Electricity Supply Act 1995 No 94



An Act to regulate the supply of electricity in the retail market; to set out the functions of persons engaged in the conveyance and supply of electricity; and for other purposes.
long title: Am 1997 No 20, Sch 1.3 [1].
Part 1 Preliminary
1   Name of Act
This Act is the Electricity Supply Act 1995.
2   Commencement
This Act commences on a day or days to be appointed by proclamation.
3   Objects
The objects of this Act are:
(a)  to establish a competitive retail market in electricity so as to promote efficient and environmentally responsible production and use of electricity and to deliver a safe and reliable supply of electricity, and
(b)  to confer on network operators such powers as are necessary to enable them to construct, operate, repair and maintain their electricity works, and
(c)  to regulate network operations and electricity supply in the retail market in a manner that ensures open access to electricity distribution systems, promotes customer choice and creates customer rights in relation to electricity connections and electricity supply.
s 3: Am 1997 No 20, Sch 1.3 [2] [3].
4   Definitions and notes
(1)  Expressions used in this Act that are defined in the dictionary at the end of this Act have the meanings set out in the dictionary.
(2)  Notes included in this Act do not form part of this Act.
s 4: Am 2000 No 109, Sch 1 [2].
5   Act binds Crown
This Act binds the Crown in right of New South Wales and, in so far as the legislative power of Parliament permits, the Crown in all its other capacities.
Part 2
6–12   (Repealed)
pt 2: Rep 1997 No 20, Sch 1.3 [4].
s 6: Rep 1997 No 20, Sch 1.3 [4].
s 7: Rep 1997 No 20, Sch 1.3 [4].
s 8: Subst 1997 No 21, Sch 1 [1]. Rep 1997 No 20, Sch 1.3 [4].
ss 9–11: Rep 1997 No 20, Sch 1.3 [4].
s 12: Am 1997 No 21, Sch 1 [2]. Rep 1997 No 20, Sch 1.3 [4].
Part 3 Network operations in the retail market
Division 1 Network operations
13   Operation of distribution systems for retail supply
A person must not operate a distribution system for the purpose of conveying electricity, for or on behalf of retail suppliers, otherwise than under the authority of a distribution network service provider’s licence.
Maximum penalty: 500 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
14   Licences
(1)  The Minister may grant distribution network service providers’ licences for the purposes of this Act.
(2)  Schedule 2 has effect with respect to the granting, variation, transfer and cancellation of distribution network service providers’ licences.
s 14: Am 2000 No 109, Sch 1 [3].
15   Right to connection to local distribution system for all customers
(1)  An application may be made to a distribution network service provider:
(a)  by any person who owns or occupies premises within the distribution network service provider’s distribution district (other than a person who is entitled to the provision of customer connection services under a wholesale market access regime), or
(b)  by any other person on behalf of any such person,
for the provision of customer connection services to those premises.
(2)  A distribution network service provider to which such an application is made is obliged:
(a)  to provide customer connection services to the applicant’s premises under the customer connection contract relevant to the applicant, or
(b)  to ensure that customer connection services are so provided.
(3)  The right that a person has under this section to have premises provided with customer connection services is subject to any provision of this Act or the regulations that authorises the disconnection of those premises from, or the refusal to connect those premises to, a distribution system.
(4)  It is a condition of a distribution network service provider’s licence that the distribution network service provider must fulfil the obligations imposed on the distribution network service provider by this section.
(5)  This section does not apply to a distribution network service provider that does not have a distribution district.
s 15: Am 1996 No 56, Sch 2.8 [1].
16   Distribution network service providers to convey electricity for certain persons only
It is a condition of a distribution network service provider’s licence that the distribution network service provider must not operate its distribution system for the purpose of conveying electricity for or on behalf of any person unless the person is:
(a)    (Repealed)
(b)  a retail supplier, or
(c)    (Repealed)
(d)  a Code participant within the meaning of the National Electricity (NSW) Law.
s 16: Subst 1997 No 21, Sch 1 [3]. Am 1997 No 20, Sch 1.3 [5] [6].
17   (Repealed)
s 17: Rep 2000 No 109, Sch 1 [4].
18   Distribution network service providers to connect premises under customer connection contracts
It is a condition of a distribution network service provider’s licence that the distribution network service provider must not provide customer connection services otherwise than under a customer connection contract.
s 18: Subst 2000 No 109, Sch 1 [5].
Division 2 Standard form customer connection contracts
19   Procedure for making standard form customer connection contracts
(1)  It is a condition of a distribution network service provider’s licence that the distribution network service provider must prepare a standard form customer connection contract to establish the conditions on which it will provide customer connection services.
(2)  It is a condition of a distribution network service provider’s licence that the distribution network service provider must notify any relevant customer consultative group, and must have due regard to its comments, before completing its preparation of a standard form customer connection contract.
(3)  Different forms of customer connection contract may be prepared for different classes of customer.
s 19: Am 1997 No 21, Sch 1 [4].
20   Matters for which standard form customer connection contracts must provide
(1)  A standard form customer connection contract must make provision for the following matters:
(a)  the basis on which charges for its customer connection services are to be calculated,
(b)  any security to be provided by customers for payment of any such charges,
(c)  the standard of service to be provided to customers by the distribution network service provider,
(d)  the requirements to be complied with by customers under Division 4,
(e)  the circumstances under which premises may be disconnected from the distribution network service provider’s distribution system,
(f)  the procedures established by the distribution network service provider for handling enquiries and complaints made by customers, and resolving disputes with customers, in relation to matters arising under the contract,
(g)  such other matters as may be prescribed by the regulations.
(2)  A standard form customer connection contract:
(a)  must indicate that this Act confers powers, duties, rights and obligations on the distribution network service provider and customers, and
(b)  must briefly describe the nature of those powers, duties, rights and obligations,
but is not unenforceable merely because of any failure to do so.
(3)  A standard form customer connection contract must comply with:
(a)  any conditions imposed on the distribution network service provider by its distribution network service provider’s licence, and
(b)  any relevant determination made by the Independent Pricing and Regulatory Tribunal,
but is not unenforceable merely because of any failure to do so.
(4)  A standard form customer connection contract must not be inconsistent with the provisions of this Act or the regulations, and is unenforceable to the extent of any such inconsistency.
s 20: Am 1997 No 21, Sch 1 [5].
21   Effect of standard form customer connection contracts
(1)  Except to the extent to which the regulations otherwise provide, a standard form customer connection contract takes effect:
(a)  on the first day on which notice of its terms is published in a newspaper circulating throughout the distribution network service provider’s distribution district, or
(b)  on such later day as may be specified in the notice.
(2)  The particulars to be set out in a notice under this section:
(a)  must specify the date on or after which the customer connection contract is to take effect, not being a date that is earlier than the date the notice is published or served, and
(b)  must include such other particulars as may be prescribed by the regulations.
(3)  A notice under this section may be of general application or be limited in its application by reference to specified exceptions or factors.
(4)  A standard form customer connection contract does not have effect in respect of any period before the date specified in the relevant notice as the date on or after which the contract is to take effect.
(5)  On the day on which a customer applies to a distribution network service provider for the provision of customer connection services, the customer and the distribution network service provider are taken to have entered into an agreement for the provision of customer connection services on the conditions set out in the relevant standard form customer connection contract, and the contract is enforceable accordingly.
22   Amendment of standard form customer connection contracts
(1)  From time to time a distribution network service provider may amend a standard form customer connection contract to vary the conditions on which it will provide customer connection services.
(2)  This Division applies to an amendment of a standard form customer connection contract in the same way as it applies to a standard form customer connection contract.
Division 3 Negotiated customer connection contracts
23   Negotiated customer connection contracts
(1)  This section applies to arrangements for the provision of customer connection services by a distribution network service provider in circumstances in which the distribution network service provider and customer agree for customer connection services to be provided otherwise than under any of the distribution network service provider’s standard form customer connection contracts.
(2)  An arrangement to which this section applies (a negotiated customer connection contract) may contain such terms as the distribution network service provider and customer may agree, and the contract is enforceable accordingly.
(3)  A negotiated customer connection contract must comply with any conditions imposed on the distribution network service provider by its distribution network service provider’s licence, but is not unenforceable merely because of any failure to do so.
(4)  A negotiated customer connection contract must not be inconsistent with the provisions of this Act or the regulations, and is unenforceable to the extent of any such inconsistency.
s 23: Am 1997 No 21, Sch 1 [6] [7].
Division 4 Requirements relating to customer connection services
24   Application
(1)  This Division applies to any person who applies to a distribution network service provider for the provision of customer connection services or to whom customer connection services are provided.
(2)  A distribution network service provider may refuse to provide customer connection services to a person who fails to comply with a requirement under this Division.
25   Contributions to augmentation of distribution system
(1)  A distribution network service provider may require a new customer to contribute towards the costs incurred or to be incurred by the distribution network service provider:
(a)  in extending its distribution system, or
(b)  in increasing the capacity of its distribution system,
so as to enable it to provide customer connection services to the customer.
(2)  For the purpose of ensuring that previously incurred costs of the kind referred to in subsection (1) are equitably borne by customers in the same vicinity, the distribution network service provider:
(a)  may require further new customers to contribute towards those costs, and
(b)  may apply the whole or any part of the contributions received from those customers to the repayment of existing customers who have previously contributed towards those costs.
(3)  A distribution network service provider must comply with any determination of the Tribunal in force under the Independent Pricing and Regulatory Tribunal Act 1992 relating to the proportion of contributions that may be required from customers under this section or the repayment of existing customers under this section.
(3A)  It is a condition of a distribution network service provider’s licence that the distribution network service provider must comply with this section.
(4)  In this section, new customer means a customer requiring new or additional customer connection services.
s 25: Am 1997 No 21, Sch 1 [8]; 2000 No 109, Sch 1 [6].
26   Service lines
(1)  A distribution network service provider may require the installation of such service lines, and provision for their attachment, as it considers necessary to provide a supply of electricity to a customer.
(2)  The type, construction and route of a service line and its point of connection are to be as determined by the distribution network service provider.
(3)  A distribution network service provider may require premises to be provided with more than one point of connection if the distribution network service provider considers it necessary to avoid interference with the supply of electricity to any other premises.
27   Service equipment
(1)  A distribution network service provider may require the installation of such service equipment, and provision for its mounting, as it considers necessary for the provision of a safe and efficient supply of electricity to a customer.
(2)  The position and standards of installation of service equipment are to be as determined by the distribution network service provider.
28   Transformers
(1)  This section applies if, in the opinion of the distribution network service provider, the supply of electricity required by a customer:
(a)  exceeds that which can be provided by a service line from its street mains, and
(b)  can best be given by installing transformers, switchgear or other equipment on the premises to be supplied.
(2)  In such a case, the distribution network service provider may require the customer to provide for use by the distribution network service provider, free of cost, a place within those premises to accommodate the transformers, switchgear or other equipment that the distribution network service provider considers should be installed.
(3)  The place provided must be approved by, and must be enclosed in a manner approved by, the distribution network service provider.
29   Electricity meters
(1)  A distribution network service provider may require the installation of such electricity meters as it considers necessary to ascertain the quantity of electricity supplied to a customer.
(2)  The position and standards of installation of electricity meters are to be as determined by the distribution network service provider.
30   Requirements as to installation and use of apparatus
(1)  A distribution network service provider:
(a)  may impose such requirements as to the installation and use of electrical appliances and equipment by the customer as the distribution network service provider considers necessary to prevent or minimise adverse effects on the supply of electricity to other customers, and
(b)  may impose requirements relating to loading of, and the balancing of the load over, the phases of the customer’s electricity supply, and
(c)  may impose requirements as to the minimum rupture rating or minimum breaking capacity of the customer’s main protective devices, and
(d)  may require the customer to install relays, current transformers and other protective equipment having characteristics to suit the distribution network service provider’s protective system.
(2)  A customer must comply with any requirement imposed on the customer under this section.
31   Customer may choose supplier and contractor
(1)  For the purpose of complying with any requirement imposed under this Division or under a customer connection contract, a customer may elect:
(a)  to have any required electrical or other goods provided by the distribution network service provider (in the case of goods that are available from the distribution network service provider) or by any other person, and
(b)  to have any required electrical or other services provided by the distribution network service provider (in the case of services that are available from the distribution network service provider) or by any other person.
(2)  A person who provides electrical or other services of a kind prescribed by the regulations must be accredited, in accordance with the regulations, to provide those services.
32   Sealing of electrical installations
A distribution network service provider may attach seals to a customer’s electrical installation if it considers it appropriate to do so.
Division 5 Levy
pt 3, div 5: Ins 1997 No 36, Sch 1 [1].
32A   Definitions
In this Division:
licensee means the holder of a distribution network service provider’s licence.
network income of a licensee means the income derived by the licensee from the use of the distribution system of the licensee in the provision of electricity network services.
s 32A: Ins 1997 No 36, Sch 1 [1]. Am 2000 No 109, Sch 1 [7] [8].
32B   Distribution network service provider’s levy
(1)  A licensee must pay to the Treasurer, in respect of each financial year during which the licensee holds a distribution network service provider’s licence, the levy determined in respect of that year by order of the Governor, on the recommendation of the Treasurer, applying to the licensee and published in the Gazette.
(2)  The Treasurer, in recommending the amount of a levy for a financial year payable by a licensee, must be satisfied that the amount reasonably represents the amount by which the network income (as estimated by the Treasurer) of the licensee in that year is likely to exceed the sum of the amounts (as estimated by the Treasurer) to be:
(a)  the costs of deriving the income, and
(b)  the taxes payable in deriving that income, and
(c)  a reasonable return on the capital of the licensee used in deriving that income,
having regard to:
(d)  the likely consumption of electricity in that financial year by customers (other than customers who are specified or described in an order made under section 43E (6)) who are connected to the licensee’s distribution system, and
(e)  such other matters as the Treasurer determines after consultation with the licensee.
(3)  The levy is payable for the financial year commencing on 1 July 1997 and later financial years.
(4)  Despite the other provisions of this section, no levy is to be determined in respect of the year commencing on 1 July 2001, or any subsequent year, unless the Treasurer, by order published in the Gazette, approves the determination of a levy.
(5)  An approval of the Treasurer under subsection (4):
(a)  must be published in the Gazette before the beginning of a year to which it applies, and
(b)  may apply to one or more years as specified or described in the approval.
s 32B: Ins 1997 No 36, Sch 1 [1]. Am 1998 No 78, Sch 1 [1]; 2000 No 109, Sch 1 [9]; 2001 No 39, Sch 3 [1].
32C   Variation of levy
(1)  The amount of a levy payable by a licensee in respect of a financial year may be varied by order of the Governor applying to the licensee and published in the Gazette.
(2)  Such an order may be made before or during the financial year concerned or during the following financial year, but not later.
(3)  The Treasurer, in recommending a variation of a levy for a financial year payable by a licensee, must be satisfied of the matters referred to in section 32B (2).
ss 32C–32G: Ins 1997 No 36, Sch 1 [1].
32D   Becoming a licensee during a year
(1)  If a person becomes a licensee during a financial year, a levy may be determined under this Division for the licensee in respect of the remaining part of that financial year.
(2)  The other sections of this Division apply to the licensee in respect of that financial year as if references in those sections to a financial year were references to the remaining part of that financial year.
ss 32C–32G: Ins 1997 No 36, Sch 1 [1].
32E   Ceasing to be a licensee during a year
(1)  If a person ceases to be a licensee during a financial year, the amount of levy payable by the licensee may be adjusted by order of the Governor, applying to the licensee and published in the Gazette, having regard to the length of the portion of that financial year that the distribution network service provider’s licence was in force.
(2)  Such a person is entitled to a refund of any money paid in excess of the amount of the levy as so adjusted.
(3)  However, a person does not, by ceasing to be a licensee, cease to be liable to a levy, or to a variation of a levy under section 32C, in respect of any period during which the person was a licensee.
(4)  Accordingly, a reference in this Division to a licensee includes a reference to a former licensee, but without making the former licensee liable to a levy in respect of any period after the person ceased to be the holder of a distribution network service provider’s licence.
(5)  The other sections of this Division apply for the purpose of calculating an adjustment referred to in subsection (1) or a variation referred to in subsection (3) as if references in those sections to a financial year were references to the portion of the financial year during which the distribution network service provider’s licence was in force.
ss 32C–32G: Ins 1997 No 36, Sch 1 [1].
32F   Payment and recovery of levy
(1)  The levy in respect of a financial year is payable at such times (whether during or after that year) and in such manner as are:
(a)  determined in the order imposing, varying or adjusting it (subject to any agreement referred to in paragraph (b)), or
(b)  agreed on between the Treasurer and the licensee under section 99B.
(2)  A levy under this Division is recoverable as a debt due to the Crown in any court of competent jurisdiction.
ss 32C–32G: Ins 1997 No 36, Sch 1 [1].
32G   Operation of Division
(1)  It is a condition of a distribution network service provider’s licence that the licensee must pay the levy in accordance with this Division.
(2)  Nothing in this Division affects the operation of section 59B of the Public Finance and Audit Act 1983.
ss 32C–32G: Ins 1997 No 36, Sch 1 [1].
Part 4 Electricity supply in the retail market
Division 1 Licences
pt 4, div 1, hdg: Subst 2000 No 109, Sch 1 [10].
33   Licences
(1)  The Minister may grant retail suppliers’ licences for the purposes of this Act.
(2)  Schedule 2 has effect with respect to the granting, variation, transfer and cancellation of retail suppliers’ licences.
s 33: Subst 2000 No 109, Sch 1 [10].
33A   Endorsements on retail suppliers’ licences
(1)  One or more of the following endorsements may be attached by the Minister to a retail supplier’s licence:
(a)  a standard retail supplier’s endorsement,
(b)  such other categories of endorsements as the Minister determines.
(2)  A standard retail supplier’s endorsement consists of:
(a)  a condition that designates the endorsement as a standard retail supplier’s endorsement in respect of a supply district as referred to in section 33C, and
(b)  conditions of the kind referred to in sections 34 (7), 36, 39 (1) and (2), 43EF (3), 43ER and 87D, and
(c)  any other condition imposed by the Minister or the regulations.
(3)  Other categories of endorsements have such designations and are subject to such conditions as the Minister thinks fit or as are imposed by the regulations.
(4)  A retail supplier’s licence may have no endorsements, or one or more endorsements, attached to it.
(5)  An endorsement may be attached to a retail supplier’s licence when the licence is granted or at any later time and may be removed at any time by the Minister.
(6)  Conditions of an endorsement that are imposed by the Minister may be varied or revoked by the Minister at any time.
s 33A: Ins 2000 No 109, Sch 1 [10]. Am 2005 No 17, Sch 1 [1] [2].
33B   Transfer of endorsements
(1)  Subject to the regulations, the provisions of this Act that apply to the transfer of licences extend to the transfer of endorsements referred to in section 33A.
(2)  The regulations may make provision for or with respect to the transfer of endorsements between holders of retail suppliers’ licences.
(3)  When approving the transfer of an endorsement, or of a licence together with an endorsement:
(a)  the Minister may impose such additional conditions on the licence as the Minister considers appropriate, including conditions imposed for the purpose of ensuring that the transferee will comply with the conditions comprised in the endorsement, and
(b)  the Minister may impose a condition transferring specified customers or classes of customers, and
(c)  the Minister may amend a condition describing the supply district of a standard retail supplier by varying the supply district, whether by way of reducing or increasing its size, or may revoke such a condition.
(4)  Without limitation, the supply district of a standard retail supplier may be varied by the addition of the whole or a part of the supply district of another standard retail supplier or former standard retail supplier.
(5)  The regulations may make provision for or with respect to the conditions that may be imposed by the Minister under subsection (3).
s 33B: Ins 2000 No 109, Sch 1 [10].
33C   Supply district of standard retail supplier
The supply district of a standard retail supplier is to be described in a condition of the retail supplier’s licence, and may cover either or both of the following:
(a)  one or more distribution districts,
(b)  one or more parts of one or more distribution districts.
s 33C: Ins 2000 No 109, Sch 1 [10].
Division 1A Electricity supply
pt 4, div 1A, hdg: Ins 2000 No 109, Sch 1 [10].
34   Right to supply of electricity from standard retail supplier for all customers
(1)  All persons who own or occupy premises that are within a standard retail supplier’s supply district, and that are connected or have a right under section 15 to apply to be connected to a distribution system, may apply to the standard retail supplier to be supplied with electricity at those premises under a negotiated customer supply contract.
(2)  Such of those persons as are small retail customers have a right to elect to be supplied with electricity at those premises by the standard retail supplier under a standard form customer supply contract instead of under a negotiated customer supply contract.
(3)  An application or election may be made by any other person on behalf of the person entitled to make the application or election.
(4)  If a person who has a right under this section to do so makes an application to a standard retail supplier, the standard retail supplier is under an obligation:
(a)  to supply electricity to the applicant’s premises under a negotiated customer supply contract or to ensure that electricity is so supplied, or
(b)  in the case of any customer who is a small retail customer and who elects under this section to be supplied under a standard form customer supply contract, to supply electricity to the customer’s premises under such a contract or to ensure that electricity is so supplied.
(5)  If a small retail customer who has a right under this section to do so makes an application to a standard retail supplier, the standard retail supplier is under an obligation to arrange, on behalf of the customer, for customer connection services to be provided to the premises concerned.
(6)  The right that a person has under this section to be supplied electricity to premises is subject to:
(a)  any provision of this Act or the regulations that authorises the refusal, suspension or discontinuance of the supply of electricity, and
(b)  the maximum capacity of the connection of the premises to the distribution system.
(7)  It is a condition of a licence held by a standard retail supplier that the retail supplier must fulfil the obligations imposed on the retail supplier by this section.
(8)  The regulations may make provision for or with respect to elections referred to in this section, including provisions for or with respect to circumstances in which an election is or may be taken to have occurred.
ss 34–38: Subst 2000 No 109, Sch 1 [10].
35   Discrimination prohibited
(1)  It is unlawful for a retail supplier:
(a)  to refuse to supply electricity to any person, or
(b)  to supply electricity to any person on terms that are less advantageous than those on which the retail supplier supplies electricity to other persons,
on the basis that the person uses or supplies alternative forms of energy, uses or supplies energy from alternative sources, or uses or supplies products, processes, designs or services that reduce the demand for energy.
(2)  It is a condition of a retail supplier’s licence that the retail supplier must not contravene this section.
ss 34–38: Subst 2000 No 109, Sch 1 [10].
36   Supply of electricity under standard form customer supply contracts (tariffs and charges)
It is a condition of a licence held by a standard retail supplier that the retail supplier, in imposing tariffs and charges for or in relation to supplying electricity under a standard form customer supply contract, must impose them in accordance with any relevant determination of the Tribunal in force under Division 5.
ss 34–38: Subst 2000 No 109, Sch 1 [10].
37   Supply of electricity by retail suppliers
(1)  A retail supplier may, but is not required to, supply electricity to the premises of any customer.
(2)  Without limitation, a standard retail supplier may, but is not required to, supply electricity to the premises of any customer within or outside the standard retail supplier’s supply district.
(3)  However, this section does not affect any obligation that a retail supplier has as the holder of an endorsement under section 33A (including, for example, the obligations of a standard retail supplier under section 34).
ss 34–38: Subst 2000 No 109, Sch 1 [10].
38   Retail suppliers to supply electricity under customer supply contracts
It is a condition of a retail supplier’s licence that the retail supplier must not supply electricity to the premises of a retail customer otherwise than under a customer supply contract.
ss 34–38: Subst 2000 No 109, Sch 1 [10].
Division 2 Negotiated customer supply contracts
pt 4, div 2, hdg: Subst 2000 No 109, Sch 1 [10].
38A   Negotiated customer supply contracts
(1)  This section applies to arrangements for the supply of electricity by a retail supplier to the premises of retail customers, other than the supply of electricity under standard form customer supply contracts.
(2)  An arrangement to which this section applies (a negotiated customer supply contract) may contain such terms as the retail supplier and the customer agree, and the contract is enforceable accordingly.
(3)  A negotiated customer supply contract must comply with any conditions imposed on the retail supplier by its retail supplier’s licence, but is not unenforceable merely because of any failure to do so.
(4)  A negotiated customer supply contract must not be inconsistent with the provisions of this Act or the regulations, and is unenforceable to the extent of any such inconsistency, except as provided by subsections (3) and (5).
(5)  A negotiated customer supply contract with a small retail customer must comply with any requirements prescribed by the regulations for the purposes of this subsection, but is not unenforceable merely because of any failure to do so.
(6)  It is a condition of a retail supplier’s licence that any negotiated customer supply contract with a small retail customer must comply with any requirements prescribed for the purposes of subsection (5).
s 38A: Ins 2000 No 109, Sch 1 [10].
Division 3 Standard form customer supply contracts
pt 4, div 3, hdg: Subst 2000 No 109, Sch 1 [10].
39   Procedure for making standard form customer supply contracts
(1)  It is a condition of a licence held by a standard retail supplier that the standard retail supplier must prepare a standard form customer supply contract to establish the conditions on which it will supply electricity to the premises of small retail customers who elect to be supplied with electricity under standard form customer supply contracts.
(2)  It is a condition of a licence held by a standard retail supplier that the standard retail supplier must notify any relevant customer consultative group, and must have due regard to its comments, before completing its preparation of a standard form customer supply contract.
(3)  Different forms of standard form customer supply contracts may be prepared for different classes of small retail customers.
(4)  Notice of the terms of a standard form customer supply contract must be published in a newspaper circulating throughout the State or in a newspaper circulating throughout the relevant supply district.
(5)  The particulars to be set out in a notice under this section:
(a)  must specify the date on or after which the standard form customer supply contract is to take effect, not being a date that is earlier than the first date the notice is published, and
(b)  must include such other particulars as may be prescribed by the regulations.
(6)  A notice under this section may be of general application or be limited in its application by reference to specified exceptions or factors.
s 39: Am 1997 No 21, Sch 1 [9]. Subst 2000 No 109, Sch 1 [10].
40   Matters for which standard form customer supply contracts must provide
(1)  A standard form customer supply contract must make provision for the following matters:
(a)  the basis on which charges for or in relation to the supply of electricity to customers are to be calculated or imposed,
(b)  any security to be provided by customers for payment of any such charges,
(c)  the standard of service to be provided to customers by the retail supplier,
(d)  the circumstances under which the supply of electricity to customers may be discontinued,
(e)  the procedures established by the retail supplier for handling enquiries and complaints made by customers, and resolving disputes with customers, in relation to matters arising under the contract,
(f)  the estimation of electricity supplied otherwise than through an electricity meter or in circumstances in which an electricity meter fails to operate or fails to operate correctly,
(g)  the rate at which electricity is taken to have been supplied between consecutive meter readings,
(h)  such other matters as may be prescribed by the regulations.
(2)  A standard form customer supply contract:
(a)  must indicate that this Act and the regulations confer powers, duties, rights and obligations on the retail supplier and the customer, and
(b)  must briefly describe the nature of those powers, duties, rights and obligations,
but is not unenforceable merely because of any failure to do so.
(3)  A standard form customer supply contract must comply with:
(a)  any conditions imposed on the retail supplier by its retail supplier’s licence, and
(b)  any relevant determination of the Tribunal in force under Division 5,
but is not unenforceable merely because of any failure to do so.
(4)  A standard form customer supply contract must not be inconsistent with the provisions of this Act or the regulations, and is unenforceable to the extent of any such inconsistency, except as provided by subsections (2) and (3).
s 40: Am 1997 No 21, Sch 1 [10]. Subst 2000 No 109, Sch 1 [10].
41   Effect of standard form customer supply contracts
(1)  Except to the extent to which the regulations otherwise provide, a standard form customer supply contract takes effect:
(a)  on the first day on which notice of its terms is published in a newspaper under section 39, or
(b)  on such later day as may be specified for the purpose in the notice.
(2)  A standard form customer supply contract does not have any effect in respect of any period before the date specified in the relevant notice as the date on or after which the contract is to take effect.
(3)  On the day on which a customer applies to a standard retail supplier for the supply of electricity under a standard form customer supply contract, the customer and the retail supplier are taken to have entered into an agreement for the provision of electricity on the conditions set out in the relevant standard form customer supply contract, and the contract is enforceable accordingly.
s 41: Subst 2000 No 109, Sch 1 [10].
42   Amendment of standard form customer supply contracts
(1)  From time to time a standard retail supplier may amend a standard form customer supply contract so as to vary the conditions on which it supplies electricity to small retail customers.
(2)  This Division applies to and in respect of an amendment of a standard form customer supply contract in the same way as it applies to a standard form customer supply contract.
s 42: Subst 2000 No 109, Sch 1 [10].
Division 3A Passing through contributions made to Energy Savings Fund
pt 4, div 3A: Ins 2005 No 18, Sch 2.4 [1].
42A   Definitions
In this Division:
Energy Savings Fund means the Energy Savings Fund established under section 34K of the Energy and Utilities Administration Act 1987.
Fund contribution means any contribution that a distribution network service provider is required to make to the Energy Savings Fund by an order made under section 34P of the Energy and Utilities Administration Act 1987.
modification includes addition, exception, omission or substitution.
ss 42A–42C: Ins 2005 No 18, Sch 2.4 [1].
42B   Operation of Division
(1)  It is a condition of a retail supplier’s licence that the licensee comply with the requirements specified by this Division or in regulations made for the purposes of this Division.
(2)  This Division applies to retail customers of retail suppliers.
(3)  However, this Division does not apply with respect to:
(a)  any customer supply contract entered into before 6 April 2005 that contains a provision in force before that date that expressly precludes payment of additional charges for the supply of electricity under it, or
(b)  any other person, matter or thing (or class of person, matter or thing) prescribed by the regulations.
(4)  A provision of any customer supply contract entered into on or after 6 April 2005 that:
(a)  expressly precludes the payment of costs of the kind referred to in section 42C (1), or
(b)  otherwise precludes the payment of additional charges for the supply of electricity under it,
is of no force or effect to the extent that it would, but for this subsection, preclude a retail supplier from recovering under this Part costs of the kind referred to in section 42C (1) from the customer.
(5)  Any Fund contributions recovered under this Part by a retail supplier from customers are to be disregarded for the purposes of applying clause 7 of Determination No 1, 2004 made by the Independent Pricing and Regulatory Tribunal in June 2004 and set out in its report entitled NSW Electricity Regulated Retail Tariffs 2004/05 to 2006/07: Final Report and Determination, (ISBN 1 877049 49 2).
(6)  Nothing in this Division gives rise to any rights that are justiciable by a customer of a licensee or to any grounds that constitute a defence to proceedings for the recovery of any amount from a customer of a retail supplier.
ss 42A–42C: Ins 2005 No 18, Sch 2.4 [1].
42C   Regulations may make provision for passing through of Fund contributions to retail customers
(1)  The regulations may make provision for or with respect to requiring or permitting any retail supplier to recover from its retail customers:
(a)  if the retail supplier is also a distribution network service provider—the cost of any Fund contributions it has made in its capacity as a distribution network service provider, or
(b)  if the retail supplier is not a distribution network service provider—the cost of any Fund contributions made by a distribution network service provider that has been passed through to the retail supplier by the provider.
(2)  Without limiting subsection (1), the regulations may make provision for or with respect to any of the following matters:
(a)  the conferral or imposition of functions on the Tribunal with respect to the determination of amounts of the kind referred to in subsection (1) that may be recovered by retail suppliers from their retail customers (including applying provisions of Division 5 or the Independent Pricing and Regulatory Tribunal Act 1992 (or both) with such modifications, if any, as may be prescribed),
(b)  the imposition of conditions on the licences of retail suppliers with respect to the recovery of amounts of the kind referred to in subsection (1),
(c)  the imposition or inclusion of conditions in customer supply contracts with respect to the recovery of amounts of the kind referred to in subsection (1).
ss 42A–42C: Ins 2005 No 18, Sch 2.4 [1].
43   (Repealed)
s 43: Am 1997 No 21, Sch 1 [11] [12]; 2000 No 53, Sch 3.7. Rep 2000 No 109, Sch 1 [10].
Division 4 Pricing of electricity
pt 4, div 4: Ins 1997 No 36, Sch 1 [2].
43A   Definitions
In this Division:
electricity network pricing determination means a determination of the distribution network service pricing in accordance with the National Electricity Code for the provision of electricity network services by a licensee.
licensee means the holder of a distribution network service provider’s licence.
s 43A: Ins 1997 No 36, Sch 1 [2]. Am 1999 No 85, Sch 1.11 [1] [2]; 2000 No 109, Sch 1 [11] [12].
43B   Pricing of electricity for customers other than exempt customers
(1)  The price for electricity network services that are the subject of an electricity network pricing determination and that are provided by a licensee with respect to customers (other than customers who are specified or described in an order made under section 43E (6)) is increased by an amount determined by an order made by the Governor on the recommendation of the Treasurer and published in the Gazette that does not exceed 0.550 cents per kilowatt hour of the electricity supplied.
(2)  An electricity network pricing determination increased in accordance with this section has effect under the National Electricity Code as if the determination included the increase.
(3)  An electricity network pricing determination that includes an amount determined by an order made as referred to in subsection (1) is not to be further increased in accordance with this section.
s 43B: Ins 1997 No 36, Sch 1 [2]. Am 1998 No 78, Sch 1 [1] [2]; 1999 No 85, Sch 1.11 [3]–[5]; 2000 No 109, Sch 1 [13].
43C   (Repealed)
s 43C: Ins 1997 No 36, Sch 1 [2]. Am 1998 No 78, Sch 1 [3]. Rep 2000 No 109, Sch 1 [14].
43D   Returns
(1)  A licensee is, within such periods as are specified or described from time to time by the Treasurer by notice to the licensee or by notice published in the Gazette, required to furnish to the Treasurer a return setting out:
(a)  such information relating to forecast and actual consumption of electricity by customers (other than customers who are specified or described in an order made under section 43E (6)) as is specified or described in such a notice, and
(b)  such other information as is specified or described in such a notice, being information that is relevant to the licensee’s obligations under this Division.
(2)  The information in such a return is to be furnished in such manner and form as is specified or described in such a notice.
(3)  The Treasurer may, by notice to the licensee or by notice published in the Gazette, require supplementary or further information from the licensee at any time.
s 43D: Ins 1997 No 36, Sch 1 [2]. Am 1998 No 78, Sch 1 [1]; 2000 No 109, Sch 1 [15].
43E   Operation of Division
(1)  It is a condition of a distribution network service provider’s licence that the licensee must comply with the requirements of this Division.
(2)  This Division applies to customers provided with electricity network services under any contract.
(3)  The regulations may make provision for or with respect to phasing in the increase effected by section 43B (1) in relation to any class or classes of customers, in cases where it is not practicable to ascertain the exact amount of electricity supplied for any period commencing with the commencement of this section.
(4)  This Division does not apply to electricity network services provided to a customer under a contract that:
(a)  was entered into before 6 May 1997, and
(b)  contains a provision in force before that date that expressly precludes payment of additional charges for electricity network services provided under it.
(5)  This Division does not apply in relation to electricity network services provided during any period specified or described in an order made by the Governor on the recommendation of the Treasurer and published in the Gazette.
(6)  This Division does not apply in relation to electricity network services provided to customers of a class specified or described in an order made by the Governor on the recommendation of the Treasurer and published in the Gazette.
(6A)  This Division does not apply to transmission services within the meaning of the National Electricity Code that are regulated under Chapters 6 and 9 of that Code.
(7)  Nothing in this Division gives rise to any rights that are justiciable by a customer of a licensee or to any grounds that constitute a defence to proceedings for the recovery of any amount from a customer of a licensee.
s 43E: Ins 1997 No 36, Sch 1 [2]. Am 1998 No 78, Sch 1 [1] [4]; 1999 No 85, Sch 1.11 [6]; 2000 No 109, Sch 1 [16].
Division 5 Regulated retail tariffs and regulated retail charges
pt 4, div 5: Ins 2000 No 109, Sch 1 [17].
43EA   Referrals for determinations
(1)  The Minister may refer to the Tribunal, for investigation and report, the determination of regulated retail tariffs or regulated retail charges, or both.
(2)  The Tribunal may request the Minister to refer to it, for investigation and report, the determination of regulated retail tariffs or regulated retail charges, or both, under subsection (1).
(3)  The reference may specify a period within which the Tribunal is to submit a report to the Minister and may require the Tribunal to consider specified matters when making its determination.
(4)  The Tribunal is to conduct an investigation and make a determination in a report to the Minister in accordance with this Division.
(5)  If the Minister has given a reference to the Tribunal, the Minister may withdraw or amend the reference at any time before the Minister has received the report from the Tribunal.
(6)  A report is to include any minority report by a member of the Tribunal who wishes to make such a report.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EB   Tribunal to determine regulated retail tariffs and regulated retail charges
(1)  The Tribunal may in a report to the Minister determine regulated retail tariffs or the regulated retail charges, or both, if a referral is made under section 43EA.
(2)  Before determining regulated retail tariffs or the regulated retail charges, the Tribunal must have regard:
(a)  to any matter it is required by the reference to consider, and
(b)  to the effect of the determination on competition in the retail electricity market.
(3)  A determination of regulated retail tariffs or regulated retail charges may:
(a)  specify the tariff or charges, or
(b)  specify the methodology for determining the tariffs or charges.
(4)  A determination may:
(a)  apply generally or be limited in its application by reference to specified exceptions or factors, or
(b)  apply differently according to different factors of a specified kind, or
(c)  authorise any matter or thing to be from time to time determined, applied or regulated by any specified person or body.
Note—
Under section 36, it is a condition of a licence held by a standard retail supplier that the standard retail supplier supply electricity to small retail customers in accordance with any determination in force under this Division.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EC   Publication of regulated retail tariffs and regulated retail charges
(1)  A determination of the Tribunal determining regulated retail tariffs or regulated retail charges is to be published in the Gazette by the Minister and takes effect on the day it is so published or on a later day specified in the determination for that purpose.
(2)  A determination may specify different days for the commencement of different parts of the determination.
(3)  The determination must be published in the Gazette as soon as practicable after the Minister receives a report from the Tribunal under this Division.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43ED   Public inspection of Tribunal reports
(1)  As soon as practicable after the Minister receives a report from the Tribunal under this Division, the Minister is to arrange for copies of the report to be made available for public inspection.
(2)  However, the Minister is not required to release any part of the report that, in the opinion of the Minister or the Tribunal, contains confidential information.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EE   Powers of Tribunal and conduct of investigations
(1)  In an investigation, the Tribunal:
(a)  is to act with as little formality as possible, and
(b)  may inform itself on any matter in any way it thinks fit and is not bound by the rules of evidence, and
(c)  may receive information or submissions in the form of oral or written statements, and
(d)  may consult with such persons as it thinks fit.
(2)  The Tribunal may, but is not required to, hold hearings or public seminars, conduct workshops and establish working groups and task forces for the purposes of an investigation.
(3)  The Tribunal must consult with standard retail suppliers in an investigation.
(4)  If the Tribunal holds hearings, it must give reasonable notice, by advertisement published in a newspaper circulating in the State, of the hearings.
(5)  The Tribunal may call for written submissions and may specify a time and date by which those submissions must be made. The Tribunal may extend the time for the making of submissions.
(6)  A hearing may be held in public or in private, at the discretion of the Tribunal, and may be conducted as determined by the Tribunal.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EF   Provision of information, documents and evidence
(1)  For the purposes of an investigation and report, the Chairperson of the Tribunal may, by notice in writing served on an officer of a standard retail supplier or any other person, require the officer or person to do any one or more of the following:
(a)  to send to the Tribunal, on or before a day specified in the notice, a statement setting out such information as is so specified,
(b)  to send to the Tribunal, on or before a day specified in the notice, such documents as are so specified,
(c)  to attend a meeting or hearing of the Tribunal to give evidence.
(2)  If documents are given to the Tribunal under this section, the Tribunal:
(a)  may take possession of, and make copies of or take extracts from, the documents, and
(b)  may keep possession of the documents for such period as is necessary for the purposes of the investigation to which they relate, and
(c)  during that period must permit them to be inspected at all reasonable times by persons who would be entitled to inspect them if they were not in the possession of the Tribunal.
(3)  It is a condition of a licence held by a standard retail supplier that the standard retail supplier must comply with a requirement made by the Tribunal under this section.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EG   Confidential information
(1)  If a person provides information (protected information) to the Tribunal for the purposes of an investigation on the understanding that the information is confidential and will not be divulged, the Tribunal is required to ensure that the information is not divulged by it to any person, except:
(a)  with the consent of the person who provided the information, or
(b)  to the extent that the Tribunal is satisfied that the information is not confidential in nature, or
(c)  to a member or officer of the Tribunal.
(2)  If the Tribunal is satisfied that protected information provided to the Tribunal by a person needs to be divulged for the purposes of its report, and the exceptions in subsection (1) (a)–(c) are not applicable, the Tribunal may notify the person that the Tribunal proposes to divulge the information in its report after a specified period.
(3)  After the specified period, and despite subsection (1), the Tribunal may divulge the information in its report.
(4)  If the Tribunal is satisfied that it is desirable to do so because of the confidential nature of any information provided to it in connection with its functions under this Division, it may give directions prohibiting or restricting the divulging of the information.
(5)  A person must not contravene a direction given under subsection (4).
Maximum penalty: 100 penalty units or imprisonment for 6 months, or both.
(6)  A reference in this section to information includes information given at a meeting or hearing of the Tribunal and information contained in any documents given to the Tribunal.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EH   Offences
(1)  A person must not, without reasonable excuse:
(a)  refuse or fail to comply with a notice served under this Division, or
(b)  refuse or fail to answer a question that the person is required to answer by the Chairperson at any meeting or hearing before the Tribunal under this Division.
(2)  It is a reasonable excuse for the purposes of subsection (1) that to comply with the notice or to answer the question might tend to incriminate a natural person or make the person liable to any forfeiture or penalty.
(3)  A person must not:
(a)  give to the Tribunal, whether orally or in writing, information that the person knows to be false or misleading in a material particular (unless the person informs the Tribunal of that fact), or
(b)  at a meeting of or hearing before the Tribunal, give evidence that the person knows to be false or misleading in a material particular.
(4)  A person must not hinder, obstruct or interfere with the Chairperson or any other member of the Tribunal in the exercise of functions for the purposes of this Division as Chairperson or other member.
(5)  A person must not take any action that detrimentally affects the employment of another person, or threaten to do so, because that other person has assisted the Tribunal in any investigation.
Maximum penalty: 100 penalty units or imprisonment for 6 months, or both.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EI   Cabinet documents and proceedings
(1)  This Division does not enable the Tribunal:
(a)  to require any person to give any statement of information or answer any question that relates to confidential proceedings of Cabinet, or
(b)  to require any person to produce a Cabinet document, or
(c)  to inspect a Cabinet document.
(2)  For the purposes of this section, a certificate of the head of The Cabinet Office that any information or question relates to confidential proceedings of Cabinet or that a document is a Cabinet document is conclusive of the matter certified.
(3)  In this section:
Cabinet includes a committee of Cabinet or a subcommittee of such a committee.
Cabinet document means a document that is a restricted document by virtue of clause 1 of Part 1 of Schedule 1 to the Freedom of Information Act 1989.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EJ   Division to cease to have effect
(1)  This Division ceases to have effect on 30 June 2004 or on such earlier or later day as may be prescribed by the regulations.
Editorial note—
This Division ceases to have effect on 30.6.2007. See clause 121A of the Electricity Supply (General) Regulation 2001.
(2)  Regulations containing provisions of a savings or transitional nature may be made consequent on the operation of subsection (1).
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
Division 6 Regulated retail tariffs equalisation
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EK   Objects of Division
The objects of this Division are to provide for the establishment, operation and management of a fund, to be known as the Electricity Tariff Equalisation Fund, so as:
(a)  to maintain the ability of standard retail suppliers to supply electricity at regulated retail tariffs, and
(b)  to be transparent in its operation, and
(c)  to manage the wholesale purchase cost risk borne by standard retail suppliers required to supply electricity at regulated retail tariffs, and
(d)  to minimise any competitive advantage or disadvantage to those standard retail suppliers resulting from the requirement to supply electricity at regulated retail tariffs.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EL   Definitions
In this Division:
electricity generator means a corporation whose corporate name is listed in Part 1 of Schedule 1 to the Energy Services Corporations Act 1995.
Fund means the Electricity Tariff Equalisation Fund established under section 43EN.
Ministerial Corporation means the Electricity Tariff Equalisation Ministerial Corporation constituted by section 43EM.
rule means a rule approved under section 43EO.
Snowy Hydro Limited means the Snowy Hydro Limited, as referred to in section 4 of the Snowy Hydro Corporatisation Act 1997.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EM   Electricity Tariff Equalisation Ministerial Corporation
(1)  There is constituted by this section a corporation with the corporate name of the Electricity Tariff Equalisation Ministerial Corporation.
(2)  The Ministerial Corporation has the following functions:
(a)  the function of administering and controlling the Fund,
(b)  without limiting paragraph (a), the function of administering the rules,
(c)  the function of requiring the provision of information under sections 43EP and 43EQ,
(d)  such other functions as are conferred on it by or under this or any other Act.
(3)  The affairs of the Ministerial Corporation are to be managed by the Treasurer.
(4)  Any act, matter or thing done in the name of, or on behalf of, the Ministerial Corporation by the Treasurer, or with the authority of the Treasurer, is taken to have been done by the Corporation.
(5)  The Ministerial Corporation may not enter into a contract or arrangement that enables any of the following persons to carry out any of its functions relating to the Fund:
(a)  the holder of a retail supplier’s licence,
(b)  an electricity generator,
(c)  the holder of a distribution network service provider’s licence,
(d)  a person or class of persons prescribed by the regulations.
(6)  The Ministerial Corporation is, for the purposes of any Act, a statutory body representing the Crown.
(7)  The Ministerial Corporation may arrange for the use of the services of any staff or facilities of any government department or public or local authority.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EN   Electricity Tariff Equalisation Fund
(1)  There is established by this section an Electricity Tariff Equalisation Fund.
(2)  There is payable into the Fund:
(a)  all money payable to the Fund under the rules, and
(b)  all interest received in respect of the investment of the Fund, and
(c)  all money required or permitted to be paid into the Fund by or under this or any other Act.
(3)  There is payable from the Fund:
(a)  all money payable from the Fund under the rules, and
(b)  all money required to meet administrative expenses related to the Fund or the Ministerial Corporation, and
(c)  all money required or permitted to be paid from the Fund by or under this or any other Act.
(4)  Despite the Public Authorities (Financial Arrangements) Act 1987, the Fund may not be used to effect a financial adjustment (within the meaning of that Act) related to electricity or the electricity industry.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EO   Rules for payments to and from Fund
(1)  The Treasurer, after consulting with the Minister, may approve rules for or with respect to payments to and from the Fund.
(2)  The rules may make provision for or with respect to the following matters:
(a)  payments to the Fund by standard retail suppliers,
(b)  payments to standard retail suppliers from the Fund,
(c)  payments to the Fund by electricity generators,
(d)  payments to the Fund by Snowy Hydro Limited,
(e)  payments to electricity generators from the Fund,
(f)  payments to the Consolidated Fund from the Fund,
(g)  payments to standard retail suppliers for reimbursement of costs payable by them under section 87A for audits by the Tribunal under section 87 (1A),
(h)  the times at which, and manner in which, payments are to be made,
(i)  the determination of payment amounts,
(j)  the circumstances in which payments to or from the Fund are to be made by or to standard retail suppliers, electricity generators or the Consolidated Fund, having regard to the following matters:
(i)  the wholesale costs of electricity to standard retail suppliers,
(ii)  the level of regulated retail tariffs payable by small retail customers in comparison with those wholesale costs,
(iii)  the general level of the Fund,
(k)  matters ancillary to or consequential on the matters set out in paragraphs (a)–(j).
(3)  For the purposes of the determination of payment amounts and other matters related to the administration of the rules, the rules may require a standard retail supplier or an electricity generator to provide to the Ministerial Corporation information, or access to information.
(4)  A rule with respect to the payment to the Fund of amounts by Snowy Hydro Limited may provide for the payment of an annual amount, to be deducted from the dividend payable to the eligible Ministers who hold Snowy Hydro Limited shares for and on behalf of the State of New South Wales, before the payment of that dividend to the Consolidated Fund.
(5)  A rule may make provision for or with respect to a matter by applying, adopting or incorporating, with or without modification, the provisions of any Act or statutory rule or any other publication, whether of the same or of a different kind.
(6)  A rule may:
(a)  apply generally or be limited in its application by reference to specified exceptions or factors, or
(b)  apply differently according to different factors of a specified kind, or
(c)  authorise any matter or thing to be from time to time determined, applied or regulated by any specified person or body.
(7)  The Treasurer, after consulting with the Minister, may from time to time approve amendments to the rules or the revocation of rules.
(8)  If a rule, or a rule amending or revoking a rule, is approved by the Treasurer:
(a)  written notice of the approval of the rule must be published in the Gazette, and
(b)  the rule takes effect on the day on which notice is so published or, if a later day is specified in the rule for commencement, on the later day so specified, and
(c)  the Ministerial Corporation must give a copy of the rule to each standard retail supplier and electricity generator.
(9)  A copy of the rules approved under this section, as in force for the time being, is to be published on the Government’s Internet web page.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EP   Obligations of standard retail suppliers
(1)  A standard retail supplier must, in accordance with the rules, make payments to the Fund.
(2)  A standard retail supplier must, in accordance with the rules, provide such information, or access to such information, as is required by the rules.
(3)  A standard retail supplier must provide such information as is requested by the Ministerial Corporation for the purposes of the administration of the Fund and the rules.
(4)  A standard retail supplier that refuses or fails to comply with subsection (1), (2) or (3) is guilty of an offence.
Maximum penalty: 1,000 penalty units.
(5)  A standard retail supplier must not:
(a)  give information for the purposes of the rules knowing that it is false or misleading in a material particular, or
(b)  give to the Ministerial Corporation information knowing that it is false or misleading in a material particular.
Maximum penalty: 1,000 penalty units.
(6)  This section has effect despite the provisions of any other Act or instrument.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43EQ   Obligations of electricity generators
(1)  An electricity generator must, in accordance with the rules, make payments to the Fund.
(2)  An electricity generator must, in accordance with the rules, provide such information, or access to such information, as is required by the rules.
(3)  An electricity generator must provide such information as is requested by the Ministerial Corporation for the purposes of the administration of the Fund and the rules.
(4)  An electricity generator that refuses or fails to comply with subsection (1), (2) or (3) is guilty of an offence.
Maximum penalty: 1,000 penalty units.
(5)  An electricity generator must not:
(a)  give information for the purposes of the rules knowing that it is false or misleading in a material particular, or
(b)  give to the Ministerial Corporation information knowing that it is false or misleading in a material particular.
Maximum penalty: 1,000 penalty units.
(6)  This section has effect despite the provisions of any other Act or instrument.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43ER   Licence conditions relating to Fund
It is a condition of a licence held by a standard retail supplier that:
(a)  the standard retail supplier must make payments to the Fund in accordance with the rules, and
(b)  the standard retail supplier must provide information, or access to information, in accordance with the rules, and
(c)  the standard retail supplier must provide such information as is requested by the Ministerial Corporation for the purposes of the administration of the Fund and the rules applying to payments to and from that Fund.
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
43ES   Division to cease to have effect
(1)  This Division ceases to have effect on 30 June 2004 or on such earlier or later day as may be prescribed by the regulations.
Editorial note—
This Division ceases to have effect on 30.6.2007. See clause 121A of the Electricity Supply (General) Regulation 2001.
(2)  Regulations containing provisions of a savings or transitional nature may be made consequent on the operation of subsection (1).
pt 4, div 6 (ss 43EA–43ES): Ins 2000 No 109, Sch 1 [17].
Part 4A Electricity supply by transmission operators to direct customers
Division 1 Levy
pt 4A, div 1: Ins 1998 No 78, Sch 1 [5].
43F   Definitions
In this Division:
direct customer of a transmission operator means a person (other than the holder of a distribution network service provider’s licence or a generator but only in so far as the person acts in the capacity of the holder of a distribution network service provider’s licence or a generator):
(a)  who is connected to the network otherwise than by means of the distribution system of the holder of a distribution network service provider’s licence, and
(b)  who is in New South Wales.
generator means a person who owns, controls or operates a generator of electricity that supplies electricity to a network.
network income of a transmission operator means the income derived by the transmission operator from the use of the electricity network in the provision of electricity network services by the transmission operator with respect to the supply of electricity to its direct customers.
s 43F: Ins 1998 No 78, Sch 1 [5].
43G   Transmission operator’s levy
(1)  A transmission operator must pay to the Treasurer, in respect of each financial year, the levy determined in respect of that year by order of the Governor, on the recommendation of the Treasurer, applying to the transmission operator and published in the Gazette.
(2)  The Treasurer, in recommending the amount of a levy for a financial year payable by a transmission operator, must be satisfied that the amount reasonably represents the amount by which the network income (as estimated by the Treasurer) of the transmission operator in that year is likely to exceed the sum of the amounts (as estimated by the Treasurer) to be:
(a)  the costs of deriving the income, and
(b)  the taxes payable in deriving that income, and
(c)  a reasonable return on the capital of the transmission operator used in deriving that income,
having regard to:
(d)  the likely consumption of electricity in that financial year by its direct customers, and
(e)  such other matters as the Treasurer determines after consultation with the transmission operator.
(3)  The levy is payable for the financial year commencing on 1 July 1998 and later financial years.
(4)  Despite the other provisions of this section, no levy is to be determined in respect of the year commencing on 1 July 2001, or any subsequent year, unless the Treasurer, by order published in the Gazette, approves the determination of a levy.
(5)  An approval of the Treasurer under subsection (4):
(a)  must be published in the Gazette before the beginning of a year to which it applies, and
(b)  may apply to one or more years as specified or described in the approval.
s 43G: Ins 1998 No 78, Sch 1 [5]. Am 2001 No 39, Sch 3 [2].
43H   Variation of levy
(1)  The amount of a levy payable by a transmission operator in respect of a financial year may be varied by order of the Governor applying to the transmission operator and published in the Gazette.
(2)  Such an order may be made before or during the financial year concerned or during the following financial year, but not later.
(3)  The Treasurer, in recommending a variation of a levy for a financial year payable by a transmission operator, must be satisfied of the matters referred to in section 43G (2).
ss 43H–43L: Ins 1998 No 78, Sch 1 [5].
43I   Becoming a transmission operator during a year
(1)  If a person becomes a transmission operator during a financial year, a levy may be determined under this Division for the transmission operator in respect of the remaining part of that financial year.
(2)  The other sections of this Division apply to the transmission operator in respect of that financial year as if references in those sections to a financial year were references to the remaining part of that financial year.
ss 43H–43L: Ins 1998 No 78, Sch 1 [5].
43J   Ceasing to be a transmission operator during a year
(1)  If a person ceases to be a transmission operator during a financial year, the amount of levy payable by the transmission operator may be adjusted by order of the Governor, applying to the transmission operator and published in the Gazette, having regard to the length of the portion of that financial year during which the person was a transmission operator.
(2)  Such a person is entitled to a refund of any money paid in excess of the amount of the levy as so adjusted.
(3)  However, a person does not, by ceasing to be a transmission operator, cease to be liable to a levy, or to a variation of a levy under section 43H, in respect of any period during which the person was a transmission operator.
(4)  Accordingly, a reference in this Division to a transmission operator includes a reference to a former transmission operator, but without making the former transmission operator liable to a levy in respect to any period after the person ceased to be a transmission operator.
(5)  The other sections of this Division apply for the purpose of calculating an adjustment referred to in subsection (1) or a variation referred to in subsection (3) as if references in those sections to a financial year were references to the portion of the financial year during which the person was a transmission operator.
ss 43H–43L: Ins 1998 No 78, Sch 1 [5].
43K   Payment and recovery of levy
(1)  The levy in respect of a financial year is payable at such times (whether during or after that year) and in such manner as are:
(a)  determined in the order imposing, varying or adjusting it (subject to any agreement referred to in paragraph (b)), or
(b)  agreed on between the Treasurer and the transmission operator.
(2)  A levy under this Division is recoverable as a debt due to the Crown in any court of competent jurisdiction.
ss 43H–43L: Ins 1998 No 78, Sch 1 [5].
43L   Operation of Division
Nothing in this Division affects the operation of section 59B of the Public Finance and Audit Act 1983.
ss 43H–43L: Ins 1998 No 78, Sch 1 [5].
Division 2 Pricing of electricity
pt 4A, div 2: Ins 1998 No 78, Sch 1 [5].
43M   Definitions
In this Division:
direct customer of a transmission operator has the same meaning as in Division 1.
electricity network pricing determination means a determination of the transmission network service pricing in accordance with the National Electricity Code for the provision of electricity network services by a transmission operator.
s 43M: Ins 1998 No 78, Sch 1 [5]. Subst 1999 No 35, Sch 1 [1]. Am 1999 No 85, Sch 1.11 [7] [8].
43N   Pricing of electricity for direct customers
(1)  The price for electricity network services that are the subject of an electricity network pricing determination and that are provided by a transmission operator with respect to the supply of electricity to its direct customers is increased by an amount determined by an order made by the Governor on the recommendation of the Treasurer and published in the Gazette that does not exceed 0.550 cents per kilowatt hour of the electricity supplied.
(2)  An electricity network pricing determination increased in accordance with this section has effect under the National Electricity Code as if the determination included the increase.
(3)  An electricity network pricing determination that includes an amount determined by an order made as referred to in subsection (1) is not to be further increased in accordance with this section.
s 43N: Ins 1998 No 78, Sch 1 [5]. Am 1999 No 35, Sch 1 [2]–[4]; 1999 No 85, Sch 1.11 [9] [10].
43O   Returns
(1)  A transmission operator is, within such periods as are specified or described from time to time by the Treasurer by notice to the transmission operator or by notice published in the Gazette, required to furnish to the Treasurer a return setting out:
(a)  such information relating to forecast and actual consumption of electricity by its direct customers as is specified or described in such a notice, and
(b)  such other information as is specified or described in such a notice, being information that is relevant to the transmission operator’s obligations under this Division.
(2)  The information in such a return is to be furnished in such manner and form as is specified or described in such a notice.
(3)  The Treasurer may, by notice to the transmission operator by notice published in the Gazette, require supplementary or further information from the transmission operator at any time.
s 43O: Ins 1998 No 78, Sch 1 [5].
43P   Operation of Division
(1)  The regulations may make provision for or with respect to phasing in the increase effected by section 43N (1) in relation to any class or classes of persons in cases where it is not practicable to ascertain the exact amount of electricity supplied for any period commencing with the commencement of this section.
(2)  This Division does not apply to electricity network services:
(a)  provided to a person under a contract:
(i)  that was entered into between a transmission operator and a direct customer before the commencement of this section, and
(ii)  that contains a provision in force before that commencement that expressly precludes payment of additional charges for electricity network services provided under it, or
(b)  provided to a person under a connection agreement that is entered into between a transmission operator and a person pursuant to an arrangement, being an arrangement:
(i)  that was entered into between the transmission operator and the person before the commencement of this section, and
(ii)  that contains a provision that expressly precludes payment of additional charges for electricity services provided under the connection agreement.
(3)  This Division does not apply in relation to electricity network services provided during any period specified or described in an order made by the Governor on the recommendation of the Treasurer and published in the Gazette.
(4)  This Division does not apply in relation to electricity network services provided to persons of a class specified or described in an order made by the Governor on the recommendation of the Treasurer and published in the Gazette.
(4A)  This Division does not apply to distribution services within the meaning of the National Electricity Code that are regulated under Chapters 6 and 9 of that Code.
(5)  Nothing in this Division gives rise to any rights that are justiciable by a person to whom electricity network services are provided by a transmission operator or to any grounds that constitute a defence to proceedings for the recovery of any amount from such a person.
s 43P: Ins 1998 No 78, Sch 1 [5]. Am 1999 No 85, Sch 1.11 [11].
Part 5 Powers and duties of network operators and retail suppliers
pt 5, hdg: Subst 2000 No 109, Sch 1 [18].
Division 1 Acquisition of land
44   Acquisition of land
(1)  A network operator may acquire land (including an interest in land) for the purpose of exercising its functions under this or any other Act or law.
(2)  Land that a network operator is authorised to acquire under this section may be acquired by agreement or by compulsory process in accordance with the Land Acquisition (Just Terms Compensation) Act 1991 for the purposes of this Act.
(3)  A network operator may not give a proposed acquisition notice under the Land Acquisition (Just Terms Compensation) Act 1991 without the approval of the Minister.
(4)  This section authorises a network operator that is an energy transmission operator within the meaning of the Energy Services Corporations Act 1995 to acquire land by agreement or compulsorily for the purposes of the exercise of its principal functions under section 6C of that Act (whether or not the land acquired may also be used for the purposes of the telecommunications function within the meaning of that section). It does not authorise a network operator to acquire land compulsorily solely for the purposes of the exercise of the telecommunications function.
s 44: Am 1997 No 20, Sch 1.3 [7]; 2000 No 88, Sch 2 [1].
Division 2 Powers and duties relating to electricity works
45   Erection and placement of electricity works
(1)  This section applies to work connected with the erection, installation, extension, alteration, maintenance and removal of electricity works.
(2)  For the purpose of exercising its functions under this or any other Act or law, a network operator:
(a)  may carry out work to which this section applies, and
(b)  in particular, may carry out any such work on a public road or public reserve.
(3)  Work to which this section applies is exempt from the requirement for an approval under the Local Government Act 1993 except in relation to buildings.
(4)  However, no such work (other than routine repairs or maintenance work) may be carried out unless:
(a)  notice of the proposal to carry out the work has been given to the local council, and
(b)  the local council has been given a reasonable opportunity (being not less than 40 days from the date on which the notice was given) to make submissions to the network operator in relation to the proposal, and
(c)  the network operator has given due consideration to any submissions so made.
(5)  Subsection (4) does not apply to the carrying out of work to cope with emergencies.
s 45: Am 1997 No 20, Sch 1.3 [8].
46   Damage to be made good
(1)  If a public road or public reserve is damaged by any work carried out by a network operator, the local council or roads authority may require the network operator to make good the damage without delay.
(2)  If the network operator fails to carry out appropriate work in accordance with any such requirement, the local council or roads authority may carry out the work itself.
(3)  The cost of carrying out the work may be recovered by the local council or roads authority in a court of competent jurisdiction as a debt owed to it by the network operator.
47   Altering position of conduit
(1)  A network operator may serve a written notice on a person if:
(a)  the network operator needs an alteration to be made in the position of a conduit owned by the person, and
(b)  the alteration would not permanently damage the conduit or adversely affect its operation.
(2)  The notice:
(a)  must specify the work to be carried out, and
(b)  must specify a reasonable time within which the work is to be carried out, and
(c)  must include an undertaking by the network operator to pay the reasonable cost of carrying out the work.
(3)  If the work is not carried out as required by the notice, the network operator may carry out the work in a manner that does not permanently damage the conduit or adversely affect its operation.
(4)  In this section, conduit means anything that is in or under a public road (or any other land on which no building or other structure is located) and is used for the conveyance of a substance, energy or signals.
48   Interference with electricity works by trees
(1)  This section applies if a network operator has reasonable cause to believe that a tree situated on any premises:
(a)  could destroy, damage or interfere with its electricity works, or
(b)  could make its electricity works become a potential cause of bush fire or a potential risk to public safety.
(2)  In those circumstances, a network operator:
(a)  may serve a written notice on the owner or occupier of the premises requiring the owner to trim or remove the tree, or
(b)  in an emergency, may, at its own expense, trim or remove the tree itself.
(3)  A notice under subsection (2) (a):
(a)  must specify the work to be carried out, and
(b)  must specify a reasonable time within which the work is to be carried out, and
(c)  must include an undertaking by the network operator to pay the reasonable cost of carrying out the work.
(4)  Subsection (3) (c) does not apply in either of the following circumstances:
(a)  if, after the electricity works were first laid or installed, an owner or occupier of the premises planted the tree, or caused or permitted the tree to be planted, in circumstances in which the owner or occupier ought reasonably to have known that destruction of, damage to or interference with the works would result,
(b)  the land in or on which the tree is located, and on or over which the works are located, was the subject of an easement in favour of the network operator (or a predecessor of the network operator) when the tree was planted.
(5)  If the work is not carried out as required by the notice, the network operator may carry out the work itself.
(6)  The cost of carrying out the work may be recovered by the network operator in a court of competent jurisdiction as a debt owed to it by the owner of the premises on which the tree is situated, but only in the circumstances referred to in subsection (4).
(7)  This section applies despite the existence of a tree preservation order or environmental planning instrument (other than a State environmental planning policy), but does not apply to any tree within a protected area or to any tree that is the subject of or is within an area that is the subject of:
(a)  an interim heritage order, or a listing on the State Heritage Register, under the Heritage Act 1977, or
(b)  an order in force under section 136 of the Heritage Act 1977, or
(c)  an interim protection order under the National Parks and Wildlife Act 1974, or
(d)  a protection conferred by any similar law.
(8)  Nothing done for the purpose of carrying out the work required by a notice under this section constitutes an offence against any law under which a tree preservation order or environmental planning instrument (other than a State environmental planning policy) relating to the land is made.
(9)  In this section:
protected area means an area that is within:
(a)  a national park or nature reserve within the meaning of the National Parks and Wildlife Act 1974, or
(b)  land that is reserved or zoned for environmental protection purposes under the Environmental Planning and Assessment Act 1979, or
(c)  a public reserve within the meaning of the Local Government Act 1993.
tree includes shrub and plant.
s 48: Am 1997 No 21, Sch 1 [13]; 1998 No 138, Sch 2.1 [1] [2].
49   Obstruction of electricity works
(1)  This section applies if a network operator has reasonable cause to believe that any structure or thing placed in, on or near its electricity works is destroying, damaging or interfering with those works.
(2)  In those circumstances, a network operator:
(a)  may serve a written notice on the person having control of the structure or thing requiring that person to modify or remove it, or
(b)  in an emergency, may, at its own expense, modify or remove the structure or thing itself.
(3)  A notice under subsection (2) (a):
(a)  must specify the work to be carried out, and
(b)  must specify a reasonable time within which the work is to be carried out.
(4)  If the person fails to carry out the work in accordance with the requirement, the network operator may carry out the work itself.
(5)  The costs of:
(a)  carrying out the work, and
(b)  repairing any damage done to the network operator’s electricity works by the structure or thing,
may be recovered by the network operator in a court of competent jurisdiction as a debt owed to it by the person.
(6)  A network operator may apply for an injunction to prevent a structure or thing being placed in, on or near its electricity works.
s 49: Am 1996 No 121, Sch 1.3 [1].
50   Charges for placement of electricity works
No annual or other periodic or special charge is payable by a network operator to a local council or roads authority in respect of any electricity works located in a public reserve or public road or in respect of the space in a public reserve or public road that is occupied by any such works.
51   Ownership of electricity works
(1)  A network operator or retail supplier is the owner of its electricity works, whether or not the land in, on or over which they are situated is owned by the network operator or retail supplier.
(2)  A network operator’s or retail supplier’s electricity works are not to be taken in execution of any judgment against a person other than the network operator or retail supplier under any process of a court.
s 51: Am 2000 No 109, Sch 1 [19] [20].
52   Interruption to electricity supply for maintenance
A network operator or retail supplier may interrupt the supply of electricity to a customer, at such reasonable times as the network operator or retail supplier determines:
(a)  for the purpose of inspecting, testing or carrying out repairs or maintenance work on its electricity works, or
(b)  for such other purpose as the network operator or retail supplier considers necessary for the safe and efficient operation of its electricity works.
s 52: Am 2000 No 109, Sch 1 [21].
53   (Repealed)
s 53: Rep 1997 No 20, Sch 1.3 [9].
Division 3 Powers of entry
54   Powers of entry
(1)  An authorised officer of a network operator may enter any premises for the purpose of exercising any function conferred or imposed on a network operator by or under this or any other Act or law, including:
(a)  carrying out preliminary investigations in connection with the proposed installation or extension of electricity works, or
(b)  installing, extending, maintaining, repairing or removing electricity works, or
(c)  reading electricity meters, or
(d)  checking if the network operator’s conditions relating to tariffs and the use of electricity are being complied with, or
(e)  ascertaining whether an offence against this Act or the regulations has been committed.
(1A)  An authorised officer of a retail supplier may enter the premises of a customer for the following purposes in respect of electricity works prescribed by the regulations:
(a)  carrying out preliminary investigations in connection with the proposed installation or extension of electricity works,
(b)  installing, extending, maintaining, repairing or removing electricity works,
(c)  reading electricity meters,
(d)  checking if the retail supplier’s conditions relating to tariffs and the use of electricity are being complied with,
(e)  ascertaining whether an offence against this Act or the regulations has been committed.
(2)  Except in emergencies, a power of entry may be exercised only during daylight hours.
s 54: Am 1997 No 20, Sch 1.3 [10]; 2000 No 109, Sch 1 [22] [23].
55   Notice of entry
(1)  Before an authorised officer of a network operator or retail supplier exercises a power of entry under this Division, the network operator or retail supplier concerned must give the owner or occupier of the land written notice of the intention to enter the land.
(2)  The notice must specify the day on which the authorised officer intends to enter the land and must be given before that day.
(3)  This section does not require notice to be given:
(a)  if entry to the land is made with the consent of the owner or occupier of the land, or
(b)  if entry is required for the sole purpose of reading an electricity meter, or
(c)  if entry is required in an emergency.
s 55: Am 2000 No 109, Sch 1 [24] [25].
56   Use of force
(1)  Reasonable force may be used for the purpose of gaining entry to any land (other than such part of a building as is being used for residential purposes) under a power conferred by this Division, but only if authorised by the network operator or retail supplier concerned in accordance with this section.
(2)  The authority:
(a)  must be in writing, and
(b)  must be given in respect of the particular entry concerned, and
(c)  must specify the circumstances that must exist before force may be used.
s 56: Am 2000 No 109, Sch 1 [26].
57   Notification of use of force or urgent entry
(1)  An authorised officer:
(a)  who uses force for the purpose of gaining entry to land, or
(b)  who enters land in an emergency without giving written notice to the owner or occupier of the land,
must promptly advise the network operator or retail supplier concerned of that fact.
(2)  The network operator or retail supplier must give notice of the entry to such persons or authorities as appear to the network operator or retail supplier to be appropriate in the circumstances.
s 57: Am 2000 No 109, Sch 1 [27] [28].
58   Care to be taken
(1)  In the exercise of a power under this Division, an authorised officer must do as little damage as possible.
(2)  As far as practicable, entry onto fenced land is to be made through an existing opening in the enclosing fence or, if entry through an existing opening is not practicable, through a new opening.
(3)  Any new opening is to be properly closed when the need for entry ceases.
(4)  If, in the exercise of a power under this Division, any pit, trench, hole or bore is made, the network operator or retail supplier concerned must, if the owner or occupier of the land so requires:
(a)  fence it and keep it securely fenced so long as it remains open or not sufficiently sloped down, and
(b)  without unnecessary delay, fill it up or level it or sufficiently slope it down.
s 58: Am 2000 No 109, Sch 1 [29].
59   Recovery of cost of entry and inspection
If an authorised officer enters any land for the purpose of making an inspection and, as a result of the inspection, the network operator or retail supplier concerned requires any work to be carried out on the land, the network operator or retail supplier may recover the reasonable costs of the entry and inspection from the owner or occupier of the land.
s 59: Am 2000 No 109, Sch 1 [30] [31].
60   Compensation
The network operator or retail supplier concerned must pay compensation to the owner or occupier of any land in respect of which a power has been exercised under this Division for any loss or damage arising from the exercise of the power, but is not so liable to the extent to which the loss or damage arises from work done for the purposes of an inspection which reveals that there has been a contravention by the owner or occupier, as the case requires, of any provision of this Act or the regulations.
s 60: Am 1997 No 21, Sch 1 [14] [15]; 2000 No 109, Sch 1 [32].
61   Certificates of authority to enter land
(1)  A power of entry under this Division may not be exercised by an authorised officer unless the authorised officer:
(a)  is in possession of a certificate of authority issued by the network operator or retail supplier concerned, and
(b)  produces the certificate when required to do so by the owner or occupier of the land.
(2)  The certificate of authority:
(a)  must state that it is issued under this Act, and
(b)  must give the name of the person to whom it is issued, and
(c)  must describe the nature of the powers conferred and the source of those powers, and
(d)  must state the date (if any) on which it expires, and
(e)  must describe the kind of land to which the power extends, and
(f)  must be under the seal of the network operator or retail supplier or must bear the signature of the principal officer of the network operator or retail supplier, of a prescribed officer of the network operator or retail supplier or of an officer belonging to a prescribed class of officers of the network operator or retail supplier.
s 61: Am 2000 No 109, Sch 1 [33] [34].
62   Entry to residential premises
A power of entry conferred by this Division is not exercisable in relation to such part of a building as is used for residential purposes except:
(a)  with the consent of the occupier of that part of the premises, or
(b)  for the sole purpose of reading an electricity meter, or
(c)  under the authority conferred by a warrant of entry.
63   Warrants of entry
(1)  A network operator or retail supplier may apply to an authorised officer within the meaning of the Law Enforcement (Powers and Responsibilities) Act 2002 if it is of the opinion that it is necessary for an authorised officer within the meaning of this Act to enter and inspect any land (including any building used for residential purposes) for the purposes of this Act.
(2)  An authorised officer within the meaning of the Law Enforcement (Powers and Responsibilities) Act 2002 to whom such an application is made may, if satisfied that there are reasonable grounds for doing so, issue a warrant of entry authorising an authorised officer named in the warrant to enter and inspect the land for the purposes of this Act.
(3)  Division 4 of Part 5 of the Law Enforcement (Powers and Responsibilities) Act 2002 applies to a warrant of entry under this section in the same way as it applies to a search warrant under that Act.
(4)    (Repealed)
s 63: Am 2000 No 109, Sch 1 [35]; 2002 No 103, Sch 4.27 [1]–[4].
63A   Other powers of entry unaffected
This Division does not apply to any power of entry that an authorised officer has apart from this Division, such as a power arising under a customer connection contract or customer supply contract.
s 63A: Ins 1997 No 21, Sch 1 [16]. Am 2000 No 109, Sch 1 [36].
Part 5A Market operations
pt 5A: Ins 2000 No 109, Sch 1 [37].
63B   Definition
In this Part:
market operations rule means a rule approved under section 63C.
s 63B: Ins 2000 No 109, Sch 1 [37].
63C   Market operations rules
(1)  The Minister may approve rules for or with respect to the following matters:
(a)  obligations to enter into, and the form and content of, agreements between distribution network service providers and retail suppliers for the use by retail suppliers of the distribution network service providers’ distribution systems,
(b)  procedures for measuring electricity consumption of customers,
(c)  procedures for processing customers’ electricity consumption data for the purposes of the National Electricity Code,
(d)  provision of services and equipment relating to the measurement and control of customers’ electricity consumption and persons who may or may not provide such services,
(e)  requirements for equipment used to measure and control customers’ electricity consumption,
(f)  the circumstances in which ownership of any such equipment may be transferred and the procedures for the transfer,
(g)  the making of arrangements on behalf of customers for the provision of customer connection services,
(h)  the circumstances in which customers may be transferred between retail suppliers and the procedures for the transfer, including procedures relating to consent of and notice to customers and determination of time of transfer and costs as at transfer,
(i)  any other matter prescribed by the regulations,
(j)  matters ancillary to or consequential on the matters set out in paragraphs (a)–(i).
(2)  A rule may make provision for or with respect to a matter by applying, adopting or incorporating, with or without modification, the provisions of any Act or statutory rule or any other publication, whether of the same or of a different kind.
(3)  A rule may:
(a)  apply generally or be limited in its application by reference to specified exceptions or factors, or
(b)  apply differently according to different factors of a specified kind, or
(c)  authorise any matter or thing to be from time to time agreed, determined, applied or regulated by any specified person or body.
(4)  The Minister may from time to time approve amendments to the rules or the revocation of rules.
(5)  If a rule, or a rule amending or revoking a rule, is approved by the Minister:
(a)  written notice of the approval of the rule must be published in the Gazette, and
(b)  the rule takes effect on the day on which notice is so published or, if a later day is specified in the rule for commencement, on the later day so specified, and
(c)  the Minister must make available a copy of the rule to each retail supplier or distribution network service provider.
(6)  A rule must be consistent with this Act and the regulations. A rule is unenforceable to the extent of any such inconsistency.
(7)  Subject to subsection (6), a rule may be approved for the purposes of both this Act and any other Act or law.
s 63C: Ins 2000 No 109, Sch 1 [37]. Am 2001 No 18, Sch 2 [1].
63D   Obligations under rules
(1)  A person must not contravene the market operations rules.
Maximum penalty: 200 penalty units.
(2)  It is a condition of a retail supplier’s licence that the retail supplier must comply with the market operations rules.
(3)  It is a condition of a distribution network service provider’s licence that the distribution network service provider must comply with the market operations rules.
(4)  Subsection (1) does not apply to a person in the person’s capacity as a customer of a retail supplier.
s 63D: Ins 2000 No 109, Sch 1 [37].
63E   Metrology co-ordinator
The regulations may make provision for or with respect to the following matters:
(a)  the appointment by the Minister of a metrology co-ordinator for the purposes of this Act, the market operations rules and the National Electricity (NSW) Law,
(b)  the functions of the metrology co-ordinator,
(c)  the terms and conditions of appointment of the metrology co-ordinator,
(d)  the termination of the appointment of the metrology co-ordinator.
s 63E: Ins 2000 No 109, Sch 1 [37].
Part 5B Marketing of electricity
pt 5B: Ins 2000 No 109, Sch 1 [37].
63F   Definitions
In this Part:
electricity marketer means any of the following persons:
(a)  a person who is a retail supplier,
(b)  a person who acts as agent of a retail supplier for the purposes of obtaining new customers, or retaining existing customers, for the retail supplier,
(c)  a person who acts as agent of one or more customers in respect of the retail supply of electricity,
(d)  a person who acts as an intermediary in any other capacity between one or more customers and a retail supplier in respect of the retail supply of electricity,
(e)  a person who engages in or carries on any other activity relating to electricity or the electricity industry prescribed by the regulations for the purposes of this definition.
Marketing Code of Conduct means the code of conduct approved by the Minister under section 63G.
s 63F: Ins 2000 No 109, Sch 1 [37].
63G   Marketing Code of Conduct
(1)  The Minister may approve a code of conduct as the Marketing Code of Conduct for the purposes of this Part.
(2)  An approval may be revoked.
(3)  If a Marketing Code of Conduct is approved by the Minister:
(a)  the Code must be published in the Gazette, and
(b)  the Code takes effect on the day on which it is so published or, if a later day is specified in the Code for commencement, on the later day so specified.
(4)  Subject to this section, the same code of conduct may be approved for the purposes of both this Act and any other Act or law.
Editorial note—
For approvals or revocations under this section see Gazette No 92 of 31.5.2002, p 3449.
s 63G: Ins 2000 No 109, Sch 1 [37]. Am 2001 No 18, Sch 2 [2].
63H   Obligations under Marketing Code of Conduct
An electricity marketer that contravenes a requirement of the Marketing Code of Conduct in relation to a small retail customer is guilty of an offence.
Maximum penalty: 200 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
ss 63H–63J: Ins 2000 No 109, Sch 1 [37].
63I   Licence conditions relating to marketing activities relating to small retail customers
It is a condition of a retail supplier’s licence that:
(a)  the retail supplier must comply with the Marketing Code of Conduct, and
(b)  before entering into a negotiated customer supply contract with a small retail customer introduced to the retail supplier by an electricity marketer, or that is arranged or facilitated by an electricity marketer, the retail supplier must be satisfied that the electricity marketer has complied with the Marketing Code of Conduct (including any requirements relating to the customer’s consent).
ss 63H–63J: Ins 2000 No 109, Sch 1 [37].
63J   Non-licensed electricity marketers to provide statements
(1)  An electricity marketer (other than the holder of a retail supplier’s licence) must, if the marketer introduces a small retail customer to a retail supplier, or arranges or facilitates a customer supply contract between any such customer and a retail supplier, give to the retail supplier a written statement to the effect that the electricity marketer has complied with the Marketing Code of Conduct with respect to the customer (including any requirements relating to the customer’s consent).
(2)  An electricity marketer must not give to a retail supplier a statement under this section knowing that it is false or misleading in a material particular.
Maximum penalty: 100 penalty units.
ss 63H–63J: Ins 2000 No 109, Sch 1 [37].
Part 6 Offences
Division 1 General offences
64   Theft of electricity
A person must not abstract, cause to be wasted or diverted, consume or use any electricity from a generating, transmission or distribution system unless authorised to do so under a wholesale supply arrangement or customer supply contract.
Maximum penalty: 200 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
65   Interference with electricity works
A person must not interfere with a network operator’s or retail supplier’s electricity works unless authorised to do so by the network operator or retail supplier concerned.
Maximum penalty: 200 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
s 65: Am 2000 No 109, Sch 1 [38] [39].
66   Interference with electricity meters
A person must not alter or otherwise interfere with a meter that is connected to a distribution network service provider’s distribution system unless authorised to do so by the distribution network service provider.
Maximum penalty: 200 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
67   Interference with distribution network service provider’s seals
A person must not alter or otherwise interfere with any seal that has been attached to an electrical installation by a distribution network service provider unless authorised to do so by the distribution network service provider.
Maximum penalty: 200 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
68   Unauthorised connections
A person must not connect an electrical installation to a distribution network service provider’s distribution system unless authorised to do so by the distribution network service provider.
Maximum penalty: 200 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
69   Unauthorised increase in capacity of connections
A person must not increase the capacity of an existing connection to a distribution network service provider’s distribution system unless authorised to do so by the distribution network service provider.
Maximum penalty: 200 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
70   Unauthorised alterations and additions to electrical installations
A person must not alter or add to an electrical installation that is connected to a distribution network service provider’s distribution system so as to cause the supply of electricity to the installation or any part of it to be incorrectly metered unless authorised to do so by the distribution network service provider.
Maximum penalty: 200 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
71   Obstruction of authorised officers
A person must not:
(a)  prevent an authorised officer from exercising any function conferred or imposed on the authorised officer under this Act, or
(b)  hinder or obstruct an authorised officer in the exercise of any such function, or
(c)  impersonate an authorised officer.
Maximum penalty: 200 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
Division 2 Restrictions on resupply of electricity
72   Charges for the use of electricity prohibited
(1)  A person to whose premises electricity is supplied under a wholesale supply arrangement or customer supply contract must not charge any other person for the use of electricity so supplied.
Maximum penalty: 200 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
(2)  This section does not prohibit a person from imposing a separate charge for the use of a specified service or facility as a result of the fact that the use of that service or facility involves the consumption of electricity.
(3)  This section does not prohibit a landlord from imposing a charge for electricity supplied to a tenant if:
(a)  the quantity of electricity so supplied is measured by a separate electricity meter that complies with the regulations, and
(b)  the charge imposed for the electricity so supplied is no greater than the maximum allowable amount.
(4)  A landlord who charges a tenant for electricity supplied to the tenant:
(a)  must make such records relating to the electricity so supplied, and
(b)  must keep those records for such period,
as may be prescribed by the regulations.
(4A)  The regulations may, either unconditionally or subject to conditions, exempt:
(a)  any specified person or class of persons, or
(b)  any specified matter or class of matters,
from the operation of subsection (1).
(5)  The regulations may require the landlord to furnish the tenant with a copy of any records made under this section.
(6)  In this section:
landlord means:
(a)  the owner or lessor of any premises, whether business, residential or otherwise, or
(b)  the proprietor or operator of the premises of any hotel, motel, inn, hostel, boarding or rooming house, holiday flats or cabins, manufactured home estate, caravan park or campsite or any other premises prescribed by the regulations.
maximum allowable amount, in relation to a quantity of electricity supplied during a specific period, means:
(a)  the amount prescribed by or calculated in accordance with the regulations for a similar quantity of electricity supplied during the same period, or
(b)  if no such regulations are in force, the amount that the relevant standard retail supplier would have charged under a standard form customer supply contract for a similar quantity of electricity supplied during the same period.
tenant includes any person who occupies premises in respect of which some other person is a landlord.
s 72: Am 2000 No 109, Sch 1 [40] [41].
Division 3 Supplementary orders
73   Local Court may order disconnection and discontinuance of electricity supply
(1)  A Local Court that finds a person guilty of an offence under Division 1 may make either or both of the following orders:
(a)  an order that the premises to which the offence relates be disconnected from the distribution system of the distribution network service provider concerned, or
(b)  an order that the supply of electricity to those premises be discontinued.
(2)  An order under this section has effect regardless of the provisions of any customer connection contract, customer supply contract or wholesale supply arrangement.
74   Local Court may order payment for electricity unlawfully charged for
A Local Court that finds a person guilty of an offence under Division 2 of unlawfully charging for the use of electricity may make an order directing the person to refund the whole, or such part as the Court considers appropriate, of any amount paid to the person in respect of that charge.
75   Local Court may order payment for stolen electricity
A Local Court that finds a person guilty of an offence under section 64 of unlawfully causing electricity to be abstracted, wasted, diverted, consumed or used may make an order directing the person to pay to the wholesale or retail supplier concerned such amount as the Court considers appropriate for the electricity so wasted, diverted, consumed or used.
76   Orders for payment operate as judgments
(1)  An order under this Division for the payment of money:
(a)  may be made by a Local Court on its own motion, or on the application of the wholesale or retail supplier concerned, at any time within 6 months after the date of the finding, and
(b)  may be enforced in a Local Court exercising jurisdiction under Part 7 of the Local Courts Act 1982.
(2)  Part 8 of the Civil Procedure Act 2005 applies to and in respect of an order under this Division as if:
(a)  the order were a judgment of a Local Court in civil proceedings, and
(b)  the amount ordered to be paid were a judgment debt, and
(c)  the person against whom the order is made were a judgment debtor, and
(d)  the person in whose favour the order is made were a judgment creditor.
(3)  The remedy provided by this section is an alternative to any other remedy that may be available apart from this section.
s 76: Am 1996 No 30, Sch 1.16 [1]; 2005 No 28, Sch 5.16 [1] [2].
Part 7 Administration
Division 1 Regulatory functions of Tribunal
pt 7, div 1: Rep 1997 No 20, Sch 1.3 [11]. Ins 2000 No 60, Sch 1.2 [1].
77   Regulatory functions of Tribunal
(1)  The regulatory functions of the Tribunal under this Act are:
(a)  the function of making recommendations under subsection (2), and
(b)  the function of monitoring and reporting under section 87, and
(c)  the function of imposing monetary penalties, or requiring other action to be taken, under clause 8A of Schedule 2, and
(d)  such other functions of the Tribunal under this Act as are specified by the regulations for the purposes of this section.
(2)  The Tribunal has the function of making recommendations to the Minister for or with respect to:
(a)  the granting, variation, transfer or cancellation of a licence, and
(b)  the imposition, variation or cancellation of conditions in relation to a licence or an endorsement attached to a licence, and
(c)  action to be taken, and sanctions to be applied, in respect of a contravention of the conditions of a licence or an endorsement attached to a licence, and
(d)  any remedial action that may be warranted as a result of a contravention of the conditions of a licence or an endorsement attached to a licence.
(3)  Part 4B of the Independent Pricing and Regulatory Tribunal Act 1992 applies in relation to the Tribunal’s regulatory functions under this Act.
s 77: Rep 1997 No 20, Sch 1.3 [11]. Ins 2000 No 60, Sch 1.2 [1]. Am 2005 No 17, Sch 1 [3]–[5].
78–82   (Repealed)
s 78: Am 1997 No 21, Sch 1 [17] [18]. Rep 1997 No 20, Sch 1.3 [11].
ss 79–81: Rep 1997 No 20, Sch 1.3 [11].
s 82: Am 1997 No 21, Sch 1 [19] [20]. Rep 1997 No 20, Sch 1.3 [11].
Division 2 Distribution districts
83   Distribution districts of distribution network service providers
(1)  Each distribution network service provider listed in Schedule 3 has a distribution district comprising the local government areas, or parts of local government areas, described in that Schedule.
(2)  The boundaries of a distribution network service provider’s distribution district are unaffected by any change in the boundaries of a local government area and, for that purpose, the boundaries of the local government area are taken to remain the same as they were when the reference to the local government area was included in Schedule 3.
(3)  A reference in Schedule 3 to a part of a local government area is (if that part is not described in that Schedule) a reference to such part of the local government area as is described by the regulations for the purposes of that reference.
s 83: Am 1996 No 30, Sch 1.16 [2]; 2000 No 109, Sch 1 [42].
84   Variation of distribution districts
(1)  The Governor may, by regulation, amend Schedule 3 so as:
(a)  to vary the boundaries of an existing distribution network service provider’s distribution district, or
(b)  to include the boundaries of the distribution district of an additional distribution network service provider.
(2)  The regulations may contain provisions of a savings or transitional nature consequent on the variation or inclusion of any such boundaries.
(3)  Any such provision may, if the regulations so provide, take effect from the day on which the variation or inclusion of boundaries occurs or a later day.
(4)  To the extent to which any such provision takes effect from a date that is earlier than the date of its publication in the Gazette, the provision does not operate so as:
(a)  to affect, in a manner prejudicial to any person (other than the State or an authority of the State), the rights of that person existing before the date of its publication, or
(b)  to impose liabilities on any person (other than the State or an authority of the State) in respect of anything done or omitted to be done before the date of its publication.
s 84: Am 2000 No 109, Sch 1 [43] [44].
85   Transfer of staff, assets, rights and liabilities
(1)  The Minister may direct, by order in writing, that any specified staff, assets, rights or liabilities of a distribution network service provider whose distribution district is varied be transferred to such other distribution network service provider as is specified in the order.
(2)  Such an order may be made on such terms and conditions as are specified in the order.
(3)  Schedule 4 applies to the transfer of staff, assets, rights or liabilities under this section.
s 85: Am 2000 No 109, Sch 1 [45].
Division 3 Licence auditing
pt 7, div 3, hdg: Am 2000 No 60, Sch 1.2 [2].
86   (Repealed)
s 86: Rep 2000 No 60, Sch 1.2 [3].
87   Licence auditing functions of Tribunal
(1)  The functions of the Tribunal under this Division are to monitor, and report to the Minister on, the extent to which distribution network service providers and retail suppliers comply, or fail to comply, with the conditions imposed on the licences held by them and the endorsements attached to licences held by them.
(1A)  Without limiting subsection (1), the Tribunal must, if requested by the Treasurer, monitor and report to the Minister and the Treasurer on the extent to which standard retail suppliers or a specified standard retail supplier comply, or fail to comply, with the conditions set out in section 43ER.
(1B)  The Tribunal must prepare and forward to the Treasurer and the Minister a report requested under subsection (1A) within the period specified in the request.
(2)  For the purpose of enabling the Tribunal to exercise its functions, the Minister must furnish the Tribunal with such information in the possession of the Minister as the Tribunal may request in relation to the compliance by distribution network service providers and retail suppliers with the conditions imposed on the licences held by them and the endorsements attached to licences held by them.
(3)  This section does not apply to a condition referred to in section 32G or 43E.
s 87: Am 1997 No 36, Sch 1 [3]; 2000 No 60, Sch 1.2 [4] [5]; 2000 No 109, Sch 1 [46]; 2005 No 17, Sch 1 [6] [7].
87A   Cost of audit
(1)  Each holder of a licence is required to pay to the Treasurer the cost (as certified by the Tribunal) involved in and in connection with carrying out the Tribunal’s functions under section 87 in relation to the holder of the licence.
(2)  Without limitation, a licence may include terms and conditions relating to the determination of the cost of carrying out those functions.
s 87A: Ins 2000 No 60, Sch 1.2 [6].
87B   Provision and maintenance of information, documents and evidence
(1)  For the purposes of monitoring and reporting under section 87 (1A) and (1B), the Chairperson of the Tribunal may, by notice in writing served on an officer of a standard retail supplier or any other person, require the officer or person to do any one or more of the following:
(a)  to send to the Tribunal, on or before a day specified in the notice, a statement setting out such information as is so specified,
(b)  to send to the Tribunal, on or before a day specified in the notice, such documents as are so specified,
(c)  to attend a meeting of the Tribunal to give evidence.
(2)  If documents are given to the Tribunal under this section, the Tribunal:
(a)  may take possession of, and make copies of or take extracts from, the documents, and
(b)  may keep possession of the documents for such period as is necessary for those purposes, and
(c)  during that period must permit them to be inspected at all reasonable times by persons who would be entitled to inspect them if they were not in the possession of the Tribunal.
(3)  For the purposes of monitoring and reporting under section 87, the Chairperson of the Tribunal may, by notice in writing served on the holder of a licence, require that person:
(a)  to keep specified records including any documents specified in the notice, and
(b)  to furnish specified information to the Tribunal.
(4)  Nothing in subsection (3) limits the powers of the Tribunal under subsection (1).
s 87B: Ins 2000 No 109, Sch 1 [47]. Am 2005 No 17, Sch 1 [8].
87C   Offences
(1)  A person must not, without reasonable excuse:
(a)  refuse or fail to comply with a notice served under section 87B, or
(b)  refuse or fail to answer a question that the person is required to answer by the Chairperson at any meeting of the Tribunal under section 87B.
(2)  It is a reasonable excuse for the purposes of subsection (1) that to comply with the notice or to answer the question might tend to incriminate a natural person or make the person liable to any forfeiture or penalty.
(3)  A person must not:
(a)  give to the Tribunal, whether orally or in writing, information that the person knows to be false or misleading in a material particular (unless the person informs the Tribunal of that fact), or
(b)  at a meeting of the Tribunal, give evidence that the person knows to be false or misleading in a material particular.
(4)  A person must not hinder, obstruct or interfere with the Chairperson or any other member of the Tribunal in the exercise of functions for the purposes of section 87 (1A) or (1B) or 87B as Chairperson or other member.
(5)  A person must not take any action that detrimentally affects the employment of another person, or threaten to do so, because that other person has assisted the Tribunal in any investigation.
Maximum penalty: 100 penalty units or imprisonment for 6 months, or both.
s 87C: Ins 2000 No 109, Sch 1 [47].
87D   Licence condition
It is a condition of a licence held by a standard retail supplier that the standard retail supplier must comply with section 87C.
s 87D: Ins 2000 No 109, Sch 1 [47].
88   Annual reports
(1)  As soon as practicable after 30 June (but on or before 31 October) in each year, the Tribunal must prepare and forward to the Minister a report on the extent to which distribution network service providers and retail suppliers have complied, or failed to comply, with the conditions imposed on the licences held by them and the endorsements attached to licences held by them during the 12 months ending on 30 June in that year.
(2)  The Minister must lay the report or cause it to be laid before both Houses of Parliament as soon as practicable after receiving the report.
s 88: Am 2000 No 60, Sch 1.2 [7]; 2005 No 17, Sch 1 [9].
Division 4 Customer consultative groups
89   Appointment of customer consultative groups
(1)  A distribution network service provider must appoint at least one customer consultative group to act as a forum for consultation between the distribution network service provider and its customers.
(2)  A standard retail supplier must appoint at least one customer consultative group to act as a forum for consultation between the retail supplier and its customers.
(3)    (Repealed)
s 89: Am 2000 No 109, Sch 1 [48] [49].
90   Constitution of customer consultative groups
(1)  Except to the extent to which the regulations otherwise provide, a customer consultative group must include members representing each of the following sections of the community:
(a)  consumer groups,
(b)  low-income households,
(c)  persons living in rural and remote areas,
(d)  domestic customers,
(e)  industrial and commercial customers.
(2)  Except to the extent to which the regulations otherwise provide, a customer consultative group must meet at least twice a year.
(3)  In all other respects, the constitution and procedure of a customer consultative group are to be as determined by the regulations.
s 90: Am 2000 No 109, Sch 1 [50]; 2001 No 18, Sch 2 [3].
91   Functions of customer consultative groups
(1)  A customer consultative group has such functions as are conferred or imposed on it by this Act or the regulations.
(2)  Except to the extent to which the regulations otherwise provide, the function of a customer consultative group appointed by a distribution network service provider is to provide information and advice on the following matters to the service provider:
(a)  the form and content of the service provider’s standard form customer connection contracts, and any amendments to those contracts,
(b)  the effect on retail customers within its distribution district of any proposed changes in the way in which the service provider operates,
(c)  any improvements in the way in which the service provider operates that the customer consultative group believes would benefit retail customers within its distribution district,
(d)  such other matters as the service provider and the customer consultative group agree should be the subject of such advice.
(3)  Except to the extent to which the regulations otherwise provide, the function of a customer consultative group appointed by a standard retail supplier is to provide information and advice on the following matters to the retail supplier:
(a)  the form and content of the retail supplier’s standard form customer supply contracts, and any amendments to those contracts,
(b)  the effect on retail customers within its supply district of any proposed changes in the way in which the retail supplier operates,
(c)  any improvements in the way in which the retail supplier operates that the customer consultative group believes would benefit retail customers within its supply district,
(d)  such other matters as the retail supplier and the customer consultative group agree should be the subject of such advice.
s 91: Am 2000 No 109, Sch 1 [51].
Division 5 General
92   Small retail customers
(1)  For the purposes of this Act, a small retail customer is:
(a)  a person who consumes or is expected to consume electricity at premises at a rate that is less than the prescribed rate, determined in accordance with any relevant provisions of the regulations, or
(b)  a person who consumes or is expected to consume electricity at premises used for a purpose prescribed by the regulations, or
(c)  a person who is treated in accordance with any relevant provisions of the regulations as a small retail customer, even though the person is not a person described in paragraph (a) or (b).
(2)  The regulations may make provision for or with respect to determining whether or not a person consumes or is expected to consume electricity at a rate that is less than the prescribed rate for the purposes of subsection (1) (a).
(3)  The regulations may make provision for or with respect to:
(a)  treating a person who consumes or may consume electricity at a rate that is the prescribed rate per year or more, or
(b)  treating a person who consumes or may consume electricity at premises used for a purpose referred to in subsection (1) (b),
as a small retail customer.
(4)  Subject to the regulations, this section applies separately in relation to each premises at which a person consumes or is expected to consume electricity.
(5)  Without limiting any other provision of this section, a regulation made for the purposes of this section may apply to a person only in respect of the consumption of electricity at certain premises (in which case the regulation does not apply to that person in respect of the person’s consumption of electricity at other premises).
(6)  In this Act, a reference to a small retail customer extends only to the supply of electricity to premises in relation to which the person is such a customer and does not extend to the supply of electricity to any other premises for which the person is not a small retail customer.
(7)  In this section:
prescribed rate means the rate, expressed as a number of megawatt hours (MWh) per year or in any other manner, specified in the regulations.
s 92: Am 1996 No 30, Sch 1.16 [3]; 1996 No 121, Sch 1.3 [2]. Subst 2000 No 109, Sch 1 [52]. Am 2001 No 18, Sch 2 [4].
93   Transmission systems
(1)  The Minister may, by order published in the Gazette, declare any specified electricity power lines and associated equipment and electricity structures to be a transmission system for the purposes of this Act.
(2)  An order under this section takes effect on the day on which it is published in the Gazette or on such later day as is specified in the order.
94   Authorised officers
(1)  A network operator or retail supplier may, in accordance with any guidelines in force under this section, appoint authorised officers for the purposes of this Act.
(2)  An authorised officer appointed by a network operator has such of the functions of the network operator by which he or she is appointed as are specified in the authorised officer’s instrument of appointment.
(3)  An authorised officer appointed by a distribution network service provider may exercise those functions only within the distribution district of the distribution network service provider by which he or she is appointed.
(3A)  If a distribution network service provider does not have a distribution district, an authorised officer appointed by the distribution network service provider may exercise those functions only on land that is occupied by the distribution network service provider’s distribution system and on land on which premises connected to that distribution system are situated.
(3B)  An authorised officer appointed by a retail supplier:
(a)  has the functions of an authorised officer under this Act specified in the authorised officer’s instrument of appointment, and
(b)  may exercise those functions only with respect to the premises of customers of the retail supplier.
(4)  The Minister may, by order published in the Gazette, establish guidelines for the appointment of authorised officers.
(5)  An order under this section takes effect on the day on which it is published in the Gazette or on such later day as is specified in the order.
s 94: Am 1996 No 56, Sch 2.8 [2]; 2000 No 109, Sch 1 [53]–[55].
Part 8 Appeals and resolution of disputes
95   Appeals against decisions concerning licences
(1)  An applicant under Schedule 2 or the holder of a licence who is aggrieved by any of the following decisions of the Minister under that Schedule may appeal to the Supreme Court against the decision:
(a)  a decision cancelling a licence,
(b)  a decision imposing a condition on a licence (other than a condition imposed when the licence is granted),
(c)  a decision varying the conditions of a licence,
(d)  a decision refusing an application for the transfer of a licence,
(e)  a decision imposing a monetary penalty on the holder of a licence.
(2)  An appeal is to be by way of a new hearing and fresh evidence, or evidence in addition to or in substitution for the evidence on which the decision was made, may be given on the appeal.
(3)  For the purposes of an appeal, the Minister may certify in writing that a specified policy applies to the subject matter of the appeal.
(4)  In deciding an appeal to which such a certificate relates, the Supreme Court is required to apply the policy so certified, except to the extent to which the application of that policy would be contrary to law.
(5)  The decision of the Supreme Court in respect of an appeal is taken to be the decision of the Minister and is to be given effect to accordingly.
s 95: Am 1997 No 20, Sch 1.3 [12]–[14]; 2002 No 122, Sch 1 [1].
95A   Review of certain decisions concerning licences
(1)  The holder of a licence who is aggrieved by a decision of the Tribunal to take action under clause 8A of Schedule 2 in relation to the holder of the licence may apply to the Administrative Decisions Tribunal for a review of the decision.
(2)  Section 53 (Internal reviews) of the Administrative Decisions Tribunal Act 1997 does not apply to such a decision of the Tribunal.
s 95A: Ins 2000 No 60, Sch 1.2 [8].
96   Internal review of certain decisions disputed by customers
(1)  A small retail customer may apply to a retail supplier for a review of a decision of the supplier in relation to any matter arising under the customer supply contract or any other matter prescribed by the regulations for the purposes of this subsection.
(2)  A small retail customer may apply to a distribution network service provider for a review of a decision of the service provider in relation to any matter arising under the customer connection contract or any other matter prescribed by the regulations.
(3)  Without limiting subsection (1), a person may apply to a licence holder for a review of a decision of the licence holder to classify the person as being or as not being a small retail customer.
(4)  The regulations may make provision for or with respect to the following matters:
(a)  the procedures for making an application and for dealing with an application that are to be contained in standard form customer supply contracts,
(b)  imposing conditions on retail suppliers’ licences and distribution network service providers’ licences relating to the provision and implementation of procedures for dealing with an application.
(5)  The regulations may treat a failure to make a decision within a specified period as a decision of a particular kind.
(6)  An application made and dealt with under this section is to be free of charge to the applicant.
s 96: Am 1998 No 162, Sch 2.3. Subst 2000 No 109, Sch 1 [56].
96A   Review of certain decisions under electricity industry ombudsman scheme
(1)  A small retail customer, and any other person of a class prescribed by the regulations, may apply to an electricity industry ombudsman under an approved electricity industry ombudsman scheme for review of a decision in a dispute or complaint to which the scheme relates.
(2)  Except as provided by the scheme or by the regulations, a person does not have a right of review under this section in respect of a decision for which a review may be sought under section 96 unless the decision has been the subject of review under that section.
(3)  A review under this section is to be free of charge to small retail customers and to other persons of such classes as are prescribed by the regulations.
(4)  This section does not affect the jurisdiction of the Consumer, Trader and Tenancy Tribunal established by the Consumer, Trader and Tenancy Tribunal Act 2001.
(5)  The electricity industry ombudsman may decline to deal with a matter if it has been, is being or should be dealt with by another person or tribunal or there are, in the ombudsman’s opinion, not sufficient grounds for further investigation.
(6)  Without limiting subsection (5), the electricity industry ombudsman may deal with a matter by making arrangements for it to be referred to another person or tribunal.
s 96A: Ins 2000 No 109, Sch 1 [56]. Am 2001 No 82, Sch 7.8.
96B   Electricity industry ombudsman scheme
(1)  The Minister may approve an electricity industry ombudsman scheme for the purposes of this Act, being a scheme that provides for the appointment of an electricity industry ombudsman to deal with:
(a)  disputes and complaints under customer connection contracts and customer supply contracts entered into with small retail customers, and
(b)  disputes between small retail customers and electricity marketers (within the meaning of Part 5B) and complaints by small retail customers about electricity marketers, and
(c)  any other disputes and complaints of such classes (whether or not under contracts referred to in paragraph (a)) as are prescribed by the regulations.
(2)  Before approving such a scheme, the Minister must be satisfied that the scheme meets the following objectives:
(a)  that all licence holders who are required to be members of the scheme are members of the scheme, have agreed to be bound by decisions of the electricity industry ombudsman under the scheme and, as members, are so bound,
(b)  that the scheme has satisfactory arrangements in place to deal with all disputes and complaints referred to in subsection (1),
(c)  that the electricity industry ombudsman will be able to operate independently of all licence holders in exercising functions under the scheme,
(d)  that the scheme will be accessible to small retail customers and other customers prescribed by the regulations,
(e)  that membership of the scheme will be accessible to all potential members and will provide appropriate representation for all members in relation to the scheme’s governing body,
(f)  that, without limiting any other application of the scheme, the scheme will apply to all disputes and complaints arising under customer connection contracts and customer supply contracts relating to small retail customers,
(g)  that the scheme will operate expeditiously and without cost to small retail customers and to other persons of such classes as are prescribed by the regulations,
(h)  that the scheme will allow customers to choose whether or not they wish to be bound by determinations under the scheme,
(i)  that the scheme will satisfy best practice benchmarks for schemes of a similar kind, both in terms of its constitution and procedure and in terms of its day to day operations,
(j)  that the scheme will provide for a monetary limit on claims covered by the scheme of an amount or amounts approved by the Minister,
(k)  that the scheme will maintain the capacity of the electricity industry ombudsman, where appropriate, to refer disputes or complaints to other forums,
(l)  that the scheme will require the electricity industry ombudsman to inform the Minister of substantial breaches of licence conditions, the Marketing Code of Conduct (within the meaning of Part 5B) or of the Act of which the ombudsman becomes aware,
(m)  such other objectives as are prescribed by the regulations.
(3)  A scheme may treat a failure to make a decision within a specified period as a decision of a particular kind.
(4)  The Minister may at any time revoke an approval under this section.
(5)  If a dispute or complaint involving an electricity marketer (within the meaning of Part 5B) or person other than the holder of the licence is prescribed as a dispute or complaint to which an approved scheme may apply, the regulations may make it an offence for the electricity marketer or person to fail to comply with a decision of the electricity industry ombudsman under the scheme.
(6)  Notice of any approval given by the Minister under this section, and of the revocation of any such approval, is to be published in the Gazette.
(7)  Subject to this section, the same scheme may be approved for the purposes of both this Act and any other Act or law.
s 96B: Ins 2000 No 109, Sch 1 [56]. Am 2001 No 18, Sch 2 [5]–[7].
96C   Licence conditions relating to approved electricity industry ombudsman schemes
It is a condition of a distribution network service provider’s licence and a retail supplier’s licence under which a retail supplier supplies electricity to small retail customers that:
(a)  the licence holder must be a member of an approved electricity industry ombudsman scheme, and
(b)  the licence holder is bound by, and must comply with, any decision of the electricity industry ombudsman under the scheme relating to a dispute or complaint involving the licence holder and a small retail customer.
s 96C: Ins 2000 No 109, Sch 1 [56].
96D   Other kinds of review
Nothing in this Act prevents provision being made in negotiated customer connection contracts and negotiated customer supply contracts for the resolution of disputes with persons not covered by either or both of sections 96 and 96A.
s 96D: Ins 2000 No 109, Sch 1 [56].
97   Resolution of disputes between public authorities
(1)  Any dispute arising under this Act between 2 or more public authorities may be resolved by agreement between the Ministers responsible for those authorities or, if agreement cannot be reached, by the Premier.
(2)  A public authority must comply with any direction arising out of the resolution of the dispute under this section.
(3)  This section does not apply while any other remedy is available under this Act for the resolution of the dispute.
Part 8A Reduction of greenhouse gas emissions
pt 8A: Ins 2002 No 122, Sch 1 [2].
Division 1 Preliminary
pt 8A, div 1: Ins 2002 No 122, Sch 1 [2].
97A   Objects of Part
(1)  The objects of this Part are to reduce greenhouse gas emissions associated with the production and use of electricity and to encourage participation in activities to offset the production of greenhouse gas emissions.
(2)  For those objects, this Part:
(a)  establishes State greenhouse gas benchmarks and individual greenhouse gas benchmarks for the reduction of greenhouse gas emissions that are to be met by retail suppliers, market customers and certain other persons who supply or consume electricity, and
(b)  provides for greenhouse gas benchmarks to be complied with by acquiring certificates relating to the carrying out of activities that promote the reduction of greenhouse gas emissions, and
(c)  provides an economic incentive to undertake activities resulting in the reduction of greenhouse gas emissions by imposing a penalty on greenhouse gas emissions above the specified benchmark.
s 97A: Ins 2002 No 122, Sch 1 [2].
97AB   Definitions
In this Part:
abatement certificate means an abatement certificate created under this Part, being a transferable abatement certificate or a non-transferable abatement certificate.
accredited abatement certificate provider means a person accredited as an abatement certificate provider under this Part and whose accreditation is in force.
benchmark participant means a person referred to in section 97BB (1) who is subject to a greenhouse gas benchmark.
carbon dioxide equivalent of greenhouse gas emissions means the mass of carbon dioxide measured in tonnes that has the same global warming potential as the gas emissions.
elective participant means a benchmark participant referred to in section 97BB (1) (d) or (e).
electricity sector benchmark means the electricity sector benchmark referred to in section 97BC (a).
greenhouse gas means carbon dioxide, methane, nitrous oxide, a perfluorocarbon gas or any other gas prescribed by the regulations for the purposes of this definition.
greenhouse gas benchmark for a benchmark participant means the benchmark for a year, in tonnes of carbon dioxide equivalent of greenhouse gas emissions, determined for the participant under this Part.
greenhouse gas benchmark rule means a rule approved under section 97K.
greenhouse penalty means the penalty payable under this Part by a benchmark participant who fails to comply with the participant’s greenhouse gas benchmark for reduction of greenhouse gas emissions.
greenhouse shortfall means the amount, in tonnes of carbon dioxide equivalent, by which a benchmark participant fails to comply with the participant’s greenhouse gas benchmark for a year, as determined under this Part.
large customer means:
(a)  a customer (other than a retail supplier) that on its own account, or together with one or more other such customers (who are related entities), uses:
(i)  100 gigawatt hours or more of electricity at a single site in this State in any year, or
(ii)  100 gigawatt hours or more of electricity at more than one site in this State in any year, at least one of which uses 50 gigawatt hours or more of electricity in that year, or
(b)  a related entity of a customer referred to in paragraph (a), whether or not the entity is a customer.
market customer means a customer that has classified any of its electricity loads as a market load and that is registered with NEMMCO as a market customer under the National Electricity Code.
NEMMCO means the National Electricity Market Management Company Limited ACN 072 010 327.
NSW pool coefficient means the average greenhouse gas emissions intensity of electricity sent out to customers in the State, expressed in tonnes of carbon dioxide equivalent per megawatt hour, as determined by the Tribunal under this Part.
register means a register required to be kept by the Scheme Administrator under this Part.
register of abatement certificates means the register of abatement certificates required to be kept by the Scheme Administrator under this Part.
register of accredited abatement certificate providers means the register of accredited abatement certificate providers required to be kept by the Scheme Administrator under this Part.
related body corporate of a person has the same meaning as it has in the Corporations Act 2001 of the Commonwealth.
related entity of a customer means a person (whether or not a customer) who is:
(a)  a related body corporate of the customer, or
(b)  a beneficiary of a trust of which the customer is or has at any time been a trustee, or
(c)  a trustee of a trust under which a person is a beneficiary, if the person is a related entity of the customer because of any other application or applications of this definition, or
(d)  engaged in a joint venture with the customer or a related entity of a customer.
renewable energy certificate means a certificate created under the Renewable Energy (Electricity) Act 2000 of the Commonwealth.
Scheme Administrator means the person or body on whom the functions of Scheme Administrator are conferred by or under this Part.
State greenhouse gas benchmark for a year means a State greenhouse gas benchmark specified for that year in section 97B (1).
State population for a year means the population of the State for the year, as determined by the Tribunal under this Part.
State significant development has the same meaning as it has in the Environmental Planning and Assessment Act 1979.
s 97AB: Ins 2002 No 122, Sch 1 [2]. Am 2005 No 17, Sch 1 [10] [11].
Division 2 Greenhouse gas benchmarks
pt 8A, div 2: Ins 2002 No 122, Sch 1 [2].
97B   State greenhouse gas benchmarks
(1)  The State greenhouse gas benchmarks are as follows:
(a)  for the year commencing 1 January 2003, 8.65 tonnes of carbon dioxide equivalent of greenhouse gas emissions per head of State population,
(b)  for the year commencing 1 January 2004, 8.31 tonnes of carbon dioxide equivalent of greenhouse gas emissions per head of State population,
(c)  for the year commencing 1 January 2005, 7.96 tonnes of carbon dioxide equivalent of greenhouse gas emissions per head of State population,
(d)  for the year commencing 1 January 2006, 7.62 tonnes of carbon dioxide equivalent of greenhouse gas emissions per head of State population,
(e)  for each of the years commencing 1 January 2007 and ending on 31 December 2012, 7.27 tonnes of carbon dioxide equivalent of greenhouse gas emissions per head of State population.
(2)  The State greenhouse gas benchmarks are to be the basis for the calculation of the greenhouse gas benchmark for each benchmark participant.
s 97B: Ins 2002 No 122, Sch 1 [2].
97BA   Greenhouse gas benchmarks to apply to benchmark participants
(1)  A greenhouse gas benchmark for the reduction of greenhouse gas emissions applies, in accordance with this Part, the regulations and the greenhouse gas benchmark rules, to each benchmark participant.
(2)  The greenhouse gas benchmark for a benchmark participant is to be calculated in accordance with this Part, the regulations and the greenhouse gas benchmark rules.
Note—
Failure to comply with a greenhouse gas benchmark will result in a greenhouse penalty being payable (see Division 3).
s 97BA: Ins 2002 No 122, Sch 1 [2].
97BB   Benchmark participants
(1)  The following persons are benchmark participants for the purposes of this Part:
(a)  a retail supplier,
(b)  an electricity generator prescribed by the regulations or any other person prescribed by the regulations, being an electricity generator or other person that supplies electricity directly to a customer under an electricity supply arrangement and that is, in respect of that supply, exempted from the operation of section 98 or to which section 98 does not apply,
(c)  a market customer (other than a retail supplier), but only in respect of an electricity load it has classified as a market load and that is electricity supplied for use in this State,
(d)  a large customer who has made an election, that is in force, to be subject to a greenhouse gas benchmark,
(e)  a person who is engaged in carrying out State significant development and who has made an election, that is in force, to be subject to a greenhouse gas benchmark.
(2)  Regulations may be made for or with respect to the following matters:
(a)  the making of elections to be subject to greenhouse gas benchmarks,
(b)  the circumstances in which an election to be subject to a greenhouse gas benchmark takes effect or ceases to be in force,
(c)  the greenhouse penalty payable by a customer or person whose election to be subject to a greenhouse gas benchmark ceases to be in force,
(d)  the circumstances when a person is taken to be a large customer or a large customer who uses electricity at more than one site,
(e)  the circumstances when a related entity of a customer is entitled to make an election to be subject to a greenhouse gas benchmark as a large customer,
(f)  the circumstances when a person is taken to be engaged in a joint venture with a customer or a related entity of a customer,
(g)  the electricity purchases to be taken into account for the purpose of applying section 97BD (2) (a) to a benchmark participant that is a large customer and is not the purchaser of the whole or part of the electricity that qualifies it (either in its own right or as a related entity of a customer) as a large customer.
s 97BB: Ins 2002 No 122, Sch 1 [2]. Am 2005 No 17, Sch 1 [12].
97BC   Principles for determining greenhouse gas benchmarks for benchmark participants
The greenhouse gas benchmark for a benchmark participant for a year is to be determined as follows:
(a)  by multiplying the State population for the year by the State greenhouse gas benchmark per head of population for the year to determine the electricity sector benchmark,
(b)  by determining the proportion of the total electricity demand in the State (as determined by the Tribunal) applicable to the participant for the year,
(c)  by applying that proportion to the electricity sector benchmark for the year to calculate the number of tonnes of carbon dioxide equivalent of greenhouse gas emissions comprising the benchmark for that participant.
Note—
The methodology for determining the matters set out in this section is set out in the greenhouse gas benchmark rules.
s 97BC: Ins 2002 No 122, Sch 1 [2].
97BD   Principles for determining compliance with greenhouse gas benchmarks
(1) General principle The compliance of a benchmark participant with the participant’s greenhouse gas benchmark in any year is determined by subtracting the participant’s greenhouse gas benchmark from the number of tonnes of carbon dioxide equivalent of greenhouse gas emissions in that year for which the participant is responsible.
(2) Number of tonnes of emissions for which participant responsible The number of tonnes of carbon dioxide equivalent of greenhouse gas emissions in that year for which a benchmark participant is responsible is determined:
(a)  by multiplying the total number of megawatt hours of electricity supplied or purchased by the participant in that year by the NSW pool coefficient for greenhouse gas emissions arising out of that electricity for that year, and
(b)  by subtracting from that number the number of tonnes of carbon dioxide equivalent of greenhouse gas emissions abated by the participant in that year.
Note—
The methodology provided by the greenhouse gas benchmark rules for determining electricity supplied or purchased by a benchmark participant may take into account electricity lost in transmission or distribution (see section 97K (1) (c)).
(3) Number of tonnes of emissions abated by participant The number of tonnes of carbon dioxide equivalent of greenhouse gas emissions abated by a benchmark participant in a year is the total number of tonnes attributable to any abatement certificates surrendered by the participant for that year and any renewable energy certificates of the participant counted for that year for the purposes of compliance with the participant’s greenhouse gas benchmark.
(4)  If the result obtained under subsection (1) is more than zero (a greenhouse shortfall), the benchmark participant has failed to comply with the participant’s greenhouse gas benchmark.
(5)  If the result obtained under subsection (1) is zero or less than zero, the benchmark participant has complied with the participant’s greenhouse gas benchmark.
(6)  In determining the total megawatt hours of electricity supplied by a retail supplier or an electricity generator in each year for the purposes of subsection (2), electricity supplied by the supplier or generator to another benchmark participant is not to be taken into account.
Note—
The methodology for applying the principles in this section is set out in the greenhouse gas benchmark rules.
s 97BD: Ins 2002 No 122, Sch 1 [2]. Am 2005 No 17, Sch 1 [13].
97BE   Greenhouse shortfalls may be carried forward
(1)  Despite any other provision of this Part, an amount of tonnes of carbon dioxide equivalent of greenhouse gas emissions of greenhouse shortfall in any year (other than the year commencing 1 January 2007) may, subject to the greenhouse gas benchmark rules, be carried forward to the next year.
(2)  If an amount of greenhouse shortfall is carried forward, the amount of that shortfall is, to the extent to which it is not abated by the benchmark participant, subject to the greenhouse penalty at the end of the next year and greenhouse penalty is not payable for the shortfall amount at the end of the year from which it was carried forward.
(3)  Any such penalty is payable at the same time as any greenhouse penalty for the next year is payable (or would be payable, if owed).
(4)  A greenhouse shortfall that is carried forward may be abated at the end of the next year by surrendering abatement certificates or counting renewable energy certificates.
(5)  For that purpose, the greenhouse shortfall after abatement is calculated by subtracting from the amount of the shortfall the total number of tonnes of carbon dioxide equivalent of greenhouse gas emissions attributable to any certificates surrendered or counted for the purpose of abating the greenhouse shortfall.
(6)  The amount of greenhouse shortfall carried forward in respect of a year may not exceed 10% of the benchmark participant’s greenhouse gas benchmark for that year.
(7)  An amount of greenhouse shortfall may be carried forward whether or not a shortfall was carried forward in the previous year.
ss 97BE–97BG: Ins 2002 No 122, Sch 1 [2].
97BF   Factors to be determined and published before commencement of each year
(1)  The Tribunal must, not later than 30 November in each year, determine and publish by notice in the Gazette the following matters for the purpose of determining greenhouse gas benchmarks for benchmark participants for the next year:
(a)  the NSW pool coefficient for greenhouse gas emissions,
(b)  the total State electricity demand,
(c)  the total State population,
(d)  the electricity sector benchmark.
(2)  A determination under this section is to be made in accordance with any requirements of the greenhouse gas benchmark rules.
(3)  The matters determined under subsection (1) are to apply to the calculation of greenhouse gas benchmarks and the assessment of compliance with those benchmarks for the next year.
ss 97BE–97BG: Ins 2002 No 122, Sch 1 [2].
97BG   Evidentiary provisions relating to benchmarks
A certificate of the Tribunal certifying that, on a date or during a period specified in the certificate:
(a)  a person was or was not a benchmark participant, or
(b)  the NSW pool coefficient, State electricity demand or State population for a year or electricity sector benchmark was the value or amount specified in the certificate, or
(c)  the greenhouse gas benchmark for a benchmark participant was the amount specified in the certificate, or
(d)  the greenhouse shortfall for a benchmark participant for a year, or an amount of greenhouse shortfall carried forward by a benchmark participant for a year, was the amount specified in the certificate, or
(e)  the greenhouse penalty payable by a benchmark participant was the amount specified in the certificate,
is admissible in evidence in proceedings before any court or tribunal and is prima facie evidence of the matters stated in the certificate.
ss 97BE–97BG: Ins 2002 No 122, Sch 1 [2].
Division 3 Enforcement of greenhouse gas benchmarks
pt 8A, div 3: Ins 2002 No 122, Sch 1 [2].
97C   Licence conditions applying to retail suppliers
(1)  It is a condition of each retail supplier’s licence that the retail supplier comply with its greenhouse gas benchmark as determined under this Part.
(2)  Nothing in this section limits or affects any power of the Minister to impose conditions on the licence of a retail supplier under this Act, including conditions (not inconsistent with this Part) relating to greenhouse gas emissions, the provision of information to the Tribunal or Scheme Administrator about matters related to this Part and related matters.
(3)  A monetary penalty may not be imposed on a retail supplier under clause 8 or 8A of Schedule 2, or any other action taken against the licence of a retail supplier under Schedule 2, in respect of a greenhouse shortfall for which a greenhouse penalty is payable under this Part.
Note—
Under clauses 8 and 8A of Schedule 2, the Minister and the Tribunal may impose monetary penalties for breaches of the requirements of this Act, the regulations and the greenhouse gas benchmark rules, as well as breaches of licence conditions. Other penalties may also be imposed under Schedule 2.
ss 97C–97CB: Ins 2002 No 122, Sch 1 [2].
97CA   Greenhouse penalties
(1)  A benchmark participant who fails to comply with the participant’s greenhouse gas benchmark for reduction of greenhouse gas emissions for a year is liable to pay the greenhouse penalty in respect of the excess emissions.
(2)  The amount of the greenhouse penalty is $10.50 per tonne of carbon dioxide equivalent of greenhouse shortfall determined under this Part for the year concerned, as adjusted in accordance with any regulations made under subsection (3).
(3)  The regulations may provide for the adjustment of the amount of greenhouse penalty in accordance with movements in the consumer price index.
(4)  A greenhouse penalty payable for a year by a benchmark participant is payable on 1 March in the following year or on any later date determined by the Tribunal for a benchmark participant.
(5)  A greenhouse penalty imposed under this Part may be recovered in any court of competent jurisdiction as a debt due to the Crown.
(6)  It is the wish of the Parliament that any greenhouse penalties payable to the Crown under this Part be used for the promotion of greenhouse gas reduction activities and programs nominated from time to time by the Minister.
(7)  In this section:
consumer price index means the Consumer Price Index (All Groups Index) for Sydney issued by the Australian Statistician.
Note—
Section 97BE sets out when a greenhouse penalty is payable for a greenhouse shortfall that is carried forward.
ss 97C–97CB: Ins 2002 No 122, Sch 1 [2].
97CB   Annual greenhouse gas benchmark statements
(1)  A benchmark participant must lodge with the Tribunal a greenhouse gas benchmark statement not later than 1 March in each year or any later day permitted by the Tribunal.
(2)  A greenhouse gas benchmark statement is to contain the following:
(a)  an assessment of the benchmark participant’s greenhouse gas benchmark for the previous year,
(b)  an assessment of the participant’s liability (if any) for the greenhouse penalty for the previous year,
(c)  an assessment of the participant’s liability (if any) for a greenhouse penalty payable in respect of a greenhouse shortfall carried forward from the year before the previous year,
(d)  any other matters required by the Tribunal.
(3)  A greenhouse gas benchmark statement must be in the form approved by the Tribunal.
(4)  A greenhouse gas benchmark statement must be accompanied by details of all abatement certificates sought to be surrendered for that year and all renewable energy certificates sought to be counted for that year or sought to be surrendered or counted to abate a greenhouse shortfall carried forward from the previous year.
(5)  A benchmark participant that fails to lodge a greenhouse gas benchmark statement in accordance with this section is guilty of an offence.
Maximum penalty:
(a)  in the case of a corporation—250 penalty units,
(b)  in the case of an individual—100 penalty units.
ss 97C–97CB: Ins 2002 No 122, Sch 1 [2].
97CC   Restrictions on surrender of abatement certificates for benchmark purposes
(1)  An abatement certificate cannot be surrendered by a benchmark participant for the purposes of compliance with the participant’s greenhouse gas benchmark unless:
(a)  the certificate is registered under this Part and the registration is in force, and
(b)  the certificate was created in relation to an activity that took place before the end of the year to which the greenhouse gas benchmark statement relates, and
(c)  the participant is recorded in the register of abatement certificates as the owner of the certificate.
(2)  The Tribunal may, by notice in writing to a benchmark participant, refuse to accept the surrender of an abatement certificate by the benchmark participant:
(a)  if, in the opinion of the Tribunal, the certificate cannot be surrendered under this section, or
(b)  if, in the opinion of the Tribunal, the certificate is surplus to the number required to be surrendered for compliance with the participant’s greenhouse gas benchmark or to abate a greenhouse shortfall.
(3)  If the Tribunal accepts the surrender of an abatement certificate, and the Tribunal is not the Scheme Administrator, the Tribunal must give the Scheme Administrator notice in writing of the decision, including details of the abatement certificate surrendered.
s 97CC: Ins 2002 No 122, Sch 1 [2]. Am 2005 No 17, Sch 1 [14].
97CD   Assessment of compliance with greenhouse gas benchmarks
(1)  Regulations may be made for or with respect to the following matters:
(a)  the circumstances in which a renewable energy certificate may or may not be counted by a benchmark participant towards a greenhouse gas benchmark or to abate a greenhouse shortfall that has been carried forward,
(b)  the number of renewable energy certificates that may be counted for a year (including for a greenhouse shortfall that was carried forward),
(c)  the assessment of the greenhouse shortfall (if any) and of liability for greenhouse penalty of a benchmark participant, including self-assessment and assessment by the Tribunal,
(d)  the date on which an assessment is taken to have been made and the date on which an assessment takes effect,
(e)  default assessments where a greenhouse gas benchmark statement is not lodged by a benchmark participant,
(f)  amendment of assessments, at the request of a benchmark participant or on the Tribunal’s own motion,
(g)  revocation of the cancellation of abatement certificates in connection with amended assessments and the revival of the certificates,
(h)  payments resulting from amended assessments,
(i)  notice of assessments.
(2)  The regulations are to include provisions that limit the number of renewable energy certificates that may be counted towards a greenhouse gas benchmark by reference to relevant acquisitions that are attributable to sales of electricity in New South Wales.
(3)  In this section:
relevant acquisition has the meaning given by the Renewable Energy (Electricity) Act 2000 of the Commonwealth.
ss 97CD–97CF: Ins 2002 No 122, Sch 1 [2].
97CE   Validity of assessment
The validity of an assessment of a liability to pay a greenhouse penalty is not affected because any provision of this Act, the regulations or the greenhouse gas benchmark rules has not been complied with.
ss 97CD–97CF: Ins 2002 No 122, Sch 1 [2].
97CF   Waiver or suspension of obligations in emergencies
(1)  The Minister may, by order published in the Gazette, waive, or suspend for a specified period, the obligation of a benchmark participant to comply with the participant’s greenhouse gas benchmark, but only if it appears to the Minister that a benchmark participant is or will be unable to comply with the benchmark because of:
(a)  a systems or other failure of the register of abatement certificates, or
(b)  any other emergency affecting the integrity of the register or the abatement certificate scheme established under this Part.
(2)  An order may:
(a)  be made subject to conditions, and
(b)  apply to all benchmark participants or to a specified class of participants, and
(c)  specify the effect of the waiver or suspension on any other rights conferred or obligations imposed under this Part.
(3)  An order takes effect on the day on which it is published in the Gazette or, if a later day is specified in the order, on that day.
(4)  An order may be amended or revoked by a later order.
ss 97CD–97CF: Ins 2002 No 122, Sch 1 [2].
Division 4 Accreditation of abatement certificate providers
pt 8A, div 4 (ss 97D–97DE): Ins 2002 No 122, Sch 1 [2].
97D   Accredited persons may create abatement certificates
(1)  A person may create an abatement certificate under this Part only if the person is an accredited abatement certificate provider.
(2)  A person who is an accredited abatement certificate provider may create abatement certificates only in relation to those activities in relation to which the person has been accredited as an abatement certificate provider.
pt 8A, div 4 (ss 97D–97DE): Ins 2002 No 122, Sch 1 [2].
97DA   Eligibility for accreditation
(1)  The regulations and greenhouse gas benchmark rules may make provision for or with respect to the eligibility of a person for accreditation as an abatement certificate provider.
(2)  The regulations and greenhouse gas benchmark rules may make provision for accreditation as an abatement certificate provider in respect of any activities or class of activities that promote the reduction of greenhouse gas emissions.
(3)  Without limiting subsection (2), the regulations and the greenhouse gas benchmark rules may make provision for or with respect to eligibility for accreditation in respect of the following activities:
(a)  the generation of electricity in a manner that results in reduced emissions of greenhouse gases,
(b)  activities that result in reduced consumption of electricity,
(c)  activities of elective participants, associated with production processes that use electricity in this State, that result in reduced emissions of greenhouse gases.
(4)  The regulations and greenhouse gas benchmark rules may make provision for or with respect to eligibility for accreditation in respect of carbon sequestration by the planting of forests or other means, but only if:
(a)  the activity occurs in this State, or
(b)  the activity occurs in another jurisdiction in which a mandatory scheme intended to promote the reduction of greenhouse gas emissions, approved by the Minister for the purposes of this subsection, is in operation.
(5)  The Minister may approve a scheme for the purposes of subsection (4) only if the Minister is satisfied that:
(a)  the reduction of greenhouse gas emissions proposed to be achieved by the scheme is not less than the reduction proposed to be achieved by the scheme established under this Part, and
(b)  the monitoring and enforcement of compliance with the scheme to be approved is no less stringent than that applicable to the scheme established under this Part.
(6)  The regulations and greenhouse gas benchmark rules are to include provision for the recognition of the arrangements in place before the commencement of this Part relating to category A generation, as referred to in the Emissions Workbook, under which energy in certain circumstances is deemed to be assigned to a retail supplier, so as to ensure that the retail supplier is entitled (subject to accreditation as an abatement certificate provider under this Part) to create abatement certificates in respect of any abatement of greenhouse gas emissions associated with that energy.
(7)  In this section:
Emissions Workbook means the document entitled Greenhouse Gas Emissions from Electricity Supplied in NSW: Emissions Workbook published by the Ministry of Energy and Utilities in October 2000.
pt 8A, div 4 (ss 97D–97DE): Ins 2002 No 122, Sch 1 [2].
97DB   Application for accreditation
(1)  Any person who is eligible for accreditation as an abatement certificate provider in relation to any activity may apply to the Scheme Administrator for accreditation.
(2)  The Scheme Administrator is to determine an application for accreditation as an abatement certificate provider:
(a)  by accrediting the applicant as an abatement certificate provider in relation to specified activities, or
(b)  by refusing the application.
(3)  The Scheme Administrator may refuse an application for accreditation as an abatement certificate provider on such grounds as may be specified in the regulations.
(4)  The regulations may make provision for or with respect to applications for accreditation, including by requiring an application fee to be paid to the Scheme Administrator.
(5)  The Scheme Administrator may charge a fee (in addition to any application fee) in respect of the investigation and determination of an application for accreditation. The fee is to be determined by the Scheme Administrator on a cost recovery basis.
pt 8A, div 4 (ss 97D–97DE): Ins 2002 No 122, Sch 1 [2].
97DC   Duration of accreditation
(1)  Accreditation of a person as an abatement certificate provider in relation to an activity remains in force until suspended or cancelled by the Scheme Administrator.
(2)  The Scheme Administrator may suspend or cancel the accreditation of a person as an abatement certificate provider on such grounds as may be specified in the regulations.
(3)  The cancellation or suspension of the accreditation of a person as an abatement certificate provider is subject to such conditions as the Scheme Administrator imposes. Any such conditions may include (but are not limited to) any condition to which the accreditation was subject immediately before it was suspended or cancelled.
(4)  The regulations may provide for the variation or revocation of any conditions that are imposed by the Scheme Administrator on the suspension or cancellation of accreditation as an abatement certificate provider.
pt 8A, div 4 (ss 97D–97DE): Ins 2002 No 122, Sch 1 [2].
97DD   Conditions of accreditation
(1)  Accreditation as an abatement certificate provider is subject to the following conditions:
(a)  such conditions as may be imposed from time to time by the regulations,
(b)  such conditions as may be imposed by the Scheme Administrator at the time of accreditation, or during the period in which the accreditation remains in force, in accordance with the regulations.
(2)  The regulations may provide for the variation or revocation of any conditions of accreditation that are imposed by the Scheme Administrator.
(3)  The following are examples of the types of conditions that may be imposed on the accreditation of a person as an abatement certificate provider:
(a)  a condition that requires the person not to create an abatement certificate in respect of the greenhouse gas emissions abated by an activity if an abatement certificate or a renewable energy certificate has already been created in respect of that abatement or if that abatement has already been used for the purposes of compliance with another mandatory scheme (whether of this State or another jurisdiction) intended to promote the reduction of greenhouse gas emissions,
(b)  a condition that requires the person not to create a renewable energy certificate in respect of the greenhouse gas emissions abated by an activity, or to use that abatement for the purposes of compliance with another mandatory scheme (whether of this State or another jurisdiction) intended to promote the reduction of greenhouse gas emissions, if an abatement certificate has already been created in respect of that abatement,
(c)  a condition that requires the person to provide financial assurances to secure or guarantee the person’s compliance with this Part,
(d)  a condition that requires the person to take out and maintain a policy of insurance in connection with the person’s functions as an accredited abatement certificate provider,
(e)  a condition that requires the person to maintain the greenhouse gas abatement secured by carbon sequestration activities for 100 years,
(f)  a condition that requires the person to enter into or arrange for a restriction or public positive covenant under section 88E of the Conveyancing Act 1919, and to arrange for its registration, for the purpose of ensuring that specified requirements of a condition run with the land concerned,
(g)  a condition that requires the person to provide information, assistance and access to the Scheme Administrator (or persons appointed by the Scheme Administrator) for the purposes of monitoring and auditing compliance by the person with this Part.
(4)  Subsection (3) does not prevent other conditions being imposed on the accreditation of a person as an abatement certificate provider.
(5)  A person must not contravene any of the conditions of the person’s accreditation as an abatement certificate provider.
Maximum penalty: 2,000 penalty units.
(6)  Subsection (5) extends to any conditions to which the suspension or cancellation of the accreditation of a person is subject under section 97DC.
pt 8A, div 4 (ss 97D–97DE): Ins 2002 No 122, Sch 1 [2].
97DE   Accreditation not transferable
Accreditation as an abatement certificate provider is not transferable.
pt 8A, div 4 (ss 97D–97DE): Ins 2002 No 122, Sch 1 [2].
Division 5 Creation of abatement certificates
pt 8A, div 5: Ins 2002 No 122, Sch 1 [2].
97E   Accredited abatement certificate provider may create certificates
(1)  A person who is an accredited abatement certificate provider may create abatement certificates in accordance with this Part, the regulations, the greenhouse gas benchmark rules and the conditions (if any) of the person’s accreditation as an abatement certificate provider.
(2)  The regulations may make provision for or with respect to the form in which abatement certificates are to be created.
ss 97E–97ED: Ins 2002 No 122, Sch 1 [2].
97EA   Value of certificate
Each abatement certificate represents 1 tonne of carbon dioxide equivalent of greenhouse gas emissions abated by the activity in respect of which it was created.
ss 97E–97ED: Ins 2002 No 122, Sch 1 [2].
97EB   Entitlement to create abatement certificates
(1)  The regulations and greenhouse gas benchmark rules may make provision for or with respect to the entitlement of accredited abatement certificate providers to create abatement certificates in respect of the activities, or classes of activities, for which they are accredited as abatement certificate providers.
(2)  Without limiting subsection (1), the regulations and greenhouse gas benchmark rules may provide for the following:
(a)  the number of abatement certificates that may be created in respect of any activity, or class of activities, on the basis of the carbon dioxide equivalent of greenhouse gas emissions abated or to be abated by the activity,
(b)  the establishment of a point or level from which electricity generating activities give rise to an entitlement to create abatement certificates under this Part.
(3)  A regulation or rule made for the purposes of subsection (2) (b) is to establish the point or level from which electricity generating activities relating to a generator having a nameplate rating exceeding 30 megawatts that was commissioned before 1 January 2002 give rise to an entitlement to create abatement certificates in one or more of the following ways:
(a)  the point or level may be the point or level that is equivalent to the usual level of output of the generator, as determined in accordance with the regulation or rule,
(b)  the point or level may be the point or level which reflects the usual greenhouse gas emissions intensity, expressed in tonnes of carbon dioxide equivalent per megawatt hour, of the output of the generator, as determined in accordance with the regulation or rule.
ss 97E–97ED: Ins 2002 No 122, Sch 1 [2].
97EC   When certificates may be created
(1)  An abatement certificate may be created by an accredited abatement certificate provider immediately after the activity in respect of which it was created takes place.
(2)  An abatement certificate may be created no later than 6 months after the end of the year in which the activity in respect of which it was created takes place.
(3)  The regulations or greenhouse gas benchmark rules may specify when an activity is considered to have taken place for the purposes of this Part.
(4)  Without limiting subsection (3), the regulations or greenhouse gas benchmark rules may provide that an activity resulting in reduced consumption of electricity that gives rise to an entitlement to create an abatement certificate is taken to have occurred on the date on which the activity is first commenced. Accordingly, abatement certificates may be created in respect of the abatement of greenhouse gas emissions caused or to be caused by the activity immediately after the activity is first commenced.
Note—
Subsection (4) makes it clear that the regulations or greenhouse gas benchmark rules may allow abatement certificates to be created in respect of an activity that has ongoing abatement effects as soon as the activity is commenced. It will not be necessary to wait until the abatement actually occurs before creating an abatement certificate in respect of that abatement. Such provisions may apply, for example, if the regulations or rules allow for the creation of abatement certificates in respect of the installation of energy efficient lighting, which has ongoing abatement effects.
ss 97E–97ED: Ins 2002 No 122, Sch 1 [2].
97ED   Creation of certificate must be registered
(1)  An abatement certificate has no force or effect until the creation of the certificate is registered by the Scheme Administrator under this Part.
(2)  An application for registration of the creation of an abatement certificate may be made to the Scheme Administrator by an accredited abatement certificate provider.
(3)  The Scheme Administrator is to determine an application for registration of the creation of an abatement certificate by:
(a)  accepting the application and registering the creation of the certificate in the register of abatement certificates in accordance with this Part, or
(b)  refusing the application.
(4)  The Scheme Administrator registers the creation of a certificate by creating an entry for the certificate in the register of abatement certificates and recording the name of the person who created the certificate as the owner of the certificate.
(5)  The Scheme Administrator may refuse an application for registration of the creation of an abatement certificate on such grounds as may be specified in the regulations.
(6)  The regulations may make provision for or with respect to applications for registration of the creation of an abatement certificate, including by requiring an application fee to be paid to the Scheme Administrator.
ss 97E–97ED: Ins 2002 No 122, Sch 1 [2].
97EE   Duration of certificate
(1)  An abatement certificate, when registered by the Scheme Administrator, remains in force until it is cancelled by the Scheme Administrator.
(2)  An abatement certificate may be cancelled by the Scheme Administrator in the following circumstances:
(a)  if the person registered as the owner of the abatement certificate surrenders the certificate to the Tribunal, by indicating in the person’s greenhouse gas benchmark statement that the certificate is sought to be surrendered, and the Tribunal accepts the surrender of the certificate,
(b)  in the circumstances set out in section 97EF,
(c)  if the person registered as the owner of the abatement certificate, by notice in writing, surrenders the certificate to the Scheme Administrator, and the Scheme Administrator accepts the surrender of the certificate.
(3)  The Scheme Administrator cancels an abatement certificate by altering the entry relating to the abatement certificate in the register of abatement certificates to show that the certificate is cancelled.
s 97EE: Ins 2002 No 122, Sch 1 [2]. Am 2005 No 17, Sch 1 [15].
97EF   Scheme Administrator may require surrender of certificates
(1)  The Scheme Administrator may, by order in writing to a person, require the person to surrender to the Scheme Administrator, within a period specified in the order, a number of abatement certificates specified in the order.
(2)  An order may be made against a person under this section only if the person is found guilty of:
(a)  an offence against section 97DD (5), or
(b)  an offence against section 97J (1).
(3)  In the case of an order made against a person found guilty of an offence against section 97J (1), the Scheme Administrator is to require the surrender of a number of certificates that is equivalent to the number of abatement certificates that, in the opinion of the Scheme Administrator, were created by the person in contravention of section 97J and registered under this Part.
Note—
The purpose of the order is to remove from circulation a number of abatement certificates that is equivalent to the number of certificates improperly created by a person, so that the improper creation of those certificates does not result in the State greenhouse gas benchmarks being exceeded.
(4)  In any other case where an order is made under this section, the Scheme Administrator is to determine the number of certificates to be surrendered in accordance with the regulations.
(5)  Abatement certificates surrendered by the person for the purpose of compliance with an order under this section are to be cancelled by the Scheme Administrator.
(6)  A certificate surrendered under an order under this section is not to be counted toward compliance with a person’s greenhouse gas benchmark or greenhouse shortfall. Accordingly, sections 97BD and 97BE do not apply in respect of certificates surrendered for the purpose of compliance with an order under this section.
(7)  A person must not fail to comply with an order under this section.
Maximum penalty: 1,000 penalty units, and an additional 1 penalty unit for each certificate the person fails to surrender in accordance with the order.
(8)  If a person fails to comply with an order under this section, the Scheme Administrator may cancel any abatement certificates in respect of which the person is registered under this Part as the owner.
(9)  For avoidance of doubt, it is not an excuse for a failure to comply with an order under this section that the person who is the subject of the order does not, at the time the order is made, hold a sufficient number of abatement certificates to comply with the order.
Note—
If the person who is the subject of the order does not hold a sufficient number of certificates to comply with the order, the person may obtain the required number by purchasing them.
(10)  The regulations may make provision for or with respect to orders under this section.
s 97EF: Ins 2002 No 122, Sch 1 [2].
97EG   Records to be kept by accredited abatement certificate providers
The regulations may make provision for or with respect to the records to be kept by accredited abatement certificate providers and the information required to be provided to the Scheme Administrator in connection with the creation of abatement certificates.
s 97EG: Ins 2002 No 122, Sch 1 [2].
Division 6 Transfers and other dealings in abatement certificates
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97F   Types of abatement certificate
(1)  Two types of abatement certificate may be created:
(a)  transferable abatement certificates, and
(b)  non-transferable abatement certificates.
(2)  The regulations and greenhouse gas benchmark rules may make provision for or with respect to the entitlement of accredited abatement certificate providers to create transferable or non-transferable abatement certificates.
(3)  Subject to the regulations and greenhouse gas benchmark rules, an elective participant is entitled to create non-transferable abatement certificates only in respect of any activities of the elective participant, associated with production processes that use electricity in this State, that give rise to an entitlement to accreditation as an abatement certificate provider.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97FA   Transferability of certificates
(1)  A transferable abatement certificate may be transferred to any person.
(2)  A non-transferable abatement certificate is not transferable, except as provided by this Division.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97FB   Application for registration of transfer
(1)  The transfer of an abatement certificate does not have effect until the transfer is registered by the Scheme Administrator under this Part.
(2)  An application for registration of a transfer of an abatement certificate is to be made to the Scheme Administrator by the parties to the transfer.
(3)  The Scheme Administrator must:
(a)  accept the application by registering the transfer of the certificate in the register of abatement certificates, or
(b)  refuse the application.
(4)  The Scheme Administrator registers the transfer of an abatement certificate by altering the entry relating to that certificate in the register of abatement certificates so as to record the new owner of the certificate.
(5)  The Scheme Administrator may refuse an application for registration of a transfer of an abatement certificate on such grounds as may be specified in the regulations.
(6)  The Scheme Administrator must refuse an application for registration of a transfer of a non-transferable abatement certificate unless:
(a)  the Scheme Administrator is satisfied that the transfer is associated with the sale of the business, or part of the business, in connection with which the abatement certificate was created to the person to whom the certificate is to be transferred, or
(b)  the Scheme Administrator is authorised by the regulations to register the transfer.
(7)  The regulations may make provision for or with respect to applications for the registration of transfers of abatement certificates, including by requiring an application fee to be paid to the Scheme Administrator.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97FC   Other dealings in certificates
The regulations may make provision for or with respect to the registration of any mortgage, assignment, transmission or other dealing in an abatement certificate.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97FD   Holder of certificate may deal with certificate
(1)  The person registered as the owner of an abatement certificate may, subject to this Part, deal with the certificate as its absolute owner and give good discharges for any consideration for any such dealing.
(2)  Subsection (1):
(a)  is subject to any rights appearing in the register of abatement certificates to belong to another person, being rights that are registered in accordance with any regulations made under section 97FC, and
(b)  only protects a person who deals with the person registered as the owner of the abatement certificate as a purchaser in good faith for value and without notice of any fraud on the part of the registered owner.
(3)  Despite subsection (2) (b), a person who purchases an abatement certificate in good faith for value does not lose the protection provided by subsection (1) because the person has notice that a person has been found guilty of an offence against section 97J in respect of the abatement certificate.
Note—
Section 97J makes it an offence to improperly create an abatement certificate. Section 97EF allows the Scheme Administrator to require a person who has been convicted of an offence against section 97J to “make good” the improper creation of the abatement certificates by surrendering an equivalent number of abatement certificates to those improperly created to the Scheme Administrator. It is not necessary for those certificates to be the actual certificates improperly created (as those certificates may already have been sold).
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97FE   Scheme Administrator not concerned as to legal effect of transaction
The Scheme Administrator is not concerned with the effect in law of any transaction registered under this Part or the regulations and the registration of the transaction does not give to the transaction any effect that it would not have if this Division had not been enacted.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
Division 7 Registers
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97G   Establishment and keeping of registers
(1)  The Scheme Administrator is required to establish and keep the following registers for the purposes of this Part:
(a)  a register of accredited abatement certificate providers,
(b)  a register of abatement certificates.
(2)  A register may be kept wholly or partly by electronic means.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97GA   Register of accredited abatement certificate providers
(1)  The register of accredited abatement certificate providers is to contain the following information in relation to each accredited abatement certificate provider:
(a)  the name of the accredited abatement certificate provider,
(b)  the type of certificates the accredited abatement certificate provider is entitled to create under this Part,
(c)  any other information required to be included in the register by this Part or the regulations.
(2)  The register of accredited abatement certificate providers may also contain such information as the regulations may prescribe in relation to a person whose accreditation as an abatement certificate provider is suspended or cancelled.
(3)  Copies of the register of accredited abatement certificate providers are to be made available for public inspection (free of charge) at the principal office of the Scheme Administrator during ordinary business hours.
(4)  Only the following information in the register of accredited abatement certificate providers is to be made available for public inspection under subsection (3):
(a)  the information referred to in subsection (1) (a) and (b), and
(b)  any other information in the register that is required by the regulations to be made available for public inspection.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97GB   Register of abatement certificates
(1)  The register of abatement certificates is to contain the following information in relation to each abatement certificate that is created under this Part:
(a)  the name of the person who created the abatement certificate,
(b)  the name of the current registered owner, and any previous registered owners, of the abatement certificate,
(c)  whether the certificate is a transferable certificate or a non-transferable certificate,
(d)  any other information required to be included in the register by this Part or the regulations.
(2)  Copies of the register of abatement certificates are to be made available for public inspection (free of charge) at the principal office of the Scheme Administrator during ordinary business hours.
(3)  Only the following information in the register of abatement certificates is to be made available to the public under subsection (2):
(a)  the information referred to in subsection (1) (a), (b) and (c), and
(b)  any other information in the register that is required by the regulations to be made available for public inspection.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97GC   Evidentiary provisions
(1)  A register kept under this Division is evidence of any particulars registered in it.
(2)  If a register is wholly or partly kept by electronic means, a document issued by the Scheme Administrator producing in writing particulars included in the register, or the part kept by electronic means, is admissible in legal proceedings as evidence of those particulars.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97GD   Correction of register
The Scheme Administrator may correct any error in or omission from a register.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
Division 8 Functions of Tribunal and Scheme Administrator
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97H   Functions of Tribunal
(1)  The Tribunal has the following functions:
(a)  to determine, in accordance with the greenhouse gas benchmark rules, the NSW pool coefficient for greenhouse gas emissions, the State population, the estimated total electricity demand in each year for the State and the electricity sector benchmark,
(b)  to assess and determine, in accordance with this Act, the regulations and the greenhouse gas benchmark rules, the greenhouse gas benchmark for a benchmark participant and whether or not the benchmark has been complied with,
(c)  if appropriate, to assess and determine, in accordance with this Act, the regulations and the greenhouse gas benchmark rules, the greenhouse shortfall and any liability for greenhouse penalty payable by a benchmark participant,
(d)  to conduct audits, or require the conduct of audits, for the purposes of this Part,
(e)  to monitor, and report to the Minister on, the extent to which retail suppliers comply, or fail to comply, with conditions imposed under this Part on licences held by them,
(f)  such other functions as are conferred or imposed on it by or under this Act.
(2)  For the purpose of enabling the Tribunal to exercise its functions, the Minister must furnish the Tribunal with such information in the possession of the Minister as the Tribunal may request in relation to the compliance by retail suppliers and other benchmark participants with this Part.
(3)  The Tribunal may, with the approval of the Minister, delegate the exercise of its functions under this Part, other than this power of delegation, to any other person or body.
(4)  Section 10 of the Independent Pricing and Regulatory Tribunal Act 1992 does not apply to the Tribunal’s functions under this Part.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97HA   Scheme Administrator
(1)  The functions of the Scheme Administrator under this Part are to be exercised by a person or body appointed by the Minister to exercise those functions or, in the absence of such an appointment, the Tribunal.
(2)  In determining whether to appoint a person or body to exercise the functions of Scheme Administrator, the Minister must consider the following matters:
(a)  the efficient costs of any such appointment,
(b)  the efficiency of administrative arrangements relating to the abatement certificate scheme,
(c)  ability to meet greenhouse objectives,
(d)  proposed governance arrangements,
(e)  arrangements proposed to manage liabilities associated with carrying out the Scheme Administrator’s functions.
(3)  The Scheme Administrator has the following functions:
(a)  the functions conferred by this Act relating to the abatement certificate scheme established by this Part,
(b)  to monitor, and to report to the Minister on, the extent to which accredited abatement certificate providers comply with this Act, the regulations, the greenhouse gas benchmark rules and any conditions of accreditation,
(c)  to conduct audits, or require the conduct of audits, for the purposes of this Part,
(d)  such other functions as are conferred or imposed on it by or under this Act or any other Act or law.
(4)  If the Scheme Administrator is appointed by the Minister, the Scheme Administrator also has such other functions as are conferred or imposed on it by the Minister under the terms of its appointment as Scheme Administrator.
(5)  For the purpose of enabling the Scheme Administrator to exercise its functions, the Minister must furnish the Scheme Administrator with such information in the possession of the Minister as the Scheme Administrator may request in relation to the compliance by accredited abatement certificate providers with this Part.
(6)  The Scheme Administrator may, with the approval of the Minister, delegate the exercise of its functions under this Part, other than this power of delegation, to any other person or body.
(7)  The Scheme Administrator, and any person acting under the direction of the Scheme Administrator, is not liable in any civil proceedings for anything done or omitted to be done in good faith in the exercise or purported exercise of any function conferred or imposed by or under this Act.
(8)  The regulations may make provision for or with respect to the appointment of a Scheme Administrator by the Minister.
(9)  The Minister may appoint more than one person or body to exercise the functions of the Scheme Administrator and may appoint different persons or bodies to exercise particular functions of the Scheme Administrator. In such a case, a reference in this Act to the Scheme Administrator, in relation to any functions of the Scheme Administrator, is a reference to the person or body appointed to exercise those functions (or, in the absence of such an appointment, the Tribunal).
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97HB   Conduct of audits
(1)  The regulations may make provision for or with respect to the conduct of audits by the Tribunal, the Scheme Administrator or other persons for the purposes of this Part.
(2)  Without limiting subsection (1), the regulations may provide for the following matters:
(a)  the matters that may be the subject of an audit,
(b)  the persons who may conduct an audit,
(c)  the functions that may be exercised by persons who conduct an audit,
(d)  offences relating to obstructing or hindering persons, or refusing or failing to comply with requirements made by persons, who conduct audits.
(3)  Each benchmark participant or accredited abatement certificate provider is liable to pay to the Treasurer the cost (as certified by the Tribunal or Scheme Administrator) involved in and in connection with carrying out the Tribunal’s or Scheme Administrator’s audit functions in relation to the participant or provider.
(4)  Without limitation, a licence or accreditation may include terms and conditions relating to the determination of the cost of carrying out those functions.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97HC   Provision of information, documents and evidence
(1)  For the purposes of exercising the Tribunal’s functions under this Part (whether as the Tribunal or the Scheme Administrator), the Chairperson of the Tribunal may, by notice in writing served on an officer of a benchmark participant, an accredited abatement certificate provider or any other person, require the officer or person to do any one or more of the following:
(a)  to send to the Tribunal, on or before a day specified in the notice, a statement setting out the information specified in the notice,
(b)  to send to the Tribunal, on or before a day specified in the notice, the documents specified in the notice,
(c)  to attend a meeting of the Tribunal to give evidence.
(2)  For the purposes of exercising the Scheme Administrator’s functions under this Part, the Scheme Administrator (not being the Tribunal) may, by notice in writing served on an officer of a benchmark participant or an accredited abatement certificate provider, require the officer to do any one or more of the following:
(a)  to send to the Scheme Administrator, on or before a day specified in the notice, a statement setting out the information specified in the notice,
(b)  to send to the Scheme Administrator, on or before a day specified in the notice, the documents specified in the notice.
(3)  If documents are given to the Tribunal or Scheme Administrator under this section, the Tribunal or Scheme Administrator:
(a)  may take possession of, and make copies of or take extracts from, the documents, and
(b)  may keep possession of the documents for the period necessary for those purposes, and
(c)  during that period must permit them to be inspected at all reasonable times by persons who would be entitled to inspect them if they were not in the possession of the Tribunal or Scheme Administrator.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97HD   Cabinet documents and proceedings
(1)  This Part does not enable the Tribunal or Scheme Administrator:
(a)  to require any person to give any statement of information or answer any question that relates to confidential proceedings of Cabinet, or
(b)  to require any person to produce a Cabinet document, or
(c)  to inspect a Cabinet document.
(2)  For the purposes of this section, a certificate of the head of The Cabinet Office that any information or question relates to confidential proceedings of Cabinet or that a document is a Cabinet document is conclusive of the matter certified.
(3)  In this section:
Cabinet includes a committee of Cabinet or a subcommittee of such a committee.
Cabinet document means a document that is a restricted document by virtue of clause 1 of Part 1 of Schedule 1 to the Freedom of Information Act 1989.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97HE   Confidential information
(1)  If a person provides information to the Tribunal or Scheme Administrator in connection with the Tribunal’s or Scheme Administrator’s functions under this Part on the understanding that the information is confidential and will not be divulged, the Tribunal or Scheme Administrator is required to ensure that the information is not divulged by it to any person, except:
(a)  with the consent of the person who provided the information, or
(b)  in the case of information provided to the Tribunal (whether or not acting as Scheme Administrator), to the extent that the Tribunal is satisfied that the information is not confidential in nature, or
(c)  to a member or officer of the Tribunal or to an officer of the Scheme Administrator, as the case requires.
(2)  If the Tribunal or Scheme Administrator is satisfied that it is desirable to do so because of the confidential nature of any information provided to the Tribunal or Scheme Administrator in connection with its functions under this Part, it may give directions prohibiting or restricting the divulging of the information.
(3)  A person must not contravene a direction given under subsection (2).
Maximum penalty: 100 penalty units or imprisonment for 6 months, or both.
(4)  A reference in this section to information includes information given at a meeting of the Tribunal and information contained in any documents given to the Tribunal or Scheme Administrator.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97HF   Annual report by Tribunal
(1)  As soon as practicable after 1 March (but on or before 30 June) in each year, the Tribunal must prepare and forward to the Minister a report on the extent to which benchmark participants have complied, or failed to comply, with greenhouse gas benchmarks during the 12 months ending on 31 December in the previous year.
(2)  Without limiting subsection (1), the report is to contain the following:
(a)  the identity of each benchmark participant and the performance of the participant in relation to the participant’s greenhouse gas benchmark,
(b)  the total number of abatement certificates surrendered in each category of certificate.
(3)  The report must also set out the functions delegated by the Tribunal under section 97H (3) and the person or body to whom they were delegated.
(4)  The Minister must lay the report or cause it to be laid before both Houses of Parliament as soon as practicable after receiving the report.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
Division 9 Reviews
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97I   Appeals to Administrative Decisions Tribunal about certificates and related matters
(1)  A benchmark participant or former benchmark participant who is aggrieved by any of the following decisions of the Tribunal may apply to the Administrative Decisions Tribunal for a review of the decision:
(a)  a determination as to the greenhouse gas benchmark for the participant or former participant for a year,
(b)  a decision to refuse to accept the surrender of an abatement certificate for the purposes of complying with the participant’s or former participant’s greenhouse gas benchmark or abating a greenhouse shortfall,
(c)  a decision to refuse to count a renewable energy certificate for the purposes of complying with the participant’s or former participant’s greenhouse gas benchmark or abating a greenhouse shortfall,
(d)  an assessment of the amount of greenhouse penalty payable by the participant or former participant for a year,
(e)  any other decision of the Tribunal of a kind prescribed by the regulations.
(2)  A person who is or was accredited, or who has applied to be accredited, under this Part as an abatement certificate provider and who is aggrieved by any of the following decisions of the Scheme Administrator may apply to the Administrative Decisions Tribunal for a review of the decision:
(a)  a decision to refuse accreditation of the person as an abatement certificate provider,
(b)  a decision to cancel or suspend the accreditation of the person as an abatement certificate provider,
(c)  a decision to refuse registration of the creation of an abatement certificate,
(d)  any other decision of the Scheme Administrator of a kind prescribed by the regulations.
(3)  A person who has applied for the registration of a transfer of an abatement certificate under this Part and who is aggrieved by a decision of the Scheme Administrator to refuse registration of the transfer may apply to the Administrative Decisions Tribunal for a review of the decision.
(4)  A person who is the subject of an order by the Scheme Administrator under this Part requiring the person to surrender abatement certificates to the Scheme Administrator and who is aggrieved by a decision of the Scheme Administrator to impose that order may apply to the Administrative Decisions Tribunal for a review of the decision.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
Division 10 Offences
Note—
Under section 101 directors and managers of corporations that commit offences may be proceeded against if they knowingly authorise or permit the commission of the offence.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97J   Improper creation of certificates
(1)  A person must not create or purport to create an abatement certificate in contravention of this Act, the regulations or the greenhouse gas benchmark rules, or the conditions (if any) of the person’s accreditation as an abatement certificate provider.
Maximum penalty: 100 penalty units, and an additional 1 penalty unit in respect of each certificate created.
(2)  For avoidance of doubt, a person may be found guilty of an offence against subsection (1) whether or not the abatement certificate concerned is registered in the register of abatement certificates.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97JA   Obstruction of Tribunal or Scheme Administrator
(1)  A person must not, without reasonable excuse:
(a)  refuse or fail to comply with a notice served under section 97HC, or
(b)  refuse or fail to answer a question that the person is required to answer by the Chairperson at any meeting of the Tribunal under section 97HC.
(2)  A person must not hinder, obstruct or interfere with the Chairperson or any other member of the Tribunal in the exercise of functions for the purposes of this Part as Chairperson or other member.
(3)  A person must not hinder, obstruct or interfere with the Scheme Administrator in the exercise of functions for the purposes of this Part.
(4)  It is a reasonable excuse for the purposes of subsection (1) that to comply with the notice or to answer the question might tend to incriminate a natural person or make the person liable to any forfeiture or penalty.
Maximum penalty:
(a)  in the case of a corporation—250 penalty units,
(b)  in the case of an individual—100 penalty units or 6 months imprisonment, or both.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97JB   False or misleading information
A person must not, for the purposes of this Part:
(a)  give to the Tribunal or Scheme Administrator, whether orally or in writing, information or a document that the person knows to be false or misleading in a material particular (unless the person informs the Tribunal or Scheme Administrator of that fact), or
(b)  at a meeting of the Tribunal, give evidence that the person knows to be false or misleading in a material particular.
Maximum penalty: 2,000 penalty units or 6 months imprisonment, or both.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97JC   Licence condition relating to offences
It is a condition of a retail supplier’s licence that the retail supplier must comply with this Part.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
Division 11 Greenhouse gas benchmark rules
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97K   Greenhouse gas benchmark rules
(1)  The Minister may approve rules for or with respect to the following matters:
(a)  the methodology for calculating the number of tonnes of carbon dioxide equivalent of greenhouse gas emissions abated or to be abated by an activity, including activities the subject of renewable energy certificates,
(b)  the methodology for determining the greenhouse gas benchmark for a benchmark participant,
(c)  the methodology for determining the total number of megawatt hours of electricity supplied or purchased by a benchmark participant in a year, including allowances for electricity losses from transmission or distribution to the point of use and allowances where a participant is responsible for a specified electricity load,
(d)  the methodology for determining the NSW pool coefficient for greenhouse gas emissions,
(e)  the methodology for determining the estimated State demand for electricity for a year and the proportion of that demand applicable to a benchmark participant,
(f)  the methodology for determining the State population for a year,
(g)  the methodology for determining whether a benchmark participant has complied with the participant’s greenhouse gas benchmark in any year,
(h)  any other matter for which a greenhouse gas benchmark rule may be made under this Part,
(i)  any other matter prescribed by the regulations.
(2)  A rule may make provision for or with respect to a matter by applying, adopting or incorporating, with or without modification, the provisions of any Act or statutory rule or any other publication, whether of the same or of a different kind.
(3)  A rule may:
(a)  apply generally or be limited in its application by reference to specified exceptions or factors, or
(b)  apply differently according to different factors of a specified kind, or
(c)  authorise any matter or thing to be from time to time agreed, determined, applied or regulated by any specified person or body.
(4)  The Minister may from time to time approve amendments to the rules or a revocation of rules.
(5)  If a rule, or a rule amending or revoking a rule, is approved by the Minister:
(a)  written notice of the approval of the rule must be published in the Gazette, and
(b)  the rule takes effect on the day on which notice is so published or, if a later day is specified in the rule for commencement, on the later day so specified, and
(c)  the Minister must make available a copy of the rule to each benchmark participant and make copies available to the public.
(6)  A rule must be consistent with this Act and the regulations.
Editorial note—
For notices of approval of rules under this section see Gazettes No 161 of 3.10.2003, pp 9738, 9765, 9819, 9876, 9907; No 95 of 11.6.2004, pp 3562, 3651; No 154 of 9.12.2005, p 10316 and No 164 of 23.12.2005, p 11541.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
97KA   Obligations under greenhouse gas benchmark rules
(1)  A benchmark participant or an accredited abatement certificate provider must not contravene a greenhouse gas benchmark rule.
Maximum penalty:
(a)  in the case of a corporation—250 penalty units,
(b)  in the case of an individual—100 penalty units.
(2)  It is a condition of a retail supplier’s licence that the retail supplier must comply with the greenhouse gas benchmark rules.
pt 8A, divs 6–11 (ss 97F–97KA): Ins 2002 No 122, Sch 1 [2].
Part 9 Miscellaneous
98   Unauthorised electricity supply arrangements unenforceable
(1)  An electricity supply arrangement is unenforceable by any person (other than a retail customer under a customer supply contract) unless, at the time the person entered into the arrangement, the person was authorised by a licence to enter into the arrangement.
(2)  This section does not apply to an electricity supply arrangement entered into (or taken to have been entered into) under the National Electricity (NSW) Law.
s 98: Am 1997 No 20, Sch 1.3 [15] [16]; 1997 No 21, Sch 1 [21].
99   One document may serve several purposes
(1)  Nothing in this Act prevents a customer connection contract and a customer supply contract from being embodied in a single document.
(2)  Nothing in this Act or the Gas Supply Act 1996 prevents a contract under this Act and a contract under that Act from being embodied in a single document.
s 99: Am 2001 No 18, Sch 2 [8].
99A   Electricity network pricing determinations
An electricity network pricing determination referred to in Division 4 of Part 4 or Division 2 of Part 4A is to be made under the National Electricity Code as if Division 5 of Part 3, Division 4 of Part 4 and Part 4A of this Act had not been enacted.
s 99A: Ins 1997 No 36, Sch 1 [4]. Am 1998 No 78, Sch 1 [6]; 1999 No 85, Sch 1.11 [12].
99B   Agreement with licensed distribution network service providers
The Treasurer, on behalf of the Government, may enter into an agreement in writing with one or more of the licensed distribution network service providers relating to distribution network service providers’ levies and such other matters as the Treasurer determines.
s 99B: Ins 1997 No 36, Sch 1 [4]. Am 2000 No 109, Sch 1 [57] [58].
100   Delegation of Minister’s and Electricity Tariff Equalisation Ministerial Corporation’s functions
(1)  The Minister may delegate to any eligible person any of the functions conferred or imposed on the Minister by or under this Act, other than this power of delegation.
(1A)  The Electricity Tariff Equalisation Ministerial Corporation may delegate to any person the exercise of any of its functions, other than this power of delegation.
(2)  In this section, eligible person means:
(a)  any public authority, or
(b)  any person prescribed by the regulations or belonging to a class of persons prescribed by the regulations.
s 100: Am 2000 No 109, Sch 1 [59].
101   Directors and managers liable for offences committed by corporations
(1)  If a corporation contravenes a provision of this Act or the regulations, each person who:
(a)  is a director of the corporation, or
(b)  is concerned in the management of the corporation,
is to be treated as having contravened that provision if the person knowingly authorised or permitted the contravention.
(2)  A person may, under this section, be proceeded against and convicted for a contravention of that provision whether or not the corporation has been proceeded against or convicted for a contravention of that provision.
(3)  Nothing in this section affects any liability imposed on a corporation for an offence committed by the corporation against this Act or the regulations.
102   Proceedings for offences
(1)  Proceedings for an offence against this Act or the regulations are to be dealt with summarily before a Local Court.
(2)  Proceedings for an offence against this Act or the regulations may instead be dealt with summarily before the Supreme Court in its summary jurisdiction.
(3)  Proceedings for an offence against this Act or the regulations may be instituted at any time within 2 years after the commission of the offence.
(4)  The maximum monetary penalty that may be imposed by a Local Court in proceedings for an offence against this Act or the regulations is 100 penalty units (in the case of a corporation) and 50 penalty units (in any other case).
(5)  The maximum penalty that may be imposed by the Supreme Court in proceedings for an offence against this Act or the regulations is the maximum penalty specified by the relevant section of this Act, or relevant clause of the regulations, in respect of the offence.
s 102: Am 1999 No 85, Sch 2.16 [1]; 2001 No 121, Sch 2.95; 2003 No 40, Sch 2.10 [1]–[3].
103   Recovery of fees and penalties
Any fee payable under a condition of a licence or payable under Part 8A, and any monetary penalty imposed by the Minister on the holder of a licence, may be recovered in any court of competent jurisdiction as a debt due to the Crown.
s 103: Subst 1997 No 21, Sch 1 [22]. Am 1997 No 20, Sch 1.3 [17]; 2002 No 122, Sch 1 [3].
103A   Penalty notices for certain offences
(1)  An authorised officer or a police officer may serve a penalty notice on a person if it appears to the officer that the person has committed an offence against this Act or the regulations, being an offence prescribed by the regulations as a penalty notice offence.
(2)  A penalty notice is a notice to the effect that, if the person served does not wish to have the matter determined by a court, the person can pay, within the time and to the person specified in the notice, the amount of penalty prescribed by the regulations for the offence if dealt with under this section.
(3)  A penalty notice may be served personally or by post.
(4)  If the amount of penalty prescribed for an alleged offence is paid under this section, no person is liable to any further proceedings for the alleged offence.
(5)  Payment under this section is not to be regarded as an admission of liability for the purpose of, and does not in any way affect or prejudice, any civil claim, action or proceeding arising out of the same occurrence.
(6)  The regulations may:
(a)  prescribe an offence for the purposes of this section by specifying the offence or by referring to the provision creating the offence, and
(b)  prescribe the amount of penalty payable for the offence if dealt with under this section, and
(c)  prescribe different amounts of penalties for different offences or classes of offences.
(7)  The amount of a penalty prescribed under this section for an offence is not to exceed the maximum amount of penalty that could be imposed for the offence by a court.
(8)  This section does not limit the operation of any other provision of, or made under, this or any other Act relating to proceedings that may be taken in respect of offences.
s 103A: Ins 2002 No 122, Sch 1 [4].
104   Recovery of charges by network operators and wholesale or retail suppliers
Any money due to a network operator or a wholesale or retail supplier may be recovered by it as a debt in any court of competent jurisdiction.
105   Application of Act outside local government areas
(1)  This Act applies to the unincorporated area as if:
(a)  references to a local government area were references to the unincorporated area, and
(b)  references to a local council were references to the Western Lands Commissioner.
(2)  This Act applies to Lord Howe Island as if:
(a)  references to a local government area were references to Lord Howe Island, and
(b)  references to a local council were references to the Lord Howe Island Board.
(3)  The regulations may exempt the Lord Howe Island Board, and any matter relating to this Act in its application to Lord Howe Island, from the operation of any specified provision of this Act.
105A   Provision of information to Minister
(1)  The Minister may, by notice in writing, require NEMMCO to provide to the Minister the information specified in the notice.
(2)  The Minister may only require information to be provided if satisfied that it is required for the following purposes:
(a)  notification of circumstances that may result in retailer of last resort arrangements being required to be made,
(b)  determination of whether to implement any such arrangements,
(c)  the exercise by the Minister of functions under this Act or the regulations.
(3)  NEMMCO must provide information if requested to do so by the Minister in accordance with this section.
(4)  The Minister must consult with NEMMCO before disclosing information obtained under this section.
s 105A: Ins 2005 No 17, Sch 1 [16].
106   Regulations
(1)  The Governor may make regulations not inconsistent with this Act for or with respect to any matter that by this Act is required or permitted to be prescribed or that is necessary or convenient to be prescribed for carrying out or giving effect to this Act and, in particular, for or with respect to the following matters:
(a)    (Repealed)
(b)  the functions of customer consultative groups,
(c)  the form and content of standard form customer connection contracts and standard form customer supply contracts,
(c1)  the procedures for preparing and advertising standard form customer connection contracts and standard form customer supply contracts,
(c2)  requirements for customer connection contracts,
(c3)  the obligations of persons who obtain or receive information about customers or prospective customers with respect to the collection, keeping, disclosure or other use of that information and the inclusion of such obligations in customer connection contracts and customer supply contracts,
(d)  the conditions that may be imposed on licences,
(e)  the functions of authorised officers,
(e1)  requirements for the marking or labelling of the point of supply in relation to the premises of wholesale or retail customers,
(f)  the obligations of an electricity industry ombudsman under an approved electricity industry ombudsman scheme to provide copies of reports to the Minister and to report to the Minister on the operation of the scheme,
(f1)  facilitating the Government’s social programs for electricity, including:
(i)  the giving, and enforcement, of directions by the Minister, or agreements, with respect to implementation of any such program in relation to a specified class or specified classes of customers,
(ii)  the payment and assessment of the costs of giving effect to any such directions,
(iii)  the publication of directions and agreements,
(g)  the procedures to be observed by network operators in connection with calling for tenders and the matters in respect of which network operators must call for tenders,
(g1)  the development and implementation by network operators of plans designed to ensure the safe operation of their transmission or distribution systems (including plans relating to the provision of safe electrical installations for connection to distribution systems),
(g2)  the development and implementation by network operators of plans designed to ensure that their transmission or distribution systems are adequate for the demand placed on them and that the supply of electricity by those systems is of an appropriate quality and level of reliability,
(h)  the removal or trimming of trees by distribution network service providers,
(h1)  information and returns to be provided to the Tribunal or the Minister by benchmark participants under Part 8A,
(h2)  fees for audits and other monitoring or accreditation activities or services provided by the Tribunal or Scheme Administrator under Part 8A,
(i)  matters of a savings or transitional nature consequent on the making of an order under section 92,
(j)  permitting electricity prepayment meters for small retail customers and requirements relating to any such prepayment meters.
(2)  The regulations may, either unconditionally or subject to conditions, exempt:
(a)  any specified person or class of persons, or
(b)  any specified matter or class of matters,
from the operation of any one or more of sections 13, 16 and 98.
(2A)  The regulations may exempt Rail Corporation New South Wales, Transport Infrastructure Development Corporation or Rail Infrastructure Corporation from the operation of any one or more of sections 18, 19, 34, 39, 40 and 89–91 and any mandatory conditions imposed pursuant to clause 6 of Schedule 2.
(3)  A regulation may create an offence punishable by a penalty not exceeding 250 penalty units (in the case of a corporation) and 100 penalty units (in any other case).
(4)  Regulations may not be made with respect to any of the matters referred to in subsection (1) (b), (c) or (c1) unless the Minister certifies to the Governor that the Minister has consulted with the Minister for Fair Trading and the Tribunal in connection with those regulations.
s 106: Am 1996 No 56, Sch 2.8 [3]; 1996 No 121, Sch 1.3 [3]; 1997 No 20, Sch 1.3 [18]–[20]; 1997 No 21, Sch 1 [23] [24]; 1998 No 8, Sch 2.4 [1]; 1999 No 85, Sch 1.11 [13]; 2000 No 60, Sch 1.2 [9]; 2000 No 109, Sch 1 [60]–[62]; 2002 No 122, Sch 1 [5]–[7]; 2003 No 96, Sch 3.3 [1]; 2005 No 17, Sch 1 [17] [18].
108   Amendment of other Acts and instruments
Each Act and instrument specified in Schedule 5 is amended as set out in that Schedule.
109   Savings, transitional and other provisions
Schedule 6 has effect.
110   Review of Act
(1)  The Minister is to review this Act to determine whether the policy objectives of the Act remain valid and whether the terms of the Act remain appropriate for securing those objectives.
(2)  The review is to be undertaken as soon as possible after the period of 5 years from the date of assent to the Electricity Supply Amendment Act 2000.
(3)  A report on the outcome of the review is to be tabled in each House of Parliament within 12 months after the end of the period of 5 years.
s 110: Am 2000 No 109, Sch 1 [63].
Schedule 1 (Repealed)
sch 1: Rep 1997 No 20, Sch 1.3 [21].
Schedule 2 Licences
(Sections 14 and 33)
1   Licences
(1)  Subject to any conditions imposed by or under this Act, a distribution network service provider’s licence authorises its holder, and any other person specified in the licence, to operate the distribution system so specified for the purpose of conveying electricity for or on behalf of retail suppliers.
(2)  Subject to any conditions imposed by or under this Act, a retail supplier’s licence authorises its holder, and any other person specified in the licence, to enter into arrangements for the supply of electricity to retail customers.
2   Applications
An application for a licence or for the transfer of a licence:
(a)  must be accompanied by such fee as may be determined by the Minister, and
(b)  must contain such information as may be determined by the Minister, and
(c)  must be lodged at the office of the Tribunal.
3   Public consultation
(1)  Before determining an application for a licence or for the transfer of a licence, the Minister must cause notice of the application to be published in the Gazette and in a daily newspaper circulating throughout the State.
(2)  The notice must indicate:
(a)  the nature of the licence to which the application relates, and
(b)  the identity of the proposed holder of the licence, and
(c)  the area in which the licence, if granted or transferred, would operate, and
(d)  where submissions on the application should be lodged, and
(e)  the time (being not less than 40 days from the date on which the notice is published) within which any such submissions should be lodged, and
(f)  such other matters as may be prescribed by the regulations.
(3)  The Minister must give due consideration to matters arising from any submissions under this clause.
(4)  The Minister must cause a report summarising the substance of any submissions received with respect to an application for a licence to be prepared.
(5)  The report:
(a)  must indicate the Minister’s decision with respect to the application, and
(b)  must contain such other information as may be prescribed by the regulations, and
(c)  must be kept available at the office of the Tribunal for inspection by members of the public, free of charge, during normal office hours.
4   Determination of applications
(1)  The Minister may determine an application for a licence or for the transfer of a licence by granting or transferring the licence (either unconditionally or subject to conditions of the kind referred to in clause 6) or by refusing the application.
(2)  An application may be refused on the following grounds:
(a)  that the proposed holder of the licence fails to satisfy such technical or prudential criteria as have been adopted by the Minister to determine whether a person is able to operate a viable business as a distribution network service provider or retail supplier, as the case may be,
(b)  such grounds as may be prescribed by the regulations,
(c)  such grounds as the Minister considers relevant, having regard to the need to promote a competitive retail market for electricity, to prevent misuse of market power and to ensure the security and reliability of the State electricity supply system.
(3)  The Minister must consult with the Minister administering the Protection of the Environment Administration Act 1991 before granting a licence under this clause.
5   Duration of licences
Subject to the conditions imposed on it, a licence remains in force until it is cancelled.
6   Conditions of licences
(1)  A licence is subject to the following conditions:
(a)  the conditions imposed by this Act and the regulations or by or under any other Act,
(b)  such other conditions (not inconsistent with those imposed by this Act and the regulations) as the Minister may from time to time impose in relation to the licence.
(2)  Without limitation, the Minister may impose the following kinds of conditions on a licence:
(a)  a condition specifying the period for which the licence is to remain in force,
(b)  a condition requiring the holder of the licence to exercise its functions under this Act in accordance with specified guidelines or subject to specified restrictions,
(c)  a condition requiring the holder of the licence to continue to satisfy such technical or prudential criteria as have been adopted by the Minister to determine whether a person is able to operate a viable business as a distribution network service provider or retail supplier, as the case may be,
(d)  a condition requiring the holder of the licence to maintain specified insurance cover in respect of specified risks,
(e)  a condition requiring the affairs of the holder of the licence in relation to the operation of a distribution system to be kept separate, to the extent specified in the condition, from the affairs of the holder of the licence in relation to the supply of electricity,
(f)  a condition requiring the holder of the licence:
(i)  to prepare, and submit to the Minister, a plan setting out (in accordance with guidelines established by the Minister) the holder’s policies, practices and procedures with respect to the conduct of its affairs under the licence, and
(ii)  to conduct its affairs under the licence in accordance with the plan so prepared,
(g)  a condition requiring the holder of the licence to furnish to the Minister (at such times and in respect of such periods as the Minister may determine) such information as the Minister may determine to enable the Minister to ascertain whether or not the holder is complying with the other conditions of the licence,
(h)  a condition requiring the holder of the licence to pay an annual licence fee of such amount as may be determined by the Minister.
(3)  A condition referred to in subclause (2) (e) may require separate affairs to be conducted by separate divisions of the same legal entity or by separate legal entities.
(4)  Without limitation, the Minister must impose a condition on each retail supplier’s licence requiring the holder of the licence to prepare and publish annual reports in relation to its performance in meeting the minimum standards of service required under its standard form customer supply contracts.
(5)  Without limitation, the Minister must impose the following conditions on each distribution network service provider’s licence:
(a)  a condition requiring the holder of the licence, before expanding its distribution system or the capacity of its distribution system, to carry out investigations (being investigations to ascertain whether it would be cost-effective to avoid or postpone the expansion by implementing demand management strategies) in circumstances in which it would be reasonable to expect that it would be cost-effective to avoid or postpone the expansion by implementing such strategies,
(b)  a condition requiring the holder of the licence to prepare and publish annual reports in relation to the investigations carried out by it as referred to in paragraph (a).
(6)–(8)    (Repealed)
(9)  The Minister must consult with the Minister administering the Protection of the Environment Administration Act 1991 before imposing conditions on a licence under this clause.
7   Variation of conditions of licences
(1)  The Minister may vary the conditions of a licence.
(2)  The Minister must consult with the Minister administering the Protection of the Environment Administration Act 1991 before varying the conditions of a licence under this clause.
8   Enforcement of licences by the Minister
(1)  The Minister may do either or both of the following:
(a)  the Minister may impose a monetary penalty not exceeding $100,000 on the holder of a licence,
(b)  the Minister may cancel a licence.
(2)  A retail supplier’s licence held by a distribution network service provider must not be cancelled unless the distribution network service provider’s licence held by the distribution network service provider is also cancelled.
(3)  Action may be taken under this clause only if the holder of the licence has knowingly contravened:
(a)  the requirements of this Act or the regulations, or
(b)  the conditions of the licence, or
(c)  an endorsement attached to the licence.
(4)  Nothing in this clause prevents a licence from being cancelled at the request of its holder.
8A   Enforcement of licences by Tribunal
(1)  The Tribunal may impose a monetary penalty on the holder of a licence.
(2)  The Tribunal may, instead of imposing a monetary penalty, require the holder of the licence to take such action as the Tribunal considers appropriate in the circumstances, including (for example) requiring the sending of information to customers or the publication of notices in newspapers.
(3)  The Tribunal may not require action to be taken under subclause (2) by the holder of a licence if the cost of that action would exceed the monetary penalty that the Tribunal could impose under this clause on the holder.
(4)  If the Tribunal requires information to be sent to a customer under subclause (2), the holder of the licence may satisfy that requirement by sending the information to the customer with the next account or bill to be sent to the customer by the holder or, if the holder is sending other information to that customer before the next account or bill, with that other information.
(5)  Action may be taken under this clause only if the holder of the licence has knowingly contravened the conditions of, or an endorsement attached to, the licence.
(6)  The monetary penalty that the Tribunal may impose under this clause must not exceed $10,000 for the first day on which the contravention concerned occurs and a further $1,000 for each subsequent day (not exceeding 30 days) on which the contravention continues.
(7)  The Tribunal must not take action under this clause unless:
(a)  the Tribunal has considered whether the contravention has been or is likely to be the subject of any other penalty or action or any claim for compensation, and is satisfied that it is nevertheless appropriate to take action under this clause, and
(b)  the Tribunal has considered the action that the holder of the licence has taken or is likely to take in respect of the contravention and the cost to the holder in taking that action, and is satisfied that it is nevertheless appropriate to take action under this clause.
(8)  The Tribunal is required to consider the seriousness of the contravention concerned in determining to impose a monetary penalty under this clause.
(9)  The Tribunal must not take action under this clause in respect of a contravention if the Minister has already taken action under clause 8 in respect of the contravention.
(10)  Nothing in this clause affects the Minister’s powers under clause 8 in respect of a contravention, whether or not the Tribunal has already taken action under this clause in respect of the contravention.
9   Holder of licence to be notified of proposed action
(1)  The Minister must not take action under clause 6, 7 or 8, or the Tribunal must not take action under clause 8A, unless:
(a)  notice of the proposed action has been given to the holder of the licence, and
(b)  the holder of the licence has been given a reasonable opportunity to make submissions with respect to the proposed action, and
(c)  the Minister or Tribunal has given due consideration to any such submissions.
(2)  This clause does not apply to action taken at the request of the holder of the licence.
10   Register of licences
(1)  A register of licences is to be kept at the office of the Tribunal.
(2)  The register is to be kept available for inspection by members of the public, free of charge, during normal office hours.
(3)  Copies of entries in the register are to be made available to members of the public, at cost, during normal office hours.
sch 2: Am 1997 No 21, Sch 1 [25] [26]; 1999 No 85, Schs 1.11 [14]–[16], 2.16 [2] [3]; 1999 No 96, Sch 1 [1]–[4]; 2000 No 60, Sch 1.2 [10]–[17]; 2002 No 122, Sch 1 [8]–[10]; 2005 No 17, Sch 1 [19] [20].
Schedule 3 Distribution districts
(Sections 83 and 84)
Name
Distribution district
Country Energy
Albury
Armidale Dumaresq
Ballina
Balranald
Barraba
Bathurst
Bega Valley
Bellingen
Berrigan
Bingara
Bland
Blayney
Bogan
Bombala
Boorowa
Bourke
Brewarrina
Broken Hill
Byron
Cabonne
Carrathool
Central Darling
Cobar
Coffs Harbour
Conargo
Coolah
Coolamon
Cooma-Monaro
Coonabarabran
Coonamble
Cootamundra
Copmanhurst
Corowa
Cowra
Crookwell
Culcairn
Deniliquin
Dubbo
Dungog
Eurobodalla
Evans
Forbes
Gilgandra
Glen Innes
Gloucester
Goulburn
Grafton
Great Lakes
Greater Taree
Griffith
Gundagai
Gunnedah
Gunning
Guyra
Harden
Hastings
Hay
Holbrook
Hume
Inverell
Jerilderie
Junee
Kempsey
Kyogle
Lachlan
Leeton
Lismore
Lockhart
Maclean
Manilla
Merriwa (part)
Moree Plains
Mudgee
Mulwaree
Murray
Murrumbidgee
Murrurundi
Nambucca
Narrabri
Narrandera
Narromine
Nundle
Oberon
Orange
Parkes
Parry
Pristine Waters
Queanbeyan
Quirindi
Richmond Valley
Severn
Snowy River
Tallaganda
Tamworth
Temora
Tenterfield
Tumbarumba
Tumut
Tweed
Uralla
Urana
Wagga Wagga
Wakool
Walcha
Walgett
Warren
Weddin
Wellington
Wentworth
Windouran
Yallaroi
Yarrowlumla
Yass
Young
Unincorporated area
EnergyAustralia
Ashfield
Auburn
Bankstown
Botany
Burwood
Canterbury
Cessnock
Concord
Drummoyne
Gosford
Hornsby
Hunters Hill
Hurstville
Kogarah
Ku-ring-gai
Lake Macquarie
Lane Cove
Leichhardt
Maitland
Manly
Marrickville
Merriwa (part)
Mosman
Muswellbrook
Newcastle
North Sydney
Pittwater
Port Stephens
Randwick
Rockdale
Ryde
Scone
Singleton
South Sydney
Strathfield
Sutherland
Sydney
Warringah
Waverley
Willoughby
Woollahra
Wyong
Integral Energy Australia
Baulkham Hills
Blacktown
Blue Mountains
Camden
Campbelltown
Fairfield
Greater Lithgow
Hawkesbury
Holroyd
Kiama
Liverpool
Parramatta
Penrith
Rylstone
Shellharbour
Shoalhaven
Wingecarribee
Wollondilly
Wollongong
Lord Howe Island Board
Lord Howe Island
 
sch 3: Am 1999 No 85, Sch 1.11 [17]; 2000 No 102, Sch 3.2; GG No 89 of 25.5.2001, p 2872; 2005 (128), cl 4.
Schedule 4 Transfer of staff, assets, rights and liabilities
(Section 85)
1   Application and interpretation
(1)  This Schedule applies to any transfer of staff, assets, rights or liabilities under section 85.
(2)  In this Schedule, the person or body from which any staff, assets, rights or liabilities are transferred is called the transferor and the person or body to whom they are transferred is called the transferee.
2   Transfer of staff
A member of staff who is transferred by a transfer to which this Schedule applies is (until other provision is duly made under any Act or law) to be employed in accordance with any relevant statutory provisions, awards, agreements and determinations that would have applied to the person had the person not been transferred but remained a member of staff of the transferor.
3   Vesting of undertaking in transferee
(1)  When any assets, rights or liabilities are transferred by a transfer to which this Schedule applies, the following provisions have effect:
(a)  the assets of the transferor vest in the transferee by virtue of this clause and without the need for any further conveyance, transfer, assignment or assurance,
(b)  the rights or liabilities of the transferor become by virtue of this clause the rights or liabilities of the transferee,
(c)  all proceedings relating to the assets, rights or liabilities commenced before the transfer by or against the transferor or a predecessor of the transferor and pending immediately before the transfer are taken to be proceedings pending by or against the transferee,
(d)  any act, matter or thing done or omitted to be done in relation to the assets, rights or liabilities before the transfer by, to or in respect of the transferor is (to the extent to which that act, matter or thing has any force or effect) taken to have been done or omitted by, to or in respect of the transferee,
(e)  a reference in any Act, in any instrument made under any Act or in any document of any kind to the transferor or a predecessor of the transferor is (to the extent to which it relates to those assets, rights or liabilities) taken to include a reference to the transferee.
(2)  The operation of this clause is not to be regarded:
(a)  as a breach of contract or confidence or otherwise as a civil wrong, or
(b)  as a breach of any contractual provision prohibiting, restricting or regulating the assignment or transfer of assets, rights or liabilities, or
(c)  as giving rise to any remedy by a party to an instrument, or as causing or permitting the termination of any instrument, because of a change in the beneficial or legal ownership of any asset, right or liability.
(3)  The operation of this clause is not to be regarded as an event of default under any contract or other instrument.
(4)  No attornment to the transferee by a lessee from the transferor is required.
(5)  A transfer is subject to the terms and conditions of the order by which it is effected.
(6)  No compensation is payable to any person or body in connection with a transfer to which this Schedule applies except to the extent (if any) to which the order giving rise to the transfer so provides.
(7)  Subclause (6) does not affect the rights of any member of staff who is the subject of a transfer to which this Schedule applies.
4   Date of vesting
A transfer to which this Schedule applies takes effect on the date specified in the order by which it is effected.
5   Consideration for vesting
The Minister may, by order in writing, specify the consideration on which a transfer to which this Schedule applies is made and the value or values at which the assets, rights or liabilities are transferred.
6   Stamp duty
Stamp duty is not chargeable for or in respect of:
(a)  a transfer to which this Schedule applies, or
(b)  anything certified by the Minister as having been done in consequence of such a transfer (for example, the transfer or conveyance of an interest in land).
7   Confirmation of vesting
(1)  The Minister may, by notice in writing, confirm a transfer of particular assets, rights or liabilities by operation of this Schedule.
(2)  Such a notice is conclusive evidence of that transfer.
8   Definitions
In this Schedule:
assets means any legal or equitable estate or interest (whether present or future and whether vested or contingent) in real or personal property of any description (including money), and includes securities, choses in action and documents.
liabilities means any liabilities, debts or obligations (whether present or future and whether vested or contingent).
rights means any rights, powers, privileges or immunities (whether present or future and whether vested or contingent).
Schedule 5 Amendment of other Acts and instruments
(Section 108)
Note—
Certain amending provisions are not reprinted: Reprints Act 1972, section 6.
[5]   Parts 2, 2A, 3AA, 3A, 3B, 3C, 4, 4A, 5A, 6 and 6A
Omit the Parts.
[16]   Schedule 11, Part 6
Insert after Part 5:
  
Part 6 Provisions consequent on the enactment of Electricity Supply Act 1995
24   Abolition of Electricity Development Fund
(1)  The Electricity Development Fund is abolished.
(2)  The assets of the Electricity Development Fund become part of the Consolidated Fund.
Schedule 6 Savings, transitional and other provisions
(Section 109)
Part 1 Preliminary
1   Regulations
(1)  The regulations may contain provisions of a savings or transitional nature consequent on the enactment of the following Acts:
Electricity Legislation Amendment (TransGrid) Act 2000, but only to the extent it amends this Act
Energy Administration Amendment (Water and Energy Savings) Act 2005, but only to the extent that it amends this Act
(2)  Any such provision may, if the regulations so provide, take effect from the date of assent to the Act concerned or a later day.
(3)  To the extent to which any such provision takes effect from a date that is earlier than the date of its publication in the Gazette, the provision does not operate so as:
(a)  to affect, in a manner prejudicial to any person (other than the State or an authority of the State), the rights of that person existing before the date of its publication, or
(b)  to impose liabilities on any person (other than the State or an authority of the State) in respect of anything done or omitted to be done before the date of its publication.
Part 2 Provisions consequent on enactment of Electricity Supply Act 1995
Division 1 Provisions relating to Electricity Safety Act 1945
2   Definitions
In this Division:
amended Act means the Electricity Safety Act 1945, as amended by this Act.
3   Action taken under Division 7 of Part 2A of the amended Act
Any action taken by an electricity distributor under Division 7 of Part 2A of the amended Act in relation to any premises is deemed to have been taken by the electricity distributor within whose distribution district those premises are situated.
4   Requirements of statutory bodies under section 7J of the amended Act
Any requirement of a statutory body under section 7J of the amended Act that applied to an electricity distributor immediately before its repeal in relation to anything done by the electricity distributor in, on or over a public road or public reserve is taken to apply to the electricity distributor within whose distribution district the relevant part of the public road or public reserve is situated.
5   Approvals by an electricity distributor under section 7K of the amended Act
Any approval by an electricity distributor under section 7K of the amended Act that had effect immediately before its repeal in relation to the erection or placement of anything is taken to be an approval by the electricity distributor within whose distribution district the relevant part of that thing is situated.
6   Requirements of an electricity distributor under section 7M of the amended Act
Any requirement of an electricity distributor under section 7M of the amended Act that applied to a person immediately before its repeal in relation to a conduit owned by that person is taken to be a requirement of the electricity distributor within whose distribution district the relevant part of the conduit is situated.
7   Action by an electricity distributor under section 7N of the amended Act
Any action taken by an electricity distributor under section 7N of the amended Act before its repeal in relation to:
(a)  the demolition or removal of a structure or thing, or
(b)  the repair of a work,
is deemed to have been taken by the electricity distributor within whose distribution district the relevant part of the work is situated.
8   Documents served on an electricity distributor under section 7V of the amended Act
Any document served on an electricity distributor in accordance with section 7V of the amended Act before its repeal in relation to a matter concerning a particular place is taken to have been duly served on the electricity distributor within whose distribution district that place is situated.
9   Continuation of Part 3C of the amended Act
Part 3C of the amended Act continues to apply to and in respect of any charges for electricity supplied by an electricity supply authority within the meaning of that Act in relation to an accounting period that commenced before its repeal.
10   Conditions of electricity connection and supply
Until a customer connection contract or customer supply contract comes into force with respect to a customer of an electricity distributor, the conditions on which customer connection services and electricity supply are provided to the customer are to be the same as those that applied to the customer under section 26D of the amended Act immediately before its repeal.
Division 2 Provisions relating to Sydney Electricity Act 1990
11   Definitions
In this Division:
former Act means the Sydney Electricity Act 1990.
12   Dissolution of Sydney Electricity
Sydney Electricity (being the corporation constituted by section 4 of the former Act) is dissolved.
13   Abolition of board of directors
(1)  The board of directors for Sydney Electricity (being the body established by section 8 of the former Act) is abolished.
(2)  Part 8 of the Public Sector Management Act 1988 applies to each member of the board of directors for Sydney Electricity as if the member had been removed from office by the Governor under section 90 of that Act.
14   Removal from office of chief executive officer
(1)  The office of chief executive officer of Sydney Electricity is abolished.
(2)  Part 2A of the Public Sector Management Act 1988 applies to the chief executive officer of Sydney Electricity as if the chief executive officer had been removed from office by the Governor under section 42Q of that Act.
Division 3 General
15   Regulations
The Electricity (Tree Preservation) Regulation 1995 is taken to be a regulation under this Act and may be amended and repealed accordingly.
16   Certain persons taken to hold authorisations and licences
(1)  TransGrid is taken to hold:
(a)  a network operator’s authorisation authorising it to operate its transmission system for the purpose of conveying electricity for or on behalf of wholesale traders, and
(b)  a wholesale trader’s authorisation authorising it to enter into any kind of wholesale supply arrangement.
(2)  Pacific Power, and each electricity generator (within the meaning of the Energy Services Corporations Act 1995) that was in existence when this clause commenced, is taken to hold a wholesale trader’s authorisation authorising it to enter into any kind of wholesale supply arrangement.
(3), (4)    (Repealed)
(5)  Schedule 2 applies to authorisations and licences that are taken to be held as referred to in subclauses (1), (2), (3) and (4) in the same way as it applies to authorisations and licences granted in accordance with that Schedule.
17   Review of distribution district boundaries to be carried out within 2 years
(1)  Within 2 years after the commencement of this clause, the Minister must cause a review to be undertaken for the purpose of ascertaining whether it is appropriate for the boundaries of electricity distributors’ distribution districts to be varied.
(2)  The review is to be undertaken by a committee of at least 3 persons appointed by the Minister, of whom:
(a)  one is to be a public servant employed within the Treasury, and
(b)  one is to be a public servant employed within the Department of Energy, and
(c)  the remainder (of whom one is to be appointed as chairperson) are such persons (whether or not public servants) as the Minister may determine.
(3)  Subject to any directions given by the Minister, the procedures of the committee are to be determined by the committee.
18   Existing electricity supply arrangements
Section 98 does not apply to electricity supply arrangements (including any covenants, promises, guarantees, obligations, undertakings, liabilities and other agreements in relation to the supply of electricity) entered into before the commencement of that section.
19   Water supply functions of certain energy distributors
(1)  An energy distributor that was exercising water supply functions under section 6FB of the Electricity Safety Act 1945 immediately before the repeal of that section may continue to exercise those functions as if that section had not been repealed.
(2)  For the purposes of this clause, the following provisions (as in force immediately before their repeal) continue to have effect, and are taken to have had effect at all times since their repeal, as if they had not been repealed:
(a)  section 6FB (subsection (5) excepted) of the Electricity Safety Act 1945,
(b)  section 750 of, and Schedule 9 to, the Local Government Act 1993.
(3)  Schedule 3 to the Energy Services Corporations Act 1995 applies to the transfer of staff, assets, rights or liabilities under section 6FB of the Electricity Safety Act 1945, as applied by subclause (2).
(4)  For the purpose of the application of the exercise of the water supply functions conferred by section 6FB of the Electricity Safety Act 1945, as applied by subclause (2):
(a)  the reference in subsection (1) (a) of that section to Northern Riverina Electricity is taken to be a reference to Great Southern Energy, and
(b)  the reference in subsection (1) (c) of that section to Southern Riverina Electricity is taken to be a reference to Great Southern Energy, and
(c)  the distribution district of Great Southern Energy is taken to be the same as the combined distribution districts of Northern Riverina Electricity and Southern Riverina Electricity, as they were immediately before 1 October 1995.
(5)  For the purpose of the application of the exercise of the water supply functions conferred by section 6FB of the Electricity Safety Act 1945, as applied by subclause (2):
(a)  the reference in subsection (1) (b) of that section to Oxley Electricity is taken to be a reference to NorthPower, and
(b)  the distribution district of NorthPower is taken to be the same as the distribution district of NorthPower, as it was immediately before 1 October 1995.
(6)  This clause ceases to have effect on 1 July 1998 or on such later date as may be prescribed by the regulations.
Part 3 Miscellaneous
20   Existing licences
The amendments made to Schedule 2 to this Act by Schedule 1 to the Statute Law (Miscellaneous Provisions) Act (No 2) 1999 extend to a licence in force immediately before the commencement of those amendments.
Part 4 Provisions consequent on enactment of Electricity Supply Amendment Act 2000
21   Definitions
In this Part:
instrument means any other Act or statutory instrument.
22   Change of nomenclature: electricity distributor
(1)  A reference in any instrument (other than this Act) to an electricity distributor (in its capacity as the operator of a distribution system) is to be construed as a reference to a distribution network service provider.
(2)  A reference in any instrument (other than this Act) to an electricity distributor’s licence is to be construed as a reference to a distribution network service provider’s licence.
(3)  An electricity distributor’s licence is taken to be a distribution network service provider’s licence and the provisions of this Act as amended by the amending Act apply accordingly.
23   Distribution network service provider holding retail supplier’s licence
(1)  This clause applies to a distribution network service provider that held a retail supplier’s licence immediately before the commencement of Schedule 1 [4] to the amending Act.
(2)  The Minister may impose a condition on the licence of a distribution network service provider requiring the distribution network service provider to take all such steps as are necessary to effect the transfer of a retail supplier’s licence held by the distribution network service provider.
(3)  The Minister may impose such conditions on the licence of the person to whom the licence is transferred as the Minister thinks fit.
(4)  It is a condition of the distribution network service provider’s licence or the licence of a person to whom a licence is transferred under this clause that the holder of the licence must comply with a condition imposed under this clause.
(5)  Nothing in this clause affects the generality of any provision of Schedule 2.
24   Retail suppliers’ licences
(1)  A retail supplier’s licence held by a distribution network service provider immediately before the commencement of Schedule 1 [10] to the amending Act is taken to be a licence held by a standard retail supplier and the provisions of this Act as amended by the amending Act apply accordingly.
(2)  The supply district of such a standard retail supplier is, until altered in accordance with this Act, taken to be the distribution district of the distribution network service provider immediately before the commencement of Schedule 1 [10] to the amending Act.
(3)  A retail supplier’s licence (other than a licence referred to in subclause (1)) in force immediately before the commencement of Schedule 1 [10] to the amending Act is taken to have been granted under this Act as amended and the provisions of this Act, as so amended, apply accordingly.
25   Franchise customers
(1)  For the purposes of this Part, a customer who would be a franchise customer but for the amending Act is taken to be a transitional retail customer.
(2)  However, a person who, immediately before the repeal of section 43 by the amending Act, was supplied electricity under an arrangement made under section 43 (1) (b) is not taken to be a transitional retail customer.
(3)  Subject to this Part, this Act applies to a transitional retail customer in the same way as it applies to a small retail customer who has elected to be supplied with electricity under a standard form customer supply contract.
(4)  A retail supplier must not supply electricity to a transitional retail customer under a negotiated customer supply contract.
(5)  A customer ceases to be a transitional retail customer if the customer becomes the subject of an order under clause 26 or makes an election under subclause (6).
(6)  A transitional retail customer who was the subject of an order in force under section 92 (as in force immediately before its substitution by the amending Act) enabling the customer to elect to become a non-franchise customer may elect to cease to be a transitional retail customer.
(7)  The election is to be made in the same manner as an election under the order to become a non-franchise customer.
(8)  This clause ceases to have effect when there are no transitional retail customers.
26   Orders relating to transitional retail customers
(1)  The Minister may, by order published in the Gazette, declare that any specified person, or any specified class of persons, ceases to be a transitional retail customer.
(2)  An order under this clause may:
(a)  apply generally or be limited in its application by reference to specified exceptions or factors, or
(b)  apply differently according to different factors of a specified kind.
(3)  In particular, an order under this clause may apply to a person only in respect of the consumption of electricity at certain premises (in which case the order does not apply to that person in respect of the person’s consumption of electricity at other premises).
(4)  An order under this clause takes effect on the day on which it is published in the Gazette or on such later day as is specified in the order.
(5)  Subject to the regulations, the Minister may not make an order under this clause unless:
(a)  notice of the proposal to make the order has been published in a daily newspaper circulating throughout New South Wales, and
(b)  a report on any submissions received with respect to the proposed order has been prepared.
(6)  The notice referred to in subclause (5) (a) must indicate:
(a)  the nature of the proposed order, and
(b)  where submissions on the proposed order should be lodged, and
(c)  the time (being not less than 21 days from the date on which the notice is published) within which any such submission should be lodged, and
(d)  such other matters as may be prescribed by the regulations.
(7)  The report referred to in subclause (5) (b):
(a)  must summarise the substance of the submissions received by the Minister in connection with the proposed order, and
(b)  must contain such other information as may be prescribed by the regulations, and
(c)  must be kept available at the head office of the Ministry of Energy for inspection by members of the public, free of charge, during normal office hours.
27   Election to take supply under standard form customer supply contract
(1)  This clause applies to a person who ceases to be a transitional retail customer and who, on so ceasing, becomes a small retail customer.
(2)  The person is, unless the person applies to a retail supplier to be supplied under a negotiated customer supply contract, taken to have elected to be supplied with electricity under a standard form customer supply contract.
(3)  Nothing in this clause prevents the person from subsequently applying to a retail supplier to be supplied under a negotiated customer supply contract.
28   Supply of electricity to franchise customers
(1)  It is a condition of a retail supplier’s licence that the retail supplier must not supply electricity to the premises of a transitional retail customer otherwise than:
(a)  in the case of a standard retail supplier, for the purpose of supplying electricity to the customer under the obligation imposed on the retail supplier by section 34, or
(b)  in the case of any other retail supplier, for the purpose of providing electricity to the customer on behalf of a standard retail supplier under the obligation imposed on the retail supplier by section 34.
(2)  This clause does not affect any arrangements approved by the Minister under which standard retail suppliers with adjoining supply districts supply electricity to transitional retail customers in each others’ supply districts.
29   Standard form customer supply contracts
(1)  Any standard form customer supply contract prepared under section 39 before the substitution of that section by the amending Act is taken to have been prepared under and in accordance with that section as substituted, for a period of 3 months after that substitution or for a longer or shorter period determined by the Minister by order published in the Gazette.
(2)  Except where expressly provided, nothing in the amending Act affects any agreement (in force immediately before the commencement of Schedule 1 [10] to the amending Act) taken to have been entered into under section 41 (5) for the provision of electricity on the conditions set out in a standard form customer supply contract, for a period of 3 months after that commencement or for a longer or shorter period determined by the Minister by order published in the Gazette. Any such agreement is taken to continue in force for that period.
(3)  Despite subclause (2), the regulations may provide for the application of provisions of this Act, as amended by the amending Act, to any such standard form customer supply contract.
(4)  Subclause (2) does not prevent a customer from entering into a new customer supply contract at any time after that commencement.
(5)  Anything done under or for the purposes of Division 2 of Part 4 before its repeal by the amending Act is taken to have been done under or for the purposes of Division 3 of that Part as inserted by the amending Act.
30   Negotiated customer supply contracts
(1)  Except where expressly provided, nothing in the amending Act affects a negotiated customer supply contract in force immediately before the commencement of Schedule 1 [10] to the amending Act.
(2)  Despite subclause (1), the regulations may provide for the application of provisions of this Act, as amended by the amending Act, to any such negotiated customer supply contract.
31   Appeals
(1)  Any person may appeal against the decision of a retail supplier (made before the commencement of Schedule 1 [56] to the amending Act) as to:
(a)  the supplier’s classification of the person as a franchise or non-franchise customer, or
(b)  a charge payable by the person under a standard form customer supply contract.
(2)  Subject to any regulations expressed to be made for the purposes of this subclause, the regulations in force under section 96 (2) and (3) immediately before the commencement of Schedule 1 [56] to the amending Act apply to such an appeal, despite the repeal of section 96 by the amending Act.
(3)  Anything done under or for the purposes of section 96 before its repeal by the amending Act and in connection with such an appeal or an appeal made but not determined before that repeal is taken to have been done under or for the purposes of this clause and in connection with an appeal under this clause. However, this subclause does not confer any additional right to appeal in circumstances where an appeal was finally determined before that repeal.
32   Reviews relating to transitional retail customers
(1)  A person may apply to a licence holder for a review of the decision of the licence holder as to the licence holder’s classification of the person as a transitional retail customer or as not being such a customer.
(2)  Section 96, as inserted by the amending Act, and the regulations, apply to any such review in the same way as they apply to a review under section 96 (3) as so substituted.
33   Reviews (see former clause 39A of Electricity Supply (General) Regulation 1996)
(1)  Subject to any regulations expressed to be made for the purposes of this subclause, clause 39A of the Electricity Supply (General) Regulation 1996 as in force immediately before the commencement of Schedule 1 [56] to the amending Act continues to apply to any matter pending under the electricity industry ombudsman scheme referred to in that clause immediately before that commencement.
(2)  Subclause (1) ceases to have effect at the end of the period of 3 months after the commencement of Schedule 1 [56] to the amending Act.
34   Customer consultative groups
A customer consultative group appointed by an electricity distributor and in existence immediately before the commencement of the amendment of section 89 by the amending Act is taken to be:
(a)  a customer consultative group appointed to act as a forum for consultation between the distribution network service provider (in its capacity as such a provider) and its customers, and
(b)  a customer consultative group appointed to act as a forum for consultation between the distribution network service provider (in its capacity as a retail supplier) and its customers.
35   Requirements to pay contributions
(1)  Section 25, as in force immediately before its amendment by the amending Act, continues to apply in respect of customer connection services provided, or agreed to be provided:
(a)  before the commencement of the amendment, or
(b)  on or after that commencement and before a determination by the Tribunal, as referred to in section 25 as so amended, is in force for the purposes of that section.
(2)  For the purposes of making its initial determination under section 11 (3) of the Independent Pricing and Regulatory Tribunal Act 1992, the Tribunal is not required to comply with section 21 of that Act.
37   Initial determination of regulated retail tariffs and regulated retail charges
For the purposes of the initial determination of regulated retail tariffs and regulated retail charges under section 43EB, a recommendation contained in a final report of the Tribunal under section 9 of the Independent Pricing and Regulatory Tribunal Act 1992 under an arrangement entered into between the Premier and the Tribunal on 14 July 2000 is taken to be a determination under section 43EB.
38   Initial payments to Electricity Tariff Equalisation Fund
(1)  The Electricity Tariff Equalisation Ministerial Corporation may obtain financial accommodation for the purposes of an initial amount or amounts to be paid to the Electricity Tariff Equalisation Fund.
(2)  The initial amount or amounts are to be paid to the Electricity Tariff Equalisation Fund and may be used for the purposes of that Fund.
(3)  Amounts may be paid from that Fund for the purposes of repayments and payments of interest payable in respect of the financial accommodation.
(4)  The financial accommodation is to be obtained under, and in accordance with, any other Act applying to the obtaining of financial accommodation by the Electricity Tariff Equalisation Ministerial Corporation.
(5)  In this clause:
financial accommodation has the same meaning as it has in the Public Authorities (Financial Arrangements) Act 1987.
39   Initial operation of Divisions 5 and 6 of Part 4 and Parts 5A and 5B
(1)  The regulations may, for the purposes of the commencement or initial operation of Division 5 or 6 of Part 4, or Part 5A or 5B, impose conditions on licences and provide for the transitional application of provisions of those Divisions or Parts.
(2)  Nothing in this clause limits the operation of any other provision of this Act.
40   First benchmark figures
Despite section 97BF, the Tribunal may, for the year commencing 1 January 2003, determine the matters specified in section 97BF (1) before, on or after 1 January 2003.
41   Abatement certificates
(1)  For the purposes of accrediting persons as abatement certificate providers and enabling the creation, registration and transfer of abatement certificates, the Scheme Administrator may determine any matter for or with respect to which regulations may be made under Division 4, 5 or 6 of Part 8A in accordance with such guidelines (if any) as may be approved by the Minister.
(2)  This clause ceases to have effect when regulations are made for the purposes of Division 4 of Part 8A, or 6 months after the date of commencement of this clause, whichever is the earlier.
sch 6: Am 1996 No 30, Sch 1.16 [4] [5]; 1997 No 21, Sch 1 [28] [29]; 1997 No 55, Sch 5; 1999 No 31, Sch 2.12 [1]–[5]; 1999 No 85, Sch 1.11 [18]; 2000 No 88, Sch 2 [2]; 2000 No 109, Sch 1 [64] [65]; 2002 No 122, Sch 1 [11] [12]; 2005 No 18, Sch 2.4 [2].
Dictionary
(Section 4)
approved electricity industry ombudsman scheme means a scheme approved under section 96B.
authorised officer means an authorised officer appointed under section 94.
council means the council of a local government area.
customer means a wholesale customer or a retail customer.
customer connection contract means a standard form customer connection contract or a negotiated customer connection contract.
customer connection services means any of the following services:
(a)  the connection of any premises to a distribution network service provider’s distribution system,
(b)  an increase in the maximum capacity of any premises’ existing connection to a distribution network service provider’s distribution system,
(c)  the maintenance of the capability for electricity to be supplied to any premises from a distribution network service provider’s distribution system,
and includes services of a kind prescribed by the regulations as being within this definition, but does not include services of a kind prescribed by the regulations as not being within this definition.
customer consultative group means a customer consultative group referred to in section 89.
customer supply contract means a standard form customer supply contract or a negotiated customer supply contract.
distribution district of a distribution network service provider specified in Schedule 3 means the distribution district described in that Schedule in relation to the service provider.
distribution network service provider means a person who owns or controls a distribution system.
distribution network service provider’s licence means a licence referred to in section 14.
distribution system means the electricity power lines and associated equipment and electricity structures that are used to convey and control the conveyance of electricity:
(a)  to the premises of wholesale and retail customers, up to the point of supply in relation to the premises (which may or may not be situated on the building or land comprising the premises), or
(b)  to, from and along the rail network electricity system,
but does not include a transmission system or any lines, equipment and structures prescribed by the regulations.
electrical installation means the electrical wiring and associated equipment that are used to convey and control the conveyance of electricity within premises to which electricity is supplied from a distribution system, but does not include anything connected to and extending or situated beyond an electrical outlet socket.
electricity generator means a person who owns or controls a generating system.
electricity network services means transmission services, and distribution services, within the meaning of the National Electricity Code that are regulated under Chapters 6 and 9 of that Code.
electricity structure means any structure (other than a building) that is used to carry overhead lines or associated equipment, and includes any structure that is used for the purposes of street lighting.
Electricity Tariff Equalisation Fund means the Fund constituted under section 43EN.
Electricity Tariff Equalisation Ministerial Corporation means the Corporation of that name constituted under section 43EM.
electricity works means any electricity power lines or associated equipment or electricity structures that form part of a transmission or distribution system.
exercise a function includes perform a duty.
financial year means a period of 12 months commencing on 1 July.
function includes a power, authority or duty.
generating system means the electrical equipment and associated electricity structures that are used to generate electricity for supply to a transmission or distribution system.
interstate wholesale market agreement means any arrangement, agreement or understanding entered into or agreed between the Market and System Operator and an interstate wholesale market operator for the operation of a wholesale market for electricity within New South Wales and some other State or Territory.
interstate wholesale market operator means an interstate body that operates a wholesale market for electricity in some other State or Territory.
licence means a distribution network service provider’s licence or a retail supplier’s licence.
National Electricity Code means the National Electricity Code, as in force from time to time, referred to in the National Electricity (NSW) Law.
National Electricity (NSW) Law means the provisions applying because of section 6 of the National Electricity (New South Wales) Act 1997, and includes the National Electricity Code, as in force from time to time, referred to in that Law.
negotiated customer connection contract means a contract entered into under Division 3 of Part 3.
negotiated customer supply contract means a contract entered into under Division 2 of Part 4.
NEMMCO has the same meaning as it has in Part 8A.
network operator means a transmission operator or distribution network service provider.
point of supply, in relation to the premises of a wholesale or retail customer or a class of wholesale or retail customers, means the point of supply to an electrical installation supplying electricity to the premises, as determined in accordance with the regulations.
premises includes any building or part of a building, any structure or part of a structure, any land (whether built on or not) and any river, lake or other waters.
public authority means a public or local authority constituted by or under an Act or a statutory body representing the Crown, and includes a Minister and a statutory State owned corporation and its subsidiaries.
public reserve has the same meaning as it has in the Local Government Act 1993.
public road has the same meaning as it has in the Roads Act 1993.
rail network electricity system means the rail network electricity system operated by Rail Corporation New South Wales, Rail Infrastructure Corporation or the State Rail Authority.
regulated retail charge means a security deposit, late payment fee or fee for a dishonoured bank cheque of an amount specified in a determination in force under Division 5 of Part 4.
regulated retail tariff means a tariff for or in relation to the supply of electricity required to be charged to a small retail customer under a standard form customer supply contract, being a tariff specified in a determination in force under Division 5 of Part 4.
retail customer means a person to whose premises electricity is supplied under a customer supply contract.
retail supplier means a person who holds a retail supplier’s licence.
retail supplier’s licence means a licence referred to in section 33.
roads authority has the same meaning as it has in the Roads Act 1993.
small retail customer—see section 92.
standard form customer connection contract means a contract entered into under Division 2 of Part 3.
standard form customer supply contract means a contract entered into under Division 3 of Part 4.
standard retail supplier means a retail supplier to whose retail supplier’s licence is attached a standard retail supplier’s endorsement as referred to in section 33A.
supply, in relation to electricity, means the supply of electricity by means of a transmission or distribution system.
supply district of a standard retail supplier means the supply district described in a condition of the standard retail supplier’s licence.
transmission operator means a person who owns or controls a transmission system.
transmission system means any electricity power lines and associated equipment and electricity structures that are a transmission system by virtue of an order in force under section 93.
Tribunal means the Independent Pricing and Regulatory Tribunal established under the Independent Pricing and Regulatory Tribunal Act 1992.
unincorporated area means such part of the land within the Western Division of the State as is not within a local government area.
wholesale customer means a person to whose premises electricity is supplied under a wholesale supply arrangement.
wholesale market access regime means a regime established under the National Electricity (NSW) Law for the granting of access to a transmission system or distribution system.
wholesale supply arrangement means an arrangement (other than a customer supply contract) for the supply of electricity, and includes any such arrangement entered into (or taken to have been entered into) under the National Electricity (NSW) Law.
wholesale trader means a person:
(a)  who enters into wholesale supply arrangements, or
(b)  who buys, sells or otherwise deals in rights to the supply of electricity arising under wholesale supply arrangements.
Dictionary: Am 1996 No 56, Sch 2.8 [4] [5]; 1997 No 20, Sch 1.3 [22]–[25]; 1997 No 21, Sch 1 [30]–[32]; 1997 No 36, Sch 1 [5]; 1998 No 8, Sch 2.4 [2]; 1998 No 68, Sch 2.3; 1998 No 78, Sch 1 [7]; 1999 No 35, Sch 1 [5]; 1999 No 85, Sch 1.11 [19] [20]; 2000 No 60, Sch 1.2 [18]; 2000 No 109, Sch 1 [66]–[71]; 2003 No 96, Sch 3.3 [2]; 2004 No 91, Sch 2.26; 2005 No 17, Sch 1 [21] [22].