Government Prices Oversight Act 1995
[The long title Substituted by No. 22 of 1997, s. 4, Applied:03 Sep 1997] [The long title Substituted by No. 79 of 1997, Sched. 2, Applied:15 Jan 1998] [The long title Substituted by No. 95 of 2000, s. 4, Applied:13 Dec 2000] [The long title Substituted by No. 13 of 2007, s. 4, Applied:01 Aug 2007] An Act to establish the Government Prices Oversight Commission, to provide for investigations into the pricing policies of certain Government Agencies, Government Business Enterprises, Local Government Bodies, statutory authorities and State-owned companies that are monopoly, or near monopoly, providers of services and goods in Tasmania, to provide for the setting of maximum prices chargeable by such Agencies, Enterprises, Bodies, authorities and companies in respect of the supply of those services and goods, to provide for inquiries into matters relating to or affecting the pricing policies of certain Government Agencies, Government Business Enterprises, Local Government Bodies, statutory authorities and State-owned companies, whether or not they are monopoly or near monopoly providers of services and goods, to provide for investigations into complaints of breaches of the national competition policy competitive neutrality principles, to provide for the monitoring of certain prices and certain activities of particular non-government bodies and to provide for related matters
Be it enacted by His Excellency the Governor of Tasmania, by and with the advice and consent of the Legislative Council and House of Assembly, in Parliament assembled, as follows:
PART 1 - Preliminary
This Act may be cited as the Government Prices Oversight Act 1995 .
This Act commences on 1 January 1996.
[Section 3 Amended by No. 22 of 1997, s. 5, Applied:03 Sep 1997] [Section 3 Substituted by No. 79 of 1997, Sched. 2, Applied:15 Jan 1998](1) In this Act, unless the contrary intention appears [Section 3 Subsection (1) amended by No. 86 of 2000, Sched. 1, Applied:01 May 2001] Agency means an Agency within the meaning of the State Service Act 2000 , other than such an Agency that is also a Government Business Enterprise or statutory authority;amend means (a) omit any matter; or(b) insert or add any matter; or(c) omit any matter and substitute any other matter;Assistant Commissioner means a person appointed as an Assistant Commissioner under section 15 (1) (b) ;Cabinet record means a record which (a) is referred to in section 24 (1) of the Freedom of Information Act 1991 ; and(b) contains exempt information, within the meaning of that Act, to which that section applies;Commission means the Government Prices Oversight Commission established by section 9 ;Commissioner means the person appointed as the Commissioner under section 15 (1) (a) ;community service obligation means (a) in respect of a monopoly provider that is a Government Business Enterprise, a community service obligation within the meaning of the Government Business Enterprises Act 1995 ; and(b) in respect of a monopoly provider that is an Agency, statutory authority, State-owned company or Local Government Body, a function, service or concession performed, provided or allowed, or proposed to be performed, provided or allowed, by the monopoly provider which, in the opinion of the Commission, would not be performed, provided or allowed if the monopoly provider were a business in the private sector acting in accordance with sound commercial practice;[Section 3 Subsection (1) amended by No. 13 of 2007, s. 5, Applied:01 Aug 2007] complaint investigation means an investigation into a complaint commenced by the Commission under section 39J ;contract includes agreement and arrangement;contravene includes fail to comply with;council has the same meaning as in the Local Government Act 1993 ;dividend includes a dividend within the meaning of the Government Business Enterprises Act 1995 ;draft report means a report provided under section 34 ;employee means a person whose services are made available to the Commission under section 19 (1) or (2) ;enactment means an Act, order or other instrument of a legislative character;estimated resident population, in respect of a municipal area, means the estimated resident population for that area published from time to time by the Australian Statistician under the Census and Statistics Act 1905 of the Commonwealth;final report means a report provided under section 35 ;function includes duty;Government Business Enterprise has the same meaning as in the Government Business Enterprises Act 1995 ;[Section 3 Subsection (1) amended by No. 13 of 2007, s. 5, Applied:01 Aug 2007] inquiry means an inquiry under Part 4A ;[Section 3 Subsection (1) amended by No. 86 of 2000, Sched. 1, Applied:01 May 2001]Local Government Association of Tasmania means (a) the Local Government Association of Tasmania whether or not that body has changed its name; and(b) if that body ceases to exist, any other body that has substantially the same purpose and performs substantially the same functions;Local Government Body means (a) a council; and(ab) [Section 3 Subsection (1) amended by No. 13 of 2007, s. 5, Applied:01 Aug 2007] a single authority, within the meaning of the Local Government Act 1993 ; and(b) a joint authority, within the meaning of the Local Government Act 1993 ;member means a member of the Commission as specified in section 15 (3) ;ministerial charter has the same meaning as in the Government Business Enterprises Act 1995 ;monopoly provider means (a) [Section 3 Subsection (1) amended by No. 13 of 2007, s. 5, Applied:01 Aug 2007] a body specified in column 2 of Schedule 1 ; and(b) a prescribed body which provides a monopoly service;[Section 3 Subsection (1) amended by No. 13 of 2007, s. 5, Applied:01 Aug 2007] monopoly service means a service declared under section 6 to be a non-prescribed monopoly service or a prescribed monopoly service;municipal area has the same meaning as in the Local Government Act 1993 ;[Section 3 Subsection (1) amended by No. 13 of 2007, s. 5, Applied:01 Aug 2007] national competition policy competitive neutrality principles means (a) the principles set out in clause 3 of the agreement called the "Competition Principles Agreement" entered into by the governments of the Commonwealth and each State and Territory on 11 April 1995, as amended or substituted from time to time; and(b) any policies adopted by the State for the purpose of complying with or giving effect to the principles referred to in paragraph (a) ;[Section 3 Subsection (1) amended by No. 13 of 2007, s. 5, Applied:01 Aug 2007] non-prescribed monopoly service means a service declared under section 6 to be a non-prescribed monopoly service;Portfolio Act means (a) in respect of a monopoly provider which is a Government Business Enterprise or a statutory authority, the enactment by or under which that Government Business Enterprise or statutory authority is established or continued together with any other enactment which is incorporated with or required to be read as one with that enactment; and(b) in respect of a monopoly provider which is a Local Government Body, the Local Government Act 1993 ;Portfolio Minister (a) in respect of an Agency, means the Minister administering the Agency; and(b) in respect of a statutory authority or Government Business Enterprise constituted or continued by or under an Act or part of an Act, means the Minister to whom the administration of that Act or part is assigned; and(ba) in respect of a statutory authority or Government Business Enterprise not established, constituted or continued by or under an Act or part of an Act, means the Minister to whom the administration of the statutory authority or Government Business Enterprise is assigned; and(c) in respect of a Local Government Body, means the Minister responsible for administering the Local Government Act 1993 ; and(d) in respect of a State-owned company, means the Minister to whom the administration of the Act requiring or authorising the formation of the company is assigned;prescribed body means (a) an Agency; and(b) a Government Business Enterprise; and(c) a statutory authority; and(d) a State-owned company; and(e) a Local Government Body;[Section 3 Subsection (1) amended by No. 13 of 2007, s. 5, Applied:01 Aug 2007] prescribed monopoly service means a service declared under section 6 to be a prescribed monopoly service;price includes charge and tariff;pricing policies includes policies relating to the level or structure of prices for services;[Section 3 Subsection (1) amended by No. 13 of 2007, s. 5, Applied:01 Aug 2007] pricing policy investigation means an investigation that the Commission is required to undertake by the Minister under section 24 in respect of a monopoly provider;[Section 3 Subsection (1) amended by No. 22 of 1998, s. 4, Applied:01 Jul 1998] service includes [Section 3 Subsection (1) amended by No. 22 of 1998, s. 4, Applied:01 Jul 1998]but does not include anything for which a State charge is payable or the supply of electricity;(a) [Section 3 Subsection (1) amended by No. 22 of 1998, s. 4, Applied:01 Jul 1998] [Section 3 Subsection (1) amended by No. 13 of 2007, s. 5, Applied:01 Aug 2007] the supply of water; and(b) the provision of public transport; and(c) the making available for use of facilities of any kind; and(d) the conferring of rights, benefits or privileges for which a price is payable in the form of a tribute, levy or similar exaction; and(e) the supply or provision of any other good or service declared under section 5 to be a service [Section 3 Subsection (1) amended by No. 22 of 1998, s. 4, Applied:01 Jul 1998] State charge means (a) a tax, or duty, imposed for the public revenue purposes of the State; and(b) a payment, in the form of a royalty, payable to the Crown or a Government Business Enterprise for the exclusive right to access and market a natural resource;[Section 3 Subsection (1) amended by No. 42 of 2001, Sched. 1, Applied:15 Jul 2001] State-owned company means a company incorporated under the Corporations Act which is controlled by the Crown, a Government Business Enterprise or a statutory authority or another company which is so controlled;statutory authority means an incorporated or unincorporated body which is established, constituted or continued by or under an Act or under the royal prerogative, being a body which, or of which the governing authority, wholly or partly comprises a person or persons appointed by the Governor, a Minister of the Crown or another statutory authority;supply includes provide;[Section 3 Subsection (1) amended by No. 84 of 1999, s. 14, Applied:01 Jul 2000] tax equivalent means an income tax equivalent, within the meaning of the Government Business Enterprises Act 1995 ;terms of reference means the terms of reference contained in a requirement made under section 24 .(2) [Section 3 Subsection (2) amended by No. 42 of 2001, Sched. 1, Applied:15 Jul 2001] For the purposes of the definition of "State-owned company" in subsection (1) , the provisions of the Corporations Act relating to control are taken to apply as if the Crown, Government Business Enterprise or statutory authority, as the case may be, were a corporation under that Act.
Maximum prices may be expressed in one or more of the following terms:(a) maximum prices or the maximum rate of increase or the minimum rate of decrease in maximum prices;(b) average prices or average rates of increase or decrease in such average prices;(c) pricing policies or principles;(d) by reference to a general price index, the cost of production, revenue, a rate of return on assets or any other factor;(e) by reference to quantity, location or period of supply of the monopoly service;(f) any other terms the Commission or the Minister, as the case requires, considers appropriate.
[Section 5 Substituted by No. 22 of 1998, s. 5, Applied:01 Jul 1998](1) By notice published in the Gazette, the Minister may declare the supply of a good or service to be a service.(2) The Minister may not declare the supply of electricity to be a service under subsection (1) .
6. Declaration of monopoly service
(1) [Section 6 Subsection (1) amended by No. 13 of 2007, s. 6, Applied:01 Aug 2007] [Section 6 Subsection (1) amended by No. 79 of 1997, Sched. 2, Applied:15 Jan 1998] [Section 6 Subsection (1) amended by No. 22 of 1997, s. 6, Applied:03 Sep 1997] By notice published in the Gazette, the Minister may declare a service supplied by a prescribed body to be a non-prescribed monopoly service, or a prescribed monopoly service, if(a) the Minister is satisfied that it is a service for which(i) there are no other suppliers to provide competition in the relevant market; and(ii) there is no contestable market by potential suppliers in the short term; and(b) the Portfolio Minister has agreed to the making of the declaration.(2) [Section 6 Subsection (2) substituted by No. 13 of 2007, s. 6, Applied:01 Aug 2007] Despite subsection (1) , the Minister may not declare a service to be a prescribed monopoly service under that subsection unless the service is provided by a monopoly provider specified in Schedule 1 .(2A) [Section 6 Subsection (2A) inserted by No. 13 of 2007, s. 6, Applied:01 Aug 2007] A declaration under subsection (1) may specify the day by which the Minister must require the Commission to conduct its first investigation under section 24(2) or (3) into the pricing policies of a monopoly provider in respect of the service which is the subject of the declaration.(3) [Section 6 Subsection (3) inserted by No. 22 of 1997, s. 6, Applied:03 Sep 1997] Before making a declaration under subsection (1) in respect of a service supplied by one or more Local Government Bodies, the Minister must consult with such of those Local Government Bodies as the Minister considers appropriate.(4) [Section 6 Subsection (4) inserted by No. 13 of 2007, s. 6, Applied:01 Aug 2007] By notice published in the Gazette, the Minister may amend or revoke a declaration made under subsection (1) if the Portfolio Minister of the prescribed body which is the subject of the declaration has agreed to it.(5) [Section 6 Subsection (5) inserted by No. 13 of 2007, s. 6, Applied:01 Aug 2007] A declaration under subsection (1) and an amendment or revocation of such a declaration are not statutory rules for the purposes of the Rules Publication Act 1953 .
This Act binds the Crown in right of Tasmania and, so far as the legislative power of Parliament permits, in all its other capacities.
8. Inconsistency between this Act and another Act
If a provision of this Act is inconsistent with a provision of a Portfolio Act or any other Act, the provision of this Act prevails and the provision of the Portfolio Act or other Act is, to the extent of the inconsistency, invalid except where the Portfolio Act or other Act expressly provides otherwise.
PART 2 - Government Prices Oversight Commission
Division 1 - Government Prices Oversight Commission
9. The Government Prices Oversight Commission
(1) The Government Prices Oversight Commission is established.(2) The Commission (a) is a body corporate with perpetual succession; and(b) has a seal; and(c) may sue and be sued in its corporate name.
The Commission has the following functions:(a) [Section 10 Amended by No. 13 of 2007, s. 7, Applied:01 Aug 2007] the conduct of pricing policy investigations as provided in Part 3 ;(b) [Section 10 Amended by No. 13 of 2007, s. 7, Applied:01 Aug 2007] the provision of a final report in respect of each pricing policy investigation;(ba) [Section 10 Amended by No. 22 of 1997, s. 7, Applied:03 Sep 1997] [Section 10 Amended by No. 13 of 2007, s. 7, Applied:01 Aug 2007] the conduct of inquiries as provided in Part 4A ;(bb) [Section 10 Amended by No. 13 of 2007, s. 7, Applied:01 Aug 2007] the provision of a final report in respect of each inquiry;(bc) [Section 10 Amended by No. 13 of 2007, s. 7, Applied:01 Aug 2007] the conduct of complaint investigations as provided in Part 4B ;(bd) [Section 10 Amended by No. 13 of 2007, s. 7, Applied:01 Aug 2007] if required by section 39O , the provision of a report in respect of a complaint investigation;(c) other functions imposed on the Commission under this or any other Act;(d) such other functions as are prescribed.
11. Powers of Commission generally
The Commission has the following powers:(a) to enter into contracts;(b) to appoint agents, attorneys and consultants;(c) to act as a consultant or agent;(d) to set charges, terms and conditions relating to the performance and exercise of its functions and powers;(e) to do all other things it is authorised to do under this or any other Act;(f) to do all things necessary or convenient to be done in connection with, incidental to or related to the performance and exercise of its functions and powers.
[Section 11A Inserted by No. 95 of 2000, s. 5, Applied:13 Dec 2000] [Section 11A Substituted by No. 13 of 2007, s. 8, Applied:01 Aug 2007] The Commission has the power, and is taken to always have had the power, to act as a consultant or agent in respect of the monitoring of prices of petroleum products.
12. Power to publish guidelines
The Commission may publish guidelines relating to the performance and exercise of its functions and powers.
(1) The Commission may delegate to the Commissioner or an Assistant Commissioner any of its functions or powers under this or any other Act, other than this power of delegation.(2) The Commission may delegate to an employee any of its functions or powers under this or any other Act, other than (a) this power of delegation; and(b) its function of providing a final report; and(c) its function of approving a determination or amendment relating to prices under section 39 .
14. Commission not subject to Ministerial control
[Section 14 Amended by No. 13 of 2007, s. 9, Applied:01 Aug 2007] Except as otherwise provided by or under this or any other Act, the Commission is not subject to the control or direction of the Minister or the Portfolio Minister in respect of a pricing policy investigation, inquiry, complaint investigation or report under this Act.
Division 2 - Membership of Commission
(1) On the recommendation of the Minister, the Governor may appoint (a) a person to be the Commissioner; and(b) one or more persons to be Assistant Commissioners.(2) An instrument of appointment of an Assistant Commissioner is to specify the monopoly provider in respect of which the appointment is made.(3) The Commissioner and Assistant Commissioners are members of the Commission.(4) The Minister must not make a recommendation for an appointment of a person as Commissioner unless (a) the Minister is satisfied that the person has knowledge of, or experience in, industry, commerce, economics, law or public administration; and(b) a majority of the Ministers of the Crown approve the making of the recommendation.(5) The Minister must not make a recommendation for an appointment of a person as Assistant Commissioner unless (a) the Minister is satisfied that the person (i) has knowledge of the activities of the monopoly provider in respect of which the appointment is to be made; and(ii) [Section 15 Subsection (5) amended by No. 22 of 1997, s. 8, Applied:03 Sep 1997] has experience in industry, commerce, economics, law, local government or public administration; and(b) the Portfolio Minister agrees to the making of the recommendation.(6) Schedule 2 has effect with respect to the members.
16. Constitution of Commission
(1) [Section 16 Subsection (1) amended by No. 13 of 2007, s. 10, Applied:01 Aug 2007] [Section 16 Subsection (1) amended by No. 22 of 1997, s. 9, Applied:03 Sep 1997] For the purposes of conducting and reporting on a pricing policy investigation relating to a monopoly provider in respect of a monopoly service and all related matters, the Commission is constituted by not less than 2 members, being(a) the Commissioner; and(b) all Assistant Commissioners appointed in respect of that monopoly provider.(2) [Section 16 Subsection (2) amended by No. 22 of 1997, s. 9, Applied:03 Sep 1997] [Section 16 Subsection (2) omitted by No. 13 of 2007, s. 10, Applied:01 Aug 2007] . . . . . . . .(3) [Section 16 Subsection (3) amended by No. 13 of 2007, s. 10, Applied:01 Aug 2007] For any purpose not referred to in subsection (1) , the Commission is constituted by the Commissioner.(4) Schedule 3 has effect with respect to the meetings of the Commission when it is constituted by more than one member.
(1) For the purposes of this section (a) the Commissioner is absent if he or she (i) is absent from duty; or(ii) is disqualified under section 18 (1) (b) from taking part in a consideration of, or the making of a decision in relation to, any matter; or(iii) is otherwise unable to perform the functions of the office of Commissioner; and(b) there is a vacancy in the office of Commissioner if the Commissioner has completed the term of his or her appointment, died, resigned or been removed from office and the next Commissioner has not yet been appointed under section 15 .(2) On the recommendation of the Minister, the Governor (a) may appoint a person to act as Commissioner during any or every period during which the Commissioner is absent; or(b) may appoint a person to act as Commissioner for the period, not exceeding 6 months, specified in the instrument of appointment if there is a vacancy in the office of Commissioner.(3) The Minister must not make a recommendation for an appointment of a person to act as Commissioner unless (a) the Minister is satisfied that the person has knowledge of, or experience in, industry, commerce, economics, law or public administration; and(b) the majority of the Ministers of the Crown agree to the making of the recommendation.(4) The appointment of a person under subsection (2) is subject to, and has effect in accordance with, the terms and conditions (including remuneration and allowances) specified in the instrument of appointment.(5) If a vacancy occurs in the office of Commissioner while a person appointed under subsection (2) (a) is acting as Commissioner, that person may continue to act as Commissioner until the first of the following things happens:(a) the period of 6 months after the day on which the vacancy occurs ends; or(b) the Governor appoints a Commissioner under section 15 .(6) Anything done by or in relation to a person purporting to act as Commissioner is not invalid merely because (a) there is a defect or irregularity in relation to the appointment of that person; or(b) the occasion for the appointment of that person has not arisen; or(c) the appointment of that person has ceased to have effect; or(d) the occasion for that person to act as Commissioner has not arisen or has ceased.(7) While a person is acting as Commissioner, that person is taken to be the Commissioner.
(1) If a member has a direct or indirect interest (pecuniary or otherwise) in, or holds an office or property whereby duties are or might be created that conflict or might reasonably be expected to conflict with the performance and exercise of his or her functions or powers in relation to, a matter being or about to be considered by the Commission, that member (a) must notify the Minister and the Portfolio Minister, in writing, of that interest or the holding of that office or property as soon as practicable after the relevant facts have come to the member's knowledge; and(b) must not take part in any consideration of, or the making of a decision in relation to, that matter unless the Minister and the Portfolio Minister approve otherwise, in writing.Penalty: Fine not exceeding 50 penalty units.(2) Subsection (1) does not apply in respect of an interest that consists only of the receipt of a service that (a) is also available to members of the public; and(b) is made available on the same terms as apply to members of the public.(3) [Section 18 Subsection (3) amended by No. 13 of 2007, s. 11, Applied:01 Aug 2007] The Minister must make a recommendation under section 15 for the appointment of another Assistant Commissioner in respect of a monopoly provider specified in Schedule 1 if(a) an Assistant Commissioner is disqualified under subsection (1) (b) ; and(b) immediately before the disqualification the Commission was constituted only by the Commissioner and the Assistant Commissioner who is disqualified.(4) [Section 18 Subsection (4) amended by No. 13 of 2007, s. 11, Applied:01 Aug 2007] During the disqualification under subsection (1) (b) of an Assistant Commissioner who was appointed in respect of a monopoly provider specified in Schedule 1 , the Commission is constituted as follows:(a) by the Commissioner and one or more new Assistant Commissioners appointed under section 15 on the recommendation of the Minister made as required by subsection (3) of this section if, immediately before the disqualification, the Commission was constituted only by the Commissioner and the Assistant Commissioner who is disqualified;(b) by the Commissioner and the remaining Assistant Commissioners who are not disqualified if, immediately before the disqualification, the Commission was constituted by the Commissioner, the Assistant Commissioner who is disqualified and one or more other Assistant Commissioners.(5) [Section 18 Subsection (5) amended by No. 13 of 2007, s. 11, Applied:01 Aug 2007] During the disqualification under subsection (1) (b) of an Assistant Commissioner who was appointed in respect of a monopoly provider that is not specified in Schedule 1 , the Commission is constituted by the Commissioner and the remaining Assistant Commissioners who are not disqualified (if any).(6) A contravention of subsection (1) does not invalidate any act or decision of the Commission.
Division 3 - Staff, assistance and facilities
(1) [Section 19 Subsection (1) amended by No. 86 of 2000, Sched. 1, Applied:01 May 2001] The Commission may arrange with the Secretary of the Department for State Service officers and State Service employees employed in the Department to be made available to enable the Commission to perform and exercise its functions and powers.(2) [Section 19 Subsection (2) amended by No. 86 of 2000, Sched. 1, Applied:01 May 2001] On the written request of the Commission, the Secretary of the Department may arrange with another Head of a State Service Agency for State Service officers and State Service employees employed in that Agency, or with an employer for the services of a person employed by that employer, to be made available to the Commission for the purpose of enabling the Commission to perform and exercise its functions and powers.(3) [Section 19 Subsection (3) amended by No. 86 of 2000, Sched. 1, Applied:01 May 2001] State Service officers and State Service employees made available under subsection (1) or (2) may serve the Commission in conjunction with State Service employment.(4) All expenses associated with the use by the Commission of the services of a person referred to in subsection (1) or (2) are to be met by the Commission.
(1) The Commission may arrange with one or more of the following persons to provide assistance to it to enable it to perform and exercise its functions and powers:(a) a Head of an Agency;(b) [Section 20 Subsection (1) amended by No. 79 of 1997, Sched. 2, Applied:15 Jan 1998] a Government Business Enterprise, statutory authority or State-owned company if the Minister and Portfolio Minister approve in writing;(ba) [Section 20 Subsection (1) amended by No. 22 of 1997, s. 10, Applied:03 Sep 1997] a Local Government Body if the Minister and the Minister responsible for administering the Local Government Act 1993 approve in writing;(c) a body, or the governing authority of a body, that has price-fixing functions or functions similar to those of the Commission.(2) The Commission may make arrangements with one or more of the following persons for facilities to be provided to it to enable it to perform and exercise its functions and powers:(a) the Secretary of the Department;(b) a Head of an Agency;(c) [Section 20 Subsection (2) amended by No. 22 of 1997, s. 10, Applied:03 Sep 1997] a Government Business Enterprise;(d) [Section 20 Subsection (2) amended by No. 22 of 1997, s. 10, Applied:03 Sep 1997] [Section 20 Subsection (2) amended by No. 79 of 1997, Sched. 2, Applied:15 Jan 1998] a Local Government Body;(e) [Section 20 Subsection (2) amended by No. 79 of 1997, Sched. 2, Applied:15 Jan 1998] a statutory authority;(f) [Section 20 Subsection (2) amended by No. 79 of 1997, Sched. 2, Applied:15 Jan 1998] a State-owned company.
Division 4 - Finances of Commission
[Section 22 Subsection (1) amended by No. 74 of 1999, Sched. 2, Applied:01 Jan 2000] [Section 22 Subsection (1) amended by No. 62 of 1996, s. 3 and Sched. 1 ][Section 22 Subsection (2) amended by No. 74 of 1999, Sched. 2, Applied:01 Jan 2000] [Section 22 Subsection (2) amended by No. 62 of 1996, s. 3 and Sched. 1 ][Section 22 Repealed by No. 13 of 2007, s. 13, Applied:01 Aug 2007] . . . . . . . .(1) The funds of the Commission consist of (a) [Section 21 Subsection (1) amended by No. 13 of 2007, s. 12, Applied:01 Aug 2007] all money received by it in the course of performing its functions and exercising its powers; and(b) money appropriated by Parliament for the purposes of the Commission; and(c) all other money received by it from any other source.(2) [Section 21 Subsection (2) substituted by No. 13 of 2007, s. 12, Applied:01 Aug 2007] The funds of the Commission are to be paid into an account in the Special Deposits and Trust Fund.(3) [Section 21 Subsection (3) inserted by No. 13 of 2007, s. 12, Applied:01 Aug 2007] Money standing to the credit of the account in the Special Deposits and Trust Fund may be applied (a) in the payment or discharge of the expenses, charges and obligations incurred or undertaken by the Commission in the performance of its functions and the exercise of its powers; and(b) in the payment of the remuneration and allowances of the Commissioner and Assistant Commissioners; and(c) in meeting the expenses incurred by the Commission in respect of (i) the use of the services of persons referred to in section 19 (1) or (2) ; and(ii) the assistance provided under section 20 (1) ; and(iii) the use of facilities referred to in section 20 (2) ; and(d) in the payment of allowances and expenses under section 29 (2) ; and(e) in any other manner authorised or required under this or any other Act.
23. Costs of pricing policy investigations
(1) [Section 23 Subsection (1) amended by No. 13 of 2007, s. 14, Applied:01 Aug 2007] A monopoly provider that supplies a monopoly service which is the subject of a pricing policy investigation is liable for the whole or part of the reasonable expenses incurred by the Commission arising from the conduct and reporting of that investigation (including expenses incurred in making a final report available to the public) as jointly determined by the Minister and Portfolio Minister by written notice provided to the Commission and the monopoly provider.(1A) [Section 23 Subsection (1A) amended by No. 13 of 2007, s. 14, Applied:01 Aug 2007] [Section 23 Subsection (1A) inserted by No. 22 of 1997, s. 11, Applied:03 Sep 1997] If a monopoly service which is the subject of a pricing policy investigation is provided by 2 or more Local Government Bodies, all of which are councils, the amount of the expenses each council is liable to pay is to be determined in accordance with the following formula:where A is the amount to be paid by a council; andP is the estimated resident population of the municipal area in respect of which the council was established; andTA is the total amount determined under subsection (1) to be payable by all the councils supplying the monopoly service which is the subject of an investigation; andTP is the total of the estimated resident populations of all the municipal areas in respect of which all those councils were established.(1B) [Section 23 Subsection (1B) inserted by No. 22 of 1997, s. 11, Applied:03 Sep 1997] If more than one council supplies the monopoly service which is the subject of an investigation, the amount of the expenses determined to be payable by each council is to be specified in the notice provided under subsection (1) .(1C) [Section 23 Subsection (1C) inserted by No. 22 of 1997, s. 11, Applied:03 Sep 1997] If a monopoly provider which is a Local Government Body is liable to pay the whole or part of the reasonable expenses incurred by the Commission in respect of an investigation, the Minister must provide a copy of the notice referred to in subsection (1) to the Local Government Association of Tasmania.(2) The Commission may recover the expenses referred to in subsection (1) as a debt due to it in a court of competent jurisdiction.(3) [Section 23 Subsection (3) omitted by No. 13 of 2007, s. 14, Applied:01 Aug 2007] . . . . . . . .
PART 3 - Pricing Policy Investigations[Part 3 Heading amended by No. 13 of 2007, s. 15, Applied:01 Aug 2007]
Division 1 - Commencing a pricing policy investigation[Division 1 of Part 3 Heading amended by No. 13 of 2007, s. 16, Applied:01 Aug 2007]
24. Requirement to investigate
(1) [Section 24 Subsection (1) substituted by No. 13 of 2007, s. 17, Applied:01 Aug 2007] In this section affected Local Government Body, in relation to a proposed investigation into the pricing policies of a monopoly provider in respect of a monopoly service (whether a prescribed monopoly service or non-prescribed monopoly service), means (a) that monopoly provider if it is a Local Government Body; or(b) if that monopoly provider is a single authority, or joint authority, established under section 33 of the Local Government Act 1993 , the Local Government Body or Local Government Bodies that so established the single authority or joint authority;initial requirement day, in relation to a monopoly provider providing a monopoly service (a) if the declaration under section 6 declaring a service to be a non-prescribed monopoly service or a prescribed monopoly service specifies the day by which the Minister must require the Commission to conduct its first investigation into the pricing policies of the monopoly provider in respect of that service under this section, means that day; and(b) if the declaration under section 6 declaring a service to be a non-prescribed monopoly service or a prescribed monopoly service does not specify such a day, means the last day of the period of 3 months after the declaration takes effect.(2) [Section 24 Subsection (2) substituted by No. 13 of 2007, s. 17, Applied:01 Aug 2007] On or before the initial requirement day, the Minister must require the Commission to conduct an investigation into the pricing policies of a monopoly provider (whether or not specified in Schedule 1 ) in respect of a monopoly service that is provided by that monopoly provider.(3) [Section 24 Subsection (3) substituted by No. 13 of 2007, s. 17, Applied:01 Aug 2007] At least 10 months before the expiration of an order under section 36 or a determination under section 38 in relation to a monopoly provider specified in Schedule 1 , the Minister must require the Commission to conduct an investigation into the pricing policies of that monopoly provider in respect of each prescribed monopoly service supplied by the monopoly provider.(4) At any time, in writing provided to the Commission, the Minister may require the Commission to conduct an investigation into the pricing policies of a monopoly provider (whether or not specified in Schedule 1 ) in respect of any monopoly service specified in the requirement.(4A) [Section 24 Subsection (4A) inserted by No. 22 of 1997, s. 12, Applied:03 Sep 1997] [Section 24 Subsection (4A) substituted by No. 13 of 2007, s. 17, Applied:01 Aug 2007] Despite subsections (3) and (4) , the Minister may not require the Commission to conduct a pricing policy investigation into the pricing policies of a monopoly provider that is a Local Government Body if unless at least half of all affected Local Government Bodies have first agreed to the requirement being made.(a) an order under section 36 (the "original order") or a determination under section 38 (the "original determination") is in force in respect of a monopoly service provided by that monopoly provider; and(b) a purpose of the investigation is to determine whether the original order or original determination should be revoked and another order under section 36 or determination under section 38 be made that would be in force during the whole or any part of the period during which the original order or determination would have been in force had it not been revoked (5) A requirement under subsection (2) , (3) or (4) (a) must contain the terms of reference for the investigation; and(b) may be made in respect of one or more monopoly providers and one or more monopoly services; and(c) may specify a contract or class of contract the terms of which the Commission must not investigate in relation to prices or publish to any person.(6) The Minister may amend, by written notice provided to the Commission and the monopoly provider, a requirement under subsection (2) , (3) or (4) if the Commission has not made a final report in respect of the investigation.(7) [Section 24 Subsection (7) substituted by No. 22 of 1997, s. 12, Applied:03 Sep 1997] Before providing a requirement under subsection (2) , (3) or (4) or amending a requirement under subsection (6) , the Minister must first (a) obtain the agreement of the Portfolio Minister to the provision or amendment of the requirement; and(b) if the required investigation is to be in relation to a monopoly service supplied by a monopoly provider which is a Local Government Body, consult with the Local Government Association of Tasmania with respect to the provision or amendment of the requirement.(8) The Commission must comply with a requirement, or an amended requirement, made under this section.
[Section 25 Amended by No. 13 of 2007, s. 18, Applied:01 Aug 2007] The terms of reference for a pricing policy investigation must(a) broadly describe the functions and other activities of the monopoly provider; and(b) specify the pricing policies and the monopoly service or part of a monopoly service to be investigated; and(c) specify the date by which the Commission must provide its final report in respect of the investigation; and(d) specify the matters not referred to in section 31 which the Commission must take into account when conducting the investigation; and(e) if the Minister and the Portfolio Minister consider it appropriate, specify which of the matters referred to in paragraph (d) are to be considered by the Commission to be of more importance than any other such matters; and(ea) [Section 25 Amended by No. 13 of 2007, s. 18, Applied:01 Aug 2007] specify the length of the period for which any order under section 36 or determination under section 38 made in relation to a monopoly provider as a result of the investigation would be in force, being (i) in the case of a monopoly provider specified in Schedule 1 , the length of the period specified in that Schedule in relation to that monopoly provider; or(ii) in any other case, a length that does not exceed 5 years; and(f) [Section 25 Amended by No. 13 of 2007, s. 18, Applied:01 Aug 2007] require the Commission to make a recommendation in relation to appropriate maximum prices to be chargeable in respect of the monopoly service supplied by the monopoly provider during the period for which any order under section 36 or determination under section 38 made as a result of the investigation would be in force; and(g) specify whether the Commission must make a draft report in respect of the investigation available during the conduct of the investigation.
26. Notice of pricing policy investigations
(1) [Section 26 Subsection (1) amended by No. 13 of 2007, s. 19, Applied:01 Aug 2007] On receipt of a requirement to conduct a pricing policy investigation, the Commission must give notice of the investigation(a) in writing provided to the monopoly provider; and(b) [Section 26 Subsection (1) amended by No. 22 of 1997, s. 13, Applied:03 Sep 1997] in daily newspapers published and circulating generally in Tasmania as the Commission considers appropriate; and(c) [Section 26 Subsection (1) amended by No. 22 of 1997, s. 13, Applied:03 Sep 1997] if the monopoly provider is a Local Government Body, in writing provided to the Local Government Association of Tasmania.(2) A notice (a) must specify (i) [Section 26 Subsection (2) amended by No. 13 of 2007, s. 19, Applied:01 Aug 2007] the purpose of the pricing policy investigation; and(ii) [Section 26 Subsection (2) amended by No. 13 of 2007, s. 19, Applied:01 Aug 2007] the period during which the pricing policy investigation is to be held; and(iii) the period within which, and the form in which, submissions may be made to the Commission; and(iv) [Section 26 Subsection (2) amended by No. 22 of 1997, s. 13, Applied:03 Sep 1997] . . . . . . . .(v) the matters that the Commission would like submissions to address; and(b) [Section 26 Subsection (2) amended by No. 22 of 1997, s. 13, Applied:03 Sep 1997] must specify where and when copies of the terms of reference may be obtained.(3) [Section 26 Subsection (3) amended by No. 13 of 2007, s. 19, Applied:01 Aug 2007] If the Minister amends a requirement to conduct a pricing policy investigation, the Commission must give notice of that amendment(a) in writing provided to the monopoly provider; and(b) [Section 26 Subsection (3) amended by No. 22 of 1997, s. 13, Applied:03 Sep 1997] in daily newspapers published and circulating generally in Tasmania as the Commission considers appropriate; and(c) [Section 26 Subsection (3) amended by No. 22 of 1997, s. 13, Applied:03 Sep 1997] if the monopoly provider is a Local Government Body, in writing provided to the Local Government Association of Tasmania.
Division 2 - Conduct of pricing policy investigation[Division 2 of Part 3 Heading amended by No. 13 of 2007, s. 20, Applied:01 Aug 2007]
27. Conduct of pricing policy investigations
(1) [Section 27 Subsection (1) amended by No. 13 of 2007, s. 21, Applied:01 Aug 2007] The Commission must conduct a pricing policy investigation in accordance with a requirement provided under section 24 and the terms of reference.(2) [Section 27 Subsection (2) amended by No. 13 of 2007, s. 21, Applied:01 Aug 2007] Subject to this Act, the Commission may conduct a pricing policy investigation in such manner as it considers appropriate and, in particular, may(a) receive written and oral submissions; and(b) consult with any person; and(c) hold hearings and seminars; and(d) conduct workshops; and(e) determine whether any person wishing to appear before the Commission may be represented by another person.(3) [Section 27 Subsection (3) amended by No. 13 of 2007, s. 21, Applied:01 Aug 2007] In conducting a pricing policy investigation, the Commission is not bound by rules of evidence but may inform itself of any matter in any manner it considers appropriate.
(1) Before holding a hearing, the Commission must give reasonable notice of the hearing in daily newspapers published and circulating generally in Tasmania as the Commission considers appropriate.(2) The notice of a hearing must specify (a) the purpose of the hearing; and(b) the time and place at which the hearing is to be held.(3) A hearing is to be held in public.(4) Notwithstanding subsection (3) , if the Commission is satisfied that it would be in the public interest to do so or that evidence to be presented is, or is likely to be, of a confidential or commercially sensitive nature, the Commission must (a) direct that a hearing or part of a hearing is to take place in private and give directions as to the persons who may be present; and(b) give directions prohibiting or restricting the publication of evidence given or documents produced at the hearing.(5) A person must not contravene a direction given under subsection (4) (b) .Penalty: Fine not exceeding 100 penalty units or a term of imprisonment not exceeding 6 months, or both.(6) The Freedom of Information Act 1991 does not apply in respect of (a) evidence and documents in respect of which a direction under subsection (4) (b) has been made; and(b) records of the giving or production of such evidence and documents.
29. Requiring person to give evidence or provide document
(1) [Section 29 Subsection (1) amended by No. 13 of 2007, s. 22, Applied:01 Aug 2007] For the purposes of a pricing policy investigation, the Commission may require a person, by written notice provided to the person, to do any one or more of the following:(a) attend before the Commission and answer questions which, in the opinion of the Commission, are relevant to the investigation;(b) provide to the Commission, in the manner specified in the notice, any document specified in the notice which is in the person's possession or control and which, in the opinion of the Commission, is relevant to the investigation;(c) provide to the Commission, in the manner specified in the notice, any other information specified in the notice which, in the opinion of the Commission, is relevant to the investigation.(2) A person who attends before the Commission under a requirement referred to in subsection (1) (a) may, at the Commission's discretion, be paid by the Commission (a) the prescribed allowances and expenses; or(b) if the regulations do not prescribe any allowances and expenses, such allowances and expenses as the Minister determines by notice published in the Gazette.(3) Notwithstanding subsection (1) , the Commission may not require a person (a) to answer a question, or provide information, if to do so would require the person to divulge information contained in or relating to a Cabinet record; or(b) to provide to the Commission a Cabinet record.
30. Use of documents or other information
(1) The Commission (a) may examine, take possession of, make copies of and take extracts from any document provided under a requirement referred to in section 29 (1) (b) or (c) ; and(b) [Section 30 Subsection (1) amended by No. 13 of 2007, s. 23, Applied:01 Aug 2007] may retain that document for so long as is necessary for the purposes of the pricing policy investigation; and(c) must allow a person who would be entitled to inspect the document if it were not in the possession of the Commission to inspect it, make a copy of it or take an extract from it at any reasonable time.(2) The Commission may give directions prohibiting or restricting the publication of any answer, document or other information provided to it under a requirement referred to in section 29 (1) , a part of any such answer, document or other information or a copy of or extract from any such answer, document, other information or part.(3) A person must not contravene a direction given under subsection (2) .Penalty: Fine not exceeding 100 penalty units or a term of imprisonment not exceeding 6 months, or both.(4) The Freedom of Information Act 1991 does not apply in respect of (a) any answer, document, other information or part of any answer, document or other information in respect of which a direction under subsection (2) has been given; and(b) records relating to the production of any such answer, document, other information or part.(5) The Commission may make any answer, document or other information provided to it under a requirement referred to in section 29 (1) or part of any such answer, document or other information available to any person as the Commission considers appropriate except where (a) a direction in respect of the answer, document, other information or part has been given under subsection (2) and its provision to that person would contravene the direction; or(b) the answer, document, other information or part contains information which is exempt information under the Freedom of Information Act 1991 .
[Section 31 Amended by No. 13 of 2007, s. 24, Applied:01 Aug 2007] In a pricing policy investigation, the Commission must consider the following:(a) the cost of supplying or providing the monopoly service;(b) any interstate or international benchmarks for prices, costs, revenues and return on assets in bodies supplying a service similar to the monopoly service;(c) the need to protect consumers from the adverse effects of the exercise of monopoly power by a monopoly provider in relation to prices, pricing policies and standards of service in respect of the supply of the monopoly service;(d) [Section 31 Amended by No. 22 of 1997, s. 14, Applied:03 Sep 1997] where appropriate, the need for a reasonable return (including the payment of dividends) on the assets of a monopoly provider;(e) the need for efficiency in the supply of the monopoly service for the purpose of benefiting the public interest through a reduction in the cost of supplying the monopoly service;(f) the effects of inflation;(g) the need for the monopoly provider to be financially viable;(h) the impact on pricing policies of any borrowing, capital, dividend and tax equivalent obligations of the monopoly provider, including obligations to renew or increase assets;(i) any ministerial charter that applies to the monopoly provider;(j) any community service obligations of the monopoly provider;(k) the quality of the supply of the monopoly service;(l) the matters set out in the terms of reference;(m) any other matter the Commission considers relevant.
32. Limitations on pricing policy investigation and reporting
(1) [Section 32 Subsection (1) substituted by No. 22 of 1998, s. 6, Applied:01 Jul 1998] The Commission must not investigate the terms of a contract, or the terms of a contract which is a member of a class of contracts, if that investigation is prohibited by the requirement to investigate under section 24 .(2) [Section 32 Subsection (2) omitted by No. 22 of 1998, s. 6, Applied:01 Jul 1998] . . . . . . . .(3) Except as authorised or required by law, the Commission, a member or an employee must not publish or otherwise divulge a document, part of a document or other information that came into its, his or her possession as a result of the Commission performing or exercising its functions or powers if that document, part or information is or contains (a) [Section 32 Subsection (3) amended by No. 22 of 1998, s. 6, Applied:01 Jul 1998] a contract or the terms of a contract referred to in subsection (1) ; or(ab) [Section 32 Subsection (3) amended by No. 22 of 1998, s. 6, Applied:01 Jul 1998] a contract or the terms of a contract if the Commission was prohibited by this section from investigating the contract or terms at the time the contract or terms came into the possession of the Commission; or(b) information which, if published, could cause damage to the commercial interests of a monopoly provider.(4) The Freedom of Information Act 1991 does not apply in respect of (a) a document, part of a document or information the publication of which is prohibited by subsection (3) ; and(b) records of the giving, production or obtaining of that document, part of a document or information.
(1) A person must not (a) fail to comply with a requirement made under section 29 (1) ; or(b) [Section 33 Subsection (1) amended by No. 13 of 2007, s. 25, Applied:01 Aug 2007] provide to the Commission in relation to a pricing policy investigation oral or written information or a document that the person knows or believes to be false or misleading in a material particular without informing the Commission of that knowledge or belief; or(c) [Section 33 Subsection (1) amended by No. 13 of 2007, s. 25, Applied:01 Aug 2007] hinder, obstruct or interfere with the Commission, the Commissioner, an Assistant Commissioner or any other person in the performance and exercise of its, his or her functions and powers under this Part; or(d) [Section 33 Subsection (1) amended by No. 13 of 2007, s. 25, Applied:01 Aug 2007] take, or threaten to take, any action that detrimentally affects the employment of another person because that other person has assisted, is assisting or intends to assist the Commission in a pricing policy investigation.Penalty: Fine not exceeding 500 penalty units or a term of imprisonment not exceeding 6 months, or both.(2) Notwithstanding subsection (1) , a person is not required to comply with a requirement made under section 29 (1) if to do so would tend to incriminate him or her.
PART 4 - Action Following Pricing Policy Investigation[Part 4 Heading amended by No. 13 of 2007, s. 26, Applied:01 Aug 2007]
(1) [Section 34 Subsection (1) amended by No. 13 of 2007, s. 27, Applied:01 Aug 2007] If the terms of reference requires that a draft report be made available, the Commission must, at an appropriate time during a pricing policy investigation(a) [Section 34 Subsection (1) amended by No. 22 of 1997, s. 15, Applied:03 Sep 1997] provide a copy of the draft report to (i) the Minister; and(ii) the Portfolio Minister; and(iii) the monopoly provider specified in the terms of reference; and(iv) if that monopoly provider is a Local Government Body, the Local Government Association of Tasmania; and(b) make copies of the draft report available for purchase by the public.(2) Even though this Act or the terms of reference does not require the Commission to make a draft report available (a) [Section 34 Subsection (2) amended by No. 22 of 1997, s. 15, Applied:03 Sep 1997] the Commission may provide a copy of a draft report to (i) the Minister; and(ii) the Portfolio Minister; and(iii) [Section 34 Subsection (2) amended by No. 13 of 2007, s. 27, Applied:01 Aug 2007] the monopoly provider to which the pricing policy investigation relates; and(iv) [Section 34 Subsection (2) amended by No. 17 of 1996, Applied:15 May 1998] if that monopoly provider is a Local Government Body, the Local Government Association of Tasmania; and(b) [Section 34 Subsection (2) amended by No. 22 of 1997, s. 15, Applied:03 Sep 1997] the Commission may make copies of that draft report available for purchase by the public if the Minister and the Portfolio Minister agree in writing; and(c) [Section 34 Subsection (2) amended by No. 22 of 1997, s. 15, Applied:03 Sep 1997] the Commission must provide a copy of a draft report to each person and body referred to in paragraph (a) if the Minister and the Portfolio Minister, jointly, require it to do so by written notice provided to the Commission.(3) [Section 34 Subsection (3) amended by No. 13 of 2007, s. 27, Applied:01 Aug 2007] A draft report must not contain any matter that is not supported by every member that constitutes the Commission in respect of the monopoly provider supplying the monopoly service which is the subject of the pricing policy investigation.(4) If a draft report is provided or made available to any person, the Commission must (a) allow persons to whom the draft report has been provided or made available to make submissions in respect of the report to the Commission; and(b) take any such submissions into consideration before making a final report.
(1) The Commission must, by the date specified in the terms of reference (a) [Section 35 Subsection (1) amended by No. 13 of 2007, s. 28, Applied:01 Aug 2007] prepare a final report in respect of the pricing policy investigation; and(b) [Section 35 Subsection (1) amended by No. 22 of 1997, s. 16, Applied:03 Sep 1997] provide a copy of the final report to (i) the Minister; and(ii) the Portfolio Minister; and(iii) [Section 35 Subsection (1) amended by No. 13 of 2007, s. 28, Applied:01 Aug 2007] the monopoly provider supplying the monopoly service which is the subject of the pricing policy investigation; and(iv) if that monopoly provider is a Local Government Body, the Local Government Association of Tasmania.(2) The final report must (a) be consistent with this Act and the terms of reference; and(b) [Section 35 Subsection (2) amended by No. 13 of 2007, s. 28, Applied:01 Aug 2007] make a recommendation in relation to the appropriate maximum prices chargeable by the monopoly provider in respect of the monopoly service which is the subject of the pricing policy investigation during the period that any order under section 36 or determination under section 38 that may result from the investigation would be in force; and(c) include any views or statements of a member that are contrary to the views and statements of the Commission.(3) Within 20 sitting days after receiving a final report, the Portfolio Minister must lay a copy of the final report before each House of Parliament.(4) The Commission must ensure that copies of a final report are available for purchase by members of the public (a) as soon as practicable after it is laid before a House of Parliament; or(b) if a copy of the final report cannot be laid before either House of Parliament within 30 days after it is received by the Portfolio Minister because neither House is sitting, within that 30 day period.
36. Order made in certain cases after final report
(1) In this section prescribed monopoly provider means but does not include a monopoly provider which has been declared under subsection (7) not to be a prescribed monopoly provider;(a) [Section 36 Subsection (1) amended by No. 13 of 2007, s. 29, Applied:01 Aug 2007] a monopoly provider providing a monopoly service in respect of which an order has been made under subsection (2)(b) ; or(b) a monopoly provider declared to be a prescribed monopoly provider by the Minister and the Portfolio Minister, jointly, by notice published in the Gazette statutory rule has the same meaning as in the Rules Publication Act 1953 .(2) [Section 36 Subsection (2) amended by No. 13 of 2007, s. 29, Applied:01 Aug 2007] Within 60 days after receiving a copy of a final report in relation to a pricing policy investigation in respect of a monopoly service supplied by a prescribed monopoly provider, the Portfolio Minister must(a) provide a copy of the recommendations contained in the final report to each Minister of the Crown; and(b) [Section 36 Subsection (2) amended by No. 22 of 1997, s. 17, Applied:03 Sep 1997] [Section 36 Subsection (2) amended by No. 13 of 2007, s. 29, Applied:01 Aug 2007] taking into consideration those recommendations and any comments received in relation to those recommendations from any Minister of the Crown, the monopoly provider and, if the monopoly provider is a Local Government Body, the Local Government Association of Tasmania, make an order specifying the maximum prices which may be charged by the prescribed monopoly provider in respect of that monopoly service during the period commencing on the day the order takes effect that is of the length specified under section 25(ea) in the terms of reference for the investigation.(3) An order under subsection (2) (a) must repeal, rescind, revoke or amend any other statutory rule that prescribes, or relates to the setting or determination of, the price chargeable by the prescribed monopoly provider for the monopoly service in respect of which the order is made to ensure that the only statutory rule setting or determining, or relating to the setting or determination of, the maximum price chargeable is the order itself; and(b) [Section 36 Subsection (3) amended by No. 22 of 1997, s. 17, Applied:03 Sep 1997] must amend an Act, other than this Act, that requires or authorises the prescribing, setting or determination, by statutory rule, of the price or maximum price chargeable by the monopoly provider for the monopoly service in respect of which the order is made to remove that requirement or authorisation, and provisions relating to that requirement or authorisation, from that Act; and(c) takes effect on the 61st day after notification of its making is published in the Gazette.(4) Section 47 (3) , (3A) , (4) , (5) , (6) and (7) of the Acts Interpretation Act 1931 applies to an order under subsection (2) as if it were regulations within the meaning of that Act.(4A) [Section 36 Subsection (4A) inserted by No. 22 of 1997, s. 17, Applied:03 Sep 1997] Notwithstanding subsection (4) , a House of Parliament may pass a resolution to approve an order under subsection (2) at any time within the first 15 sitting days of that House after the order is laid before it.(5) The Treasurer may not, under section 3 (2) of the Subordinate Legislation Act 1992 , declare an order under subsection (2) of this section to be subordinate legislation for the purposes of that Act.(6) An order under subsection (2) may be amended at any time even though an investigation with respect to the monopoly service to which the order relates has not been conducted since the making of the order.(7) At any time, the Minister and the Portfolio Minister jointly, by notice published in the Gazette, may declare that a monopoly provider referred to in paragraph (a) or (b) of the definition of prescribed monopoly provider in subsection (1) is not a prescribed monopoly provider.
37. Action by monopoly provider following order under section 36
[Section 37 Amended by No. 22 of 1997, s. 18, Applied:03 Sep 1997] Within the period of 45 days immediately after an order under section 36 (2) in respect of a monopoly service is made, the monopoly provider to which the order relates must(a) determine the price to be charged for, and pricing policy to be applicable to, the monopoly service on and after that day; and(b) [Section 37 Amended by No. 22 of 1997, s. 18, Applied:03 Sep 1997] lodge with the Commission an application for the approval of that price and pricing policy under section 39 , together with any supporting information the Commission may require.
38. Action by Portfolio Minister where no order is made
[Section 38 Substituted by No. 22 of 1997, s. 19, Applied:03 Sep 1997](1) Within 60 days after receiving a copy of a final report in respect of a monopoly service supplied by a monopoly provider that is not a prescribed monopoly provider within the meaning of section 36 , the Portfolio Minister must (a) provide a copy of the recommendations contained in the final report to each Minister of the Crown; and(b) [Section 38 Subsection (1) amended by No. 13 of 2007, s. 30, Applied:01 Aug 2007] taking into consideration those recommendations and any comments received in relation to those recommendations from any Minister of the Crown, the monopoly provider and, if the monopoly provider is a Local Government Body, the Local Government Association of Tasmania, determine the maximum prices which may be charged by the monopoly provider in respect of that monopoly service during the period commencing on the day the determination takes effect that is of the length specified under section 25(ea) in the terms of reference for the investigation; and(c) give such directions and take such other action as is necessary to ensure that the monopoly provider acts in accordance with that determination.(2) For the avoidance of doubt, if the Portfolio Minister is the Minister responsible for administering the Local Government Act 1993 and the monopoly provider is a Local Government Body, that body must comply with a direction of that Minister given under subsection (1)(c) .
(1) If an order in respect of a monopoly service has been made under section 36 (2) , the monopoly provider must not determine or amend its prices for the monopoly service or its pricing policies in respect of the monopoly service except where it has the written approval of the Commission to do so.(2) The Commission (a) must approve the determination or amendment by a monopoly provider of its prices for a monopoly service or its pricing policies in respect of a monopoly service if it is satisfied that the prices or policies as determined or amended would be consistent with the order made under section 36 (2) in respect of the monopoly service; and(b) must not approve such a determination or amendment unless it is so satisfied.(3) [Section 39 Subsection (3) inserted by No. 22 of 1997, s. 20, Applied:03 Sep 1997] For the purposes of subsection (2) , the Commission must give notice of its approval, or disapproval, within the period of 15 days immediately after it receives an application for approval from a monopoly provider.
PART 4A - Inquiries into Pricing Policies of Prescribed Bodies
39A. Direction to conduct inquiry
[Section 39A Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) The Minister may direct the Commission to inquire into and report to him or her on a matter relating to or affecting the pricing policies of a prescribed body.(2) The Minister may make a direction at his or her own discretion or at the request of (a) the Commission; or(b) a Portfolio Minister; or(c) a prescribed body.(3) The Minister must not give a direction (a) unless satisfied that undertaking the proposed inquiry would not interfere with the ability of the Commission to exercise its other functions; and(b) unless he or she has first consulted with the Portfolio Minister; and(c) if the direction relates to one or more Local Government Bodies, unless he or she has first consulted with that body or such of those bodies, or the Local Government Association of Tasmania, as the Minister considers appropriate.(4) A direction (a) may be made in respect of one or more prescribed bodies; and(b) is to be in writing; and(c) is to specify the scope of the inquiry; and(d) may specify that the Commission must not inquire into, or publish to any person, the terms of a contract or a contract of a class of contracts; and(e) is to specify the day by which the Commission is to provide a final report on the inquiry to the Minister; and(f) is to specify who is liable to pay the costs of the inquiry and what proportion of those costs that person is liable to pay.(5) In determining the liability to pay the costs of an inquiry, the Minister and Portfolio Minister, jointly, may determine that (a) the Commission is to pay all or a proportion of the costs of the inquiry; and(b) a prescribed body which is the subject of the inquiry is to pay all or a proportion of the costs of the inquiry; and(c) a prescribed body which is not the subject of the inquiry but which has agreed or offered to pay an amount towards the costs of the inquiry is to pay an amount not exceeding the amount specified in the agreement or offer.(6) Before the Commission provides the final report on an inquiry to the Minister, the Minister may amend or rescind the direction by written notice provided to the Commission and all prescribed bodies who are subject to the direction.
[Section 39B Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) Subject to this Act and the regulations, the Commission may conduct an inquiry in such manner as it considers appropriate and, in particular, may (a) receive written and oral submissions; and(b) consult with any person; and(c) hold conferences and seminars; and(d) determine whether any person wishing to appear before the Commission may be represented by another person.(2) In conducting an inquiry, the Commission (a) is not bound by rules of evidence but may inform itself of any matter in any manner it considers appropriate; and(b) has the power to do all things it considers necessary or convenient for the purposes of the inquiry.
39C. Use of documents or other information
[Section 39C Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) The Commission may give directions prohibiting or restricting the publication of any answer, document or other information provided to it for the purposes of an inquiry, a part of any such answer, document or other information or a copy of or extract from any such answer, document, other information or part.(2) A person must not contravene a direction given under subsection (1) .Penalty: Fine not exceeding 100 penalty units or a term of imprisonment not exceeding 6 months, or both.(3) The Freedom of Information Act 1991 does not apply in respect of (a) any answer, document, other information or part of any answer, document or other information in respect of which a direction under subsection (1) has been given; and(b) records relating to the production of any such answer, document, other information or part.
[Section 39D Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007] The Commission must provide, by the day specified in the direction to undertake an inquiry (a) a report of its findings in the inquiry to the Minister; and(b) unless the direction to undertake the inquiry specifies otherwise, a copy of that report to all prescribed bodies that are the subjects of the inquiry and their Portfolio Ministers.
[Section 39E Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007] A person must not (a) provide in relation to an inquiry information that the person knows or believes to be false or misleading without informing the Commission of that knowledge or belief; or(b) hinder, obstruct or interfere with the Commission or any other person in the performance and exercise of its, his or her functions and powers in respect of an inquiry; or(c) take, or threaten to take, any action that detrimentally affects the employment of another person because that other person has assisted, is assisting or intends to assist the Commission in an inquiry.Penalty: Fine not exceeding 100 penalty units.
PART 4B - Competitive Neutrality Complaints
[Section 39F Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007] A person may make a complaint to the Commission if the person (a) believes that a prescribed body has contravened any of the national competition policy competitive neutrality principles; and(b) is adversely affected by that supposed contravention; and(c) has discussed that supposed contravention with the prescribed body.
[Section 39G Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007] A complaint (a) is to be made to the Commission in writing; and(b) is to include (i) the name of the prescribed body; and(ii) the service provided by the prescribed body; and(iii) details of how the applicant believes the national competition policy competitive neutrality principles have been contravened; and(iv) details of how the complainant has been adversely affected by that contravention; and(v) such other details as the applicant considers relevant; and(c) is to be accompanied by the prescribed fee.
39H. Preliminary assessment of complaint
[Section 39H Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) Within 30 days after receiving a complaint, the Commission must determine whether or not an investigation of the complaint is necessary or appropriate.(2) For the purpose of ascertaining whether a complaint should be investigated, the Commission may (a) make any preliminary inquiries that the Commission considers necessary or appropriate; and(b) require the complainant or prescribed body concerned, within the time specified in the requirement or such longer period as the Commission allows (i) to provide information or documents; and(ii) to verify all or any part of the complaint or other information or document by statutory declaration.(3) A prescribed body must comply with a requirement made under subsection (2)(b) .Penalty: Fine not exceeding 100 penalty units.(4) If the Commission has made preliminary inquiries under subsection (1) , the Commission may resolve the complaint without the complaint being investigated if (a) having regard to the nature and seriousness of the complaint, the Commission believes that the complaint may be resolved expeditiously; and(b) the parties to the complaint agree to that resolution.(5) If the Commission resolves a complaint under subsection (4) , the Commission must provide a copy of the complaint and the resolution to the prescribed body concerned, its Portfolio Minister and the complainant.
39I. Refusal to conduct complaint investigation
[Section 39I Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) The Commission may refuse to commence an investigation into a complaint under section 39H or, having commenced a complaint investigation, may refuse to continue the complaint investigation or that part of a complaint investigation relating to a matter raised in a complaint if the Commission is of the opinion (a) that the complaint does not contain (i) an allegation that one or more of the national competition policy competitive neutrality principles have been contravened; or(ii) matter to support such an allegation; or(iii) matter showing how the complainant has been adversely affected by an act of the prescribed body; or(b) that the complaint, or the matter raised in the complaint, is vexatious or frivolous or not made in good faith; or(c) that there is no evidence that the complainant has been adversely affected by an act of the prescribed body; or(d) that, having regard to all the circumstances of the case, the investigation, the continuance of the investigation or the continuance of the investigation of the matter raised in the complaint is unnecessary or unjustifiable.(2) If the Commission refuses to commence an investigation into a complaint under section 39H or, having commenced a complaint investigation, refuses to continue the complaint investigation or that part of a complaint investigation relating to a matter raised in a complaint, the Commission must provide written notice of the refusal (a) to the complainant; and(b) if the Commission has sought information from a prescribed body under section 39H but not commenced a complaint investigation, to the prescribed body; and(c) if a complaint investigation has been commenced, to the prescribed body and its Portfolio Minister.
39J. Commencing investigation into complaint
[Section 39J Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007] If the Commission determines under section 39H that a complaint should be investigated, the Commission must commence an investigation of the complaint by (a) providing written notice of the intention to investigate to the complainant, the prescribed body concerned and its Portfolio Minister; and(b) providing a copy of the complaint to the prescribed body concerned and its Portfolio Minister.
[Section 39K Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) Within 30 days after receiving a copy of a complaint and notice of the Commission's intention to investigate the complaint under section 39J , the prescribed body must provide the Commission with a written reply to the complaint that (a) specifies the belief of the prescribed body as to whether the complaint is justified, partly justified or not justified; and(b) in the case of a belief that the complaint is justified or partly justified, specifies whether the prescribed body proposes to take any action to stop any ongoing contravention of the national competition policy competitive neutrality principles which was the subject of the complaint or to ensure that such a contravention does not occur again; and(c) in the case of a belief that the complaint or part of the complaint is not justified, sets out the grounds on which that belief is based.Penalty: Fine not exceeding 100 penalty units.(2) A reply that specifies that a complaint is justified or partly justified may include recommendations for the alteration of the application of the national competition policy competitive neutrality principles and other recommendations that the prescribed body considers appropriate.
39L. Conduct of complaint investigation
[Section 39L Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) Subject to this Act and the regulations, the Commission may conduct a complaint investigation in such manner as it considers appropriate and, in particular, may (a) receive written and oral submissions; and(b) consult with any person; and(c) hold conferences and seminars; and(d) determine whether or not any person wishing to appear before the Commission may be represented by another person.(2) In conducting a complaint investigation, the Commission is not bound by the rules of evidence but may inform itself of any matter in any manner it considers appropriate.
39M. Requiring person to give evidence or provide document
[Section 39M Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) In a complaint investigation, the Commission may require a person, by written notice provided to the person, to do any one or more of the following:(a) attend before the Commission and answer questions which, in the opinion of the Commission, are relevant to the investigation;(b) provide to the Commission, in the manner specified in the notice, any document specified in the notice which is in the person's possession or control and which, in the opinion of the Commission, is relevant to the investigation;(c) provide to the Commission, in the manner specified in the notice, any other information specified in the notice which, in the opinion of the Commission, is relevant to the investigation.(2) A person who attends before the Commission under a requirement referred to in subsection (1)(a) may, at the Commission's discretion, be paid by the Commission reasonable allowances and expenses.(3) Despite subsection (1) , the Commission may not require a person (a) to answer a question, or provide information, if to do so would require the person to divulge information contained in or relating to a Cabinet record; or(b) to provide to the Commission a Cabinet record.
39N. Use of documents or other information
[Section 39N Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) The Commission (a) may examine, take possession of, make copies of and take extracts from any document provided under a requirement referred to in section 39M(1)(b) or (c) ; and(b) may retain that document for so long as is necessary for the purposes of the investigation; and(c) must allow a person who would be entitled to inspect the document if it were not in the possession of the Commission to inspect it, make a copy of it or take an extract from it at any reasonable time.(2) The Commission may give directions prohibiting or restricting the publication of any answer, document or other information provided to it under a requirement referred to in section 39M , a part of any such answer, document or other information or a copy of or extract from any such answer, document, other information or part.(3) A person must not contravene a direction given under subsection (2) .Penalty: Fine not exceeding 100 penalty units or a term of imprisonment not exceeding 6 months, or both.(4) The Freedom of Information Act 1991 does not apply in respect of (a) any answer, document, other information or part of any answer, document or other information in respect of which a direction under subsection (2) has been given; and(b) records relating to the production of any such answer, document, other information or part.(5) The Commission may make any answer, document or other information provided to it under a requirement referred to in section 39M(1) or part of any such answer, document or other information available to any person as the Commission considers appropriate except where (a) to do so would contravene a direction; or(b) the answer, document, other information or part contains information which is exempt information under the Freedom of Information Act 1991 .
[Section 39O Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) After conducting a complaint investigation, the Commission must determine whether or not the complaint is justified.(2) If the Commission finds the complaint justified, the Commission must provide to the Minister, the Portfolio Minister, the prescribed body and the complainant a written report of that determination containing one or more of the following recommendations:(a) that the application of the national competition policy competitive neutrality principles be changed;(b) that the prescribed body be directed to change the manner in which it applies the national competition policy competitive neutrality principles to the service which is the subject of the complaint.(3) The determination of the Commission is final.(4) The complainant is not entitled to compensation for the adverse effects suffered.
39P. Time by which complaint investigation to be completed
[Section 39P Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) A complaint investigation, including the provision of the report under section 39O(2) , is to be completed within 45 days after the Commission receives under section 39K the written reply of the prescribed body or such longer period as the Minister may allow under this section.(2) The Minister may extend the period within which the complaint investigation is to be completed for a period not exceeding 30 days.(3) The Minister may grant an extension under subsection (2) more than once.(4) On granting an extension, the Minister is to notify the Commission in writing of that extension and the day by which the complaint investigation is to be completed and the day by which the report under section 39O(2) is to be provided.
39Q. Action by Minister on determination
[Section 39Q Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007] Within 30 days after receiving a report on a complaint investigation under section 39O(2) that contains a recommendation of a kind referred to in section 39O(2)(a) or (b) , the Minister must provide the Commission with written notice of any action he or she has taken or intends to take as a result of receiving that report.
39R. Action by prescribed body on determination
[Section 39R Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) Within 30 days after receiving a report on a complaint investigation under section 39O(2) that contains a recommendation of a kind referred to in section 39O(2)(b) , the prescribed body must provide the Commission with written notice of any action it has taken or intends to take as a result of receiving that report.Penalty: Fine not exceeding 100 penalty units.(2) At any time after the end of the period referred to in subsection (1) , the Commission may require the prescribed body, within the period specified in the requirement, to provide the Commission with information in respect of any action the prescribed body has taken or is still to take as a result of receiving the complaint investigation report under section 39O(2) .(3) A prescribed body must not contravene a requirement made under subsection (2) .Penalty: Fine not exceeding 100 penalty units.
39S. Refund of fee accompanying complaint
[Section 39S Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007] If the Commission determines that a complaint is justified, the Commission must refund to the complainant any prescribed fee paid under section 39G(c) .
[Section 39T Inserted by No. 13 of 2007, s. 31, Applied:01 Aug 2007](1) A person must not (a) fail to comply with a requirement made under section 39M(1) ; or(b) provide to the Commission in relation to a complaint investigation information that the person knows or believes to be false or misleading without informing the Commission of that knowledge or belief; or(c) hinder, obstruct or interfere with the Commission or any other person in the performance and exercise of its, his or her functions and powers in respect of the conduct of a complaint investigation; or(d) take, or threaten to take, any action that detrimentally affects the employment of another person because that other person has assisted, is assisting or intends to assist the Commission in the conduct of a complaint investigation.Penalty: Fine not exceeding 100 penalty units.(2) Despite subsection (1)(a) , a person is not required to comply with a requirement made under section 39M(1) if to do so would tend to incriminate that person.
PART 5 - Miscellaneous
(1) In respect of each financial year the Commission must prepare a report which includes (a) a report on the performance and exercise of the Commission's functions and powers; and(b) the financial statements of the Commission; and(c) the Auditor-General's report on those financial statements; and(d) any information the Minister requires by written notice provided to the Commission to be included; and(e) any other information the Commission considers appropriate to be included.(2) The financial statements included in the annual report must (a) be prepared and certified as specified in a direction given under subsection (3) ; and(b) present fairly (i) the financial transactions of the Commission during the financial year to which the report relates; and(ii) the state of affairs of the Commission at the end of that financial year; and(c) comply with any other direction given under subsection (3) .(3) The Minister may give written directions to the Commission in respect of the form, contents, preparation, certification and provision of its financial statements.(4) Directions under subsection (3) may adopt, wholly or partly, with or without modification and either specifically or by reference, any of the Treasurer's Instructions made under the Financial Management and Audit Act 1990 .(5) The Commission must provide a copy of the annual report to the Minister so as to enable it to be tabled in accordance with section 41 .(6) [Section 40 Subsection (6) amended by No. 86 of 2000, Sched. 1, Applied:01 May 2001] The annual report may be combined with a report made under section 36 of the State Service Act 2000 .
(1) [Section 41 Subsection (1) amended by No. 42 of 2003, Sched. 1, Applied:04 Jul 2003] By 31 October in each year the Minister must cause a copy of the annual report to be laid before each House of Parliament.(2) [Section 41 Subsection (2) amended by No. 42 of 2003, Sched. 1, Applied:04 Jul 2003] If the Minister is unable to comply with subsection (1) because a House of Parliament is not sitting on 31 October in any year, the Minister must(a) on or before that day, provide copies of the annual report to the clerk of that House; and(b) on or before that day, make copies of the annual report available for purchase by the public; and(c) within the first 7 sitting days after that day, cause copies of the annual report to be laid before that House.
A document is effectively provided, served or given to the Commission if it is (a) left at, or sent by post to, the Department or the office or address of the Commission; or(b) sent by way of facsimile transmission to the facsimile number of the Department or the Commission.
[Section 43A Inserted by No. 79 of 1997, Sched. 3, Applied:02 Feb 1998] [Section 43A Repealed by No. 13 of 2007, s. 33, Applied:01 Aug 2007] . . . . . . . .(1) The Governor, by order, may (a) repeal Schedule 1 ; or(b) repeal Schedule 1 and substitute another Schedule for it; or(c) amend Schedule 1 .(1A) [Section 43 Subsection (1A) inserted by No. 13 of 2007, s. 32, Applied:01 Aug 2007] An order under this section may not (a) amend Schedule 1 so as to specify in that Schedule for the purposes of section 25(ea)(i) a period of more than 5 years; or(b) substitute for Schedule 1 another Schedule which specifies for the purposes of section 25(ea)(i) a period of more than 5 years.(2) Section 47 (3) , (3A) , (4) , (5) , (6) and (7) of the Acts Interpretation Act 1931 applies to an order under this section as if the order were regulations within the meaning of that Act.(3) The Treasurer may not, under section 3 (2) of the Subordinate Legislation Act 1992 , declare an order under this section to be subordinate legislation for the purposes of that Act.
(1) The Governor may make regulations for the purposes of this Act.(1A) [Section 44 Subsection (1A) inserted by No. 22 of 1997, s. 21, Applied:03 Sep 1997] [Section 44 Subsection (1A) substituted by No. 13 of 2007, s. 34, Applied:01 Aug 2007] Without limiting the generality of subsection (1) , regulations may be made (a) for and in relation to the conduct by the Commission of pricing policy investigations, inquiries and complaint investigations; and(b) providing for the fees payable under this Act.(2) Regulations may be made so as to apply differently according to matters, limitations or restrictions, whether as to time, circumstance or otherwise, specified in the regulations.(3) The regulations may (a) provide that a contravention of, or a failure to comply with, any of the regulations is an offence; and(b) in respect of such an offence, provide for the imposition of a fine not exceeding 100 penalty units and, in the case of a continuing offence, a further fine not exceeding 10 penalty units for each day during which the offence continues.(4) The regulations may authorise any matter to be from time to time determined, applied or regulated by the Minister.(5) [Section 44 Subsection (5) amended by No. 13 of 2007, s. 34, Applied:01 Aug 2007] The regulations may contain provisions of a savings or transitional nature consequent on the enactment of this Act or an Act amending this Act.(6) [Section 44 Subsection (6) substituted by No. 13 of 2007, s. 34, Applied:01 Aug 2007] A provision referred to in subsection (5) may take effect on the day on which this Act, or the provision of an Act that amends this Act, commences or a later day as specified in the regulations, whether the day so specified is before, on or after the day on which the regulations are made.
45. Savings and transitional provisions
[Section 45 Repealed by No. 22 of 1997, s. 22, Applied:03 Sep 1997] [Section 45 Inserted by No. 13 of 2007, s. 35, Applied:01 Aug 2007](1) In this section amended Act means this Act as amended by the Government Prices Oversight Amendment Act 2007 ;commencement day means the day on which the Government Prices Oversight Amendment Act 2007 commences;superseded Act means this Act as in force immediately before the commencement day;superseded Regulations means the Government Prices Oversight Regulations 1998 as in force immediately before the commencement day.(2) If immediately before the commencement day a declaration made under section 6 of the superseded Act was in force, that declaration (a) continues to have effect; and(b) is taken to have been made under section 6 of the amended Act; and(c) is taken to have declared the monopoly service which is its subject to be (i) a non-prescribed monopoly service if that service was not a prescribed monopoly service, within the meaning of section 24 of the superseded Act, immediately before the commencement day; or(ii) a prescribed monopoly service if that service was a prescribed monopoly service, within the meaning of section 24 of the superseded Act, immediately before the commencement day.(3) If a requirement for an investigation into the pricing policies of a monopoly provider is made under section 24 (2), (3) or (4) of the superseded Act but the investigation is not completed before the commencement day (a) the requirement is taken to have been made under section 24(2) , (3) or (4) of the amended Act; and(b) the investigation may be completed under the amended Act; and(c) in the case of an investigation under section 24 (4) of the superseded Act into the pricing policies of a monopoly provider that is a Local Government Body, all affected Local Government Bodies, within the meaning of section 24 of the amended Act, are taken to have agreed to the making of the requirement.(4) If the Minister has given a direction under regulation 20 of the superseded Regulations to the Commission to inquire into a matter but the final report in respect of that inquiry has not been provided as required under regulation 22 of the superseded Regulations before the commencement day (a) that direction is taken to have been made under section 39A of the amended Act; and(b) that inquiry is to be continued and the final report provided under Part 4A of the amended Act; and(c) anything done or omitted in relation to that inquiry under the superseded Regulations is taken to have been done or omitted under Part 4A of the amended Act.(5) If a person has made a complaint under Part 2 of the superseded Regulations but that complaint has not been finalised before the commencement day (a) that complaint is taken to have been made under Part 4B of the amended Act; and(b) that complaint is to be finalised under Part 4B of the amended Act; and(c) anything done or omitted in relation to that complaint under the superseded Regulations is taken to have been done or omitted under Part 4B of the amended Act.(6) For the purposes of subsection (5) , a complaint is finalised when the Commission has taken all appropriate action that it could take under Part 2 of the superseded Regulations or Part 4B of the amended Act in respect of the complaint, as the case requires.
SCHEDULE 1 - Certain monopoly providers[Schedule 1 Part 2 amended by No. 59 of 1996, s. 10 ][Schedule 1 Amended by No. 22 of 1997, s. 23, Applied:03 Sep 1997] [Schedule 1 Amended by No. 79 of 1997, Sched. 3, Applied:02 Feb 1998] [Schedule 1 Substituted by No. 13 of 2007, s. 36, Applied:01 Aug 2007]
Sections 3 , 6 , 18 , 24 , 25 and 43
[Schedule 1 Amended by No. 52 of 2008, Sched. 1, Applied:01 Jul 2009]Column 1 | Column 2 | Column 3 | MONOPOLY PROVIDER | PERIOD OF ORDER OR DETERMINATION | 4. | Metro Tasmania Pty. Ltd | 5 years | 5. | Motor Accidents Insurance Board | 4 years |
SCHEDULE 2 - Members of Commission
1. Term of office(1) The Commissioner holds office for such term, not exceeding 5 years, as is specified in the instrument of appointment.(2) An Assistant Commissioner holds office (a) for such term, not exceeding 6 months, as is specified in the instrument of appointment; or(b) if that term expires before the Minister and the Portfolio Minister are provided with the final report relating to an investigation in respect of which the Assistant Commissioner is a constituent member of the Commission, for such period as is necessary to undertake and complete all matters relating to the investigation and final report.(3) [Schedule 2 Amended by No. 17 of 2005, Sched. 1, Applied:10 Jun 2005] . . . . . . . .
2. Conditions of appointment(1) A member is entitled to be paid the remuneration and allowances specified in the instrument of appointment.(2) A member holds office on the conditions specified in the instrument of appointment.
3. Member's entitlement to hold other office(1) [Schedule 2 Amended by No. 86 of 2000, Sched. 1, Applied:01 May 2001] Except with the written permission of the Minister, a member may not hold another appointment, office or position in respect of which he or she receives remuneration.(2) [Schedule 2 Amended by No. 86 of 2000, Sched. 1, Applied:01 May 2001] [Schedule 2 Amended by No. 22 of 1997, s. 24, Applied:03 Sep 1997] Despite subclause (1) , a member may be a State Service officer or State Service employee, or be an employee of a Local Government Body, in conjunction with the office of member.
4. State Service Act 2000 inapplicable[Schedule 2 Amended by No. 86 of 2000, Sched. 1, Applied:01 May 2001] The State Service Act 2000 does not apply in relation to a member.
5. Leave of absenceThe Minister may grant leave of absence to a member on such conditions as the Minister considers appropriate.
6. ResignationA member may resign by signed notice given to the Minister.
7. Removal of memberOn the recommendation of the Minister, the Governor may remove a member from office if (a) the member is absent from duty for more than 13 consecutive days, or for more than a total of 28 days in any period of 12 months (i) otherwise than in accordance with the instrument of appointment; or(ii) without leave of absence granted under clause 5 ; or(b) the member becomes bankrupt, applies to take the benefit of any law for the relief of bankrupt or insolvent debtors, compounds with creditors or makes an assignment of remuneration or estate for the benefit of creditors; or(c) the Governor considers that the member is physically or mentally incapable of continuing as a member; or(d) the Governor considers that the member is unable to perform adequately or competently the functions of the member's office; or(e) the member is convicted, in Tasmania or elsewhere, of an offence punishable by imprisonment for a period of 6 or more months; or(f) the Governor is satisfied that the member has contravened clause 3 or section 18 (1) .
8. Defect does not invalidate appointmentAn appointment of a person as Commissioner or Assistant Commissioner is not invalid merely because of a defect or irregularity in relation to the appointment.
SCHEDULE 3 - Meetings of Commission
1. Convening of meetings(1) Subject to subclause (2) , meetings of the Commission are to be held at the times and places determined by the Commission.(2) The Commissioner (a) must convene a meeting within 30 days after receiving a requirement to conduct an investigation under section 24 ; and(b) may convene a meeting at any time.
2. Quorum and voting at meetingsAt a meeting of the Commission (a) if the Commission is constituted by 2 members, those 2 members constitute a quorum; and(b) if the Commission is constituted by 3 or more members, a quorum is constituted by that number of members being not less than half the total number of members constituting the Commission, as is determined by the Commission; and(c) a question is decided by a majority of votes of the members present and voting; and(d) the Commissioner has a casting vote if there is an equality of votes.
3. Conduct of meetings(1) Subject to this Act, the Commission may regulate the calling of, and the conduct of business at, its meetings as it considers appropriate.(2) The Commission may permit members to participate in a particular meeting or all meetings by (a) telephone; or(b) closed-circuit television; or(c) any other means of communication.(3) A member who participates in a meeting under a permission granted under subclause (2) is present at the meeting.(4) The Commission may allow a person to attend a meeting for the purpose of advising or informing it on any matter.
4. Resolutions without meetings(1) If at least that number of members that would constitute a quorum sign a document containing a statement that they are in favour of a resolution in terms set out in the document, a resolution in those terms is taken to have been passed at a meeting of the Commission held on the day on which the document is signed or, if the members do not sign it on the same day, on the day on which the last of the members signs the document.(2) If a resolution is taken to have been passed under subclause (1) , each member is to be (a) advised immediately of the matter; and(b) given a copy of the terms of the resolution.(3) For the purposes of subclause (1) , 2 or more separate documents containing a statement in identical terms, each of which is signed by one or more members, is taken to constitute one document.
5. MinutesThe Commission is to keep minutes of its proceedings.
6. Validity of proceedings, &c.All acts and proceedings of the Commission or of any person acting pursuant to any direction of the Commission are, notwithstanding the subsequent discovery of any defect in the appointment of a member or that any person was disqualified from acting as, or incapable of being, a member, as valid as if the member had been duly appointed and was qualified to act as, or capable of being, a member and as if the Commission had been fully constituted.
