Biodiversity Conservation Regulation 2017



Part 1 Preliminary
1.1   Name of Regulation
This Regulation is the Biodiversity Conservation Regulation 2017.
1.2   Commencement
This Regulation commences on 25 August 2017 and is required to be published on the NSW legislation website.
1.3   Definitions
(1)  In this Regulation—
national park estate and other conservation areas means any of the following areas—
(a)  a wilderness area declared under the Wilderness Act 1987,
(b)  land reserved under the National Parks and Wildlife Act 1974 or acquired by the Minister administering that Act under Part 11 of that Act,
(c)  land dedicated or set apart as a flora reserve under the Forestry Act 2012 (or any Act repealed by that Act),
(d)  land to which an interim heritage order or listing on the State Heritage Register under the Heritage Act 1977 applies,
(e)  a declared area of outstanding biodiversity value under the Act,
(f)  an area declared to be critical habitat under Division 3 of Part 7A of the Fisheries Management Act 1994,
(g)  a declared World Heritage property within the meaning of the Environment Protection and Biodiversity Conservation Act 1999 of the Commonwealth,
(h)  land dedicated or reserved under the Crown Lands Act 1989 for similar public purposes for which land is reserved, declared or listed under the other Acts referred to in this definition,
(i)  land to which an interim protection order under Part 11 of the Act applies,
(j)  Lord Howe Island.
variation rules—see clause 6.4.
Note.
The Act and the Interpretation Act 1987 contain definitions and other provisions that affect the interpretation and application of this Regulation.
(2)  Notes included in this Regulation do not form part of this Regulation.
cl 1.3: Am 2019 (552), Sch 1[1].
1.4   Additional biodiversity values (section 1.5 of the Act)
The following are prescribed as additional biodiversity values for the purposes of the Act—
(a)  threatened species abundance—being the occurrence and abundance of threatened species or threatened ecological communities, or their habitat, at a particular site,
(b)  vegetation abundance—being the occurrence and abundance of vegetation at a particular site,
(c)  habitat connectivity—being the degree to which a particular site connects different areas of habitat of threatened species to facilitate the movement of those species across their range,
(d)  threatened species movement—being the degree to which a particular site contributes to the movement of threatened species to maintain their lifecycle,
(e)  flight path integrity—being the degree to which the flight paths of protected animals over a particular site are free from interference,
(f)  water sustainability—being the degree to which water quality, water bodies and hydrological processes sustain threatened species and threatened ecological communities at a particular site.
1.5   Fee unit for purposes of this Regulation
(1)  For the purposes of this Regulation, a fee unit is—
(a)  in the financial year 2017/2018—$100, and
(b)  in each subsequent financial year—the amount calculated as follows—
 
where—
A is the CPI number for the March quarter in the financial year immediately preceding the financial year for which the amount is calculated.
B is the CPI number for the March quarter of 2017.
(2)  The amount of a fee unit and the amount of a fee calculated by reference to a fee unit is to be rounded to the nearest dollar (and an amount of 50 cents is to be rounded down).
(3)  However, if the amount of a fee unit calculated for any financial year is less than the amount that applied for the previous financial year, then the amount for that previous financial year applies instead.
(4)  As soon as practicable after the CPI number for the March quarter is first published by the Australian Statistician, the Environment Agency Head is required to publish on the NSW legislation website a notice of the amount of the fee unit for the next financial year. That notice may be published by the addition of an editorial note relating to the amount of the fee unit in the in force version of this Regulation published on the NSW legislation website.
(5)  The Environment Agency Head is also required to give public notice on an appropriate government website of the actual amounts of the fees applying in each financial year resulting from the application of the amount of fee unit calculated under this clause.
(6)  This clause operates to change an amount of a fee that is calculated by reference to a fee unit and that change is not dependent on the publication of a notice by the Environment Agency Head under this clause.
(7)  In this clause—
CPI number means the Consumer Price Index (All Groups Index) for Sydney published by the Australian Bureau of Statistics in the latest published series of that index.
financial year means a period of 12 months commencing on 1 July.
Note.
See section 14.6 of the Act with respect to recovery, waiver or refund of fees.
Editorial note.
Fee unit amount calculated under this clause—
Financial year
Fee unit amount
2018–2019
$102
2019–2020
$103
2020–2021
$105
2021–2022
$106
2022–2023
$111
2023–2024
$119
2024–2025
$124
Part 2 Protection of animals and plants
Division 2.1 Protection of marine mammals
2.1   Definitions
In this Division—
approach a marine mammal includes operate an aircraft or vessel that approaches the marine mammal.
aircraft means any airborne craft, including a fixed wing craft, helicopter, gyrocopter, glider, hang glider, hot air balloon, airship or unmanned aircraft.
calf means a whale, dolphin or dugong that is not more than half the length of an adult of the same species.
constant slow speed, in relation to a marine mammal or group of marine mammals that is being approached, means a speed of approach to the marine mammal or group that is constant, slow and leaves negligible wake.
dolphin means an animal of the family Delphinidae or Phocoenidae (other than a killer whale (Orcinus orca)).
dugong means an animal of the species Dugong dugon.
marine mammal means an animal of the order Cetacea or Sirenia or the family Otariidae or Phocidae.
operate a vessel includes—
(a)  to determine or exercise control over the course or direction of the vessel or over the means of propulsion of the vessel (whether or not the vessel is underway), and
(b)  to pilot the vessel.
prohibited vessel means a vessel that is a personal motorised water craft (for example, a jet ski), parasail, hovercraft, wing-in-ground effect craft or a motorised diving aid (for example, a motorised underwater scooter) and includes a remotely operated water craft (for example, a remote controlled speed boat).
pup means a seal or sea lion that is not more than half the length of an adult of the same species.
seal or sea lion means an animal of the family Otariidae or Phocidae.
swimming includes snorkelling or diving.
unmanned aircraft means any unmanned airborne craft, including a drone or other remotely piloted airborne craft.
vessel includes a water craft of any description that is used or capable of being used as a means of transportation on water, but does not include an aircraft that is capable of landing on water.
whale means an animal of the order Cetacea other than a dolphin and includes a killer whale (Orcinus orca).
cl 2.1: Am 2020 (598), Sch 1[1]–[4].
2.2   Interfering with marine mammals
(1)  A person must not interfere with a marine mammal.
Maximum penalty—Tier 2 monetary penalty.
(2)  In this clause, interfere with includes harass, chase, herd, tag, mark and brand.
2.3   Approaching marine mammals
(1)  A person must not approach a marine mammal any closer than the distance declared by or under this clause.
Maximum penalty—Tier 2 monetary penalty.
(2)  The following distances are declared for any marine mammal (except a marine mammal to which subclause (3) or (4) applies)—
(a)  300 metres—if the person is approaching a whale, dolphin or dugong and is on, or using, a prohibited vessel,
(b)  100 metres—if the person is approaching a whale and is on, or using, a vessel other than a prohibited vessel,
(c)  50 metres—if the person is approaching a dolphin or dugong and is on, or using, a vessel other than a prohibited vessel,
(d)  30 metres—if the person is approaching a whale, dolphin or dugong and is swimming,
(e)  a height lower than 100 metres within a horizontal radius of 100 metres—if the person is operating an unmanned aircraft,
(f)  a height lower than 300 metres within a horizontal radius of 300 metres—if the person is operating an aircraft (other than a helicopter, gyrocopter or unmanned aircraft),
(g)  a height lower than 500 metres within a horizontal radius of 500 metres—if the person is operating a helicopter or gyrocopter,
(h)  10 metres—if the person is approaching a seal or sea lion (other than a pup) that is in the water and the person is in, or on, a vessel or is swimming or is a pedestrian,
(i)  40 metres—if the person is approaching a seal or sea lion (other than a pup) that is hauled out on land and the person is swimming, operating a vessel or vehicle or is a pedestrian,
(j)  80 metres—if the person is approaching a pup.
(3)  The following distances are declared for any whale, dolphin or dugong that is predominantly white in colour and that is approached by a person operating a vessel or aircraft—
(a)  500 metres—if the person is operating a vessel,
(b)  a height lower than 610 metres within a horizontal radius of 610 metres—if the person is operating an aircraft (other than an unmanned aircraft),
(c)  a height lower than 100 metres within a horizontal radius of 100 metres—if the person is operating an unmanned aircraft.
(4)  The Environment Agency Head may, by order, declare a special protection approach distance for a marine mammal described in the order that is approached by a person in the circumstances described in the order if satisfied that the marine mammal is—
(a)  a dugong or other rarely sighted species of marine mammal, or
(b)  a morphological or colour-variant marine mammal, or
(c)  a female marine mammal that has recently given, or is about to give, birth, or
(d)  a calf separated from a mother or group of marine mammals, or
(e)  a sick or injured marine mammal, or
(f)  at risk of harassment, injury or death.
An order under this subclause is required to be published in the Gazette as soon as practicable after it is made and has effect for the period (not exceeding 6 months) specified in the order.
(5)  Until the order declaring a special protection approach distance is so published, the order does not apply to any persons who establish that they were not aware of the declaration.
(6)  This clause does not apply to a person approaching a marine mammal in the following circumstances—
(a)  the person is approaching in the course of taking action that is reasonably necessary to prevent a risk to human health or to deal with a serious threat to human life or property,
(b)  the person is approaching in the course of taking action in the person’s capacity as an officer of or person acting on behalf of a law enforcement agency and the action is reasonably necessary for the purposes of law enforcement,
(c)  the person is approaching in the course of taking an action in the person’s capacity as a fisheries officer under the Fisheries Management Act 1994 and the action is reasonably necessary for the purposes of exercising a law enforcement function conferred on the officer under that Act,
(d)  the person is approaching in the course of taking action that is a result of an unavoidable accident, other than an accident caused by the person’s negligent or reckless behaviour,
(e)  the person is approaching in the course of taking any action as a result of the person being given a direction by an authorised officer (within the meaning of Part 12 of the Act) and that is being taken in accordance with that direction.
(7)  In this clause—
law enforcement agency means—
(a)  the NSW Police Force or the police force of another State or Territory, or
(b)  the Australian Federal Police, or
(c)  the New South Wales Crime Commission, or
(d)  Transport for NSW, or
(e)  the Department of Climate Change, Energy, the Environment and Water.
cl 2.3: Am 2020 (598), Sch 1[5]; 2024 No 47, Sch 1.3[1].
2.4   Operation of prohibited vessels approached by marine mammals
A person operating a prohibited vessel that is being approached by a whale, dolphin or dugong must move away from the whale, dolphin or dugong at a constant slow speed so that the vessel remains at least 300 metres away from the whale, dolphin or dugong.
Maximum penalty—Tier 2 monetary penalty.
2.5   Operation of vessels that are not prohibited vessels
(1)  In this clause—
caution zone for a whale, dolphin or dugong means an area around the whale, dolphin or dugong of a radius of the following—
(a)  for a dolphin or dugong (including a calf)—150 metres,
(b)  for a whale (including a calf)—300 metres.
(2)  Within the caution zone for a whale, dolphin or dugong (other than a calf), a person operating a vessel that is not a prohibited vessel—
(a)  must operate the vessel at a constant slow speed and in a manner that consistently minimises noise, and
(b)  must make sure that the vessel does not drift closer than—
(i)  for a dolphin or dugong—50 metres, or
(ii)  for a whale—100 metres, and
(c)  if the whale, dolphin or dugong shows signs of being disturbed—must immediately withdraw the vessel from the caution zone at a constant slow speed, and
(d)  if there is more than one person on the vessel—must post a lookout for whales, dolphins or dugongs, and
(e)  without limiting paragraph (b), must approach a whale, dolphin or dugong only—
(i)  from the rear, at an angle of no closer than 30 degrees to its observed direction of travel, or
(ii)  by positioning the vessel ahead of the whale, dolphin or dugong at more than 30 degrees from its observed direction of travel, and
(f)  must make sure the vessel does not restrict the path of the whale, dolphin or dugong, and
(g)  must make sure the vessel is not used to pursue the whale, dolphin or dugong.
For the purposes of paragraph (c), signs of disturbance include regular changes in direction or speed of swimming, hasty dives, changes in breathing patterns, changes in acoustic behaviour or aggressive behaviour such as tail slashing or trumpet blows.
(3)  A person operating a vessel that is not a prohibited vessel must not allow the vessel to enter the caution zone of a calf.
(4)  If a calf approaches a vessel that is not a prohibited vessel so that the vessel comes within the caution zone of the calf, the person operating the vessel—
(a)  must immediately stop the vessel, and
(b)  must—
(i)  turn off the vessel’s engines, or
(ii)  disengage the vessel’s gears, or
(iii)  withdraw the vessel from the caution zone at a constant slow speed.
(5)  A person operating a vessel that is not a prohibited vessel must not enter the caution zone of a whale, dolphin or dugong if there are more than 2 vessels in the caution zone.
(6)  If a whale (other than a calf) approaches a vessel that is not a prohibited vessel or comes within the limits specified in subclause (2)(b), the person operating the vessel must—
(a)  disengage the vessel’s gears and let the whale approach, or
(b)  reduce the speed of the vessel and continue on a course away from the whale.
(7)  If a dolphin or dugong (other than a calf) approaches a vessel that is not a prohibited vessel or comes within the limits specified in subclause (2)(b), the person operating the vessel must not suddenly change the course or speed of the vessel.
Maximum penalty—Tier 2 monetary penalty.
2.6   Operation of aircraft in vicinity of marine mammals
(1)  A person must not operate an aircraft so as to approach a marine mammal from head-on for the purpose of observing a marine mammal.
(2)  A person must not operate an aircraft so as to hover over a marine mammal.
(3)  A person must not land an aircraft on water for the purpose of observing a marine mammal.
Maximum penalty—Tier 2 monetary penalty.
2.7   Feeding marine mammals
(1)  A person must not intentionally feed or attempt to feed a marine mammal that is in its natural environment.
Maximum penalty—Tier 2 monetary penalty.
(2)  In this clause—
feed a marine mammal includes throwing food or rubbish in the water near a marine mammal.
2.8   Swimming with whales, dolphins or dugongs
(1)  A person must not enter water within 100 metres of a whale or within 50 metres of a dolphin or dugong.
(2)  If any whale, dolphin or dugong comes within 30 metres of a person who is in the water, the person—
(a)  must move slowly to avoid startling it, and
(b)  must not touch it or move towards it.
Maximum penalty—Tier 2 monetary penalty.
2.8A   Breeding or importing animal of the order Cetacea
(1)  A person must not, in relation to an animal of the order Cetacea—
(a)  import the animal into New South Wales, or
(b)  cause or permit the animal under the control of the person to breed.
Maximum penalty—Tier 2 monetary penalty.
(2)  For section 2.7(4) of the Act, the actions listed in subclause (1) in relation to an animal of the order Cetacea constitute harming a marine mammal for the purposes of the Act.
cl 2.8A: Ins 2021 (73), cl 3.
Note.
Section 2.10 of the Act provides that it is a defence to a prosecution for an offence under this Division if the person charged establishes that the act that constituted the offence was authorised by and done in accordance with a biodiversity conservation licence. Section 2.7(5) of the Act prevents the issue of biodiversity conservation licences that authorise harm to marine mammals or the obtaining of marine mammals for exhibition or other purposes unless it is necessary for genuine scientific or educational purposes or any other purpose connected with the conservation or protection of marine mammals.
Division 2.2 Defences and other exclusions
2.9   Defences provided by codes of practice (section 2.9)
(1)  It is a defence to a prosecution for an offence under Division 1 of Part 2 of the Act if the person charged establishes that the act that constitutes the offence was authorised by, and done in accordance with, a code of practice relating to animals or plants that is published by order of the Minister on the NSW legislation website.
Note.
Division 1 of Part 9 of the Act requires the Minister to undertake public consultation on a proposed code of practice.
(2)  Any such code of practice may be made by the Minister or may be a code of practice made by another person or body and adopted by the Minister.
(3)  Any such code of practice may limit the offences for which the code provides a defence.
2.10   Emergency response in respect of marine mammals (section 2.9)
(1)  It is a defence to a prosecution for an offence under Division 1 of Part 2 of the Act if the person charged establishes that the act that constitutes the offence was part of an emergency response carried out in relation to any marine mammal by or under the authority of—
(a)  an authorised officer under Part 12 of the Act, or
(b)  an employee of the Public Service in the course of the administration of or the exercise of functions under the Act, the Fisheries Management Act 1994 or the Marine Estate Management Act 2014.
(2)  In this clause—
emergency response includes intervention for the purposes of providing assistance to marine mammals that are entangled or stranded, that are suffering trauma or injury resulting from being struck by a vessel, that are threatened by disease or that otherwise require immediate intervention and assistance.
Note.
The offences in Division 2.1 above are offences arising under Division 1 of Part 2 of the Act and are accordingly offences to which this defence applies.
2.11   Authority to liberate homing pigeons (section 2.6(3))
For the purposes of section 2.6 of the Act, a person is authorised to liberate a homing pigeon.
2.12   Harming snakes (section 2.9)
It is a defence to a prosecution for an offence under Division 1 of Part 2 of the Act if the act that constitutes the offence was harming a snake, unless the prosecution establishes that the person charged did not have any reasonable grounds to believe that the snake was endangering or likely to endanger any person or property at the time it was harmed.
2.13   Authority to harm or pick in reserved areas etc under NPW Act (section 2.9)
It is a defence to a prosecution for an offence under Division 1 of Part 2 of the Act if the person charged establishes that the act that constitutes the offence was authorised by, and done in accordance with, an authority given under section 171 of the National Parks and Wildlife Act 1974.
2.14   Authority conferred by property management plan under former TSC Act (section 2.9)
It is a defence to a prosecution for an offence under Division 1 of Part 2 of the Act if the person charged establishes that the act that constitutes the offence was authorised by, and done in accordance with, a property management plan approved under section 113B of the Threatened Species Conservation Act 1995 before the repeal of that Act.
2.15   Protecting distressed animals (section 2.9)
(1)  It is a defence to a prosecution for an offence under section 2.5 of the Act constituted by the possession of an animal if the person charged establishes that—
(a)  the animal was not capable of fending for itself, and
(b)  the person notified the Environment Agency Head in writing of the person’s possession of the animal within 3 days after the animal came into the person’s possession, and
(c)  the person complied with any direction given to the person by the Environment Agency Head with respect to the animal.
(2)  This clause does not apply to a marine mammal (within the meaning of Division 2.1) or a marine turtle.
2.16   Landholder possessing naturally occurring plants on the land (section 2.9)
It is a defence to a prosecution for an offence for an offence under section 2.5 of the Act constituted by the possession of a plant on any land if the person charged establishes that—
(a)  the plant naturally occurs on the land, and
(b)  the person is a landholder of the land.
2.17   Picking protected plants on private land by or with consent of landholder (section 2.9)
It is a defence to a prosecution for an offence under Division 1 of Part 2 of the Act constituted by the picking of a protected plant on any land if the person charged establishes that—
(a)  the plant was grown or cultivated on the land, and
(b)  the person is a landholder of the land or had the consent of the landholder to pick the plant.
2.18   Buying, selling or otherwise dealing in plants obtained from commercial plant grower (section 2.9)
It is a defence to a prosecution for an offence under section 2.5 of the Act constituted by dealing (or attempting to deal) in any plant if the person charged establishes that the plant was obtained from a person who was authorised to grow, pick or sell the plant by a licence under the Act.
2.19   Authorised import or export of protected plants (section 2.9)
It is a defence to a prosecution for an offence under section 2.5 of the Act constituted by importing into, or exporting from, New South Wales (or attempting to so import or export) a protected plant if the person charged establishes that—
(a)  the plant was tagged in accordance with relevant requirements made under the Act, or
(b)  in the case of the import of a plant from a State or Territory that requires the plant to be tagged—the plant was tagged in accordance with those requirements.
2.20   Dealing in meat and other products of protected animals or plants lawfully killed or picked (section 2.9)
(1)  It is a defence to a prosecution for an offence under section 2.5 of the Act constituted by any of the following—
(a)  a dealing in any meat derived from a protected animal that was lawfully killed for the purposes of sale (other than a dealing in the carcass of a kangaroo),
(b)  a dealing in any product derived from an emu that was lawfully killed for the purposes of sale,
(c)  a dealing in any manufactured article derived from the skin of a protected animal that was lawfully killed for the purposes of sale (other than an article that is an unprocessed or processed skin),
(d)  a dealing in any manufactured article derived from a protected plant (for example, wood or oils) that was lawfully picked.
(2)  For the purposes of this clause, a reference to an animal or plant that is lawfully killed or picked is a reference to an animal or plant that is lawfully killed or picked under the Act or under a corresponding law of the Commonwealth or of another State or Territory.
2.21   Harm to swamphens, raven, crow, cockatoo or galah (section 2.9)
It is a defence to a prosecution for an offence under section 2.1 of the Act if the person charged establishes that the act that constitutes the offence was causing harm to any of the following species of animal and was not for sporting or recreational purposes—
(a)  purple swamphens (Porphyrio porphyrio)—but only if—
(i)  the harm is for the purpose of mitigating damage to commercial rice crops, and
(ii)  the harm occurs between 1 December and the following 30 April, and
(iii)  the harm occurs in the Riverina and Murray Local Land Services regions, and
(iv)  the harm does not occur in national park estate and other conservation areas,
(b)  Australian raven (Corvus coronoides), forest raven (Corvus tasmanicus), little raven (Corvus mellori), Australian crow (Corvus orru) or little crow (Corvus bennetti)—but only if the harm occurs outside the Greater Sydney Local Land Services region, and outside national park estate and other conservation areas,
(c)  sulphur-crested cockatoo (Cacatua galerita) or galah (Eolophus roseicapillus)—but only if the harm occurs in the Western, North West, Central West, Riverina and Murray Local Land Services regions, and outside national park estate and other conservation areas.
Note.
See also section 6A of the Game and Feral Animal Control Act 2002.
2.22   Exclusion of certain animals from offence of dealing in animals (section 2.5)
(1)  This clause applies to the offence of dealing or attempting to deal in an animal under section 2.5 of the Act.
(2)  The offence does not apply to the following—
Sulphur-crested cockatoo (Cacatua galerita),
Western corella (Cacatua pastinator butleri),
Galah (Eolophus roseicapillus),
Little corella (Cacatua sanguinea),
Long-billed corella (Cacatua tenuirostris),
Cockatiel (Nymphicus hollandicus),
Scaly-breasted lorikeet (Trichoglossus chlorolepidotus),
Rainbow lorikeet (Trichoglossus haematodus),
Red-collared lorikeet (Trichoglossus rubritorquis),
Musk lorikeet (Glossopsitta concinna),
Princess parrot (Polytelis alexandrae),
Pale-headed rosella (Platycercus adscitus),
Adelaide rosella (Platycercus elegans adelaidae),
Yellow rosella (Platycercus elegans flaveolus),
Eastern rosella (Platycercus eximius),
Western rosella (Platycercus icterotis),
Red-capped parrot (Purpureicephalus spurious),
Twenty-eight parrot (Barnardius zonarius semitorquatus),
Port lincoln parrot (Barnardius zonarius zonarius),
Hooded parrot (Psephotus dissimilis),
Red-rumped parrot (Psephotus haematonotus),
Bourke’s parrot (Neopsephotus bourkii),
Elegant parrot (Neophema elegans),
Scarlet-chested parrot (Neophema splendida),
Budgerigar (Melopsittacus undulatus),
King quail (Coturnix chinensis),
Stubble quail (Coturnix pectoralis),
Brown quail (Coturnix ypsilophora),
Painted button-quail (Turnix varia),
Little button-quail (Turnix velox),
Diamond dove (Geopelia cuneata),
Bar-shouldered dove (Geopelia humeralis),
Peaceful dove (Geopelia striata),
Common bronzewing (Phaps chalcoptera),
Crested pigeon (Ocyphaps lophotes),
Emerald dove (Chalcophaps indica),
Star finch (Neochmia ruficauda),
Painted finch (Emblema pictum),
Gouldian finch (Erythrura gouldiae),
Blue-faced parrot finch (Erythrura trichroa),
Zebra finch (Taeniopygia guttata).
cl 2.22: Am 2020 (598), Sch 1[6].
2.23   Pest control (section 2.9)
(1)  It is a defence to a prosecution for an offence under Division 1 of Part 2 of the Act constituted by the harming of a protected animal if the person charged establishes that the act that constitutes the offence was the use of a pesticide—
(a)  for the control of a pest that is not a protected animal, and
(b)  in accordance with any pesticide control order or other requirement of the Pesticides Act 1999.
(2)  In this clause, pesticide, pest and pesticide control order have the same meanings as in the Pesticides Act 1999.
2.24   Exclusions from defence for acts done by Aboriginal persons for domestic purposes (section 2.8(1)(k))
(1)  This clause applies to the defence under section 2.8(1)(k) of the Act.
(2)  The defence does not apply in relation to—
(a)  a parrot, or
(b)  a raptor, or
(c)  an animal that is of a threatened species, or
(d)  an animal that is part of a threatened ecological community.
2.25   Acts authorised by joint management agreements
(1)  This clause applies to the defence under section 2.8(1)(n) of the Act relating to acts authorised by a joint management agreement entered into in accordance with the regulations between the Minister and one or more public authorities for the management or control of any action that is jeopardising the survival of a threatened species or threatened ecological community.
(2)  The Minister may enter into such a joint management agreement. Other persons may also be parties to a joint management agreement.
(3)  The parties to a joint management agreement may amend the agreement by a further joint management agreement.
(4)  A joint management agreement is to contain terms, binding on all parties, that—
(a)  identify the threatened species or threatened ecological community to which the agreement applies, and
(b)  identify the action that it manages, controls, regulates or restricts, and
(c)  state its objective (for example, maintenance of a habitat in a state that will contribute to the long-term survival of the species or ecological community), and
(d)  state the way in which the objective is to be achieved, and
(e)  specify the measures by which progress towards achieving the objective is to be assessed, and
(f)  identify the parties who are responsible for the implementation of those measures.
(5)  A joint management agreement entered into with a public authority is void to the extent to which it fetters any discretion of the public authority in the granting or refusal of a planning approval (within the meaning of Part 6 of the Act) or an approval under the Local Government Act 1993.
(6)  A joint management agreement under this clause and a joint management agreement under Division 8 of Part 7A of the Fisheries Management Act 1994 may be combined into a single document if both agreements deal with the same subject-matter.
(7)  The Minister must, before entering into a joint management agreement—
(a)  give a copy of the draft agreement to the Threatened Species Scientific Committee for review, and
(b)  give the public an opportunity to make submissions on the draft agreement.
Division 1 of Part 9 of the Act applies to the draft agreement in the same way as it applies to a public consultation document under that Division.
(8)  Before a joint management agreement is entered into, the Threatened Species Scientific Committee must review the draft joint management agreement and provide the Minister with comments on the review by the date specified for the making of public submissions on the draft agreement.
(9)  The Minister must consider all written submissions received by the Minister on or before the date specified for the making of public submissions about the draft agreement.
(10)  The Minister may, with the consent of the other parties to the agreement, amend the draft joint management agreement to take into account any of those submissions and any comments made by the Threatened Species Scientific Committee about the draft agreement.
(11)  The Threatened Species Scientific Committee must also—
(a)  conduct an annual review of the performance of all parties to a joint management agreement, and
(b)  advise the Minister of any deficiencies in implementation of any joint management agreement by any party to it.
The Threatened Species Scientific Committee’s advice on the annual review of joint management agreements is to be set out in the annual report of the Environment Agency Head to Parliament or is to be available for public inspection at a place specified in that annual report.
2.25A    Activities resulting from bee keeping and grazing authorised by forest permit (section 2.9)
(1)  It is a defence to a prosecution for an offence under the Act, Part 2, Division 1, if the person charged establishes that the activity resulting in the offence was—
(a)  bee keeping or grazing, and
(b)  authorised by, and done in accordance with, a forest permit, and
(c)  occurred on land to which the forest permit applies.
(2)  In this clause—
bee keeping has the same meaning as in the standard instrument prescribed by the Standard Instrument (Local Environmental Plans) Order 2006.
forest permit has the same meaning as in the Forestry Act 2012.
grazing means grazing of cattle or other livestock.
cl 2.25A: Ins 2022 (684), sec 3.
Division 2.3 Biodiversity conservation licences
2.26   Assessment of application for licence (section 2.17)
The Environment Agency Head may take the following matters into consideration in determining an application for a biodiversity conservation licence—
(a)  any likely impact of the activity to be authorised by the licence on—
(i)  any protected animals or protected plants, and
(ii)  any animals or plants that are of a threatened species, and
(iii)  any animals or plants that are part of a threatened ecological community, and
(iv)  the habitat of any such animals or plants,
(b)  any likely contribution of the activity to be authorised by the licence to the conservation of matters referred to in paragraph (a),
(c)  any likely impact of the activity to be authorised by the licence on national park estate and other conservation areas,
(d)  whether the activity to be authorised by the licence is directed at preventing or minimising a threat or potential threat to human health, safety or well-being,
(e)  whether the activity to be authorised by the licence is directed at preventing or minimising damage or loss to property that is being or likely to be caused by an animal,
(f)  any relevant management plan referred to in Division 2.4,
(g)  the public interest,
(h)  any other matter the Environment Agency Head considers relevant.
2.27   Persons eligible to hold a licence (section 2.17)
(1)  A person is not eligible to hold a biodiversity conservation licence unless the Environment Agency Head is satisfied that the person is a fit and proper person to hold the licence.
(2)  The Environment Agency Head may, in determining whether an applicant for a biodiversity conservation licence is a fit and proper person to hold the licence, have regard to any of the following matters—
(a)  whether the applicant has contravened any relevant legislation or any licence or other authority under relevant legislation,
(b)  whether the applicant was a director or other person concerned in the management of a corporation that has contravened any relevant legislation or any licence or other authority under relevant legislation,
(c)  whether, in the opinion of the Environment Agency Head, the applicant is of good repute having regard to character, honesty and integrity.
(d)  whether the applicant is a partner or other associate of a person whom the Environment Agency Head considers is not a fit and proper person to hold such a licence,
(e)  whether the applicant has the technical competencies required to undertake the activities to be authorised by the licence.
(3)  For the purposes of this clause, relevant legislation means any of the following—
(a)  the Act,
(b)  this Regulation or any other statutory instrument made under the Act,
(c)  any Act repealed by the Act or any statutory instrument made under any such repealed Act,
(d)  Part 5A of the Local Land Services Act 2013 or any statutory instrument made under that Part,
(f)  any other Act or statutory instrument of the State, the Commonwealth, any other State or Territory or any other country that relates to the protection of the environment, the welfare of animals or other matter that the Environment Agency Head considers relevant in determining whether a person is a fit and proper person to hold a licence.
2.28   Standard application fee for licence (section 2.12)
An application for a biodiversity conservation licence is to be accompanied by a standard fee of—
(a)  in the case of a licence that authorises a person to harm kangaroos or deal in kangaroos that are harmed under the licence—$150, or
(b)  in the case of a licence that authorises a person to deal in kangaroos only—$300, or
(c)  in any other case—$30.
Note.
Section 2.12 of the Act enables the Environment Agency Head to determine an additional application fee if the cost of determining the application exceeds the standard fee. Section 14.6 of the Act provides for the recovery, waiver or refund of fees.
cl 2.28: Am 2020 (598), Sch 1[7].
2.29   Time for dealing with application for licence (section 2.17)
(1)  The Environment Agency Head is to determine an application for a biodiversity conservation licence—
(a)  within 28 days after the date on which the application has been duly made, or
(b)  if the Environment Agency Head determines that additional time is required to determine the licence, within 56 days after that date.
(2)  Any period after the applicant is required by the Environment Agency Head under section 2.12(3) of the Act to provide additional information and until that additional information is provided is not to be counted in calculating that 28-day or 56-day period.
(3)  An application for a biodiversity conservation licence that has not been determined is taken to have been refused—
(a)  after the expiration of the period within which the Environment Agency Head is required by this clause to determine the application, or
(b)  after the expiration of the period of 90 days after the application was made,
whichever is the latter.
Note.
Section 2.16 of the Act confers a right of appeal to the Land and Environment Court against the refusal of an application for a licence.
(4)  The Environment Agency Head may grant or refuse an application for a biodiversity licence even if the application for the licence is taken to have been refused under subsection (3).
(5)  For the purposes of this clause, an application for a licence is not duly made unless the applicant has complied with the requirements of section 2.12(1) and (2) of the Act in relation to the application.
2.30   Time for appeal against licence decisions (section 2.16(4))
(1)  An appeal by an applicant for, or by the holder of, a biodiversity conservation licence is to be made within 28 days after the date the applicant or holder is given notice of the decision.
(2)  If an application for a licence is taken to have been refused under clause 2.29, the appeal is to be made within 28 days after the date the application is taken to have been so refused.
Division 2.4 Management plans for protected animals and plants
2.31   Environment Agency Head may make or adopt management plans (section 2.19(2)(d))
(1)  The Environment Agency Head may make or adopt a management plan in relation to the conservation of any of the following that may be adversely affected by any commercial activity—
(a)  a protected animal or protected plant,
(b)  an animal or plant that is of a threatened species,
(c)  an animal or plant that is a part of a threatened ecological community.
(2)  The Environment Agency Head is to take the following matters into consideration in deciding whether to make or adopt a management plan—
(a)  the ecology of the species,
(b)  the sustainability of the proposed management regime,
(c)  Aboriginal cultural practices in relation to the species,
(d)  whether limits need to be placed on the number of biodiversity conservation licences that may be granted for a commercial activity if a licence is required for that activity,
(e)  whether it is necessary to monitor the commercial activity,
(f)  any other matter the Environment Agency Head considers relevant.
2.32   Public consultation on management plans
Division 1 of Part 9 of the Act applies to a management plan in the same way as it applies to a public consultation document under that Division.
2.33   Biodiversity conservation licences may require compliance with management plans
A biodiversity conservation licence may require compliance with a management plan under this Division in connection with the carrying out of any activity authorised by the licence.
Note.
For example, a biodiversity conservation licence that is granted to a person to authorise the person to sell protected animals or plants may require the animal or plant to be tagged in accordance with a management plan under this Division. A contravention of that tagging requirement results in the person not having a defence to a prosecution for an unauthorised dealing in the protected animal or plant under section 2.5 of the Act.
Division 2.5 Miscellaneous
2.34   Definition of “relevant instrument”
In this Division—
relevant instrument means a biodiversity conservation licence, a code of practice under clause 2.9 or a management plan under Division 2.4.
2.35   Registration of persons or premises in relation to dealing in protected animals or plants (section 2.19(2)(b))
(1)  A relevant instrument may require—
(a)  persons who deal in protected animals or protected plants, as referred to in section 2.5 of the Act, to be registered by the Environment Agency Head, or
(b)  premises used by a person for the purposes of dealing in protected animals or protected plants to be registered by the Environment Agency Head.
(2)  The relevant instrument may—
(a)  provide for the cancellation of any such registration for a contravention of the Act, this Regulation or any other statutory instrument made under the Act, and
(b)  require the payment of a fee for registration.
2.36   Tagging of protected animals or plants (section 2.19(2)(c))
(1)  A relevant instrument may require a tag to be attached to a protected animal or protected plant that is harmed or picked or that is subject to a dealing referred to in section 2.5 of the Act.
(2)  For the purposes of any such requirement, the relevant instrument may—
(a)  specify the manner in which the tag is to be attached to the animal or plant, and
(b)  specify the place on the animal or plant where the tag is to be attached, and
(c)  specify the type of tag that is to be attached to the animal or plant, and
(d)  require the tag that is attached to be purchased from the Environment Agency Head, and
(e)  restrict the number of tags that are available to be purchased from the Environment Agency Head during a specified period.
2.37   Keeping of records etc with respect to dealing in protected animals or plants (section 2.19(2)(c))
(1)  A relevant instrument may require a person who deals in protected animals or protected plants, as referred to in section 2.5 of the Act, to keep records of any matter relating to the dealing in the animals or plants and to produce any such record on request to an authorised officer under Part 12 of the Act.
(2)  A relevant instrument may require a person who deals in protected animals or protected plants, as referred to in section 2.5 of the Act, to notify the Environment Agency Head of any matter relating to the dealing in the animals or plants.
2.38   Offences relating to registration, tagging and record keeping (section 2.19(2))
(1)  A person to whom a relevant instrument applies and who contravenes a requirement of the instrument relating to—
(a)  the registration of the person or of premises used by the person, or
(b)  the tagging of a protected animal or plant, or
(c)  the keeping or production of records relating to a dealing in animals or plants,
is guilty of an offence.
Maximum penalty—$5,500.
(2)  If an act or omission constitutes an offence against this clause and an offence against any provision of Division 1 of Part 2 of the Act, the person may not be convicted of both offences.
2.39   Prohibition on breeding native waterfowl with non-native waterfowl (section 2.19(2)(a))
(1)  In this clause—
native waterfowl means waterfowl that are protected animals.
waterfowl means ducks, geese or swans.
(2)  A person who interbreeds native waterfowl under the person’s control with waterfowl that are not native waterfowl is guilty of an offence.
Maximum penalty—$5,500.
Part 3 Areas of outstanding biodiversity value
Division 3.1 Criteria for declaration
3.1   Criteria for declaring areas of outstanding biodiversity value (section 3.2)
(1)  This clause sets out the criteria to be applied by the Minister in determining whether an area should be declared an area of outstanding biodiversity value because—
(a)  the area is important at a state, national or global scale, and
(b)  the area makes a significant contribution to the persistence of at least one of the following—
(i)  multiple species or at least one threatened species or ecological community,
(ii)  irreplaceable biological distinctiveness,
(iii)  ecological processes or ecological integrity,
(iv)  outstanding ecological value for education or scientific research.
(2)  An area makes a significant contribution to the persistence of multiple species or at least one threatened species or ecological community if—
(a)  it provides resilience during periods of environmental stress that is important for their continued existence, or
(b)  it sustains adaptive capacity or evolutionary potential because it contains high levels of unique components of genetic or phenotypic diversity that will enable species to adapt to changing environments or it functions as an important ecological or evolutionary refuge able to sustain viable populations of species at risk due to climate change or other environmental stresses, or
(c)  it supports migration or dispersal of animals and plants, currently or in the future, that will contribute significantly to the persistence of species at risk, or
(d)  it is habitat critical for the survival of a threatened species.
(3)  An area makes a significant contribution to the persistence of irreplaceable biological distinctiveness if—
(a)  it has a very high structural, functional or compositional diversity, or
(b)  it is an essential site for the persistence of evolutionary or ecological distinctive species, endemic species or ecological communities, or
(c)  it is an essential site for the persistence of 2 or more threatened species or ecological communities in any combination.
(4)  An area makes a significant contribution to the persistence of ecological processes or ecological integrity if—
(a)  it has ecological integrity, being an area that is—
(i)  an outstanding, relatively intact example of a functioning ecosystem type, or if a fully intact ecosystem does not remain, then the best remaining example of that ecosystem type that contributes to maintaining the persistence of biodiversity and ecological integrity, or
(ii)  the most intact remaining site of a species occurrence that provides habitat requirements vital to the conservation of a species, or
(iii)  the last known remaining site of a species occurrence, or
(b)  it is a primary contributor to the continuation of essential ecological processes, or
(c)  it is an essential site for a significant proportion of the population of a species during one or more key life history stages or processes.
(5)  An area makes a significant contribution to the persistence of outstanding ecological value for education or scientific research if it contains established infrastructure or data related to long-term ecological research monitoring programs that establish an irreplaceable historic baseline, being the best site anywhere in NSW for long-term research on particular species, ecological communities or ecological processes.
(6)  The Environment Agency Head may, following consultation with the Secretary of the Department of Planning, Housing and Infrastructure, publish guidelines on the application of the criteria under this clause that the Environment Agency Head will take into account when making a recommendation under section 3.3 of the Act for the declaration of an area of outstanding biodiversity value.
cl 3.1: Am 2024 No 47, Sch 1.3[2].
3.2   Minister to publish map of area and reasons area eligible to be declared etc
(1)  The notice of the declaration of an area of outstanding biodiversity value (and the public register under Division 2 of Part 9 of the Act) is to include—
(a)  an indicative map showing the spatial extent of the area, and
(b)  a statement of the reasons that the area is eligible to be so declared.
(2)  Subclause (1) does not apply if the Environment Agency Head is authorised by section 9.10 of the Act to restrict access to information about the area concerned.
(3)  If the Environment Agency Head would be authorised by section 9.10 of the Act to restrict access to information about a declared area of outstanding biodiversity value, the Environment Agency Head may also restrict access to that information during public consultation and other procedures required for the purposes of making the declaration.
Division 3.2 Little Penguin declared area
Note.
In addition to the offences under this Division, section 2.3 of the Act makes it an offence to damage the biodiversity values of a declared area of outstanding biodiversity value, and section 2.1 of the Act makes it an offence to harm an animal of a threatened species. The maximum penalty for such an offence is $1.65 million in the case of a corporation or $330,000 in the case of an individual, or imprisonment for 2 years, or both.
3.3   Definitions
In this Division—
designated officer means an employee of the Office of Environment and Heritage, a person authorised by the Environment Agency Head as a designated officer for the purposes of this Division or a police officer.
Little Penguin breeding season means the period from 1 July in any year until 28 February in the following year (both dates inclusive).
Little Penguin declared area means the area of land declared to be the critical habitat of the endangered population of Little Penguins at North Harbour, as described in the notification published in the Gazette under section 47 of the Threatened Species Conservation Act 1995, and as continued as an area of outstanding biodiversity value by the regulations under the Biodiversity Conservation Act 2016.
Note.
See Gazette No 263 of 20.12.2002, p 10,983 for the declaration of land as critical habitat of the Little Penguin.
Little Penguin declared area A means the area marked “A” on the map of the Little Penguin declared area published by the Environment Agency Head in the Gazette.
3.4   Companion animals prohibited
(1)  A person must not bring a companion animal into the Little Penguin declared area.
Maximum penalty—$5,500
(2)  If a companion animal is found in the Little Penguin declared area—
(a)  the owner of the companion animal, or
(b)  if the owner is not present at the time of the offence and another person who is of or above the age of 16 years is in charge of the companion animal at that time—that other person,
is guilty of an offence.
Maximum penalty—$5,500.
(3)  In any prosecution for an offence against this clause it is a defence if the defendant establishes that the relevant companion animal is an assistance animal that was being used by a person with a disability (within the meaning of the Disability Discrimination Act 1992 of the Commonwealth).
(4)  In any prosecution of the owner of a companion animal for an offence against this clause it is a defence if the defendant establishes that—
(a)  another owner of the animal has been convicted of an offence arising out of the same circumstances, or
(b)  the commission by another owner of the animal of an offence arising out of the same circumstances has been proved but a court has made an order under section 10 of the Crimes (Sentencing Procedure) Act 1999 in respect of the offence, or
(c)  the offence could not have been avoided by any reasonable efforts on the defendant’s part.
(5)  In this clause—
assistance animal has the same meaning as in the Disability Discrimination Act 1992 of the Commonwealth.
companion animal and owner of a companion animal have the same meanings as in the Companion Animals Act 1998.
3.5   Anchoring, mooring and access by vessels
(1)  A person must not—
(a)  anchor or moor a vessel in the Little Penguin declared area A during the Little Penguin breeding season, or
(b)  anchor or moor a vessel outside the Little Penguin declared area A during the Little Penguin breeding season in such a way that the anchored or moored vessel enters the Little Penguin declared area A, or
(c)  cause a vessel (other than a non-motorised tender) to enter or remain in the Little Penguin declared area A between sunset and sunrise during the Little Penguin breeding season.
Maximum penalty—$5,500.
(2)  In this clause—
moor a vessel includes attach a vessel to a mooring by any means.
mooring means any post, stake, pile, float, pontoon or any other object (other than the anchor of a vessel) secured by any direct or indirect means to the waters’ bed or placed on the waters’ bed for the purpose of attaching a vessel to the bed.
tender has the same meaning as in the Marine Safety Regulation 2016.
vessel includes a water craft of any description used or capable of being used as a means of transportation on water, including—
(a)  any non-displacement craft, and
(b)  a seaplane, but only while it is on water.
3.6   Fishing
(1)  A person must not take or attempt to take fish from the Little Penguin declared area between sunset and sunrise during the Little Penguin breeding season.
Maximum penalty—$5,500.
(2)  In this clause, take fish has the same meaning as in section 4(1) of the Fisheries Management Act 1994.
3.7   Interference with burrows or nests
(1)  A person must not interfere with a burrow or nesting box in the Little Penguin declared area.
Maximum penalty—$5,500.
(2)  In this clause—
burrow includes any naturally occurring, or any human or animal made, shelter.
3.8   Interference with Little Penguins
(1)  A person must not knowingly be within 5 metres of a Little Penguin while the Little Penguin is on land in the Little Penguin declared area.
Maximum penalty—$5,500.
(2)  A person must not knowingly disturb a Little Penguin in the Little Penguin declared area.
Maximum penalty—$5,500.
(3)  In this clause, disturb a Little Penguin includes shining a light on the penguin.
3.9   Directions given by a designated officer
(1)  If a designated officer is of the opinion that a person is contravening this Division or disturbing a Little Penguin’s breeding or moulting activities, or is likely to do so, the officer may give one or more of the following directions—
(a)  direct the person to cease a particular activity within the Little Penguin declared area,
(b)  direct the person to leave the Little Penguin declared area.
(2)  A person must not, without reasonable excuse, fail to comply with a direction given under this clause.
Maximum penalty—$5,500.
(3)  A person is not guilty of an offence of failing to comply with a direction given under this clause unless it is established that the designated officer—
(a)  warned the person that a failure to comply with the direction is an offence, and
(b)  identified himself or herself as a designated officer.
(4)  A designated officer may remove from the Little Penguin declared area, or any part of it, any person who fails to comply with a direction under this clause and any vehicle, vessel, animal or other property in the possession of the person.
3.10   Defences
It is a defence to a prosecution for an offence against this Division if the defendant establishes any of the following in relation to the act constituting the offence—
(a)  that the act was an act authorised under Division 2 (Defences) of Part 2 of the Act in relation to an alleged offence under section 2.3 of the Act of damaging a declared area of outstanding biodiversity value, or
(b)  that the act was carried out—
(i)  by an employee of the Office of Environment and Heritage in the exercise of his or her functions as such an employee, or
(ii)  by a designated officer in the exercise of his or her functions as such an officer, or
(iii)  by an employee of the local council of the area concerned or a State government agency in the exercise of his or her monitoring or enforcement functions as such an employee, or
(iv)  with the written authorisation of the Environment Agency Head.
Division 3.3 Wollemi Pine declared area
Note.
In addition to the offences under this Division, section 2.3 of the Act makes it an offence to damage the biodiversity values of a declared area of outstanding biodiversity value, and section 2.1 of the Act makes it an offence to harm an animal of a threatened species. The maximum penalty for such an offence is $1.65 million in the case of a corporation or $330,000 in the case of an individual, or imprisonment for 2 years, or both.
3.11   Definitions
In this Division—
damage to the Wollemi Pine declared area includes—
(a)  picking any plant within the Wollemi Pine declared area, and
(b)  clearing or removing any vegetation (whether or not living) within the Wollemi Pine declared area, and
(c)  harming any animal within the Wollemi Pine declared area, and
(d)  introducing, or causing the spread of, Phytophthora cinnamomi within the Wollemi Pine declared area.
designated officer means an employee of the Office of Environment and Heritage, a person authorised by the Environment Agency Head as a designated officer for the purposes of this Division or a police officer.
Wollemi Pine declared area means the area of land declared by the Minister for the Environment on 23 February 2007 to be the critical habitat of the endangered species Wollemia nobilis (Wollemi Pine), and notified in Gazette No 33 of 23 February 2007 under the Threatened Species Conservation Act 1995, and as continued as an area of outstanding biodiversity value by the regulations under the Biodiversity Conservation Act 2016.
3.12   Operation of Division
Nothing in this Division affects the operation of Part 2 of the National Parks and Wildlife Regulation 2009.
Note.
For example, under Divisions 1 and 3 of Part 2 of the National Parks and Wildlife Regulation 2009, a park authority may regulate the use and closure of a national park by means of a public notice, a written notice or an oral direction and an authorised officer may remove a person from a national park in certain circumstances.
3.13   Closure by public notice
(1)  The Environment Agency Head may close all or any part of the Wollemi Pine declared area to the public by means of a notice displayed in, or at the boundary of, the Wollemi Pine declared area or the part of it to which the notice relates.
(2)  Any such closure may be specified to have effect at all times or during specified times.
(3)  A person must not enter, remain in, or leave a vehicle parked in, any part of the Wollemi Pine declared area that is closed to the public in accordance with this clause.
Maximum penalty—$5,500.
3.14   Closure by order
(1)  The Environment Agency Head may close all or any part of the Wollemi Pine declared area to the public by order published in the Gazette.
(2)  Any such closure may be specified to have effect at all times or during specified times.
Note.
The Environment Agency Head may decide not to disclose the location of the declared area to the public under section 9.10 of the Biodiversity Conservation Act 2016. This clause gives the Environment Agency Head an alternative means of closing the declared area without disclosing the location of the declared area to the public.
3.15   Directions given by a designated officer
(1)  A designated officer may direct a person to leave any part of the Wollemi Pine declared area that is closed to the public in accordance with this Part.
(2)  If a designated officer is of the opinion that a person is contravening this Division or causing damage to the Wollemi Pine declared area, or is likely to do so, the officer may give one or more of the following directions—
(a)  direct the person to cease a particular activity within the Wollemi Pine declared area,
(b)  direct the person to modify a particular activity within the Wollemi Pine declared area so as to avoid any damage or likelihood of damage to the Wollemi Pine declared area,
(c)  direct the person to leave the Wollemi Pine declared area.
(3)  A person must not, without reasonable excuse, fail to comply with a direction given under this clause.
Maximum penalty—$5,500.
(4)  A person is not guilty of an offence of failing to comply with a direction given under this clause unless it is established that the designated officer—
(a)  warned the person that a failure to comply with the direction is an offence, and
(b)  identified himself or herself to the person as a designated officer.
(5)  A designated officer may remove from the Wollemi Pine declared area, or any part of it, any person who fails to comply with a direction under this clause and any vehicle, animal or other property in the possession of the person.
3.16   Defences
It is a defence to a prosecution for an offence against this Division if the defendant establishes any of the following in relation to the act constituting the offence—
(a)  that the act was an act authorised under Division 2 (Defences) of Part 2 of the Act in relation to an alleged offence under section 2.3 of the Act of damaging a declared area of outstanding biodiversity value, or
(b)  that the act was carried out—
(i)  by an employee of the Office of Environment and Heritage in the exercise of his or her functions as such an employee, or
(ii)  by a designated officer in the exercise of his or her functions as such an officer, or
(iii)  with the written authorisation of the Environment Agency Head.
Part 4 Threatened species and ecological communities—listing criteria
Division 4.1 Criteria for listing of threatened species
4.1   Specific eligibility criteria for determinations by Scientific Committee of threatened species listings (section 4.4)
(1) Critically endangered species The relevant criteria for critically endangered species set out in this Division apply to a determination by the Scientific Committee that a species is eligible to be listed as a critically endangered species on the basis that it is facing an extremely high risk of extinction in Australia in the immediate future.
(2) Endangered species The relevant criteria for endangered species set out in this Division apply to a determination by the Scientific Committee that a species is eligible to be listed as an endangered species on the basis that—
(a)  it is facing a very high risk of extinction in Australia in the near future, and
(b)  it is not eligible to be listed as a critically endangered species.
(3) Vulnerable species The relevant criteria for vulnerable species set out in this Division apply to a determination by the Scientific Committee that a species is eligible to be listed as a vulnerable species on the basis that—
(a)  it is facing a high risk of extinction in Australia in the medium-term future, and
(b)  it is not eligible to be listed as a critically endangered species or an endangered species.
(4) Listing may be based on species satisfying any one or more of the relevant criteria A species is eligible to be listed in a particular category if the criteria specified in any of the following clauses of this Division apply to the species.
(5) Special additional criteria for listing populations A population of a species is not eligible to be listed as a threatened species under any of the criteria specified in the following clauses of this Division unless—
(a)  the species to which the population belongs is not separately listed as a threatened species, and
(b)  the population is, in the opinion of the Scientific Committee, of significant conservation value based on its role in the conservation of the species or a number of other species.
Note.
Section 4.4 of the Act provides that if a species is not eligible to be listed in any category in accordance with that section on the basis of the risk of extinction in Australia, then it is eligible to be listed in accordance with that section on the basis of the risk of extinction in New South Wales.
4.2   Reduction in population size of species
(1)  The species has undergone or is likely to undergo within a time frame appropriate to the life cycle and habitat characteristics of the taxon—
(a)  for critically endangered species—a very large reduction in population size, or
(b)  for endangered species—a large reduction in population size, or
(c)  for vulnerable species—a moderate reduction in population size.
(2)  The determination of that criteria is to be based on any of the following—
(a)  direct observation,
(b)  an index of abundance appropriate to the taxon,
(c)  a decline in the geographic distribution or habitat quality,
(d)  the actual or potential levels of exploitation of the species,
(e)  the effects of introduced taxa, hybridisation, pathogens, pollutants, competitors or parasites.
4.3   Restricted geographic distribution of species and other conditions
The geographic distribution of the species is—
(a)  for critically endangered species—very highly restricted, or
(b)  for endangered species—highly restricted, or
(c)  for vulnerable species—moderately restricted,
and at least 2 of the following 3 conditions apply—
(d)  the population or habitat of the species is severely fragmented or nearly all the mature individuals of the species occur within a small number of locations,
(e)  there is a projected or continuing decline in any of the following—
(i)  an index of abundance appropriate to the taxon,
(ii)  the geographic distribution of the species,
(iii)  habitat area, extent or quality,
(iv)  the number of locations in which the species occurs or of populations of the species,
(f)  extreme fluctuations occur in any of the following—
(i)  an index of abundance appropriate to the taxon,
(ii)  the geographic distribution of the species,
(iii)  the number of locations in which the species occur or of populations of the species.
4.4   Low numbers of mature individuals of species and other conditions
The estimated total number of mature individuals of the species is—
(a)  for critically endangered species—very low, or
(b)  for endangered species—low, or
(c)  for vulnerable species—moderately low,
and either of the following 2 conditions apply—
(d)  a continuing decline in the number of mature individuals that is (according to an index of abundance appropriate to the species)—
(i)  for critically endangered species—very large, or
(ii)  for endangered species—large, or
(iii)  for vulnerable species—moderate,
(e)  both of the following apply—
(i)  a continuing decline in the number of mature individuals (according to an index of abundance appropriate to the species), and
(ii)  at least one of the following applies—
(A)  the number of individuals in each population of the species is—
(I)  for critically endangered species—extremely low, or
(II)  for endangered species—very low, or
(III)  for vulnerable species—low,
(B)  all or nearly all mature individuals of the species occur within one population,
(C)  extreme fluctuations occur in an index of abundance appropriate to the species.
4.5   Low total numbers of mature individuals of species
The total number of mature individuals of the species is—
(a)  for critically endangered species—extremely low, or
(b)  for endangered species—very low, or
(c)  for vulnerable species—low.
4.6   Quantitative analysis of extinction probability
The probability of extinction of the species is estimated to be—
(a)  for critically endangered species—extremely high, or
(b)  for endangered species—very high, or
(c)  for vulnerable species—high.
4.7   Very highly restricted geographic distribution of species—vulnerable species
For vulnerable species, the geographic distribution of the species or the number of locations of the species is very highly restricted such that the species is prone to the effects of human activities or stochastic events within a very short time period.
Division 4.2 Criteria for listing of ecological communities
4.8   Specific eligibility criteria for determinations by Scientific Committee of threatened ecological communities listings (section 4.5)
(1) Critically endangered ecological communities The relevant criteria for critically endangered ecological communities set out in this Division apply to a determination by the Scientific Committee that an ecological community is eligible to be listed as a critically endangered ecological community on the basis that it is facing an extremely high risk of extinction in Australia in the immediate future.
(2) Endangered ecological communities The relevant criteria for endangered ecological communities set out in this Division apply to a determination by the Scientific Committee that an ecological community is eligible to be listed as an endangered ecological community on the basis that—
(a)  it is facing a very high risk of extinction in Australia in the near future, and
(b)  it is not eligible to be listed as a critically endangered ecological community.
(3) Vulnerable ecological communities The relevant criteria for vulnerable ecological communities set out in this Division apply to a determination by the Scientific Committee that an ecological community is eligible to be listed as a vulnerable ecological community on the basis that—
(a)  it is facing a high risk of extinction in Australia in the medium-term future, and
(b)  it is not eligible to be listed as a critically endangered ecological community or an endangered ecological community.
(4) Listing may be based on ecological community satisfying any one or more of the relevant criteria An ecological community is eligible to be listed in a particular category if the criteria specified in any of the following clauses of this Division apply to the ecological community.
Note.
Section 4.5 of the Act provides that if an ecological community is not eligible to be listed in any category in accordance with that section on the basis of the risk of extinction in Australia, then it is eligible to be listed in accordance with that section on the basis of the risk of extinction in New South Wales.
4.9   Reduction in geographic distribution of ecological community
The ecological community has undergone or is likely to undergo within a time span appropriate to the life cycle and habitat characteristics of its component species—
(a)  for critically endangered ecological communities—a very large reduction in geographic distribution, or
(b)  for endangered ecological communities—a large reduction in geographic distribution, or
(c)  for vulnerable ecological communities—a moderate reduction in geographic distribution.
4.10   Restricted geographic distribution of ecological community
The ecological community’s geographic distribution is—
(a)  for critically endangered ecological communities—very highly restricted, or
(b)  for endangered ecological communities—highly restricted, or
(c)  for vulnerable ecological communities—moderately restricted,
and at least one of the following conditions apply—
(d)  there is a projected or continuing decline in any of the following—
(i)  a measure of spatial extent appropriate to the ecological community,
(ii)  a measure of environmental quality appropriate to the characteristic biota of the ecological community,
(iii)  a measure of disruption to biotic interactions appropriate to the characteristic biota of the ecological community,
(e)  there are threatening processes that are likely to cause continuing decline in either geographic distribution, environmental quality or biotic interactions within the near future,
(f)  the ecological community exists at—
(i)  for critically endangered ecological communities—an extremely low number of locations, or
(ii)  for endangered ecological communities—a very low number of locations, or
(iii)  for vulnerable ecological communities—a low number of locations.
4.11   Environmental degradation of ecological community
The ecological community has undergone or is likely to undergo within a time span appropriate to the life cycle and habitat characteristics of its component species—
(a)  for critically endangered ecological communities—a very large degree of environmental degradation, or
(b)  for endangered ecological communities—a large degree of environmental degradation, or
(c)  for vulnerable ecological communities—a moderate degree of environmental degradation.
4.12   Disruption of biotic process or interactions in ecological community
The ecological community has undergone or is likely to undergo within a time span appropriate to the life cycle and habitat characteristics of its component species—
(a)  for critically endangered ecological communities—a very large disruption of biotic processes or interactions, or
(b)  for endangered ecological communities—a large disruption of biotic processes or interactions, or
(c)  for vulnerable ecological communities—a moderate disruption of biotic processes or interactions.
4.13   Quantitative analysis of probability of collapse of ecological community
The probability of collapse of the ecological community is estimated to be—
(a)  for critically endangered ecological communities—extremely high, or
(b)  for endangered ecological communities—very high, or
(c)  for vulnerable ecological communities—high.
4.14   Very small number of locations—vulnerable ecological community
For vulnerable ecological communities, the number of locations of the ecological community such that the ecological community is prone to the effects of human activities or stochastic events within a very short time period.
Division 4.3 Interpretation of listing criteria
4.15   Application of Division
This Division applies for the purposes of the interpretation and application of the criteria prescribed by Division 4.1 or 4.2.
4.16   Establishing matters or things in criteria
A relevant criteria for the listing of species or ecological communities that refers to a state of affairs, matter or thing, or a likely or projected state of affairs, matter or thing, extends to a state of affairs, matter or thing that is observed, estimated, inferred or reasonably suspected.
4.17   Mature individuals
(1)  Mature individuals are individuals in the wild that are capable of producing viable offspring. The total number of mature individuals excludes individuals that are too young (juvenile), too old (senescent), too moribund (for example, diseased) or otherwise unable to produce viable offspring (for example, due to low population density).
(2)  In populations with biased sex ratios, it is appropriate to use a lower value for the total number of mature individuals in a way that takes this into account.
(3)  In populations that fluctuate, the number of mature individuals will refer to a minimum number of individuals that are present most of the time (in a time span appropriate to the life cycle and habitat characteristics of the species), and will thus usually be much less than the mean number present.
(4)  In clonal organisms, reproducing units may be regarded as mature individuals, so long as they survive independently of one another. However, if clonally reproduced individuals are more limited in viability or dispersal ability than sexually reproduced individuals, the total number of mature individuals may be reduced accordingly to take this into account.
(5)  For species in which individuals have synchronous dormant life stages, the number of mature individuals should be assessed during, or projected for, a time when mature individuals are available for breeding.
(6)  Re-introduced individuals must have produced viable offspring (after the individuals were re-introduced) before they are counted as mature individuals.
(7)  Captive, cultivated or artificially maintained individuals cannot be counted as mature individuals.
4.18   Geographic distribution
(1)  Geographic distribution is the area or areas in which a species or ecological community occurs, excluding cases of vagrancy in species.
(2)  This may be assessed by estimating—
(a)  the extent of occurrence (the area of the total geographic range that includes all extant populations of the species or all extant occurrences of the ecological community), or
(b)  the area of occupancy (the area within the total range that is currently occupied by the species or ecological community, that is it excludes unsuitable and unoccupied habitat), or
(c)  the area of suitable habitat (the area within the total range that includes occupied and unoccupied suitable habitat, but excludes unsuitable habitat).
(3)  The scale at which a geographic distribution is assessed should be appropriate to the biology of the species (or component species in ecological communities), the nature of threats and available data.
4.19   Severely fragmented
The population or habitat of a species is severely fragmented if individuals of the species are distributed among sub-populations or patches of habitat that are small and isolated relative to the life cycle and habitat characteristics of the species.
4.20   Extreme fluctuations
Extreme fluctuations occur when the population or distribution of a species varies reversibly, widely and frequently, as—
(a)  indicated by changes of—
(i)  an index of abundance appropriate to the taxon, or
(ii)  the geographic distribution of the species, or
(iii)  the number of locations or populations of the species, or
(b)  inferred from the life history or habitat biology of the species.
4.21   Guidelines on application of listing criteria
The Scientific Committee may publish guidelines relating to the application of the relevant criteria for listing prescribed by Division 4.1 or 4.2.
Division 4.4 Procedure for listing
4.22   Publication of notice of preliminary determination (section 4.13(3)(c))
The Scientific Committee is required to publish notice of, and invite submissions on, a preliminary determination under section 4.13 of the Act for a period of at least 4 weeks.
Part 5 Provisions relating to private land conservation agreements
5.1   Criteria for determining if land eligible to be designated as biodiversity stewardship site (section 5.7(3))
(1)  Land is not eligible to be designated as a biodiversity stewardship site by a biodiversity stewardship agreement if—
(a)  the Minister is of the opinion that any current or previous use or proposed use of the land proposed to be designated as the site is inconsistent with biodiversity conservation, or
(b)  the Minister is of the opinion that any use or proposed use of any land proposed to be designated as the site (or that is in the vicinity of that land) will prevent relevant management actions from being carried out on the land proposed to be designated as the site or prevent the purpose of those actions from being achieved, or
(c)  the Minister is of the opinion that the owner of the land proposed to be designated as the site is already under a legal obligation to carry out biodiversity conservation measures on the land unless—
(i)  a government or statutory agency that imposed the legal obligation, or that administers the provisions relating to the legal obligation (or a Minister to whom the agency is responsible) advises in writing that the legal obligation was not created for biodiversity offset purposes, or
(ii)  the biodiversity stewardship agreement is entered into for the purpose of satisfying the legal obligation and the biodiversity credits generated in connection with the land are to be retired and not traded or used to meet any other biodiversity offset obligation, or
(d)  the land is reserved under Part 4 or Part 4A of the National Parks and Wildlife Act 1974, or
(e)  the land is a flora reserve or special management zone within the meaning of the Forestry Act 2012.
(2)  A legal obligation to carry out biodiversity conservation measures referred to in subclause (1)(c) includes an obligation under—
(a)  an offset (within the meaning of the Native Vegetation Regulation 2013) under a property vegetation plan approved under the Native Vegetation Act 2003, or
(b)  a set aside under section 60ZC of the Local Land Services Act 2013, or
(c)  a condition of an approval or consent under the Environmental Planning and Assessment Act 1979, or
(d)  an offset arrangement made for the purpose of complying with requirements imposed by or under any Act (including the requirements of any authority granted by a public authority under any Act).
(3)  Subclause (1) does not prevent other parts of a parcel of land (that do not comprise land referred to in subclause (1)(a)–(e)) from being designated as a biodiversity stewardship site by a biodiversity stewardship agreement.
cl 5.1: Am 2021 No 47, Sch 3.1.
5.2   Fees payable in connection with biodiversity stewardship agreements
(1) Application to enter agreement (section 5.8) An application to enter into a biodiversity stewardship agreement is to be accompanied by a processing fee of 25 fee units.
(2) Request for termination of agreement (section 5.10) A request for the consent of the Minister to the termination of a biodiversity stewardship agreement is to be accompanied by a fee of 25 fee units.
(3) Request for variation of agreement (section 5.11) A request for the consent of the Minister to the variation of a biodiversity stewardship agreement is to be accompanied by—
(a)  in the case of a variation to create additional biodiversity credits—a fee of 65 fee units, or
(b)  in the case of a variation to include additional owners subject to the agreement—a fee of 105 fee units, or
(c)  in any other case (not being a variation that the Minister is satisfied is a minor variation)—a fee of 15 fee units.
5.3   Fit and proper person requirements for owners of proposed biodiversity stewardship sites (section 5.8(5))
(1)  The Minister may consider any of the following matters that are known to the Minister in determining whether a person is a fit and proper person to enter into, and fulfil the obligations imposed by, a proposed biodiversity stewardship agreement—
(a)  whether the person (or an associated manager of the person) has contravened any relevant legislation, or has held a licence or other authority that has been suspended or revoked under any relevant legislation,
(b)  if the person is an associated manager of another person—whether the other person has contravened any relevant legislation, or has held a licence or other authority that has been suspended or revoked under any relevant legislation,
(c)  the record of compliance with relevant legislation of the person (or an associated manager of the person),
(d)  whether, in the opinion of the Minister, the management actions that are to be carried out under the agreement will be in the hands of a person competent to undertake them,
(e)  whether, in the opinion of the Minister, the person (or an associated manager of the person) is of good repute, having regard to character, honesty and integrity,
(f)  whether the person (or an associated manager of the person), in the previous 10 years, has been convicted in New South Wales or elsewhere of an offence involving fraud or dishonesty,
(g)  whether the person (or an associated manager of the person), during the previous 3 years, was an undischarged bankrupt or applied to take the benefit of any law for the relief of bankrupt or insolvent debtors, compounded with his or her creditors or made an assignment of his or her remuneration for their benefit,
(h)  whether the person (if a body corporate) is the subject of a winding up order or has had a controller or administrator appointed during the previous 3 years,
(i)  whether the person (if an individual) is or was a director or concerned in the management of a body corporate that is the subject of a winding up order or for which a controller or administrator has been appointed during the previous 3 years,
(j)  whether the person has demonstrated to the Minister the financial capacity to comply with the person’s obligations under the proposed biodiversity stewardship agreement.
(2)  Without limiting the generality of subclause (1), the Minister—
(a)  may disregard contraventions referred to in that subclause having regard to the seriousness of the contraventions, the length of time since they occurred, and other matters that appear relevant to the Minister, and
(b)  may have regard to action taken by a person referred to in that subclause to address past contraventions.
(3)  In this clause—
associated manager of a person means—
(a)  if the person is a body corporate—a person who is, or has been within the previous 5 years, a director or concerned in the management of the body corporate, or
(b)  if the person is in partnership with another person in connection with carrying out management actions on the proposed biodiversity stewardship site—that other person.
relevant legislation means the following Acts, or parts of Acts, and any regulations, agreements, authorities or other instruments entered into, granted or made under those Acts or parts (whether or not still in force)—
(a)  the Act,
(b)  Part 5A of the Local Land Services Act 2013,
(c)  Parts 7 and 7A of the Fisheries Management Act 1994,
(e)  an Act or part of an Act administered by the Minister,
(f)  a repealed Act that corresponds to an above-mentioned Act,
(g)  an Act of the Commonwealth, another State or a Territory that corresponds to an above-mentioned Act.
5.4   Other grounds on which Minister may decline a request to enter into a biodiversity stewardship agreement (section 5.8(6))
The grounds on which the Minister may decline a request to enter into a biodiversity stewardship agreement include the following—
(a)  the application of the owner is not duly made or is unclear,
(b)  the application is not accompanied by any required fee or contribution,
(c)  the applicant fails to provide any additional information required by the Minister to determine the application,
(d)  the application relates to a site that has been the subject of a previous rejected application and the application is not materially different to the previous application,
(e)  the biodiversity stewardship assessment report accompanying the application has not been properly prepared,
(f)  any other ground the Minister considers sufficient.
5.5   Determination that application to vary biodiversity stewardship agreement need not be accompanied by assessment report (section 5.11(7))
The Minister may determine that an application to vary a biodiversity stewardship agreement need not be accompanied by a biodiversity stewardship site assessment report if—
(a)  the variation is a minor variation referred to in clause 5.6, or
(b)  the Minister is satisfied that the variation will not significantly impact on the retention or improvement of biodiversity values that the agreement seeks to achieve.
5.6   Minor variations of biodiversity stewardship agreements without required consent or consultation (section 5.11(8))
A biodiversity stewardship agreement may be varied without any consent or consultation otherwise required by section 5.11 of the Act if the Minister is satisfied that—
(a)  the variation makes a minor change to the management actions or plans, or the amount or timing of payments relating to management actions, under the agreement, or
(b)  the variation is to correct a grammatical or other minor error or omission, or
(c)  the variation deals with a consequential, transitional or machinery matter.
5.7   Splitting of obligations and entitlements where different successors in title of different parts of biodiversity stewardship site (section 5.13(3))
(1)  This clause applies if there are different successors in title to different parts of the land subject to a biodiversity stewardship agreement, as referred to in section 5.13(3) of the Act.
(2)  The Minister may notify the successors in title that the Minister wishes to vary the agreement to allocate separate obligations and entitlements under the agreement among those different successors in title.
(3)  The Minister may vary the agreement under section 5.11 of the Act without the consent of the owners of the land (and without the consent of or consultation with any other person that is otherwise required under that section) for the purpose of—
(a)  dividing the obligations to carry out management actions required under the agreement among the different successors in title, and
(b)  dividing the entitlement to management payments under the agreement among the different successors in title.
(4)  The Minister may so vary the agreement only if the Minister and the successors in title have failed to agree on the division of obligations and entitlements within 3 months after the Minister notified the successors in title of the Minister’s wish to vary the agreement. The Minister may so vary the agreement without the consent of or consultation with any other person that is otherwise required under section 5.11 of the Act.
(5)  Before so varying the agreement—
(a)  the Minister must, by written notice, give all the owners of the land the opportunity to make submissions to the Minister about the proposed variation, and
(b)  the Minister must consider any submission made within the period (of not less than 28 days) specified in the notice, and
(c)  the Minister must be satisfied that the division of obligations and entitlements is appropriate and will not have a negative impact on the biodiversity values protected by the agreement (or that any such negative impact will be offset by measures that an owner will be required to take).
5.8   Reimbursement of site establishment costs of owner or Minister by holder of mining or petroleum authority on termination or variation of biodiversity stewardship agreement (section 5.18(11))
(1)  This clause applies when a biodiversity stewardship agreement—
(a)  is terminated by the Minister under section 5.18(1) of the Act, or by the owner under section 5.18(9) of the Act, as a result of the activities authorised by a mining or petroleum authority in respect of the biodiversity stewardship site, or
(b)  is varied by the Minister under section 5.18(1) of the Act as a result of the activities authorised by a mining or petroleum authority in respect of the biodiversity stewardship site (being a variation that, in the opinion of the Minister, will adversely affect any biodiversity values protected by or management actions under the biodiversity stewardship agreement).
(2)  The Minister may require the holder of the mining or petroleum authority to pay to the Minister the costs of the Minister and the owner of the land of establishing the biodiversity stewardship agreement.
(3)  Any money recovered by the Minister under this clause in connection with the costs of the owner of the land of establishing the biodiversity stewardship agreement is to be paid by the Minister to the owner.
(4)  Any money that is required to be paid to a person or body under this clause is recoverable by that person or body as a debt in a court of competent jurisdiction from the person or body required to make the payment.
5.9   Reimbursement provisions with respect to termination or variation of conservation agreements following grant of mining or petroleum authority (section 5.23(10))
(1)  This clause applies when a conservation agreement—
(a)  is terminated by the Biodiversity Conservation Trust at the direction of the Minister under section 5.23(7) of the Act as a result of the activities authorised by a mining or petroleum authority in respect of the land, or
(b)  is varied by the Biodiversity Conservation Trust at the direction of the Minister under section 5.23(7) of the Act as a result of the activities authorised by a mining or petroleum authority in respect of the land (being a variation that, in the opinion of the Minister, will adversely affect any biodiversity values protected by or management actions under the conservation agreement).
(2)  The Biodiversity Conservation Trust may require the owner of the land to repay any amounts paid to the owner under the conservation agreement that have not been spent or committed at the time the agreement is terminated.
(3)  If the conservation agreement was registered on title before the mining or petroleum authority was granted (or if the mining authority is not a mining lease or mineral claim under the Mining Act 1992 or not a production lease under the Petroleum (Onshore) Act 1991), the Minister may require the holder of the mining or petroleum authority to pay to the Minister—
(a)  the costs of the Minister, the Biodiversity Conservation Trust and the owner of the land of establishing the conservation agreement, and
(b)  any amount that the Biodiversity Conservation Trust has paid to the owner of the land (or previous owners of the land) in connection with the conservation agreement that the Trust is not entitled to recover from the owner of the land.
In any other case, the Minister may request the holder of the mining or petroleum authority to pay those costs or amounts to the Minister.
(4)  Any money recovered by the Minister under this clause in connection with the costs of the owner of the land of establishing the conservation agreement is to be paid by the Minister to the owner.
(5)  Any money recovered by the Minister under this clause in connection with the costs of the Biodiversity Conservation Trust of establishing the conservation agreement, or with the amounts that have been paid by the Trust to the owner of the land, is to be paid by the Minister to the Trust.
(6)  Any money that is required to be paid to a person or body under this clause is recoverable by that person or body as a debt in a court of competent jurisdiction from the person or body required to make the payment.
(7)  A termination or variation of a conservation agreement by the Biodiversity Conservation Trust at the direction of the Minister under section 5.23(7) of the Act is to be made by notification in the public register of private land conservation agreements under Part 9 of the Act.
Part 6 Biodiversity offsets scheme
Division 6.1 General
6.1   Additional biodiversity impacts to which scheme applies (sections 6.3 and 6.6(2))
(1)  The impacts on biodiversity values of the following actions are prescribed (subject to subclause (2)) as biodiversity impacts to be assessed under the biodiversity offsets scheme—
(a)  the impacts of development on the following habitat of threatened species or ecological communities—
(i)  karst, caves, crevices, cliffs and other geological features of significance,
(ii)  rocks,
(iii)  human made structures,
(iv)  non-native vegetation,
(b)  the impacts of development on the connectivity of different areas of habitat of threatened species that facilitates the movement of those species across their range,
(c)  the impacts of development on movement of threatened species that maintains their lifecycle,
(d)  the impacts of development on water quality, water bodies and hydrological processes that sustain threatened species and threatened ecological communities (including from subsidence or upsidence resulting from underground mining or other development),
(e)  the impacts of wind turbine strikes on protected animals,
(f)  the impacts of vehicle strikes on threatened species of animals or on animals that are part of a threatened ecological community.
(2)  The additional biodiversity impacts prescribed by this clause—
(a)  are prescribed for the purposes of assessment and biodiversity assessment reports under the Act, but are not additional biodiversity impacts for the purposes of calculating the number and class of biodiversity credits that are required under a biodiversity assessment report to be retired to offset the residual impact on biodiversity values of proposed development, proposed clearing of native vegetation or proposed biodiversity certification of land, and
(b)  may be taken into account in the determination of the biodiversity credits required to be retired (or other conservation measures required to be taken) under a planning approval or vegetation clearing approval or under a biodiversity certification of land.
6.2   Offset rules under biodiversity offsets scheme (section 6.4)
(1)  This clause relates to the offset rules that apply to the determination under the biodiversity offsets scheme of the biodiversity conservation measures to offset or compensate for the impacts on biodiversity values after the steps taken to avoid or minimise those impacts, being measures required by the conditions of the relevant planning approval, vegetation clearing approval or biodiversity certification of land.
(2)  The measures to offset or compensate for those impacts are (subject to the Act and any other applicable Act) any one or a combination of the following options—
(a)  the retirement of the required number and class of like-for-like biodiversity credits,
(b)  the retirement of the required biodiversity credits in accordance with the variation rules,
(c)  the funding of a biodiversity conservation action that would benefit the relevant threatened species or ecological community and that is equivalent to the cost of acquiring the required like-for-like biodiversity credits as determined by the offsets payment calculator referred to in section 6.32 of the Act,
(d)  in the case of State significant development or infrastructure under the Environmental Planning and Assessment Act 1979 that is mining under a mining lease—an obligation to undertake ecological rehabilitation of the impacted site that has the same credit value (determined in accordance with the ancillary rules) as the retirement of like-for-like biodiversity credits,
(e)  the payment under section 6.30 of the Act of an amount into the Biodiversity Conservation Fund determined in accordance with the offsets payment calculator to satisfy the requirement to retire biodiversity credits.
(3)  In the case of a combination of the above options, the required number of credits to be retired or the required amount of funding or other obligations is the requisite proportion in respect of each such option.
(4)  The biodiversity conservation actions that qualify as biodiversity conservation measures under the offset rules are the actions for which provision is made in the ancillary rules under clause 6.5.
(5)  When conferring biodiversity certification on land under Part 8 of the Act, the determination of conservation measures that adequately address the impacts on biodiversity values is subject to the following—
(a)  the conservation measures are the approved conservation measures referred to in section 8.3 of the Act,
(b)  the offset rules do not apply to biodiversity certification conferred as a result of a strategic application for biodiversity certification,
(c)  the offset rules apply to biodiversity certification conferred as a result of an application that is not a strategic application for biodiversity certification (except that the funding of a biodiversity conservation action is not an available measure).
6.3   Like-for-like biodiversity credits (section 6.4)
(1)  This clause applies to the determination of like-for-like biodiversity credits for the purposes of the application of the offset rules or variation rules.
(2)  In the case of impacts on threatened ecological communities, like-for-like biodiversity credits represent—
(a)  the same threatened ecological community located in—
(i)  the same or an adjoining Interim Biogeographic Regionalisation of Australia subregion as the impacted site, or
(ii)  any such subregion that is within 100 kilometres of the outer edge of the impacted site, and
(b)  if the threatened ecological community contains hollow bearing trees—vegetation that contains hollow bearing trees.
(3)  In the case of impacts on the habitat of threatened species that are ecosystem credit species or other native vegetation (other than impacts on threatened ecological communities), like-for-like biodiversity credits represent—
(a)  the same class of native vegetation located in—
(i)  the same or an adjoining Interim Biogeographic Regionalisation of Australia subregion as the impacted site, or
(ii)  any such subregion that is within 100 kilometres of the outer edge of the impacted site, and
(b)  the same or a higher offset trading group, and
(c)  if the impacted habitat contains hollow bearing trees—vegetation that contains hollow bearing trees.
(4)  In the case of impacts on threatened species that are species credit species, like-for-like biodiversity credits represent the same threatened species.
6.4   Variation rules under biodiversity offsets scheme (section 6.4(4))
(1)  The circumstances in which the ordinary offset rules for the determination of the like-for-like biodiversity credits required to be retired as a biodiversity conservation measure may be varied are as follows (the variation rules)—
(a)  The proponent who is to retire the biodiversity credits has taken reasonable steps to obtain the requisite like-for-like biodiversity credits and requests the variation of the ordinary offset rules.
(b)  In the case of impacts on threatened ecological communities or on the habitat of threatened species that are ecosystem credit species or other native vegetation—the biodiversity credits to be retired need not represent the same threatened ecological community or the same class of vegetation or represent a location in the same or adjoining Interim Biogeographic Regionalisation of Australia subregion, so long as—
(i)  they represent the same vegetation formation, and
(ii)  they are in the same or a higher offset trading group, and
(iii)  they represent a location that is in—
(A)  the same Interim Biogeographic Regionalisation of Australia region as the impacted site, or
(B)  a subregion that is within 100 kilometres of the outer edge of the impacted site, and
(iv)  if the impacted habitat contains hollow bearing trees—they represent vegetation that contains hollow bearing trees or artificial hollows.
(c)  In the case of impacts on threatened species that are species credit species—the biodiversity credits to be retired need not represent the same threatened species, so long as—
(i)  if the impacted species is a plant—they represent a plant, and
(ii)  if the impacted species is an animal—they represent an animal, and
(iii)  they represent a species that has the same or a higher category of listing under Part 4 of the Act as a threatened species, and
(iv)  they represent a location that is in—
(A)  the same or an adjoining Interim Biogeographic Regionalisation of Australia subregion as the impacted site, or
(B)  any such subregion that is within 100 kilometres of the outer edge of the impacted site.
(2)  The variation rules do not apply in relation to impacts on threatened species or ecological communities that are excluded by the Environment Agency Head.
Note.
See also clause 6.6A.
cl 6.4: Am 2019 (552), Sch 1[2].
6.5   Ancillary rules of Environment Agency Head for purposes of biodiversity offset and variation rules (section 6.4)
(1)  The Environment Agency Head is to publish ancillary rules for the purposes of the interpretation and application of the offset rules and variation rules.
(2)  The ancillary rules may—
(a)  set out standards for the ecological rehabilitation of sites impacted by the carrying out of mining under a mining lease and the credit value of any such rehabilitation, and
(b)  set out any impacts on threatened species or ecological communities that are excluded from the application of the variation rules, and
(c)  set out the reasonable steps that a proponent is required to take to obtain requisite like-for-like biodiversity credits before the variation rules can be applied, which may include—
(i)  checking the public register of biodiversity credits, and
(ii)  lodging an entry in the public register of persons seeking biodiversity credits for a minimum specified period, and
(iii)  contacting landholders who are entered on the public register of biodiversity stewardship site expressions of interest, and
(d)  set out the biodiversity conservation actions that qualify as biodiversity conservation measures under the offset rules, and
(e)  include any other provisions that the Environment Agency Head considers necessary or convenient for the purposes of the interpretation or application of the offset rules or variation rules.
(3)  The ancillary rules are to be published on a government website maintained by the Environment Agency Head.
(4)  If the ancillary rules are changed, a biodiversity assessment report may, during the period of 90 days after the rules were changed, be prepared on the basis of the rules in force before the change, but only if the report states that it has been prepared on that basis.
6.6   Offset and other rules applying to Biodiversity Conservation Trust applying Fund money towards securing biodiversity offsets (sections 6.31 and 10.12)
(1)  The Biodiversity Conservation Trust may use any one or a combination of the following options in applying an amount paid into the Biodiversity Conservation Fund under Division 6 of Part 6 of the Act towards securing biodiversity offsets in substitution for the relevant number and class of biodiversity offsets that would otherwise have been required to be retired—
(a)  The retirement of like-for-like biodiversity credits or the funding of a biodiversity conservation action in accordance with the offset rules that would benefit the relevant threatened species or ecological community.
(b)  The retirement of biodiversity credits in accordance with the variation rules for any threatened species or ecological community (other than those provisions of the variation rules relating to taking reasonable steps to apply like-for-like requirements).
(c)  The funding of biodiversity conservation action, otherwise than in accordance with the offset rules, that would benefit the relevant threatened species or ecological community.
(d)  The retirement of biodiversity credits in accordance with the variation rules for any threatened species or ecological community (other than those provisions of the variation rules relating to taking reasonable steps to apply like-for-like requirements or those provisions relating to the location of the threatened species or ecological community).
(e)  Any other conservation measure approved by the Minister and notified to the Biodiversity Conservation Trust.
(2)  The order in which the Biodiversity Conservation Trust is to consider the appropriate option under subclause (1) is the descending order in which those options are set out in that subclause.
(3)  The annual report of the Biodiversity Conservation Trust is to include details of how the Trust has applied the offset rules and variation rules under subclause (1) in securing biodiversity offsets (including reasons for the use of offsets that are not like-for-like).
Note.
See also clause 6.6A.
cl 6.6: Am 2019 (552), Sch 1[3].
6.6A   Limitation of variation rules in relation to controlled actions under Environment Protection and Biodiversity Conservation Act 1999 (Cth) (sections 6.4, 6.6 and 6.31)
(1)  The variation rules do not apply to the impact on a listed threatened species or ecological community, or its habitat, of a proposed action that is a controlled action.
(2)  A person who pays an amount into the Biodiversity Conservation Fund for the purpose of satisfying a requirement to retire biodiversity credits in connection with the impact on a listed threatened species or ecological community, or its habitat, of a proposed action that is a controlled action is to notify the Biodiversity Conservation Trust when making the payment that the action is a controlled action.
(3)  The following provisions apply for the purposes of the application of amounts paid into the Biodiversity Conservation Fund under Division 6 of Part 6 of the Act in connection with the impact on a listed threatened species or ecological community, or its habitat, of a proposed action that the Biodiversity Conservation Trust has been notified is a controlled action—
(a)  the variation rules may not be used for the purposes of the retirement of biodiversity credits in respect of the impact of the action on the listed threatened species or ecological community, or its habitat,
(b)  in the application of clause 6.6(1)(e), the conservation measure approved by the Minister must be a measure that benefits the listed threatened species or ecological community, or its habitat.
(4)  A proposed action is a proposed development or activity that is, or would be, authorised by a planning approval or a vegetation clearing approval.
(5)  A proposed action is a controlled action if the Minister administering the Commonwealth Act has decided under Part 7 of Chapter 4 of that Act—
(a)  that the action is a controlled action, and
(b)  that provisions of section 18 or 18A (or both) of that Commonwealth Act are controlling provisions for the action.
(6)  In this clause—
Commonwealth Act means the Environment Protection and Biodiversity Conservation Act 1999 of the Commonwealth.
listed threatened species or ecological community means a listed threatened species, or a listed threatened ecological community, within the meaning of the Commonwealth Act.
cl 6.6A: Ins 2019 (552), Sch 1[4].
6.7   Principles applicable to determination of “serious and irreversible impacts on biodiversity values” (section 6.5(1))
(1)  This clause applies for the purposes of determining whether an impact on diversity values is a serious and irreversible impact for the purposes of the biodiversity offsets scheme.
(2)  An impact is to be regarded as serious and irreversible if it is likely to contribute significantly to the risk of a threatened species or ecological community becoming extinct because—
(a)  it will cause a further decline of the species or ecological community that is currently observed, estimated, inferred or reasonably suspected to be in a rapid rate of decline, or
(b)  it will further reduce the population size of the species or ecological community that is currently observed, estimated, inferred or reasonably suspected to have a very small population size, or
(c)  it is an impact on the habitat of the species or ecological community that is currently observed, estimated, inferred or reasonably suspected to have a very limited geographic distribution, or
(d)  the impacted species or ecological community is unlikely to respond to measures to improve its habitat and vegetation integrity and therefore its members are not replaceable.
(3)  For the purpose of this clause, a decline of a species or ecological community is a continuing or projected decline in—
(a)  an index of abundance appropriate to the taxon, or
(b)  the geographic distribution and habitat quality of the species or ecological community.
(4)  If the guidance published by the Environment Agency Head under section 6.5(2) of the Act is changed, a biodiversity assessment report may, during the period of 90 days after the guidance was changed, be prepared on the basis of the guidance in force before the change, but only if the report states that it has been prepared on that basis.
Division 6.2 Biodiversity assessment reports
6.8   Content of biodiversity development assessment reports (section 6.16)
A biodiversity development assessment report must include—
(a)  the number and classes of biodiversity credits required to be retired in accordance with the like-for-like requirements of the offset rules, and
(b)  the number and classes of biodiversity credits that could be retired in accordance with the variation rules (in any case in which the proponent of the development proposes to use the variation rules), and
(c)  details of any proposal to fund a biodiversity conservation action in accordance with the offset rules, and
(d)  details of any ecological rehabilitation of a site impacted by mining under a mining lease that is proposed as a measure to offset or compensate for those impacts, and
(e)  the date of the report and the requisite certification under section 6.15 of the Act, and
(f)  details of the accreditation of the person preparing the report and of the qualifications and experience of any other person commissioned to conduct research or investigations that are relied on in preparing the report, and
(g)  any other information required by the biodiversity assessment method or ancillary rules to be included in the report.
6.8A   Content of biodiversity development assessment reports for certain State significant development (section 6.16)
(1)  Despite clause 6.8, a biodiversity development assessment report is not required to include content relating to continued development if—
(a)  the report is prepared in relation to State significant development that includes continued development, and
(b)  the existing development consent for the continued development is proposed to be surrendered under the Environmental Planning and Assessment Act 1979, section 4.63.
(2)  In this clause—
continued development means development authorised by an existing development consent.
existing development consent means—
(a)  development consent granted under the Environmental Planning and Assessment Act 1979, Part 4, or
(b)  an approval given under the Environmental Planning and Assessment Act 1979, Part 3A when the Part was in force or continued in operation.
State significant development has the same meaning as in the Environmental Planning and Assessment Act 1979.
cl 6.8A: Ins 2022 (120), sec 3.
6.9   Content of biodiversity certification assessment reports (section 6.16)
A biodiversity certification assessment report must include—
(a)  in the case of an application that is not a strategic biodiversity certification application—the number and classes of biodiversity credits required to be retired in accordance with the offset rules, and
(b)  in the case of an application that is not a strategic biodiversity certification application—the number and classes of biodiversity credits that could be retired in accordance with the variation rules (in any case in which the proponent of the development proposes to use the variation rules), and
(c)  in the case of a strategic biodiversity certification application—the number and classes of biodiversity credits that would be required to be retired if offset rules applied and the number and classes of biodiversity credits proposed to be retired, and
(d)  in the case of a strategic biodiversity certification application—details of any other approved conservation measures that are to be taken, and
(e)  the date of the report and the requisite certification under section 6.15 of the Act, and
(f)  details of the accreditation of the person preparing the report and of the qualifications and experience of any other person commissioned to conduct research or investigations that are relied on in preparing the report, and
(g)  any other information required by the biodiversity assessment method or ancillary rules to be included in the report.
6.10   Content of biodiversity stewardship site assessment reports (section 6.16)
A biodiversity stewardship site assessment report must include—
(a)  details of the management actions proposed to be carried on the proposed biodiversity stewardship site, and
(b)  the number and classes of biodiversity credits that may be created in respect of those management actions, and
(c)  the date of the report and the requisite certification under section 6.15 of the Act, and
(d)  details of the accreditation of the person preparing the report and of the qualifications and experience of any other person commissioned to conduct research or investigations that are relied on in preparing the report, and
(e)  any other information required by the biodiversity assessment method to be included in the report.
Division 6.3 Creation, transfer etc of biodiversity credits
6.11   Change of class of biodiversity credit (section 6.4(2)(a))
If a class of biodiversity credits is changed under section 6.17(3) of the Act, a requirement to retire biodiversity credits of the former class under the Act or any other Act (including under an instrument, approval or agreement) may be satisfied by the retirement of biodiversity credits that would, on the advice of the Environment Agency Head, have been described as a credit of the former class prior to the change.
Note.
See also the Biodiversity Conservation (Savings and Transitional) Regulation 2017 which provides for the adjustment of the number of registered credits created under a biobanking agreement to the equivalent numerical value of credits that would have been created under a biodiversity stewardship agreement.
6.12   Deferral of payment of total fund deposit until subsequent transfer (section 6.21(6))
An amount payable under section 6.21 of the Act before a first transfer of a biodiversity credit is registered may be deferred until the second transfer of the credit—
(a)  if the initial holder of the biodiversity credit is a natural person who has died and the first transfer is part of the distribution of the estate of the person and not part of a sale of the credit, or
(b)  if the initial holder of the biodiversity credit sells all of the credits, and all of the land in respect of which they were created, to the same person and that person agrees to the deferral.
6.13   Determination of total fund deposit (section 6.21(6) and (7))
(1)  For the purposes of the definition of total Fund deposit in section 6.21(7) of the Act, a scheduled management payment is the amount specified in the relevant biodiversity stewardship agreement as a management payment in respect of the relevant period if all conditions precedent to the payment that are specified in the agreement are met.
(2)  If the total Fund deposit under section 6.21 of the Act in respect of a biodiversity stewardship site increases after an amount is paid into the Biodiversity Stewardship Payments Fund under that section (because, for example, the relevant biodiversity stewardship agreement is varied to increase the management actions under or land subject to the agreement), then the total Fund deposit is to be recalculated.
(3)  In that case, section 6.21 of the Act applies again on the basis of the recalculated total Fund deposit to the first transfer of biodiversity credits not yet transferred or retired (or their retirement without having been transferred), but the total re-calculated amount payable into the Biodiversity Stewardship Payments Fund is to be reduced by the amount previously paid in respect of the biodiversity stewardship site.
Division 6.4 Biodiversity Stewardship Payments Fund
6.14   Definitions
In this Division—
biodiversity stewardship site account means the separate account kept by the Fund Manager under this Division in relation to a biodiversity stewardship site.
Fund means the Biodiversity Stewardship Payments Fund.
management payment means a payment from the Fund to the owner of a biodiversity stewardship site in respect of management actions in relation to the site as referred to in section 6.34(3)(a) of the Act.
scheduled management payment in respect of any period, means the amount specified in a biodiversity stewardship agreement as a management payment in respect of that period if all conditions precedent to the payment that are specified in the agreement are met.
6.15   Separate accounts to be kept in relation to each biodiversity stewardship site (sections 6.34 and 6.36)
(1)  The Fund Manager is to keep a separate account in relation to each biodiversity stewardship site (a biodiversity stewardship site account) that records the following—
(a)  payments paid into the Fund in respect of a transfer or retirement of biodiversity credits created in respect of that biodiversity stewardship site (as referred to in section 6.34(2)(a) of the Act),
(b)  management payments paid out of the Fund in respect of the biodiversity stewardship site.
(2)  Money held in each biodiversity stewardship site account may be invested as a common pool. The proceeds of investment are to be distributed among the biodiversity stewardship site accounts that contributed to the common pool according to the amount contributed, or in such other manner as the Minister directs.
(3)  The Fund Manager may keep one or more other accounts (referred to in this Division as a general account) in relation to any amounts paid into or out of the Fund that are not recorded in a biodiversity stewardship site account.
(4)  Payments made into or out of the Fund that are not referred to in subclauses (1) and (2) are to be recorded in the accounts of the Fund in accordance with the directions of the Minister.
6.16   Account balances (sections 6.34 and 6.36)
(1)  The Fund Manager is to advise the Minister, at the end of each financial year and at such other times as may be required by the Minister, of the following—
(a)  the balance of each biodiversity stewardship site account,
(b)  any operational deficit or operational surplus in a biodiversity stewardship site account.
(2)  For the purposes of this Division, a biodiversity stewardship site account has an operational deficit if the balance of the account is less than the total present value of all scheduled management payments in respect of the biodiversity stewardship site for the period starting from the most recent anniversary of the date on which the biodiversity stewardship agreement was entered into and extending to perpetuity. The amount of the shortfall is referred to as the operational deficit amount.
(3)  For the purposes of this Division, a biodiversity stewardship site account has an operational surplus if the balance of the account exceeds the total present value of all scheduled management payments in respect of the biodiversity stewardship site for the period starting from the most recent anniversary of the date on which the biodiversity stewardship agreement was entered into and extending to perpetuity. The amount of the excess is referred to as the operational surplus amount.
6.17   Payments from biodiversity stewardship site account that has an operational deficit (sections 6.34 and 6.36)
(1)  The Minister may direct the Fund Manager that management payments for a biodiversity stewardship site not be made from the Fund, or be reduced, for any specified period or until further notice, if—
(a)  the biodiversity stewardship site account for that biodiversity stewardship site has an operational deficit, and
(b)  the operational deficit amount exceeds the operational deficit threshold for the biodiversity stewardship site account.
(2)  The operational deficit threshold for a biodiversity stewardship site account is—
(a)  20% of the total present value of all scheduled management payments in respect of the biodiversity stewardship site for the period starting from the most recent anniversary of the date on which the biodiversity stewardship agreement was entered into and extending to perpetuity, or
(b)  such other amount as the Minister determines, having regard to the advice of the Fund Manager.
(3)  This clause is subject to clause 6.19 (Payments from biodiversity stewardship site account that has insufficient funds to cover payment) and to any provision of the biodiversity stewardship agreement that prevents a direction under subclause (1) in the circumstances specified in the agreement.
6.18   Payments from biodiversity stewardship site account that has an operational surplus (sections 6.34 and 6.36)
(1)  The Minister may, in addition to directing any management payment to be paid from the Fund, direct the Fund Manager to pay from the Fund to the owner of a biodiversity stewardship site any amount standing to the credit of the biodiversity stewardship site account for that biodiversity stewardship site if—
(a)  the biodiversity stewardship site account has an operational surplus, and
(b)  the operational surplus amount exceeds the maximum operational surplus for the biodiversity stewardship site account, and
(c)  the amount that the Minister directs to be paid from the Fund does not exceed the difference between the operational surplus amount and the maximum operational surplus.
(2)  The maximum operational surplus for a biodiversity stewardship site account is—
(a)  30% of the total present value of all scheduled management payments in respect of the biodiversity stewardship site for the period starting from the most recent anniversary of the date on which the biodiversity stewardship agreement was entered into and extending to perpetuity, or
(b)  such other amount as the Minister determines, having regard to the advice of the Fund Manager.
(3)  The Fund Manager is to adjust the balance of the biodiversity stewardship site account concerned to reflect a payment made out of the Fund under this clause.
(4)  For the purposes of section 6.34(3)(d) of the Act, the payment out of the Fund of an amount in accordance with a direction given by the Minister under this clause is authorised.
6.19   Payments from biodiversity stewardship site account that has insufficient funds to cover payment (sections 6.34 and 6.36)
(1)  If there are no funds available in a biodiversity stewardship site account for a biodiversity stewardship site, no management payments are to be paid from the Fund in respect of that biodiversity stewardship site.
(2)  If the balance of a biodiversity stewardship site account for a biodiversity stewardship site is insufficient to cover any scheduled management payment, any management payment paid from the Fund in respect of that biodiversity stewardship site is to be reduced so that the balance of the biodiversity stewardship site account is sufficient to cover the payment.
6.20   Termination of biodiversity stewardship site account (sections 6.34 and 6.36)
(1)  If a biodiversity stewardship agreement is terminated, the Minister may direct the Fund Manager to close the biodiversity stewardship site account that relates to the biodiversity stewardship site concerned and to transfer the balance of that account (if any) to a general account.
(2)  The Minister may, at any time, direct the Fund Manager—
(a)  to distribute all or part of the proceeds of a closed biodiversity stewardship site account among any biodiversity stewardship site accounts in respect of which the total Fund deposit (referred to in section 6.21 of the Act) has been paid but which have an operational deficit, or
(b)  to pay out of the Fund, to the Minister or a person or body specified by the Minister, all or part of the proceeds of a closed biodiversity stewardship site account, for the purpose of facilitating the purchase by the Minister, and retirement, of any biodiversity credits, or
(c)  to pay out of the Fund, to the owner of the biodiversity stewardship site to which the closed biodiversity stewardship site account relates, any part of the proceeds of the closed account that is an operational surplus amount, but only if the biodiversity stewardship agreement relating to the biodiversity stewardship site was terminated by the Minister under section 5.16(6) or 5.18(1) of the Act.
(3)  If a biodiversity stewardship site account to which an amount is distributed under subclause (2)(a) subsequently ceases to have an operational deficit, the Minister may direct the Fund Manager to deduct from that biodiversity stewardship site account the amount distributed to it and transfer that amount to a general account.
(4)  For the purposes of determining an operational surplus amount for a closed biodiversity stewardship site account, the present value of all scheduled management payments in respect of the biodiversity stewardship site is to be calculated as if the biodiversity stewardship agreement had not been terminated and had continued to have effect in perpetuity.
(5)  For the purposes of section 6.34(3)(d) of the Act, the payment out of the Fund of an amount in accordance with a direction given by the Minister under this clause is authorised.
(6)  This clause does not apply in respect of a biodiversity stewardship agreement that is terminated because the land established as a biodiversity stewardship site under the agreement is reserved under Part 4 or 4A of the National Parks and Wildlife Act 1974 (as referred to in section 5.15 of the Act).
6.21   Biodiversity stewardship sites that become national parks or other reserves (sections 6.34 and 6.36)
(1)  If a biodiversity stewardship agreement is terminated because the land established as a biodiversity stewardship site under the agreement is reserved under Part 4 or 4A of the National Parks and Wildlife Act 1974 (as referred to in section 5.15 of the Act), the Fund Manager is to continue to keep a separate account that records the payments into or out of the Fund that relate to that former biodiversity stewardship site.
(2)  The Minister may direct the Fund Manager to pay out of the Fund to any person or body responsible for the care, control or management of the former biodiversity stewardship site any amount held in the Fund that is credited to that account. That amount may be used for the purpose of assisting the person or body to manage the reserve in which the former site is situated in a manner that is consistent with the objects of the National Parks and Wildlife Act 1974 and the management principles of the reserve.
(3)  For the purposes of section 6.34(3)(d) of the Act, the payment out of the Fund of an amount in accordance with a direction given by the Minister under this clause is authorised.
(4)  The Fund Manager may continue to deduct from an account relating to a biodiversity stewardship site referred to in subclause (1) any periodic management fee payable to the Fund Manager.
(5)  If an account relating to a biodiversity stewardship site referred to in subclause (1) has no remaining funds, the Minister may direct the Fund Manager to close the biodiversity stewardship site account that relates to the biodiversity stewardship site concerned.
6.22   Fund to be kept separate from other accounts (section 6.36)
The Fund Manager is to keep a separate account in relation to money held in the Fund (including the investments of the Fund).
6.23   Winding up of Fund (section 6.34(5))
(1)  The Minister may direct the Fund Manager to wind up the Fund if the Minister is of the opinion that the balance of the Fund is insufficient to meet Fund Manager liabilities.
(2)  For the purposes of this clause, Fund Manager liabilities are—
(a)  the remuneration of the Fund Manager, and
(b)  any liabilities incurred by the Fund Manager in the exercise of its functions as Fund Manager.
(3)  For the purposes of winding up the Fund, the Fund Manager is to close all accounts in the Fund and distribute the proceeds of the Fund in accordance with this clause and any directions of the Minister.
(4)  Priority in the distribution of the proceeds of the Fund is to be given to the payment of Fund Manager liabilities.
(5)  The proceeds of a biodiversity stewardship site account (after payment of Fund Manager liabilities) are to be paid to the owner of the biodiversity stewardship site.
(6)  The proceeds of a general account (after payment of Fund Manager liabilities) may be either distributed among owners of biodiversity stewardship sites or used for the purpose of facilitating the purchase and retirement of biodiversity credits, or both, as directed by the Minister.
6.24   Establishment of committees to advise and oversee Fund Manager (section 6.36)
(1)  The Minister may establish one or more committees, in such manner as the Minister considers appropriate, to advise the Fund Manager on the exercise of the Fund Manager’s functions under the Act or to oversee the exercise of those functions.
(2)  A committee has such functions in relation to the Fund and Fund Manager as are conferred or imposed on it by the Minister.
6.25   Directions to fund Manager by Minister (section 6.36)
(1)  Directions by the Minister to the Fund Manager under this Division are to be made in writing.
(2)  Any such direction may be amended, replaced or revoked by the giving of a further direction to the Fund Manager.
(3)  The Fund Manager is to act in accordance with any direction given by the Minister under this Division.
Division 6.5 Fees and administration costs
6.26   Fees payable in connection with biodiversity offsets scheme
(1) Registration of transfer of biodiversity credit (section 6.20(3)(b)) An application for the transfer of a biodiversity credit must be accompanied by an application fee of 15 fee units.
(2) Retirement of biodiversity credit (section 6.27(3)(b)) An application to retire a biodiversity credit must be accompanied by a fee of 15 fee units.
6.27   Biodiversity offsets scheme administration cost recovery from participants in scheme (section 6.38)
The owner of a biodiversity stewardship site is required to pay to the Minister an annual contribution of 15 fee units. If there is more than one owner of the site, each owner is jointly liable to pay the fee and the biodiversity stewardship agreement may set out the proportion of the fee for which each owner is liable.
Note.
The contribution is payable in accordance with an invoice issued to the owner by the Environment Agency Head.
6.28   Additional money required to be paid into the Biodiversity Stewardship Operations Account (section 6.39(3)(e))
There is to be paid into the Biodiversity Stewardship Operations Account any money received by the Minister for the disposal of property—
(a)  that was acquired by the Minister under section 148 of the National Parks and Wildlife Act 1974 for the purposes of the Threatened Species Conservation Act 1995 or of the biodiversity offsets scheme, or
(b)  that was acquired by the Minister for the purposes of Part 7A of the Threatened Species Conservation Act 1995 or of the biodiversity offsets scheme, or
(c)  that was acquired by the Minister by purchase with money from the Biodiversity Banking Account under the Threatened Species Conservation Act 1995 or from the Biodiversity Stewardship Operations Account.
6.29   Fees for services provided by staff of Environment Agency Head or Biodiversity Conservation Trust (section 6.6(2))
The Environment Agency Head and the Biodiversity Conservation Trust may charge fees for services provided by their staff to persons requesting assessments and reports under the biodiversity assessment method for proposed biodiversity stewardship sites or requesting management plans in connection with those sites.
Division 6.6 Miscellaneous
6.30   Proof of retirement of biodiversity credits (section 6.6(2))
The retirement of a biodiversity credit is to be conclusively presumed for the purposes of the biodiversity offsets scheme if a record of the retirement is included in the public register of biodiversity credits under Division 2 of Part 9 of the Act.
6.31   Changes in biodiversity assessment method
(1)  If the biodiversity method is changed, a biodiversity assessment report may, during the designated period after the method is changed, be prepared on the basis of the method in force before the change, but only if the report states that it has been prepared on that basis.
(2)  For the purposes of this clause, the designated period is—
(a)  except as provided by this subclause—6 months, or
(b)  in the case of a biodiversity development assessment report in respect of State significant development or State significant infrastructure—12 months, or
(c)  in the case of a biodiversity certification assessment report for an application that is not a strategic biodiversity certification application—12 months, or
(d)  in the case of a biodiversity certification assessment report for a strategic biodiversity certification application—12 months or such longer period as the Minister approves in a particular case.
Part 7 Biodiversity assessment and approvals under Planning Act
7.1   Biodiversity offsets scheme threshold (section 7.4)
(1)  Proposed development exceeds the biodiversity offsets scheme threshold for the purposes of Part 7 of the Act if it is or involves—
(a)  the clearing of native vegetation of an area declared by clause 7.2 as exceeding the threshold, or
(b)  the clearing of native vegetation, or other action prescribed by clause 6.1, on land included on the Biodiversity Values Map published under clause 7.3.
(2)  Proposed development that is or involves the clearing of native vegetation on Lord Howe Island does not exceed the biodiversity scheme threshold, despite anything to the contrary in subclause (1).
(3)  If proposed development is or involves the subdivision of land, the subdivision is taken to involve the clearing of native vegetation that, in the opinion of the relevant consent authority or other planning approval body, is required or likely to be required for the purposes for which the land is to be subdivided. Once that clearing has been taken into account, the clearing for the purposes of the subsequent development of the land for which it was subdivided is not to be taken into account when determining whether the subsequent development exceeds the threshold.
Note.
State Environmental Planning Policy (Vegetation in Non-Rural Areas) 2017 requires approval under the Policy for the clearing of native vegetation that exceeds the biodiversity offsets scheme threshold in the areas of the State that are not rural areas to which Part 5A of the Local Land Services Act 2013 applies (and are not national park estate and certain other conservation areas or State forestry land). The Policy will apply the approval process of the Native Vegetation Panel under that Part.
7.1A   Certain bushfire-affected development involving clearing taken not to exceed threshold
(1)  Despite clause 7.1(1), bushfire-affected development involving the clearing of native vegetation is taken not to exceed the biodiversity offsets scheme threshold if—
(a)  the proposed development—
(i)  is the reconstruction or replacement of a bushfire-affected building or structure, and
(ii)  will result in a building or structure that is the same, or substantially the same, as the building or structure that existed immediately before it was damaged or destroyed, and
(b)  the development application for the bushfire-affected development is made no later than 27 November 2023.
(2)    (Repealed)
cl 7.1A: Ins 2020 (684), cl 3. Am 2022 (724), sec 3(1) (2).
7.2   Clearing of area of land that exceeds threshold
(1)  Clearing of native vegetation is declared by this clause to exceed the biodiversity offsets scheme threshold if the area proposed to be cleared is the area set out in Column 2 of the Table to this clause opposite the minimum lot size applicable to the land to be cleared in Column 1 of that Table.
Note.
Section 7.4 of the Act provides that any part of development that involves the clearing of native vegetation on category 1-exempt land (within the meaning of Part 5A of the Local Land Services Act 2013) is to be disregarded for the purposes of determining whether proposed development exceeds the threshold.
(2)  The minimum lot size applicable to any land being cleared is as follows—
(a)  if an environmental planning instrument under the Environmental Planning and Assessment Act 1979 prescribes a standard minimum lot size in relation to the land on which the proposed development is to be carried out—that minimum lot size,
(b)  in any other case—the actual size of the allotment of land on which the proposed development is to be carried out.
For the purposes of paragraph (a), the standard minimum lot size is the minimum lot size that applies to development generally on the land, and not any different minimum lot size that applies to particular development or in particular circumstances.
(3)  In the application of the Table to this clause—
(a)  if the proposed development does not comprise only the clearing of native vegetation—the area of clearing is the total area of proposed clearing irrespective of the number of lots concerned or the ownership of those lots, and
(b)  if the proposed development comprises only the clearing of native vegetation—the area of clearing is the total area of proposed clearing—
(i)  over the lots in the same ownership (unless subparagraph (ii) applies), or
(ii)  over the lots that are worked or operated as a single property (whether or not they are in the same ownership), and
(c)  if the land on which the proposed development is to be carried out comprises different areas of land with different minimum lot sizes—the minimum lot size is the smaller or smallest of those minimum lot sizes, and
(d)  if the proposed development comprises or involves the clearing of more than one patch of native vegetation—the area of clearing is the total cumulative area cleared.
(4)  The Environment Agency Head is to publish a method (which may include computer programs) to be used for the purpose of calculating the total area of clearing for proposed development.
Table
Column 1
Column 2
Minimum lot size of land
Area of clearing
Less than 1 hectare
0.25 hectare or more
Less than 40 hectares but not less than 1 hectare
0.5 hectare or more
Less than 1,000 hectares but not less than 40 hectares
1 hectare or more
1,000 hectares or more
2 hectares or more
7.3   Clearing on land within Biodiversity Values Map exceeds threshold
(1)  In this clause—
the Map means the Biodiversity Values Map published, from time to time, on an appropriate Government website under this clause.
(2)  The Environment Agency Head is to prepare and publish a Biodiversity Values Map. The Environment Agency Head may, from time to time, amend or replace the Map.
(3)  The Map may include the following land—
(a)  land that is the coastal wetlands and littoral rainforest area of the coastal zone referred to in the Coastal Management Act 2016,
Note.
See Biodiversity Conservation (Savings and Transitional) Regulation 2017 for the application of this provision before the commencement of that Act.
(b)  land identified as koala habitat in a plan of management made under State Environmental Planning Policy No 44—Koala Habitat Protection, being land that in the opinion of the Environment Agency Head is core koala habitat,
(c)  land that is a declared Ramsar wetland within the meaning of the Environmental Protection and Biodiversity Conservation Act 1999 of the Commonwealth,
(d)  land that, in the opinion of the Environment Agency Head, contains any threatened species or threatened ecological communities that are identified in a list of potential serious and irreversible impacts on biodiversity values under section 6.5(2) of the Act,
(e)  land that is identified by the Environment Agency Head as biodiverse riparian land,
(f)  land containing high conservation value grasslands or other groundcover—
(i)  as determined under the “Interim Grasslands and Other Groundcover Assessment Method” published by the Minister for the Environment in the Gazette on 25 August 2017, or
(ii)  as determined by an independent field assessment undertaken before the commencement of the Act,
(g)  land that is identified by the Environment Agency Head as containing old-growth forests, on the basis of—
(i)  the mapping of old-growth forests for the purposes of the Comprehensive Regional Assessment under the National Forest Policy Statement (being the agreement between the Commonwealth, State and Territory governments made in 1992 and so described), but
(ii)  excluding any land containing native vegetation that does not meet the criteria for old-growth forests published jointly from time to time by the Minister for the Environment and the Minister for Primary Industries (as determined in accordance with the procedure so published),
(h)  land that is identified by the Environment Agency Head as containing rainforests, on the basis of—
(i)  the mapping of rainforests for the purposes of the Comprehensive Regional Assessment under the National Forest Policy Statement (being the agreement between the Commonwealth, State and Territory governments made in 1992 and so described), but
(ii)  excluding any land containing native vegetation that does not meet the criteria for rainforests published jointly from time to time by the Minister for the Environment and the Minister for Primary Industries (as determined in accordance with the procedure so published),
(i)  land that is a declared area of outstanding biodiversity value,
(j)  land that, in the opinion of the council of the local government area concerned, contains vegetation connectivity features or threatened species habitat and whose inclusion in the Map will, in the opinion of the Minister, conserve biodiversity at a bioregional or State scale,
(k)  any other land that, in the opinion of the Environment Agency Head, is of sufficient biodiversity value to be included in the Map.
Note.
Section 6.8(3) of the Act provides that the biodiversity assessment method is to exclude the assessment of the impacts of clearing of native vegetation and loss of habitat on category 1-exempt land (within the meaning of the Local Land Services Act 2013), other than impacts prescribed by the regulations under section 6.3 of the Act.
(4)  Despite anything to the contrary in this Part, proposed development (other than subdivision) does not exceed the biodiversity offsets scheme threshold merely because it is to be carried out on a lot included in the Map if the lot was the result of a subdivision carried out before the commencement of the Act and the lot is within land zoned R1 to R4, RU5, B1 to B8 or IN1 to IN3 under an environmental planning instrument.
(5)  If an area of land is included in the Map, proposed development to be carried out in that area of land does not exceed the biodiversity offsets scheme threshold if it is the subject of an application for planning approval when the area is so included or within 90 days after it is so included.
cl 7.3: Am 2020 (598), Sch 1[8].
7.4   Amendments to list of vulnerable threatened species or ecological communities (section 7.10)
(1)  This clause applies to a biodiversity assessment under Part 7 of the Act for the purposes of Part 5 of the Environmental Planning and Assessment Act 1979 where the proponent obtains a species impact statement and not a biodiversity assessment report.
(2)  The species impact statement is not required to consider the listing under Part 4 of the Act of a vulnerable species or vulnerable ecological community after the principal author signs the statement.
(3)  This clause ceases to apply to a species impact statement if the relevant activity subject to biodiversity assessment has not been commenced or approved within 12 months after the statement has been publicly notified by the determining authority.
7.5   Modification of Part 5 activity (sections 7.8 and 7.17)
(1)  This clause applies to a modification of an activity under Part 5 of the Environmental Planning and Assessment Act 1979 where the proponent obtained a species impact statement or a biodiversity assessment report for the purposes of biodiversity assessment under section 7.8 of the Act.
(2)  Section 7.8 of the Act does not apply in relation to any such modification that will, in the opinion of the determining authority, reduce the overall impact of the activity (or have no impact) on biodiversity values.
(3)  Section 7.8 of the Act applies in relation to any such modification that will, in the opinion of the determining authority, increase the overall impact of the activity on biodiversity values, and for that purpose the proponent may elect to have the impacts of the modification assessed by a species impact statement or a biodiversity development assessment report.
(4)  The determining authority is required to take into account, in connection with the assessment of the modification, measures taken to avoid or minimise the impact on biodiversity values in connection with the original activity (including any measures calculated in terms of the retirement of biodiversity credits).
7.6   Content of species impact statement relating to impact on threatened species or ecological communities (section 7.20(2))
(1)  In addition to a full description of the proposed development or activity (the action), a species impact statement must include, to the fullest extent reasonably practicable, the information referred to in this clause.
(2)  A species impact statement must include the following information as to threatened species—
(a)  a general description of the threatened species known or likely to be present in the area that is the subject of the action and in any area that is likely to be affected by the action,
(b)  an assessment of which threatened species known or likely to be present in the area are likely to be affected by the action,
(c)  for each species likely to be affected—details of its local, regional and State-wide conservation status, the key threatening processes generally affecting it and its habitat requirements,
(d)  an estimate of the local and regional abundance of those species,
(e)  an assessment of whether those species are adequately represented in conservation reserves (or other similar protected areas) in the region,
(f)  an assessment of whether any of those species is at the limit of its known distribution,
(g)  a full description of the type, location, size and condition of the habitat of those species and details of the distribution and condition of similar habitats in the region,
(h)  a full assessment of the likely effect of the action on those species, including, if possible, the quantitative effect of local populations in the cumulative effect in the region,
(i)  a description of any feasible alternatives to the action that are likely to be of lesser effect and the reasons justifying the carrying out of the action in the manner proposed, having regard to the biophysical, economic and social considerations and the principles of ecologically sustainable development,
(j)  a full description and justification of the measures proposed to mitigate any adverse effect of the action on the species, including a compilation (in a single section of the statement) of those measures,
(k)  a list of any approvals that must be obtained under any other Act or law before the action may be lawfully carried out, including details of the conditions of any existing approvals that are relevant to the species.
(3)  A species impact statement must include the following information as to ecological communities—
(a)  a general description of the ecological community present in the area that is the subject of the action and in any area that is likely to be affected by the action,
(b)  for each ecological community present—details of its local, regional and State-wide conservation status, the key threatening processes generally affecting it and its habitat requirements,
(c)  an assessment of whether those ecological communities are adequately represented in conservation reserves (or other similar protected areas) in the region,
(d)  an assessment of whether any of those ecological communities is at the limit of its known distribution,
(e)  a full description of the type, location, size and condition of the habitat of the ecological community and details of the distribution and condition of similar habitats in the region,
(f)  a full assessment of the likely effect of the action on the ecological community, including, if possible, the quantitative effect of local populations in the cumulative effect in the region,
(g)  a description of any feasible alternatives to the action that are likely to be of lesser effect and the reasons justifying the carrying out of the action in the manner proposed, having regard to the biophysical, economic and social considerations and the principles of ecologically sustainable development,
(h)  a full description and justification of the measures proposed to mitigate any adverse effect of the action on the ecological community, including a compilation (in a single section of the statement) of those measures,
(i)  a list of any approvals that must be obtained under any other Act or law before the action may be lawfully carried out, including details of the conditions of any existing approvals that are relevant to the ecological community.
Part 8 Biodiversity certification of land
8.1   Avoiding or minimising impacts of clearing and loss of habitat may be specified as related other approved measures in order conferring biodiversity certification (section 8.3(3)(c))
Measures to avoid or minimise the impacts on biodiversity values of the clearing of native vegetation and the loss of habitat on biodiversity certified land are related matters under section 8.3(3)(c) of the Act that may be specified as other approved measures in the order conferring biodiversity certification.
8.2   Other approved conservation measures proposed in strategic application for approval by Minister (section 8.3(2)(b))
A strategic application for biodiversity certification may include conservation measures that are not approved conservation measures but for which the applicant seeks a determination by the Minister under section 8.3(2)(b) that they are approved conservation measures in connection with the biodiversity certification sought by the application.
8.3   Criteria to be taken into account by Minister when declaring strategic application (section 8.5(2))
The following criteria are to be taken into account by the Minister when declaring that an application for biodiversity certification of land is a strategic application—
(a)  the size of the area of the land,
(b)  any regional or district strategic plan under the Environmental Planning and Assessment Act 1979 that applies to the area in which the land is situated,
(c)  advice provided by the Minister for Planning regarding the proposed biodiversity certification,
(d)  the economic, social or environmental outcomes that the proposed biodiversity certification could facilitate.
8.4   Consultation with local councils on biodiversity certification applications (section 8.26(6))
(1)  This clause applies for the purposes of consultation under section 8.6(1) of the Act by the applicant for biodiversity certification with the local council of the area to which the application relates.
Note.
Section 8.6(1) of the Act requires an applicant for biodiversity certification who is not a planning authority (or who is Local Land Services) to consult the local council of the area before undertaking public consultation on the application.
(2)  The applicant is to provide the local council with a copy of the application and give the local council at least 42 days to make any submission to the applicant about the application.
(3)  The applicant is required to provide any such submission received from a local council to the Minister, together with a response to the submission.
8.5   Publication of biodiversity certification agreements (section 8.20)
(1)  A copy of each biodiversity certification agreement is to be published on a government website maintained by the Environment Agency Head.
(2)  However, the Environment Agency Head is to restrict access to any personal information (within the meaning of the Privacy and Personal Information Protection Act 1998) if its disclosure would contravene that Act.
8.6   Additional grounds for suspension or revocation of biodiversity certification (sections 8.21(2)(d) and 8.22(4)(d))
The Minister may suspend or revoke a biodiversity certification of land under section 8.21 of the Act, or modify a biodiversity certification of land on the Minister’s own initiative under section 8.22 of the Act, if the Minister is no longer satisfied that the approved conservation measures under the biodiversity certification adequately address the likely impacts on biodiversity values of the biodiversity certification of the land.
8.7   Consultation with planning authorities on proposed suspension or revocation of biodiversity certification following strategic application for certification (section 8.21(3))
Before suspending or revoking under section 8.21 of the Act the biodiversity certification of land that was conferred following a strategic application for biodiversity certification made by a planning authority, the Minister must consult—
(a)  that planning authority, and
(b)  any other planning authority that is a party to the biodiversity certification or that is a party to a biodiversity certification agreement in connection with the biodiversity certification.
8.8   Currency of biodiversity certification assessment report (section 8.26(6))
A biodiversity certification assessment report cannot be submitted in connection with an application for an extension or modification of biodiversity certification, unless the accredited person certifies in the report that the report has been prepared on the basis of the requirements of (and information provided under) the biodiversity assessment method as at a specified date and that date is within 14 days of the date the report is so submitted.
cl 8.8: Am 2020 (598), Sch 1[9] [10].
8.9   Extension of period or modification of biodiversity certification (section 8.26(6))
(1)  The Minister may, when determining whether to extend the period for which any biodiversity certification remains in force or whether to modify any biodiversity certification, have regard to any ground on which the Minister may suspend or revoke a biodiversity certification under section 8.21 of the Act.
Note.
The grounds on which section 8.21 authorises the suspension or revocation of biodiversity certification include non-compliance with approved conservation measures under the certification.
(2)  An application to modify a biodiversity certification to extend the area of land to which the certification applies must—
(a)  identify the area of land proposed to be added to the biodiversity certification, and
(b)  identify whether any of that land was subject to approved measures under the biodiversity certification to avoid or minimise the impacts on biodiversity values of the clearing of native vegetation and the loss of habitat on the biodiversity certified land.
8.10   Fees payable in connection with biodiversity certification (section 8.26(6)(a))
An application for biodiversity certification is to be accompanied by—
(a)  a fee of 50 fee units, and
(b)  if the area of land proposed to be certified exceeds 100 hectares—an additional fee of 10 fee units plus 10 fee units for each 100 hectares that exceeds 100 hectares.
Part 9 Public consultation and public registers
Division 9.1 Public consultation
9.1   Exclusion of Christmas/New Year period (section 9.6)
(1)  This clause applies to the minimum public exhibition period of 4 weeks in respect of a public consultation document that is required by section 9.2 of the Act.
(2)  The period between 20 December and 10 January (inclusive) is excluded from the calculation of the minimum period of public exhibition.
Division 9.2 Public registers
9.2   Public register of biodiversity conservation licences (sections 9.7(1)(a) and 9.11)
Information relating to an existing licence under an Act or provision of an Act repealed by the Act (being a licence that is taken under the Act to be a biodiversity conservation licence) is not required to be included in the public register of biodiversity conservation licences.
9.3   Register of private land conservation agreements (sections 9.7(1)(c) and 9.11)
(1)  The following information is required to be included in the public register of private land conservation agreements—
(a)  whether the agreement is a biodiversity stewardship agreement, a conservation agreement or a wildlife refuge agreement,
(b)  the names of the current and previous owners of the land to which the agreement relates during any period the agreement is in force,
(c)  the lot and deposited plan numbers of the land to which the agreement relates,
(d)  the local government area in which the land to which the agreement relates is situated,
(e)  any Interim Biogeographic Regionalisation of Australia subregion in which the land to which the agreement relates is situated,
(f)  a copy of the agreement (and any variation of the agreement),
(g)  a copy of the biodiversity assessment report that relates to the agreement,
(h)  a copy of any management plan prepared under the agreement (and any variation of the plan),
(i)  in the case of a biodiversity stewardship agreement—the number and class of biodiversity credits created in relation to the agreement,
(j)  any additional information the Environment Agency Head considers appropriate.
(2)  If a private land conservation agreement ceases to be in force, the public register of private land conservation agreements is to continue to contain the information relating to the agreement immediately before it ceased to be in force. The information is to be kept separately from information about agreements that are in force.
9.4   Public register of biodiversity credits (sections 9.7(1)(d) and 9.11)
The following information is required to be included in the public register of biodiversity credits—
(a)  the name of the credits (and any former name),
(b)  the contact details of the current holder of the credits (or of the agent of the holder),
(c)  the lot and deposited plan numbers of the land comprising the biodiversity stewardship site in respect of which the credits were created,
(d)  the local government area in which that land is situated,
(e)  the status of the credits (for example, whether available, retired or committed),
(f)  the profile attributes of the credits identified in the Biodiversity Assessment Method,
(g)  in the case of a transfer of biodiversity credits—the credits transferred, the amount paid to the existing holder of the credits for the transfer and the date of the transfer (including, if disclosed, whether the transfer was made for philanthropic reasons),
(h)  in the case of a retirement of biodiversity credits—
(i)  the credits retired, and
(ii)  the date the credits were retired, and
(iii)  the amount paid to the holder of the credits if the credits have not previously been traded, and
(iv)  the reference number and date of the consent, approval, biodiversity obligation or other instrument that imposed the obligation to retire the credits (if any), and
(v)  the address and local government area of the land to which that instrument applies,
(i)  in the case of a suspension of biodiversity credits—the date the suspension took effect and the date the suspension ends,
(j)  in the case of the cancellation of biodiversity credits—the date the cancellation took effect and the reasons for the cancellation provided under section 6.23(3)(b) of the Act,
(k)  any additional information the Environment Agency Head considers appropriate.
9.5   Public register of accredited persons who apply BAM (sections 9.7(1)(e) and 9.11)
The following information is required to be included in the public register of accredited persons—
(a)  the name of each accredited person whose accreditation is in force,
(b)  the date of accreditation of each such person,
(c)  the date the accreditation of each such person expires,
(d)  the contact details of each such person (but only if the person requests those details to be included in the register),
(e)  any additional information the Environment Agency Head considers appropriate.
9.6   Public register of remediation orders (sections 9.7(1)(h) and 9.11)
Information relating to a remediation direction given under section 38 of the Native Vegetation Act 2003 (being a direction that is taken under the Act to be a remediation order under section 11.15 of the Act) is not required to be included in the public register of remediation orders.
9.7   Public register of biodiversity credits wanted (sections 9.7(1)(j) and 9.11)
(1)  A public register is to be kept and made available under Division 2 of Part 9 of the Act of persons seeking biodiversity credits.
(2)  The following information is required to be included in the public register—
(a)  the name of any person seeking biodiversity credits who requests to be included in the register (or the nominated agent of the person),
(b)  contact details of the person (or the nominated agent of the person),
(c)  the number and class of credits (or range) sought by the person,
(d)  the date the person requested to be included in the register,
(e)  any additional information the Environment Agency Head considers appropriate.
9.8   Public register of biodiversity stewardship site expressions of interest (sections 9.7(1)(j) and 9.11)
(1)  A public register is to be kept and made available under Division 2 of Part 9 of the Act of biodiversity stewardship site expressions of interest.
(2)  The following information is required to be included in the public register—
(a)  the name of any landholder seeking to establish a biodiversity stewardship site who requests to be included in the register (or the nominated agent of the landholder),
(b)  contact details of the landholder (or the nominated agent of the landholder),
(c)  the local government area in which the proposed site is situated,
(d)  any Interim Biogeographic Regionalisation of Australia subregion in which the proposed site is situated,
(e)  the date the person requested to be included in the register,
(f)  any additional information the Environment Agency Head considers appropriate.
9.9   Correction of public registers (section 9.11)
The Environment Agency Head may revise a public register kept under Division 2 of Part 9 of the Act to correct any error or out-of-date information in the register.
9.10   Additional authority for restriction of access to information in public registers (section 9.10)
The Environment Agency Head may restrict access to information in a public register kept under Division 2 of Part 9 of the Act if the Environment Agency Head is satisfied that—
(a)  in the case of the public register of biodiversity conservation licences—the information would identify the location of particular animals or plants (or the location of activities relating to particular animals or plants), or
(b)  the information would disclose the name of the owner of the site to which a conservation agreement or wildlife refuge agreement applies, or
(c)  the information would disclose the name or contact details of the current holder of a biodiversity credit (or the holder’s agent) in any case in which the holder has not agreed to have that information disclosed, or
(d)  the information would disclose the name or contact details of a former holder of a biodiversity credit (or the former holder’s agent), or
(e)  the information would disclose the land title information of land subject to a conservation agreement or wildlife refuge agreement in a case in which the landholder has requested that the information should not be disclosed, or
(f)  the information in a private land conservation agreement that is identified in the agreement as information to which access on a public register is to be restricted, or
(g)  the information is subject to an authorisation restricting access given under (or taken to be given under) section 4.20 of the Act.
Note.
Section 9.10 also provides for the restriction of access to information in the public interest or if its disclosure would contravene privacy legislation.
9.11   Transitional provision relating to information about licences, agreements and credits under repealed Act
(1)  This clause applies to a licence, agreement or biodiversity credit under the Threatened Species Conservation Act 1995 that is continued in force under the Act.
(2)  Despite anything to the contrary in this Part, information relating to any such licence, agreement or credit is not required to be included in a public register under Division 2 of Part 9 of the Act if the information was not included in the corresponding register under the Threatened Species Conservation Act 1995.
(3)  Subclause (2) ceases to have effect in relation to any such licence, agreement or credit if a change is made in relation to the licence, agreement or credit under the Act.
(4)  Relevant information about any such licence, agreement or credit on the corresponding register under the Threatened Species Conservation Act 1995 that was not kept in electronic form need not be kept in electronic form under Division 2 of Part 9 of the Act.
Part 10 Biodiversity Conservation Trust
10.1   Preparation and publication of Trust business plan (section 10.7(5))
(1)  The business plan of the Trust is to contain the following—
(a)  the goals of the Trust (being goals that are consistent with its objects under section 10.4 of the Act) and its plans for achieving those goals,
(b)  its plan for the investment of money of or under the control of the Trust and for the management of the proceeds of its investments,
(c)  its plan for collecting and managing data or information for the exercise of its functions (including for the purposes of the biodiversity information programs of the Environment Agency Head under section 14.3 and of the evaluation of investment in biodiversity conservation on private land).
(2)  While the Trust continues to be the Fund Manager of the Biodiversity Stewardship Payments Fund, the business plan of the Trust extends to its functions as the Fund Manager.
10.2   Additional matters to be included in annual reporting information for Trust (section 10.12)
(1)  The annual reporting information prepared for the Trust under the Government Sector Finance Act 2018 is to include the following additional matters—
(a)  the progress in the annual reporting period on the achievement of the goals of the Trust set out in its approved business plan,
(b)  the actions undertaken by the Trust during the annual reporting period to implement the plans in its approved business plan.
(2)  While the Trust continues to be the Fund Manager of the Biodiversity Stewardship Payments Fund, the annual reporting information for the Trust extends to its activities as the Fund Manager.
cl 10.2: Subst 2018 No 70, Sch 4.11[1].
10.3   Combination of Trust annual reporting information with annual reporting information as Fund Manager of the Biodiversity Stewardship Payments Fund (section 6.37)
(1)  The annual reporting information prepared for the Trust under the Government Sector Finance Act 2018 may be combined with the annual report of the Trust under section 6.37 of the Act while it continues to be the Fund Manager of the Biodiversity Stewardship Payments Fund.
(2)  The combined report is to contain separate financial statements for the Biodiversity Stewardship Payments Fund and for other money or funds of or under the control or management of the Trust.
cl 10.3: Subst 2018 No 70, Sch 4.11[2].
Part 11 Regulatory compliance mechanisms
11.1   Terms of interim protection orders (section 11.9(2))
(1)  An interim protection order may contain terms of either or both of the following kinds—
(a)  terms prohibiting the owner or occupier of any land that is subject to the order from doing any of the activities referred to in subclause (2),
(b)  terms allowing the owner or occupier of any land that is subject to the order to do any of those activities only with the consent of the Minister or only subject to other specified conditions.
(2)  The activities that may be prohibited or regulated are the following—
(a)  the total or partial destruction, demolition, removal, damaging or defacing of any building, structure or work on any land,
(b)  the damaging or despoiling of any land,
(c)  the carrying out of development on any land,
(d)  the clearing of native or other vegetation on any land,
(e)  any other activity that may affect the preservation, protection or maintenance of any land, including any threatened species or ecological community (or its habitat) or any protected animal or protected plant.
(3)  In this clause, doing an activity includes causing or permitting the activity to be done.
11.2   Time for appeal against interim protection orders (section 11.13(2))
An appeal by a landholder against an interim protection order is to be made within 30 days after the date the landholder is given notice of the order under section 11.11 of the Act.
Part 12 Investigation powers
12.1   Retention, destruction or disposal of seized animals or plants (section 12.18)
(1)  This clause applies to an animal, plant or other thing seized under Part 12 of the Act that is not required to be returned to the person from whom it was seized.
(2)  Any such thing—
(a)  may be returned to the person from whom it was seized, and
(b)  may be retained by the authorised officer who seized it or by the Environment Agency Head, and
(c)  may be destroyed or disposed of with the authority of the Environment Agency Head.
(3)  In this clause, disposed of includes sold or transferred to another person.
12.2   (Repealed)
cl 12.2: Ins 2020 (671), cl 3. Rep 2021 No 5, Sch 1.6.
Part 13 Criminal and civil proceedings
13.1   Penalty notice offences (section 13.5)
Schedule 1 contains provisions relating to penalty notice offences.
13.2   Provision of information on additional matters for which offence of false and misleading information applies (section 13.10(2)(c))
The following provision of information is declared to be the provision of information in connection with a matter under the Act for the purposes of section 13.10 of the Act—
(a)  the provision of information by a landholder to the Environment Agency Head in connection with a request by the landholder under section 60L of the Local Land Services Act 2013 for a review relating to the categorisation or re-categorisation of land on a native vegetation regulatory map,
(b)  the giving of a notice by a landholder to Local Land Services under section 60X of the Local Land Services Act 2013 of the clearing of native vegetation under the authority conferred by a land management (native vegetation) code,
(c)  the provision of information by a person pursuant to an obligation imposed by the conditions of a licence, approval, certificate or other authority (or by an agreement or other instrument) under the Act or under Part 5A of the Local Land Services Act 2013,
(d)  the provision of information by or on behalf of a person who commissions the preparation of a biodiversity assessment report to the person preparing the report,
(e)  the provision of information by or on behalf of an owner of land to the Environment Agency Head or the Biodiversity Conservation Trust in connection with a proposal by that owner for a private land conservation agreement over the land,
(f)  the provision of information to the Environment Agency Head in connection with the accreditation of persons under a scheme referred to in section 6.10 of the Act.
13.3   Certificate evidence of additional matters (section 13.31)
The following additional matters may be certified under section 13.31(1) of the Act—
(a)  that a specified animal or plant is a protected animal or protected plant,
(b)  that a specified animal or plant is an animal or plant of a specified species,
(c)  that a specified person was or was not the holder of biodiversity conservation licence at a specified time,
(d)  that a specified amount is payable or has been paid by a specified person under the Act or under Part 5A of the Local Land Services Act 2013,
(e)  that a document of a specified kind under the Act or under Part 5A of the Local Land Services Act 2013, a copy of which is attached to the certificate, was in effect at a specified date or during a specified period,
(f)  that a specified approval, certificate, order or other document was or was not given, issued, published or in force in respect of specified land or at a specified date or during a specified period,
(g)  that a specified animal or plant is classified in a specified manner on a specified official database of animals or plants,
(h)  that a determination, a copy of which is attached to the certificate, is a determination of the Scientific Committee,
(i)  that specified reasons were the reasons why the Environment Agency Head designated specified land as a specified category under the Act or under Part 5A of the Local Land Services Act 2013,
(j)  that specified land (described in the certificate or identified on a map or other document attached to the certificate) was land of a specified category on a native vegetation regulatory map or other map under the Act or under Part 5A of the Local Land Services Act 2013 at a specified time or during a specified period,
(k)  that specified compliance or enforcement action was taken in relation to the clearing of native vegetation on specified land for the purposes of a determination of the Environment Agency Head under section 60J(3) of the Local Land Services Act 2013,
(l)  that an application, a copy of which is attached to the certificate, is an application that was made to the Minister, Environment Agency Head or Local Land Services under the Act or under Part 5A of the Local Land Services Act 2013,
(m)  that a specified amount is the amount of any loss, charge, cost or expense incurred by reason of a specified offence, the making good of specified damage caused by an offence or the investigation of a specified offence,
(n)  that a specified amount is the reasonable cost of complying with a specified requirement referred to in section 11.26 of the Act.
Part 14 Miscellaneous
14.1   Provisions relating to members and procedure of Biodiversity Conservation Advisory Panel (section 14.2)
Schedule 2 contains provisions relating to the members and procedure of the Biodiversity Conservation Advisory Panel.
14.2   Biodiversity information programs (section 14.3)
(1)  This clause applies to programs established by the Environment Agency Head under section 14.3 of the Act for the collection, monitoring and assessment of information on biodiversity.
(2)  The programs are to collect, monitor and assess information on the status and trends of biodiversity in New South Wales.
(3)  The programs are to use a method for that collection, monitoring and assessment which identifies key biodiversity indicators and sets out how data related to those indicators is to be collected and measured.
(4)  The Environment Agency Head is to publish from time to time on a website maintained by the Agency Head a NSW Biodiversity Outlook Report on the results of the programs (including the method used for the collection, monitoring and assessment of the biodiversity information).
(5)  The method for the collection, monitoring and assessment of information on biodiversity and the NSW Biodiversity Outlook Report are to be subject to peer review by at least 3 people who have, in the opinion of the Environment Agency Head, appropriate qualifications.
14.3   Additional persons to whom functions may be delegated by Minister or Agency Head (section 14.4)
The following persons or classes of persons are prescribed as additional persons or classes of persons to whom the exercise of the functions of the Minister or the Environment Agency Head may be delegated—
(a)  the Biodiversity Conservation Trust, a member or committee of the Board of the Trust or an employee of the Trust,
(b)  Local Land Services, a member of the Board of Chairs, the chair or any other member of a local board or a member of the staff of Local Land Services,
(c)  a local council or an employee of a local council,
(d)  a police officer or other member of the NSW Police Force,
(e)  the Environment Protection Authority, the CEO of the Authority or a person employed in the Environment Protection Authority Staff Agency,
(f)  a person employed in the Department of Planning, Housing and Infrastructure.
cl 14.3: Am 2023 No 30, Sch 2.1; 2024 No 47, Sch 1.3[2].
Schedule 1 Penalty notice offences
(clause 13.1)
For the purposes of section 13.5 of the Act—
(a)  each offence specified in this Schedule is a penalty notice offence for which a penalty notice may be issued, and
(b)  the amount payable under any such penalty notice is the amount specified in this Schedule for the offence, and
(c)  an authorised officer under Part 12 of the Act may issue any such penalty notice.
Column 1
Column 2
Column 3
Provision
Penalty—corporations
Penalty—individuals
Offences under the Act
Section 2.1 [in the case of an animal that is (or is part of) a threatened species or threatened ecological community (other than a vulnerable species or vulnerable ecological community)]
$16,500
$3,300
Section 2.1 [in the case of an animal that is (or is part of) a vulnerable species or vulnerable ecological community]
$4,400
$880
Section 2.1 [in any other case]
$1,100
$300
Section 2.2 [in the case of a plant that is (or is part of) a threatened species or threatened ecological community (other than a vulnerable species or community)]
$16,500
$3,300
Section 2.2 [in the case of a plant that is (or is part of) a vulnerable species or vulnerable ecological community]
$4,400
$880
Section 2.2 [in any other case]
$1,100
$300
Section 2.3
$16,500
$3,300
Section 2.4
$16,500
$3,300
Section 2.5 [in the case of an animal or plant that is (or is part of) a threatened species or threatened ecological community (other than a vulnerable species or vulnerable ecological community)]
$16,500
$3,300
Section 2.5 [in the case of an animal or plant that is (or is part of) a vulnerable species or vulnerable ecological community)]
$4,400
$880
Section 2.5 [in any other case]
$1,100
$300
Section 2.6
$4,400
$880
Section 2.14(4) [in the case of an animal or plant that is (or is part of) a threatened species or threatened ecological community (other than a vulnerable species or vulnerable ecological community)]
$16,500
$3,300
Section 2.14(4) [in the case of an animal or plant that is (or is part of) a vulnerable species or vulnerable ecological community)]
$4,400
$880
Section 2.14(4) [in any other case]
$1,100
$300
Section 5.18(6)
$16,500
$3,300
Section 6.29(2)
$16,500
$3,300
Section 11.5
$16,500
$3,300
Section 11.12
$16,500
$3,300
Section 11.22
$6,600
$1,320
Section 11.27
$6,600
$1,320
Section 11.36 [in the case of an animal that is (or is part of) a threatened species or threatened ecological community (other than a vulnerable species or vulnerable ecological community)]
$6,600
$1,320
Section 11.36 [in the case of an animal that is (or is part of) a vulnerable species or vulnerable ecological community]
$4,400
$880
Section 11.36 [in any other case]
$1,100
$220
Section 12.22(1)
$6,600
$1,320
Section 12.22(2)
$1,100
$220
Section 12.22(3)
$16,500
$3,300
Section 12.22(4)
$16,500
$3,300
Section 12.22(5)
$16,500
$3,300
Section 12.22(6)
$6,600
$1,320
Section 13.10
$16,500
$3,300
Offences under this Regulation
Clause 2.2 (Interfering with marine mammals)
$6,600 (or $16,500 if offence committed in the course of a commercial operation)
$1,320 (or $3,300 if offence committed in the course of a commercial operation)
Clause 2.3 (Approaching marine mammals)
$6,600 (or $16,500 if offence committed in the course of a commercial operation)
$1,320 (or $3,300 if offence committed in the course of a commercial operation)
Clause 2.4 (Operation of prohibited vessels approached by marine mammals)
$6,600 (or $16,500 if offence committed in the course of a commercial operation)
$1,320 (or $3,300 if offence committed in the course of a commercial operation)
Clause 2.5 (Operation of vessels that are not prohibited vessels)
$6,600 (or $16,500 if offence committed in the course of a commercial operation)
$1,320 (or $3,300 if offence committed in the course of a commercial operation)
Clause 2.6 (Operation of aircraft in vicinity of marine mammals)
$6,600 (or $16,500 if offence committed in the course of a commercial operation)
$1,320 (or $3,300 if offence committed in the course of a commercial operation)
Clause 2.7 (Feeding marine mammals)
$6,600 (or $16,500 if offence committed in the course of a commercial operation)
$1,320 (or $3,300 if offence committed in the course of a commercial operation)
Clause 2.8 (Swimming with whales, dolphins or dugongs)
$6,600 (or $16,500 if offence committed in the course of a commercial operation)
$1,320 (or $3,300 if offence committed in the course of a commercial operation)
Clause 2.38 (Offences relating to registration, tagging and record keeping)
$1,100
$300
Clause 2.39 (Prohibition on breeding native waterfowl with non-native waterfowl)
$1,100
$220
Division 3.2 (Little Penguin declared area)
$1,100
$500
Division 3.3 (Wollemi Pine declared area)
$1,100
$500
Offences under Part 5A of Local Land Services Act 2013
Section 60N [in relation to land to which section 60K(9) applies]
$4,400
$880
Section 60N [in any other case]
$15,000
$5,000
Section 60X(1)
$1,100
$220
Section 60ZC(6)
$15,000
$3,300
Offences under Regulations under Part 5A of Local Land Services Act
Clause 139 (Offence of contravening certain requirements of approvals or certificates)
$2,200
$440
Offences under Part 5B of Local Land Services Act 2013
Section 60ZZA
$15,000
$5,000
Offences under Part 5B of Forestry Act 2012
Section 69SA
$15,000
$5,000
sch 1: Am 2018 No 40, Sch 3.2.
Schedule 2 Provisions relating to members and procedure of the Biodiversity Conservation Advisory Panel
(clause 14.1)
Part 1 Preliminary
1   Definitions
In this Schedule—
member means the chairperson or other member of the Panel.
Panel means the Biodiversity Conservation Advisory Panel established under section 14.2 of the Act.
Part 2 Provisions relating to members of Panel
2   Terms of office of members
(1)  A member of the Panel holds office, subject to this Schedule, for such period (not exceeding 3 years) as is specified in the member’s instrument of appointment.
(2)  A member is eligible (if otherwise qualified) for re-appointment.
3   Part-time office
The office of a member is a part-time office.
4   Remuneration of members
A member is entitled to be paid such remuneration (including travelling and subsistence allowances) as the Minister may from time to time determine in respect of the member.
5   Alternate members
(1)  The Minister may, from time to time, appoint a person to be the alternate of a member, and may revoke any such appointment.
(2)  In the absence of a member, the member’s alternate may, if available, act in the place of the member.
(3)  While acting in the place of a member, a person has all the functions of the member and is taken to be a member.
(4)  A person while acting in the place of a member is entitled to be paid such remuneration (including travelling and subsistence allowances) as the Minister may from time to time determine in respect of the person.
(5)  The alternate of a member who is the chairperson has the member’s functions as chairperson.
6   Removal from office of members
The Minister may remove a member from office at any time for any reason and without notice.
7   Vacancy in office of member
(1)  The office of a member becomes vacant if the member—
(a)  dies, or
(b)  completes a term of office and is not re-appointed, or
(c)  resigns the office by instrument in writing addressed to the Minister, or
(d)  is removed from office under this or any other Act, or
(e)  becomes bankrupt, applies to take the benefit of any law for the relief of bankrupt or insolvent debtors, compounds with his or her creditors or makes an assignment of his or her remuneration for their benefit, or
(f)  becomes a mentally incapacitated person, or
(g)  is convicted in New South Wales of an offence that is punishable by imprisonment for 12 months or more or is convicted elsewhere than in New South Wales of an offence that, if committed in New South Wales, would be an offence so punishable.
(2)  If the office of a member becomes vacant, a person may, subject to the Act and this Schedule, be appointed to fill the vacancy.
Part 3 Provisions relating to procedure of Panel
8   General procedure
The procedure for the calling of meetings of the Panel and for the conduct of business at those meetings is, subject to the Act and this Schedule, to be as determined by the Panel.
9   Quorum
The quorum for a meeting of the Panel is a majority of its members for the time being.
10   Presiding member
(1)  The chairperson (or, in the absence of the chairperson, a member elected by the members of the Panel who are present at a meeting of the Panel) is to preside at a meeting of the Panel.
(2)  The person presiding at a meeting has a deliberative vote and, in the event of an equality of votes, has a second or casting vote.
11   Voting
A decision supported by a majority of the votes cast at a meeting of the Panel at which a quorum is present is the decision of the Panel.
12   Disclosure of pecuniary interests
(1)  If—
(a)  a member has a pecuniary interest in a matter being considered or about to be considered at a meeting of the Panel, and
(b)  the interest appears to raise a conflict with the proper performance of the member’s duties in relation to the consideration of the matter,
the member must, as soon as possible after the relevant facts have come to the member’s knowledge, disclose the nature of the interest at a meeting of the Panel.
(2)  A member has a pecuniary interest in a matter if the pecuniary interest is the interest of—
(a)  the member, or
(b)  the member’s spouse or de facto partner or a relative of the member, or a partner or employer of the member, or
(c)  a company or other body of which the member, or a nominee, partner or employer of the member, is a member.
(3)  However, a member is not taken to have a pecuniary interest in a matter as referred to in subclause (2)(b) or (c)—
(a)  if the member is unaware of the relevant pecuniary interest of the spouse, de facto partner, relative, partner, employer or company or other body, or
(b)  just because the member is a member of, or is employed by, a council or a statutory body or is employed by the Crown, or
(c)  just because the member is a member of a company or other body that has a pecuniary interest in the matter, so long as the member has no beneficial interest in any shares of the company or body.
(4)  A disclosure by a member at a meeting of the Panel that the member, or a spouse, de facto partner, relative, partner or employer of the member—
(a)  is a member, or is in the employment, of a specified company or other body, or
(b)  is a partner, or is in the employment, of a specified person, or
(c)  has some other specified interest relating to a specified company or other body or to a specified person,
is a sufficient disclosure of the nature of the interest in any matter relating to that company or other body or to that person which may arise after the date of the disclosure and which is required to be disclosed under subclause (1).
(5)  Particulars of any disclosure made under this clause must be recorded by the Panel and that record must be open at all reasonable hours to inspection by any person.
(6)  After a member has disclosed the nature of an interest in any matter, the member must not, unless the Minister or the Panel otherwise determines—
(a)  be present during any deliberation of the Panel with respect to the matter, or
(b)  take part in any decision of the Panel with respect to the matter.
(7)  For the purposes of the making of a determination by the Panel under subclause (6), a member who has a direct or indirect pecuniary interest in a matter to which the disclosure relates must not—
(a)  be present during any deliberation of the Panel for the purpose of making the determination, or
(b)  take part in the making by the Panel of the determination.
(8)  A contravention of this clause does not invalidate any decision of the Panel.
13   Provision of information by Panel
The Panel must provide the Minister with such information and reports as the Minister may, from time to time, request.
Note.
See section 14.5 of the Act for the exclusion of personal liability of a member of the Panel acting in good faith in the exercise of the member’s functions.