (a)
above shall also apply in respect of fishing vessels previously registered in
the territory of a State which is not a Party to this Agreement, provided that
sufficient information is available to the Party concerned on the circumstances
in which the authorization to fish was suspended or withdrawn.
(c) The provisions of subparagraphs (a)
and (b) shall not apply where the ownership of the fishing vessel has
subsequently changed, and the new owner has provided sufficient evidence
demonstrating that the previous owner or operator has no further legal, beneficial
or financial interest in, or control of, the fishing vessel.
(d) Notwithstanding the provisions of subparagraphs (a) and
(b) above, a Party may authorize a fishing vessel, to which those subparagraphs
would otherwise apply, to be used for fishing on the high seas, where the Party
concerned, after having taken into account all relevant facts, including the
circumstances in which the fishing authorization has been withdrawn by the
other Party or State, has determined that to grant an authorization to use the
vessel for fishing on the high seas would not undermine the object and purpose
of this Agreement.
6. Each party shall ensure that all fishing vessels
entitled to fly its flag that it has entered in the record maintained under
Article IV are marked in such a way that they can be readily identified in
accordance with generally accepted standards, such as the FAO Standard
Specifications for the Marking and Identification of Fishing Vessels.
7. Each Party shall ensure that each fishing vessel
entitled to fly its flag shall provide it with such information on its
operations as may be necessary to enable the Party to fulfil its obligations
under this Agreement, including in particular information pertaining to the
area of its fishing operations and to its catches and landings.
8. Each Party shall take enforcement measures in
respect of fishing vessels entitled to fly its flag which act in contravention
of the provisions of this Agreement, including, where appropriate, making the
contravention of such provisions an offence under national legislation.
Sanctions applicable in respect of such contraventions shall be of sufficient
gravity as to be effective in securing compliance with the requirements of this
Agreement and to deprive offenders of the benefits accruing from their illegal
activities. Such sanctions shall, for serious offences, include refusal,
suspension or withdrawal of the authorization to fish on the high seas.
Article
IV
RECORDS
OF FISHING VESSELS
Each Party
shall, for the purposes of this Agreement, maintain a record of fishing vessels
entitled to fly its flag and authorized to be used for fishing on the high
seas, and shall take such measures as may be necessary to ensure that all such
fishing vessels are entered in that record.
Article V
INTERNATIONAL
COOPERATION
1. The Parties shall cooperate as appropriate in the
implementation of this Agreement, and shall, in particular, exchange
information, including evidentiary material, relating to activities of fishing
vessels in order to assist the flag State in identifying those fishing vessels
flying its flag reported to have engaged in activities undermining
international conservation and management measures, so as to fulfil its
obligations under Article III.
2. When a fishing vessel is voluntarily in the port
of a Party other than its flag State, that Party, where it has reasonable
grounds for believing that the fishing vessel has been used for an activity
that undermines the effectiveness of international conservation and management
measures, shall promptly notify the flag State accordingly. Parties may make
arrangements regarding the undertaking by port States of such investigatory
measures as may be considered necessary to establish whether the fishing vessel
has indeed been used contrary to the provisions of this Agreement.
3. The Parties shall, when and as appropriate, enter
into cooperative agreements or arrangements of mutual assistance on a global,
regional, subregional or bilateral basis so as to promote the achievement of
the objectives of this Agreement.
Article VI
EXCHANGE OF INFORMATION
1. Each Party shall
make readily available to FAO the following information with respect to each
fishing vessel entered in the record required to be maintained under Article
IV:
(a) name
of fishing vessel, registration number, previous names (if known), and port of
registry;
(b) previous
flag (if any);
(c) International
Radio Call Sign (if any);
(d) name
and address of owner or owners;
(e) where
and when built;
(f) type
of vessel;
(g) length.
2. Each Party shall, to the extent practicable, make
available to FAO the following additional information with respect to each
fishing vessel entered in the record required to be maintained under Article
IV:
(a) name
and address of operator (manager) or operators (managers) (if any);
(b) type
of fishing method or methods;
(c) moulded
depth;
(d) beam;
(e) gross
register tonnage;
(f) power
of main engine or engines.
3. Each Party shall promptly notify to FAO any
modifications to the information listed in paragraphs 1 and 2 of this Article.
4. FAO shall circulate periodically the information
provided under paragraphs 1, 2, and 3 of this Article to all Parties, and, on
request, individually to any Party. FAO shall also, subject to any restrictions
imposed by the Party concerned regarding the distribution of information,
provide such information on request individually to any global, regional or
subregional fisheries organization.
5. Each Party shall also promptly inform FAO of ‑
(a) any
additions to the record;
(b) any
deletions from the record by reason of ‑
(i) the
voluntary relinquishment or non‑renewal of the fishing authorization by the
fishing vessel owner or operator;
(ii) the
withdrawal of the fishing authorization issued in respect of the fishing vessel
under paragraph 8 of Article III;
(iii) the
fact that the fishing vessel concerned is no longer entitled to fly its flag;
(iv) the
scrapping, decommissioning or loss of the fishing vessel concerned; or
(v) any
other reason.
6. Where information is given to FAO under paragraph
5 (b) above, the Party concerned shall specify which of the reasons listed in
that paragraph is applicable.
7. Each Party shall
inform FAO of
(a) any
exemption it has granted under paragraph 2 of Article II, the number and type
of fishing vessel involved and the geographical areas in which such fishing
vessels operate; and
(b) any
agreement reached under paragraph 3 of Article II.
8. (a) Each
Party shall report promptly to FAO all relevant information regarding any activities
of fishing vessels flying its flag that undermine the effectiveness of
international conservation and management measures, including the identity of
the fishing vessel or vessels involved and measures imposed by the Party in
respect of such activities. Reports on measures imposed by a Party may be
subject to such limitations as may be required by national legislation with
respect to confidentiality, including, in particular, confidentiality regarding
measures that are not yet final.
(b) Each
Party, where it has reasonable grounds to believe that a fishing vessel not
entitled to fly its flag has engaged in any activity that undermines the
effectiveness of international conservation and management measures, shall draw
this to the attention of the flag State concerned and may, as appropriate, draw
it to the attention of FAO. It shall provide the flag State with full
supporting evidence and may provide FAO with a summary of such evidence. FAO
shall not circulate such information until such time as the flag State has had
an opportunity to comment on the allegation and evidence submitted, or to
object as the case may be.
9. Each Party shall inform FAO of any cases where
the Party, pursuant to paragraph 5 (d) of Article III, has granted an
authorization notwithstanding the provisions of paragraph 5 (a) or 5 (b) of
Article III. The information shall include pertinent data permitting the
identification of the fishing vessel and the owner or operator and, as
appropriate, any other information relevant to the Party’s decision.
10. FAO shall circulate
promptly the information provided under paragraphs 5, 6, 7, 8 and 9 of this
Article to all Parties, and, on request, individually to any Party. FAO shall
also, subject to any restrictions imposed by the Party concerned regarding the
distribution of information, provide such information promptly on request
individually to any global, regional or subregional fisheries organization.
11. The Parties shall exchange information relating to
the implementation of this Agreement, including through FAO and other
appropriate global, regional and subregional fisheries organizations.
Article VII
COOPERATION
WITH DEVELOPING COUNTRIES
The
Parties shall cooperate, at a global, regional, subregional or bilateral level,
and, as appropriate, with the support of FAO and other international or
regional organizations, to provide assistance, including technical assistance,
to Parties that are developing countries in order to assist them in fulfilling
their obligations under this Agreement.
Article
VIII
NON‑PARTIES
1. The Parties shall encourage any State not party
to this Agreement to accept this Agreement and shall encourage any non‑Party to
adopt laws and regulations consistent with the provisions of this Agreement.
2. The Parties shall cooperate in a manner
consistent with this Agreement and with international law to the end that
fishing vessels entitled to fly the flags of non‑Parties do not engage in
activities that undermine the effectiveness of international conservation and
management measures.
3. The Parties shall exchange information amongst
themselves, either directly or through FAO, with respect to activities of
fishing vessels flying the flags of non‑Parties that undermine the
effectiveness of international conservation and management measures.
Article IX
SETTLEMENT OF DISPUTES
1. Any Party may seek consultations with any other
Party or Parties on any dispute with regard to the interpretation or
application of the provisions of this Agreement with a view to reaching a
mutually satisfactory solution as soon as possible.
2. In the event that the dispute is not resolved
through these consultations within a reasonable period of time, the Parties in
question shall consult among themselves as soon as possible with a view to
having the dispute settled by negotiation, inquiry, mediation, conciliation,
arbitration, judicial settlement or other peaceful means of their own choice.
3. Any dispute of this character not so resolved
shall, with the consent of all Parties to the dispute, be referred for
settlement to the International Court of Justice, to the International Tribunal
for the Law of the Sea upon entry into force of the 1982 United Nations
Convention on the Law of the Sea or to arbitration. In the case of failure to
reach agreement on referral to the International Court of Justice, to the
International Tribunal for the Law of the Sea or to arbitration, the Parties
shall continue to consult and cooperate with a view to reaching settlement of
the dispute in accordance with the rules of international law relating to the
conservation of living marine resources.
Article
X
ACCEPTANCE
1. This Agreement shall be open to acceptance by any
Member or Associate Member of FAO, and to any non‑member State that is a member
of the United Nations, or of any of the specialized agencies of the United
Nations or of the International Atomic Energy Agency.
2. Acceptance of this Agreement shall be effected by
the deposit of an instrument of acceptance with the Director‑General of FAO,
hereinafter referred to as the Director‑General.
3. The Director‑General shall inform all Parties,
all Members and Associate Members of FAO and the Secretary‑General of the
United Nations of all instruments of acceptance received.
4. When a regional economic integration organization
becomes a Party to this Agreement, such regional economic integration
organization shall, in accordance with the provisions of Article II.7 of the
FAO Constitution, as appropriate, notify such modifications or clarifications
to its declaration of competence submitted under Article II.5 of the FAO
Constitution as may be necessary in light of its acceptance of this Agreement.
Any Party to this Agreement may, at any time, request a regional economic
integration organization that is a Party to this Agreement to provide
information as to which, as between the regional economic integration
organization and its Member States, is responsible for the implementation of
any particular matter covered by this Agreement. The regional economic
integration organization shall provide this information within a reasonable
time.
Article
XI
ENTRY
INTO FORCE
1. This Agreement shall enter into force as from the
date of receipt by the Director‑General of the twenty‑fifth instrument of
acceptance.
2. For the purpose of this Article, an instrument
deposited by a regional economic integration organization shall not be counted
as additional to those deposited by member States of such an organization.
Article
XII
RESERVATIONS
Acceptance of this Agreement may
be made subject to reservations which shall become effective only upon
unanimous acceptance by all Parties to this Agreement. The Director‑General
shall notify forthwith all Parties of any reservation. Parties not having
replied within three months from the date of the notification shall be deemed
to have accepted the reservation. Failing such acceptance, the State or
regional economic integration organization making the reservation shall not
become a Party to this Agreement.
Article
XIII
AMENDMENTS
1. Any proposal by a Party for the amendment of this
Agreement shall be communicated to the Director‑General.
2. Any proposed amendment of this Agreement received
by the Director‑General from a Party shall be presented to a regular or special
session of the Conference for approval and, if the amendment involves important
technical changes or imposes additional obligations on the Parties, it shall be
considered by an advisory committee of specialists convened by FAO prior to the
Conference.
3. Notice of any proposed amendment of this
Agreement shall be transmitted to the Parties by the Director‑General not later
than the time when the agenda of the session of the Conference at which the
matter is to be considered is dispatched.
4. Any such proposed amendment of this Agreement
shall require the approval of the Conference and shall come into force as from
the thirtieth day after acceptance by two‑thirds of the Parties. Amendments
involving new obligations for Parties, however, shall come into force in
respect of each Party only on acceptance by it and as from the thirtieth day
after such acceptance. Any amendment shall be deemed to involve new obligations
for Parties unless the Conference, in approving the amendment, decides
otherwise by consensus.
5. The instruments of acceptance of amendments
involving new obligations shall be deposited with the Director‑General, who
shall inform all Parties of the receipt of acceptance and the entry into force
of amendments.
6. For the purpose of this Article, an instrument
deposited by a regional economic integration organization shall not be counted
as additional to those deposited by member States of such an organization.
Article
XIV
WITHDRAWAL
Any Party may withdraw from this
Agreement at any time after the expiry of two years from the date upon which
the Agreement entered into force with respect to that Party, by giving written
notice of such withdrawal to the Director‑General who shall immediately inform
all the Parties and the Members and Associate Members of FAO of such
withdrawal. Withdrawal shall become effective at the end of the calendar year
following that in which the notice of withdrawal has been received by the
Director‑General.
Article XV
DUTIES OF THE DEPOSITARY
The Director‑General shall be the
Depositary of this Agreement. The Depositary shall:
(a) send
certified copies of this Agreement to each Member and Associate Member of FAO
and to such non‑member States as may become party to this Agreement;
(b) arrange
for the registration of this Agreement, upon its entry into force, with the
Secretariat of the United Nations in accordance with Article 102 of the Charter
of the United Nations;
(c) inform
each Member and Associate Member of FAO and any non‑member States as may become Party to this Agreement of:
(i) instruments
of acceptance deposited in accordance with Article X;
(ii) the
date of entry into force of this Agreement in accordance with Article XI;
(iii) proposals
for and the entry into force of amendments to this Agreement in accordance with
Article XIII;
(iv) withdrawals
from this Agreement pursuant to Article XIV.
Article
XVI
AUTHENTIC
TEXTS
The Arabic, Chinese, English,
French, and Spanish texts of this Agreement are equally authentic.