Education and Care Services National Regulations 2012 (WA)
Western Australia
Education and Care Services National Law (Western Australia)
Western Australia
Education and Care Services National Law (Western Australia)
This Chapter sets out the title to these Regulations, the provisions of the Education and Care Services National Law that authorise these Regulations and the commencement date for these Regulations.
This Chapter also sets out the definitions of key terms used in these Regulations.
These Regulations are the
These Regulations are made under sections 301 and 324 of the
These Regulations come into operation as follows —
(a) regulations 1 and 3 — on the day on which these Regulations are published in the
Gazette ;(b) the rest of the regulations — on the day on which section 3 of the
Education and Care Services National Law (WA) Act 2012 comes into operation.
(1) In these Regulations —
(a) a qualification for the education and care of children generally or children of a specified age that is approved by the National Authority and included in the list of approved certificate III level education and care qualifications published under regulation 137; or
(b) a qualification included in the list of approved diploma level education and care qualifications or approved early childhood teaching qualifications published under regulation 137;
(a) a qualification for the education and care of children generally or children of a specified age that is approved by the National Authority and included in the list of approved diploma level education and care qualifications published under regulation 137; or
(b) a qualification included in the list of approved early childhood teaching qualifications published under regulation 137;
(a) whether any actions have been taken against the individual under Part IV of the
Bankruptcy Act 1966 of the Commonwealth; and(b) whether the individual has made any debt agreement under Part IX of the
Bankruptcy Act 1966 of the Commonwealth; and(c) whether the individual has made any personal insolvency agreement under Part X of the
Bankruptcy Act 1966 of the Commonwealth;
(a) a person who is registered as a building surveyor, building inspector or draftsperson under a law of a participating jurisdiction; or
(b) a person who is registered as an architect under a law of a participating jurisdiction; or
(c) a person who is licensed as a surveyor under a law of a participating jurisdiction; or
(d) a person who is licensed or registered as a building certifier under a law of a participating jurisdiction; or
(e) a person who is accredited under a law of a participating jurisdiction to design buildings that will be used to provide education and care services;
(a) is enrolled or registered at a school; and
(b) attends, or in the current calendar year will attend, school in the year before grade 1 or in grade 1 or a higher grade;
(a) states whether the individual has been convicted in Australia of any offences relevant to a person seeking to work with children; and
(b) includes details of those convictions;
(a) whether the individual is or has been subject to a formal disciplinary proceeding or action under an education law of a participating jurisdiction (other than a proceeding or action that was unsuccessful or was withdrawn); and
(b) the outcome of the proceeding or action (if known);
Examples for this definition:
1. Flood.
2. Fire.
3. A situation that requires the education and care service premises to be locked down.
(a) the child or children leave the education and care service premises in the company of an educator; and
(b) the child or children do not leave the school site;
(a) states whether the individual has been convicted outside Australia of any offences relevant to a person seeking to work with children; and
(b) includes details of those convictions;
(a) whether or not the individual has held any role with an education and care service or a children’s service in the previous 3 years; and
(b) includes the following details for each role —
(i) the name of the service; and
(ii) the State or Territory in which the service was located; and
(iii) the nature of the role;
(a) that the service visits regularly as part of its educational program; and
(b) where the circumstances relevant to the risk assessment are substantially the same on each outing;
(a) construction, demolition, removal or relocation of a building or other fixed structure (or part of a building or other fixed structure); or
(b) carrying out structural alterations on a building or other fixed structure;
(a) for all participating jurisdictions other than Western Australia — 1 January 2012; and
(b) for Western Australia — 1 August 2012;
(a) the nature, extent and levels of contamination; and
(b) the actual or potential risk to human health resulting from that contamination;
(a) the ground level;
(b) a level of a split level;
(a) a qualification for the education and care of children generally or children of a specified age that is approved by the National Authority and included in the list of approved qualifications for suitably qualified persons published under regulation 137; or
(b) a qualification approved by the National Authority as a higher qualification for suitably qualified persons and included in the list of approved qualifications for suitably qualified persons published under regulation 137;
(1A) A requirement under these Regulations applying in relation to a stated number of children applies each time there is the stated number of children or a part of the stated number.
Example for this subregulation:
There are 33 children aged 36 months or over (not including children over preschool age) at a centre‑based service. Regulation 123(1)(c)(ii) requires 1 educator for each 10 children. In this case 4 educators would be required.
(2) Unless the context otherwise requires, a reference in these Regulations to a Part by a number is a reference to the Part, designated by that number, of these Regulations.
(3) Guides to Chapters do not form part of these Regulations.
Note for this regulation:
This regulation differs from regulation 4 of the national regulations made by the Ministerial Council.
(1) For the purposes of paragraph (g) of the definition of
education and care service in section 5(1) of the Law, the following classes of disability service are excluded from the definition of education and care service —(a) a service that is a designated service within the meaning of the
Disability Services Act 1993 of New South Wales;(b) services that are disability services under the
Disability Services Act 2006 of Queensland;(c) a disability service provided by a disability service provider within the meaning of the
Disability Act 2006 of Victoria;(d) a service providing education and care to a child with a disability that is funded by a grant of financial assistance approved under the
Disability Services Act 1993 of Western Australia;(e) an early childhood intervention service provided for the principal purpose of providing intervention or support for children with a disability, additional needs or developmental delay.
(2) For the purposes of paragraph (h) of the definition of
education and care service in section 5(1) of the Law, the following classes of service are excluded from the definition of education and care service —(a) a service providing education and care to children in premises where the majority of the children usually reside and the educator does not reside;
(b) in all participating jurisdictions other than Western Australia — a service providing education and care to children in the service provider’s residence other than as part of a service that is delivered through the use of 2 or more educators to provide education and care to children in residences;
(c) a service providing education and care to children primarily on an ad hoc or casual basis where —
(i) the service does not usually offer full‑time or all day education and care to children on an ongoing basis; and
(ii) most of the children provided with education and care are preschool age or under;
(d) a service provided by a hotel or resort to provide education and care to children who are temporary guests of the hotel or resort;
Example: A ski resort that offers child‑minding services for children staying at the resort.
(e) a service providing education and care to a child on an ad hoc basis at premises where the parent of, or other person responsible for, the child is —
(i) a guest, visitor or patron; and
(ii) readily available at all times that the child is being educated and cared for;
Examples:
1 A service that provides education and care to a child at a conference attended by the parent.
2 A service that provides education and care to a child at a sports and leisure centre or shopping centre where the parent is a patron.
(f) a service that provides education and care to children where the education and care is primarily provided or shared by parents or family members of the children and a parent or family member is readily available for the period that the child is educated and cared for and retains responsibility for the child;
(g) a secondary school or college providing education and care to the children of students attending the school or college where a parent of each child retains responsibility for the child while the child is being educated and cared for;
(h) a service providing education and care primarily to children preschool age or under that transports its equipment and materials or staff to one or more locations on each occasion that the service is provided;
Note: This form of care is commonly called a mobile service.
(i) a service that provides education and care during school holidays for a total of not more than 28 days in a calendar year;
(j) a short term program provided by and at a school to children who will attend the school in the following year, for the purpose of orienting children to the school;
(k) a service providing education and care if, on 30 June 2018 —
(i) the service provider was, in respect of the service, in receipt of funding under the Budget Based Funded program administered by the Department of Education and Training of the Commonwealth; and
(ii) the service was not approved for the purposes of the family assistance law;
(ka) a service providing education and care if, on 30 June 2018 —
(i) the service provider was, in respect of the service, in receipt of funding under the Indigenous Advancement Strategy administered by the Department of Prime Minister and Cabinet of the Commonwealth; and
(ii) the service was not approved for the purposes of the family assistance law; and
(iii) the service was not regulated under the National Quality Framework;
(l) a licensed playschool under the
Children and Young People Act 2008 of the Australian Capital Territory;(m) a stand alone service under a children’s services law of Queensland;
(n) a service funded by the Queensland Government to provide limited hours care;
(o) a South Australian Government operated Playcentre;
(p) a service licensed as a Centre Based Care Class 4 or Centre Based Care Class 5 service under the
Child Care Act 2001 of Tasmania;(q) an approved children’s service under the
Children’s Services Act 1996 of Victoria that, immediately before 17 May 2020, was a licensed limited hours Type 2 service under that Act;(r) a service funded by the government department principally administering the
Children and Community Services Act 2004 of Western Australia for the purposes of preventive, support and recreation services for at risk children.
Note for this regulation:
This regulation differs from regulation 5 of the national regulations made by the Ministerial Council.
For the purposes of the definition of
For the purposes of paragraph (d) of the definition of
For the purposes of the definition of
For the purposes of paragraph (e) of the definition of
(a) the Catholic Education Commission of Western Australia;
(b) a body politic.
For the purposes of these Regulations, an educator is
(a) is enrolled in the course for the qualification; and
(b) provides the approved provider with documentary evidence from the provider of the course that —
(i) the educator has commenced the course; and
(ii) the educator is making satisfactory progress towards completion of the course; and
(iii) the educator is meeting the requirements for maintaining the enrolment; and
(iv) in the case of an approved diploma level education and care qualification, the educator —
(A) holds an approved certificate III level education and care qualification; or
(B) has completed the units of study in an approved certificate III level education and care qualification determined by the National Authority; or
(C) has completed the percentage of total units of study required for completion of an approved early childhood teaching qualification determined by the National Authority.
For the purposes of these Regulations, an early childhood teacher or a suitably qualified person is
(a) is physically present at the service; and
(b) carries out education and care activities at the service including one or more of the following —
(i) working directly with children;
(ii) planning programs;
(iii) mentoring, coaching or supporting educators;
(iv) facilitating education and care research;
(v) performing the role of educational leader of the service referred to in regulation 118.
For the purposes of the definition of
(a) the death of a child —
(i) while that child is being educated and cared for by an education and care service; or
(ii) following an incident occurring while that child was being educated and cared for by an education and care service;
(b) any incident involving serious injury or trauma to a child occurring while that child is being educated and cared for by an education and care service —
(i) which a reasonable person would consider required urgent medical attention from a registered medical practitioner; or
(ii) for which the child attended, or ought reasonably to have attended, a hospital;
Example for this subparagraph:
A broken limb.
(c) any incident involving serious illness of a child occurring while that child is being educated and cared for by an education and care service for which the child attended, or ought reasonably to have attended, a hospital;
Example for this paragraph:
Severe asthma attack, seizure or anaphylaxis reaction.
(d) any emergency for which emergency services attended;
(e) any circumstance where a child being educated and cared for by an education and care service —
(i) appears to be missing or cannot be accounted for; or
(ii) appears to have been taken or removed from the education and care service premises in a manner that contravenes these Regulations; or
(iii) is mistakenly locked in or locked out of the education and care service premises or any part of the premises.
For the purposes of these Regulations a person is
(a) is physically present with the children; and
(b) is directly engaged in providing education and care to the children.
This Chapter sets out requirements for obtaining provider approvals and service approvals.
For section 10(3)(a) of the Law, the following information is prescribed information —
(a) the applicant’s full name, and any former or other name the applicant may be known by;
(b) the applicant’s residential address and contact details;
(c) the applicant’s date and place of birth;
(d) proof of the applicant’s identity;
(e) a previous service statement made by the applicant;
(f) except in the case of an application to the New South Wales Regulatory Authority or the Queensland Regulatory Authority, if the participating jurisdiction has a working with children law —
(i) if held by the applicant, a copy of the applicant’s current working with children card or working with children check; or
(ii) if the applicant is a teacher registered under an education law of that jurisdiction, proof of the current registration under that law;
(fa) in the case of an application to the New South Wales Regulatory Authority, the applicant’s working with children check number or a copy of the applicant’s current working with children card or working with children check;
(fb) in the case of an application to the Queensland Regulatory Authority, a copy of the applicant’s current working with children card or working with children check;
(fc) in the case of an application to the Tasmanian Regulatory Authority, a copy of the applicant’s working with vulnerable people registration;
(g) except in the case of an application to the Queensland Regulatory Authority —
(i) a copy of the applicant’s current working with vulnerable people check; or
(ii) a criminal history record check in respect of the applicant issued not more than 6 months before the date of the application;
(h) if a criminal history record check has been provided under paragraph (g)(ii), a criminal history statement made by the applicant in relation to the period after the date on which the criminal history record check was issued to the date of the application;
(i) if the applicant lived and worked outside Australia at any time within the previous 3 years, an overseas criminal history statement made by the applicant;
(j) a disciplinary proceedings statement made by the applicant;
(k) a bankruptcy declaration made by the applicant.
Notes for this regulation:
1. If there is more than one applicant, the prescribed information must be provided in respect of each applicant — see section 10(3) of the Law.
2. This regulation differs from regulation 14 of the national regulations made by the Ministerial Council.
An application for a provider approval made by a person other than an individual under section 10 of the Law must include the following information —
(a) the applicant’s name and any trading or other name used by the applicant;
(b) the applicant’s street address and postal address or, if there is more than one address, the street address and postal address of the applicant’s principal office;
(c) the name and contact details of the contact person for the purposes of the application;
(d) documentary evidence of the legal status of the applicant and its constitution;
Example: The partnership agreement for a partnership.
(e) a financial declaration regarding the applicant;
(f) for each individual who will be a person with management or control of an education and care service to be operated by the applicant, the information set out in regulation 14.
Note for this regulation:
If there is more than one applicant, the prescribed information must be provided in respect of each applicant — see section 10(3) of the Law.
The matters relating to the criminal history of a person that the Regulatory Authority must have regard to under section 13(1)(c)(i) of the Law are —
(a) if the participating jurisdiction has a working with children law, whether the person —
(i) holds a current working with children card or working with children check issued under that law; or
(ii) is a registered teacher under an education law of that jurisdiction;
and
(b) except in the case of an application made to the Queensland Regulatory Authority, any matters included in a criminal history record check.
An application under section 22 of the Law for an amendment of a provider approval must include the following information —
(a) the full name of the approved provider;
(b) the provider approval number;
(c) the name and contact details of the contact person for the purposes of the application;
(d) the details of the amendment applied for;
(e) sufficient information or documentation to support the application for amendment.
The prescribed maximum period of suspension of a provider approval under section 27(a) or 33(1)(a)(ii) of the Law is 12 months.
An application under section 37 of the Law for the suspension of a provider approval must include the following information —
(a) the full name of the approved provider;
(b) the provider approval number;
(c) the name and contact details of the contact person for the purposes of the application;
(d) the reasons for the suspension;
(e) the date on which the suspension is proposed to take effect and the duration of the suspension;
(f) what is intended to happen to each education and care service operated by the approved provider during the proposed suspension;
(g) a statement indicating that the approved provider has notified the parents of children enrolled at the education and care services operated by the approved provider in accordance with section 37(3) of the Law.
For section 39(6)(b) of the Law, the following information is prescribed information —
(a) the applicant’s full name, and any former or other name the applicant may be known by;
(b) the applicant’s residential address and contact details;
(c) the applicant’s date and place of birth;
(d) in relation to the current approved provider —
(i) the approved provider’s full name;
(ii) the provider approval number;
(iii) the date of the approved provider’s death;
(iv) a copy of the death certificate or other evidence of the death of the approved provider;
(e) the proposed duration of the provider approval;
Note: This period cannot exceed 6 months.
(f) proof of the applicant’s identity;
(g) except in the case of an application to the New South Wales Regulatory Authority or the Queensland Regulatory Authority, if the participating jurisdiction has a working with children law —
(i) if held by the applicant, a copy of the applicant’s current working with children card or working with children check; or
(ii) if the applicant is a teacher registered under an education law of that jurisdiction, proof of the current registration under that law;
(ga) in the case of an application to the New South Wales Regulatory Authority, the applicant’s working with children check number or a copy of the applicant’s current working with children card or working with children check;
(gb) in the case of an application to the Queensland Regulatory Authority, a copy of the applicant’s current working with children card or working with children check;
(gc) in the case of an application to the Tasmanian Regulatory Authority, a copy of the applicant’s working with vulnerable people registration;
(h) except in the case of an application made to the Queensland Regulatory Authority —
(i) a copy of the applicant’s current working with vulnerable people check; or
(ii) a criminal history record check issued not more than 6 months before the date of the application;
(i) if a criminal history record check has been provided under paragraph (h)(ii), a criminal history statement made by the applicant in relation to the period after the date on which the criminal history record check was issued to the date of the application;
(j) if the applicant lived and worked outside Australia at any time within the previous 3 years, an overseas criminal history statement made by the applicant;
(k) a disciplinary proceedings statement made by the applicant;
(l) a bankruptcy declaration made by the applicant.
Note for this regulation:
This regulation differs from regulation 20 of the national regulations made by the Ministerial Council.
An application for a provider approval made under section 39(5) of the Law by an executor other than an individual must include the following information —
(a) the applicant’s name and any trading or other name used by the applicant;
(b) the applicant’s street address and postal address or, if there is more than one address, the street address and postal address of the applicant’s principal office;
(c) the name and contact details of the contact person for the purposes of the application;
(d) in relation to the current approved provider —
(i) the approved provider’s full name;
(ii) the provider approval number;
(iii) the date of the approved provider’s death;
(iv) a copy of the death certificate or other evidence of the death of the approved provider;
(e) the proposed duration of the provider approval;
Note: This period cannot exceed 6 months.
(f) documentary evidence of the legal status of the applicant and its constitution;
Example: The partnership agreement for a partnership.
(g) a financial declaration regarding the applicant;
(h) for each individual who will be a person with management or control of an education and care service to be operated by the applicant, the information set out in regulation 20.
22. Application by individual for provider approval on incapacity of approved provider
For section 40(3)(b) of the Law, the following information is prescribed information if the applicant is an individual —
(a) the applicant’s full name, and any former or other name the applicant may be known by;
(b) the applicant’s residential address and contact details;
(c) the applicant’s date and place of birth;
(d) the current approved provider’s full name and provider approval number;
(e) the proposed duration of the provider approval;
Note: This period cannot exceed 6 months.
(f) proof of the applicant’s identity;
(g) except in the case of an application to the New South Wales Regulatory Authority or the Queensland Regulatory Authority, if the participating jurisdiction has a working with children law —
(i) if held by the applicant, a copy of the applicant’s current working with children card or working with children check; or
(ii) if the applicant is a teacher registered under an education law of that jurisdiction, proof of the current registration under that law;
(ga) in the case of an application to the New South Wales Regulatory Authority, the applicant’s working with children check number or a copy of the applicant’s current working with children card or working with children check;
(gb) in the case of an application to the Queensland Regulatory Authority, a copy of the applicant’s current working with children card or working with children check;
(gc) in the case of an application to the Tasmanian Regulatory Authority, a copy of the applicant’s working with vulnerable people registration;
(h) except in the case of an application made to the Queensland Regulatory Authority —
(i) a copy of the applicant’s current working with vulnerable people check; or
(ii) a criminal history record check issued not more than 6 months before the date of the application;
(i) if a criminal history record check has been provided under paragraph (h)(ii), a criminal history statement made by the applicant in relation to the period after the date on which the criminal history record check was issued until the application is made;
(j) if the applicant lived and worked outside Australia at any time within the previous 3 years, an overseas criminal history statement made by the applicant;
(k) a disciplinary proceedings statement made by the applicant;
(l) a bankruptcy declaration made by the applicant.
Note for this regulation:
This regulation differs from regulation 22 of the national regulations made by the Ministerial Council.
For section 40(3)(b) of the Law, the following information is prescribed information if the application for a provider approval is made by the legal personal representative or guardian of an approved provider if the applicant is a person other than an individual —
(a) the applicant’s name and any trading or other name used by the applicant;
(b) the applicant’s street address and postal address or, if there is more than one address, the street address and postal address of the applicant’s principal office;
(c) the name and contact details of the contact person for the purposes of the application;
(d) the current approved provider’s full name and provider approval number;
(e) the proposed duration of the provider approval;
Note:Thisperiodcannotexceed6months. (f) documentary evidence of the legal status of the applicant and its constitution;
Example:Thepartnershipagreementforapartnership. (g) a financial declaration regarding the applicant;
(h) for each individual who will be a person with management or control of an education and care service to be operated by the applicant, the information set out in regulation 22.
Note for this regulation:
This regulation differs from regulation 23 of the national regulations made by the Ministerial Council.
For section 44(1)(c) of the Law, the following information is prescribed information for an application for a service approval for a centre‑based service —
(a) the applicant’s full name and —
(i) provider approval number; or
(ii) if the applicant has applied for a provider approval but the application has not been decided, the applicant’s contact details;
(b) the name of the proposed education and care service;
(c) the proposed date on which the education and care service will commence operation;
(d) if known, the contact details, including an after‑hours telephone number, for the proposed education and care service;
(e) the proposed ages of children to be educated and cared for by the education and care service;
(f) the proposed maximum number of children to be educated and cared for by the education and care service;
(g) the proposed hours and days of operation of the education and care service;
(h) a description of the nature of the education and care service;
(ha) a description of any proposed regular transportation of children by or arranged by the education and care service;
(i) the details of any associated children’s service for which approval is sought;
(j) a statement that the applicant has prepared the policies and procedures referred to in regulation 168;
(k) the full name and contact details, including the after‑hours telephone number, of each nominated supervisor.
Notes for this regulation:
1. The application must include a nominated supervisor’s written consent to the nomination unless the nominated supervisor is the approved provider — see section 44(1)(da) of the Law.
2. This regulation differs from regulation 24 of the national regulations made by the Ministerial Council.
(1) In addition to the information referred to in regulation 24, the following information about the proposed education and care service premises is prescribed information —
(a) the location and street address of the proposed education and care service premises;
(b) plans prepared by a building practitioner of the proposed education and care service premises showing the following —
(i) the location of all buildings, structures, outdoor play areas and shaded areas;
(ii) the location of all entries and exits;
(iii) the location of all fences and gates, specifying the type of fence or gate used or to be used;
(iv) the location of toilet and washing facilities, nappy changing areas and any food preparation areas;
(v) the boundaries of the premises;
(vi) the landscape of, or landscaping plans for, outdoor spaces that will be used by the education and care service, specifying the natural environments that are or will be provided;
(vii) a floor plan indicating unencumbered indoor and outdoor spaces suitable for children;
(viii) the location of any associated children’s service;
(ix) calculations, carried out by a building practitioner, of the areas referred to in regulations 107 and 108 relating to unencumbered indoor and outdoor space;
(x) the elevation plans of the premises;
(ba) if the proposed education and care service premises will be located within a multi‑storey building shared with other occupants —
(i) the total number of storeys in the building; and
(ii) the storey or storeys on which the premises will be located; and
(iii) if the premises will be located on more than 1 storey — the ages of the children who will attend on each storey;
(c) if a swimming pool or other water hazard is situated on the proposed education and care service premises, a copy of the service’s proposed water safety policy;
(d) one of the following —
(i) a soil assessment for the site of the proposed education and care service premises;
(ii) if a soil assessment for the site of the proposed education and care service premises has previously been undertaken, a statement to that effect, specifying when the soil assessment was undertaken;
(iii) a statement made by the applicant that states that, to the best of the applicant’s knowledge the site history does not indicate that the site is likely to be contaminated in a way that poses an unacceptable risk to the health of children;
(e) a copy of the planning permit for the proposed education and care service premises if a planning permit is required under the planning and development law of the participating jurisdiction;
(f) a statement that the applicant has the right to occupy and use the premises and any document evidencing this;
Example: A lease of the premises.
(g) unless the education and care service premises is a government or registered school, either —
(i) a copy of any occupancy permit, certificate of final inspection, building certificate, certificate of classification or building surveyor’s statement issued or given in respect of the final construction and fit out of the education and care service premises; or
(ii) a statement made by a building practitioner that states that the education and care service premises complies with building requirements under a building law or planning and development law of the participating jurisdiction.
[(2) deleted]
Note for this regulation:
This regulation differs from regulation 25 of the national regulations made by the Ministerial Council.
Note for this regulation:
Regulation 25A of the national regulations made by the Ministerial Council does not apply as a law of WA.
(1) For section 44(1)(c) of the Law, the following information is prescribed information for a service approval for a family day care service —
(a) the applicant’s full name and —
(i) provider approval number; or
(ii) if the applicant has applied for a provider approval but the application has not been decided, the applicant’s contact details;
(b) the name of the proposed family day care service;
(c) the proposed date on which the family day care service will commence operation;
(d) if known, the contact details, including after‑hours telephone number, for the proposed principal office of the service;
(e) the proposed hours and days of operation of the family day care service including whether the service proposes to engage or register family day care educators who will provide overnight or weekend care;
(f) the proposed location and street address of the principal office of the family day care service;
(fa) a statement that the applicant has the right to occupy and use the proposed premises as a principal office and any document evidencing this;
Example for this paragraph:
A lease of the premises.
(g) the proposed number of family day care educators expected to be engaged by or registered with the proposed family day care service within 6 months of commencement of the service;
(ga) a statement that each family day care residence that will be part of the family day care service and each place other than a residence where education and care is to be provided to children as part of the family day care service will be located in this jurisdiction;
(h) the proposed local government areas in which the family day care educators expected to be engaged by or registered with the proposed family day care service will provide education and care;
(i) the proposed number of family day care co-ordinators expected to be engaged by the proposed family day care service within 6 months of commencement of the service;
(j) a statement that the applicant has prepared the policies and procedures referred to in regulation 168;
(k) a copy of the proposed policies and procedures referred to in regulation 169;
(l) if the family day care service will permit a family day care residence or venue with a swimming pool or something that may constitute a water hazard, a copy of the service’s proposed water safety policy;
(m) the full name and contact details, including the after‑hours telephone number, of each nominated supervisor;
Note for this paragraph:
The application must include a nominated supervisor’s written consent to the nomination unless the nominated supervisor is the approved provider — see section 44(1)(da) of the Law.
(n) if the application includes a request for approval of a place as a family day care venue for the service —
(i) the location and street address of the family day care venue; and
(ia) if the proposed family day care venue will be located within a multi‑storey building shared with other occupants — the information specified in subregulation (3); and
(ii) a statement that the applicant has the right to occupy and use the place as a family day care venue and any document evidencing this; and
Example for this subparagraph:
A lease of the premises.
(iii) an assessment (including any risk assessment) of the place conducted by the approved provider to ensure that the health, safety and wellbeing of children being educated and cared for by the service are protected.
(2) An assessment referred to in subregulation (1)(n)(iii) must consider the matters set out in regulation 116(2).
(3) For the purposes of subregulation (1)(n)(ia), the application must include the following information —
(a) the total number of storeys in the building;
(b) the storey or storeys on which the venue will be located;
(c) if the venue will be located on more than 1 storey — the ages of the children who will attend on each storey.
Notes for this regulation:
1. The application must include the certified supervisor’s written consent to the nomination — see section 44(1)(d) of the Law.
2. This regulation differs from regulation 26 of the national regulations made by the Ministerial Council.
In determining an application for a service approval under section 43 of the Law, the Regulatory Authority must have regard to the following matters —
(a) any suspension of the applicant’s provider approval;
(b) any conditions of the applicant’s provider approval;
(c) in the case of a proposed family day care venue or centre‑based service to be located within a multi‑storey building shared with other occupants, for each storey on which the venue or service is proposed to be located, whether there is direct egress to an assembly area to allow the safe evacuation of all children attending the venue or service, including non‑ambulatory children.
Note for this regulation:
See section 47(1)(g) of the Law.
The Regulatory Authority may refuse to grant a service approval on the following grounds —
(a) the Regulatory Authority is not satisfied that the applicant is capable of operating the proposed service in a way that meets the requirements of the Law or these Regulations or the National Quality Standard;
Examples:
1 The Regulatory Authority is not satisfied that the applicant is capable of maintaining premises or equipment or providing staff as required under the Law, whether because of financial or management capacity or another reason.
2 The Regulatory Authority is not satisfied that the applicant is capable of assessing family day care venues or residences or monitoring family day care educators as required under the Law, whether because of financial or management capacity or another reason.
(b) in the case of a centre‑based service, the Regulatory Authority is not satisfied that the applicant is entitled to occupy the education and care service premises.
Note for this regulation:
See section 49(2) of the Law.
A service approval is granted subject to a condition that the approved provider must hold the following insurance in respect of the education and care service —
(a) a current policy of insurance providing adequate cover for the education and care service against public liability with a minimum cover of $10 000 000; or
(b) a policy of insurance or an indemnity against public liability provided by the Government of a State or Territory in respect of the education and care service.
Notes for this regulation:
1. See section 51(4) of the Law.
2. See regulation 180 for the requirement to keep evidence of prescribed insurance.
A service approval for a family day care service is granted subject to the condition that the approved provider of the service must ensure that each family day care educator engaged by or registered with the service holds insurance against public liability with a minimum cover of $10 000 000.
Notes for this regulation:
1. See section 51(5) of the Law.
2. See regulation 180 for the requirement to keep evidence of prescribed insurance.
A service approval is granted subject to the condition that the approved provider of the education and care service must ensure that the current quality improvement plan for the service —
(a) is kept at the education and care service premises or, in the case of a family day care service, the principal office of the family day care service; and
(b) is made available for inspection by the Regulatory Authority or an authorised officer; and
(c) is made available on request to family members of a child who is enrolled at the service or who are seeking to enrol a child at the service.
Notes for this regulation:
1. See section 51(5) of the Law.
2. See regulations 55 and 56, which set out requirements for quality improvement plans.
3. This regulation differs from regulation 31 of the national regulations made by the Ministerial Council.
A service approval for a centre‑based service is granted subject to the condition that the service continues to be entitled to occupy the education and care service premises.
Note for this regulation:
See section 51(5) of the Law.
A service approval for a family day care service is granted subject to the condition that the approved provider of the service must ensure that the number of family day care educators providing education and care as part of the service does not exceed the maximum number of family day care educators determined by the Regulatory Authority in the service approval.
Note for this regulation:
See section 51(5) of the Law.
The approved provider of an education and care service must pay the relevant prescribed annual fee for the service approval on or before 1 July in each year.
Note for this regulation:
Part 6.3 Divisions 2 and 3 provide for the calculation of prescribed annual fees.
(1) An application under section 54 of the Law for an amendment of a service approval must include the following information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the name and contact details of the contact person for the purposes of the application;
(d) the details of the amendment applied for;
(e) sufficient information or documentation to support the application for amendment;
(f) if the application includes a request for approval of a place as a family day care venue for the service —
(i) the location and street address of the family day care venue; and
(ia) whether the family day care venue is proposed to be located within a multi‑storey building shared with other occupants and, if so, the additional information specified in subregulation (1A); and
(ii) a statement that the applicant has the right to occupy and use the place as a family day care venue and any document evidencing this; and
Example for this subparagraph:
A lease of the premises.
(iii) an assessment (including any risk assessment) of the place conducted by the approved provider to ensure that the health, safety and wellbeing of children being educated and cared for by the service are protected.
(1A) For the purposes of subregulation (1)(f)(ia), the additional information to be included in an application is —
(a) the total number of storeys in the multi‑storey building; and
(b) the storey or storeys on which the venue is proposed to be located; and
(c) if the venue is proposed to be located on more than 1 storey — the ages of the children who will attend on each storey.
(2) An assessment referred to in subregulation (1)(f)(iii) must consider the matters set out in regulation 116(2).
A notice under section 56 of the Law to add a new nominated supervisor of an education and care service must include the following information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the name and contact details of the contact person for the purposes of the application;
(d) the full name and contact details of the new nominated supervisor;
[(e),(f) deleted] (g) the date on which the new nominated supervisor commences or commenced work as a nominated supervisor.
Note for this regulation:
A notice must include a nominated supervisor’s written consent to the nomination unless the nominated supervisor is the approved provider — see section 56(2)(a) of the Law.
A notice under section 59 of the Law of a transfer of a service approval for a centre‑based service must include the following information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the transferring approved provider’s —
(i) name and contact details; and
(ii) provider approval number;
(d) the receiving approved provider’s —
(i) name and contact details; and
(ii) provider approval number;
(e) the date on which the transfer is intended to take effect;
(f) the details of any proposed changes in relation to the information required to be provided under regulations 24 and 25.
A notice under section 59 of the Law of a transfer of a service approval for a family day care service must include the following information —
(a) the name of the family day care service;
(b) the service approval number;
(c) the transferring approved provider’s —
(i) name and contact details; and
(ii) provider approval number;
(d) the receiving approved provider’s —
(i) name and contact details; and
(ii) provider approval number;
(e) the date on which the transfer is intended to take effect;
(f) the details of any proposed changes to the information required to be provided under regulation 26.
A notification under section 62(2) of the Law of the decision to intervene in the transfer of a service approval may include the following information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the name of the transferring approved provider;
(d) the name of the receiving approved provider;
(e) the matters about which the Regulatory Authority is concerned.
Note for this regulation:
This regulation differs from regulation 38 of the national regulations made by the Ministerial Council.
The prescribed maximum period of suspension of a service approval under sections 72(b)(i) and 79(1)(a)(ii) of the Law is 12 months.
An application under section 85 of the Law for the suspension of a service approval must include the following information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the name and contact details of the contact person for the purposes of the application;
(d) the reasons for the suspension;
(e) the date on which the suspension is proposed to take effect and the duration of the suspension;
(f) a statement indicating that the approved provider has notified the parents of children enrolled at the education and care service and any associated children’s service in accordance with section 85(4) of the Law.
The regulations prescribed for the purposes of section 87(1) of the Law are —
(a) regulations 104, 107, 108 and 110; and
(b) in the case of a centre‑based service, any provision in Part 4.3 Division 2 and regulations 120, 123, 126 and 130 to 134; and
(c) in the case of a family day care service, regulations 72A, 117, 124, 127 and 128; and
(d) any provision in Chapter 7 that applies in place of a provision referred to in paragraphs (a) to (c).
For section 88(b) of the Law, the following information is prescribed information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the name and contact details of the contact person for the purposes of the application;
(d) a statement that specifies —
(i) the regulations in relation to which a service waiver is sought; and
(ii) the way in which the education and care service does not or will not comply with the specified regulations;
(e) if the education and care service is unable to comply with the specified regulations —
(i) the reasons that the education and care service is unable to comply; and
(ii) details and evidence of any attempts made to comply with the specified regulations;
(f) in any other case, the reasons that the education and care service seeks the service waiver;
(g) the measures being taken or to be taken to protect the wellbeing of children being educated and cared for by the service while the service waiver is in force.
Notes for this regulation:
1. See section 88 of the Law.
2. This regulation differs from regulation 42 of the national regulations made by the Ministerial Council.
(1) For the purposes of section 92(3) of the Law, the prescribed period in relation to a revocation of a service waiver under section 92(1) of the Law is —
(a) 14 days after the Regulatory Authority notifies the approved provider of the decision to revoke; or
(b) if another period is determined by the Regulatory Authority with the agreement of the approved provider, that other period.
(2) For the purposes of section 92(3) of the Law, the prescribed period in relation to a revocation of a service waiver under section 92(2) of the Law, is —
(a) 14 days after the Regulatory Authority notifies the approved provider of the approval of the application; or
(b) if another period is determined by the Regulatory Authority with the agreement of the approved provider, that other period.
The regulations prescribed for the purposes of section 94 of the Law are —
(a) regulations 104, 107, 108 and 110; and
(b) in the case of a centre‑based service, any provision in Part 4.3 Division 2 and regulations 120, 123, 126, 130 to 134 and 136; and
(c) in the case of a family day care service, regulations 72A, 117, 124, 127, 128 and 136; and
(d) any provision in Chapter 7 that applies in place of a provision referred to in paragraphs (a) to (c).
Note for this regulation:
This regulation differs from regulation 44 of the national regulations made by the Ministerial Council.
An application under section 94 of the Law for a temporary waiver must include the following information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the name and contact details of the contact person for the purposes of the application;
(d) a statement that specifies —
(i) the regulations in relation to which a temporary waiver is sought; and
(ii) the way in which the education and care service does not or will not comply with the specified regulations;
(e) the reasons that the education and care service is unable to comply with the specified regulations;
(f) details and evidence of any attempts made to comply with the specified regulations;
(g) the period for which a temporary waiver is sought and the reasons for seeking that period;
Note: This period cannot exceed 12 months.
(h) details of steps that are being or will be taken in order to comply with the specified regulations;
(i) the measures being taken or to be taken to protect the wellbeing of children being educated and cared for by the education and care service while the temporary waiver is in force.
Note for this regulation:
See section 95 of the Law.
This Chapter outlines the assessment and ratings process for an education and care service and applies to all education and care services.
(1) The approved provider of an education and care service must ensure that, within 3 months of the grant of the service approval, a quality improvement plan is prepared for the service that —
(a) includes an assessment by the provider of the quality of the practices of the service against the National Quality Standard and these Regulations; and
(b) identifies any areas that the provider considers may require improvement; and
(c) contains a statement of the philosophy of the service.
(2) The approved provider must submit the quality improvement plan to the Regulatory Authority on request.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The approved provider of an education and care service must review and revise the quality improvement plan for the service having regard to the National Quality Standard —
(a) at least annually; and
(b) at any time when directed by the Regulatory Authority.
(2) The approved provider must submit the current quality improvement plan to the Regulatory Authority on request.
Note for this regulation:
See regulation 31 for the conditions on the service approval requiring the current quality improvement plan to be kept available.
For the purposes of section 134(1) of the Law, the prescribed rating levels are —
(a) Significant Improvement Required;
(b) Working Towards National Quality Standard;
(c) Meeting National Quality Standard;
(d) Exceeding National Quality Standard (the second highest rating level);
Note: The second highest rating level is referred to in section 152(5) of the Law.
(e) Excellent rating (the highest rating level).
Note: The criteria for an excellent rating are determined by the National Authority. See section 153 of the Law.
For the purposes of section 133(2) of the Law, the prescribed provisional rating is Provisional — Not Yet Assessed under the National Quality Framework.
(1) A Significant Improvement Required rating may be given for a quality area stated in the National Quality Standard if the education and care service does not meet that quality area or a relevant regulation for that quality area in a way that the Regulatory Authority is satisfied constitutes a significant risk to the safety, health or wellbeing of any child or children being educated and cared for by the service.
(2) If an education and care service has a Significant Improvement Required rating for any quality area stated in the National Quality Standard, the overall rating of the service is to be Significant Improvement Required.
(1) A Working Towards National Quality Standard rating may be given for a quality area stated in the National Quality Standard if the education and care service does not meet a standard in that quality area or a relevant regulation for that quality area but is not rated as Significant Improvement Required.
(2) If an education and care service has a Working Towards National Quality Standard rating for any quality area stated in the National Quality Standard but does not have a Significant Improvement Required rating for any quality area, the overall rating of the service is to be Working Towards National Quality Standard.
(1) A Meeting National Quality Standard rating may be given for a quality area stated in the National Quality Standard if the education and care service meets the standards and relevant regulations for that quality area.
(2) If an education and care service has a rating for each quality area stated in the National Quality Standard that is Meeting National Quality Standard or Exceeding National Quality Standard but does not satisfy the requirements of regulation 62 for an overall Exceeding National Quality Standard rating, the overall rating of the service is to be Meeting National Quality Standard.
(1) Subject to subregulation (2), an Exceeding National Quality Standard rating may be given for a quality area stated in the National Quality Standard if the education and care service exceeds the standards for that quality area and complies with the relevant regulations for that quality area.
(2) An Exceeding National Quality Standard rating may only be given for the educational program and practice quality area of the National Quality Standard for an education and care service that educates and cares for children who are in the year that is 2 years before grade 1 of school if the service either —
(a) provides a preschool program; or
(b) has a documented arrangement with an approved provider of another education and care service to provide a preschool program and informs parents of this arrangement.
(3) The overall rating of an education and care service is to be Exceeding National Quality Standard if —
(a) the education and care service has an Exceeding National Quality Standard rating for all quality areas stated in the National Quality Standard; or
(b) the education and care service has —
(i) an Exceeding National Quality Standard rating for 4 or more quality areas stated in the National Quality Standard at least 2 of which are among the following quality areas —
(A) educational program and practice;
(B) relationships with children;
(C) collaborative partnerships with families and communities;
(D) leadership and service management;
and
(ii) a Meeting National Quality Standard rating for each other quality area stated in the National Quality Standard.
(4) An education and care service in a particular jurisdiction may also be given an Exceeding National Quality Standard rating for a quality area stated in the National Quality Standard if the service is entitled to that rating under a provision (if any) set out in Chapter 7 for that jurisdiction.
Notes for this regulation:
1. This regulation differs from regulation 62 of the national regulations made by the Ministerial Council.
2. For WA specific provisions, see regulation 368A.
(1) Subject to subregulation (3), for the purposes of assessing an approved education and care service under section 133(1) of the Law, the Regulatory Authority —
(a) must consider —
(i) the current quality improvement plan for the service; and
(ii) any rating assessment history of the service, including any records of previous rating assessments made under the Law; and
(iii) the service’s history of compliance —
(A) with the Law as it applies in any participating jurisdiction in which the service operates; and
(B) in the period of 3 years preceding the scheme commencement day, with a former education and care services law of a participating jurisdiction in which the service operates or has operated; and
(C) with an education law of a participating jurisdiction in which the service operates or has operated; and
(D) with a children’s services law of a participating jurisdiction in which the service operates or has operated;
and
(b) must arrange for a site visit by an authorised officer —
(i) in the case of a centre‑based service, of the education and care service premises; and
(ii) in the case of a family day care service, of one or more approved family day care venues or family day care residences.
(2) In addition to subregulation (1), the Regulatory Authority may consider the following —
(a) any relevant information disclosed to the Regulatory Authority by —
(i) a government department, public authority or local authority under section 271 of the Law; or
(ii) the Regulatory Authority of another participating jurisdiction under section 271 of the Law as applying in that jurisdiction or a person acting for that Authority; or
(iii) the relevant Commonwealth Department or a person acting for the relevant Commonwealth Department;
(b) any information available to the Regulatory Authority about any steps taken by the approved education and care service to rectify any matters identified during the rating assessment;
(c) information relating to any other quality assurance or registration process under an education law applicable to the approved education and care service;
(d) in the case of an education and care service that provides education and care to children in the year that is 2 years before grade 1 of school, whether the service facilitates access to a preschool program as set out in regulation 62(2).
(3) This regulation does not apply to a reassessment of an education and care service or an aspect or element of an education and care service under section 138 or 139 of the Law.
Notes for this regulation:
1. See Division 2 of this Part.
2. This regulation differs from regulation 63 of the national regulations made by the Ministerial Council.
In determining a rating level under section 135 of the Law, the matters the Regulatory Authority may have regard to include the following —
(a) any matters that may be considered under regulation 63; and
(b) in the case of a reassessment and re‑rating on application under section 139 of the Law, any information included in that application.
On being granted a service approval, an education and care service is rated as Provisional — Not Yet Assessed under the National Quality Framework.
Note for this regulation:
See section 133(2) of the Law.
An application under section 139 of the Law for a reassessment and re‑rating of an approved education and care service must include the following information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the name and contact details of the contact person for the purposes of the application;
(d) the nature of the reassessment sought, including whether —
(i) the application is for reassessment of the service; or
(ii) the application is for reassessment of one or more aspects or elements of the service;
(e) if the application is for reassessment of an aspect or element of the service, the particular aspects or elements and quality areas in the National Quality Standard for which reassessment is sought;
(f) a statement setting out the reasons why reassessment is sought.
For the purposes of the reassessment and re‑rating of an approved education and care service or an aspect or element of an approved education and care service under section 138 or 139 of the Law, the Regulatory Authority —
(a) may consider any information referred to in regulation 63 in relation to the service, including the current quality improvement plan for the service; and
(b) may inspect the education and care service premises; and
(c) may consider any changes to the education and care service since the last assessment.
A request to the Regulatory Authority under section 141 of the Law for a review of rating levels must be accompanied by the following information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the name and contact details of the contact person for the purposes of the request;
(d) the quality areas stated in the National Quality Standard to which the grounds for review relate.
Note for this regulation:
Section 141(4)(b) of the Law requires that the request must set out the grounds on which a review is sought.
An application under section 144 of the Law for a further review by a Ratings Review Panel of rating levels must include the following information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the name and contact details of the contact person for the purposes of the application;
(d) a statement setting out —
(i) the ground on which the provider seeks review of the decision of the Regulatory Authority; and
(ii) the quality areas stated in the National Quality Standard to which the ground for further review relates.
Note for this regulation:
See section 145(2)(b) of the Law.
For the purposes of section 147(3)(c) of the Law, the prescribed areas of expertise or expert knowledge are —
(a) the assessment of quality in education and care services or other relevant services; and
(b) best practice regulation.
Note for this regulation:
These areas are in addition to the areas prescribed in section 147(3) of the Law.
For the purposes of section 152(5) of the Law, an application for the highest rating level may only be made if the approved education and care service is rated at the second highest rating level in each quality area.
An application under section 152 or a reapplication under section 159 of the Law for an approved education and care service to be assessed for the highest rating level must include the following information —
(a) the name of the education and care service;
(b) the service approval number;
(c) the name and contact details of the contact person for the purposes of the application;
(d) a statement and evidence demonstrating that the service meets the assessment criteria.
(1) The approved provider of an education and care service must not falsely represent the overall rating or a rating in respect of a quality area stated in the National Quality Standard given to the service under the Law.
Penalty: $2000.
(2) The approved provider must take reasonable steps to ensure that any person employed or engaged by the approved provider does not falsely represent the overall rating or a rating in respect of a quality area stated in the National Quality Standard given to the service under the Law.
Penalty: $2000.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1) or (2).
This Chapter contains requirements for operating an education and care service. This Chapter is relevant for all services and is aligned with the National Quality Standard.
The principal office of an approved family day care service must be located within the jurisdiction in which the service approval for the service is granted.
Penalty: $2 000.
(1) This Part applies in relation to the program (the
educational program ) that is required to be delivered under section 168 of the Law to a child being educated and cared for by an education and care service.(2) An educational program is to contribute to the following outcomes for each child —
(a) the child will have a strong sense of identity;
(b) the child will be connected with and contribute to his or her world;
(c) the child will have a strong sense of wellbeing;
(d) the child will be a confident and involved learner;
(e) the child will be an effective communicator.
74. Documenting of child assessments and evidence of development of educational programs (1) The approved provider of the education and care service must ensure that, for the purposes of the educational program, the following are documented —
(a) for a child preschool age or under —
(i) assessments of the child’s developmental needs, interests, experiences and participation in the educational program; and
(ii) assessments of the child’s progress against the outcomes of the educational program;
and
(b) for a child over preschool age, evidence about the development of the program.
(2) In preparing the documentation, the approved provider must —
(a) consider —
(i) the period of time that the child is being educated and cared for by the service; and
(ii) how the documentation will be used by the educators at the service;
and
(b) prepare the documentation in a way that is readily understandable by the educators at the service and the parents of the child.
Notes for this regulation:
1. This regulation differs from regulation 74 of the national regulations made by the Ministerial Council.
2. A compliance direction may be issued for failure to comply with subregulation (1).
The approved provider of an education and care service must ensure that —
(a) information about the contents and operation of the educational program for the service is displayed at the education and care service premises at a place accessible to family members of children being educated and cared for by the service; and
(b) a copy of the educational program is available at the following places for inspection on request —
(i) in the case of a centre‑based service, at the education and care service premises;
(ii) in the case of a family day care service, at each family day care residence or family day care venue.
Notes for this regulation:
1. A compliance direction may be issued for failure to comply with this regulation.
2. This regulation differs from regulation 75 of the national regulations made by the Ministerial Council.
The approved provider of an education and care service must ensure that a parent of a child being educated and cared for by the service is provided with the following information on request —
(a) information about the content and operation of the educational program so far as it relates to that child;
(b) information about the child’s participation in the program;
(c) a copy of the documents kept under regulation 74 in respect of the child.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
(1) The approved provider of an education and care service must ensure that nominated supervisors and staff members of, and volunteers at, the service implement —
(a) adequate health and hygiene practices; and
(b) safe practices for handling, preparing and storing food —
to minimise risks to children being educated and cared for by the service.
Penalty: $2000.
(2) A nominated supervisor of an education and care service must implement, and ensure that all staff members of, and volunteers at, the service implement —
(a) adequate health and hygiene practices; and
(b) safe practices for handling, preparing and storing food —
to minimise risks to children being educated and cared for by the service.
Penalty: $2000.
(3) A family day care educator must implement —
(a) adequate health and hygiene practices; and
(b) safe practices for handling, preparing and storing food —
to minimise risks to children being educated and cared for by the educator as part of a family day care service.
Penalty: $2000.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The approved provider of an education and care service must ensure that children being educated and cared for by the service —
(a) have access to safe drinking water at all times; and
(b) are offered food and beverages appropriate to the needs of each child on a regular basis throughout the day.
Penalty: $2000.
(2) A nominated supervisor of an education and care service must ensure that children being educated and cared for by the service —
(a) have access to safe drinking water at all times; and
(b) are offered food and beverages on a regular basis throughout the day.
Penalty: $2000.
(3) A family day care educator must ensure that children being educated and cared for by the educator as part of a family day care service —
(a) have access to safe drinking water at all times; and
(b) are offered food and beverages on a regular basis throughout the day.
Penalty: $2000.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The approved provider of an education and care service that provides food or a beverage to children being educated and cared for by the service must ensure that —
(a) the food or beverage provided is nutritious and adequate in quantity; and
(b) the food or beverage provided is chosen having regard to the dietary requirements of individual children taking into account —
(i) each child’s growth and development needs; and
(ii) any specific cultural, religious or health requirements.
Penalty: $2000.
(2) A nominated supervisor of an education and care service that provides food or a beverage to children being educated and cared for by the service must ensure that —
(a) the food or beverage provided is nutritious and adequate in quantity; and
(b) the food or beverage provided is chosen having regard to the dietary requirements of individual children taking into account —
(i) each child’s growth and development needs; and
(ii) any specific cultural, religious or health requirements.
Penalty: $2000.
(3) A family day care educator who provides food or a beverage to children being educated and cared for by the educator as part of a family day care service must ensure that —
(a) the food or beverage provided is nutritious and adequate in quantity; and
(b) the food or beverage provided is chosen having regard to the dietary requirements of individual children taking into account —
(i) each child’s growth and development needs; and
(ii) any specific cultural, religious or health requirements.
Penalty: $2000.
(4) To avoid doubt, this regulation does not apply to food or a beverage provided by a parent or family member for consumption by the child.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The approved provider of an education and care service that provides food and beverages (other than water) to children being educated and cared for by the service must ensure that a weekly menu —
(a) is displayed at a place at the education and care service premises accessible to family members of children being educated and cared for by the service; and
(b) accurately describes the food and beverages to be provided by the service each day.
Penalty: $1100.
(2) A nominated supervisor of an education and care service that provides food and beverages (other than water) to children being educated and cared for by the service must ensure that a weekly menu —
(a) is displayed at a place at the education and care service premises accessible to family members of children being educated and cared for by the service; and
(b) accurately describes the food and beverages to be provided by the service each day.
Penalty: $1100.
(3) A family day care educator who provides food and beverages (other than water) to children being educated and cared for by the educator as part of a family day care service must ensure that a weekly menu —
(a) is displayed at a place at the family day care residence or approved family day care venue accessible to family members of children being educated and cared for by the service; and
(b) accurately describes the food and beverages to be provided by the family day care educator each day.
Penalty: $1100.
(4) To avoid doubt, this regulation does not apply to food and beverages provided by a parent or family member for consumption by the child.
Notes for this regulation:
1. A compliance direction may be issued for failure to comply with subregulation (1).
2. This regulation differs from regulation 80 of the national regulations made by the Ministerial Council.
(1) The approved provider of an education and care service must ensure that children being educated and cared for by the service are provided with an environment that is free from the use of tobacco, vaping devices, vaping substances, illicit drugs and alcohol.
Penalty: $2000.
(2) A family day care educator must ensure that children being educated and cared for by the educator as part of a family day care service are provided with an environment that is free from the use of tobacco, vaping devices, vaping substances, illicit drugs and alcohol.
Penalty: $2000.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The approved provider of an education and care service must ensure that a nominated supervisor or a staff member of, or volunteer at, the service is not affected by alcohol or drugs (including prescription medication) so as to impair the person’s capacity to supervise or provide education and care to children being educated and cared for by the service.
Penalty: $2000.
(2) A nominated supervisor of an education and care service must not, while educating and caring for children for the service —
(a) consume alcohol; or
(b) be affected by alcohol or drugs (including prescription medication) so as to impair the supervisor’s capacity to supervise or provide education and care to the children.
Penalty: $2000.
(3) A family day care educator must not, while providing education and care for children as part of a family day care service —
(a) consume alcohol; or
(b) be affected by alcohol or drugs (including prescription medication) so as to impair the educator’s capacity to provide education and care to the children.
Penalty: $2000.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The approved provider of an education and care service must ensure that a person specified in subregulation (2) who works with children is advised of —
(a) the existence and application of the current child protection law; and
(b) any obligations that the person may have under that law.
Penalty: $1100.
(2) The following persons are specified —
(a) a nominated supervisor of the service;
(b) a staff member of the service;
(c) a volunteer at the service;
(d) a student who participates in the service.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The approved provider of an education and care service must take reasonable steps to ensure that the needs for sleep and rest of children being educated and cared for by the service are met, having regard to the ages, developmental stages and individual needs of the children.
Penalty: $1100.
(2) A nominated supervisor of an education and care service must take reasonable steps to ensure that the needs for sleep and rest of children being educated and cared for by the service are met, having regard to the ages, developmental stages and individual needs of the children.
Penalty: $1100.
(3) A family day care educator must take reasonable steps to ensure that the needs for sleep and rest of children being educated and cared for by the educator as part of a family day care service are met, having regard to the ages, developmental stages and individual needs of the children.
Penalty: $1100.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
The sleep and rest policies and procedures required under regulation 168(2)(a)(v) must address —
(a) how children will be protected from any risks identified in a risk assessment conducted under regulation 84C; and
(b) how the sleep and rest needs of children being educated and cared for by the service are met, including how the ages, developmental stages and the sleep and rest needs of individual children are considered; and
(c) how the health care needs of individual children being educated and cared for by the service are met; and
(d) how requests from families about a child’s sleep and rest and cultural preferences are considered; and
(e) supervision and monitoring during sleep and rest periods, including —
(i) the method and frequency of checking the safety, health and wellbeing of children during sleep and rest periods; and
(ii) the documentation of sleep and rest periods;
and
(f) how the sleep and rest practices at the service are consistent with any current health guidelines on the best practices to adopt to ensure the safety of children during sleep and rest; and
(g) the induction, training and knowledge of staff who educate and care for children at the service in relation to best practices for children’s sleep and rest; and
(h) the location and arrangement of sleep and rest areas at the service and how this meets the sleep and rest needs of children being educated and cared for by the service; and
(i) safety and suitability of cots, bedding and bedding equipment, having regard to the ages and developmental stages of children who will use the cots, bedding and bedding equipment; and
(j) management of potential hazards —
(i) in sleep and rest areas; and
(ii) on a child during sleep and rest periods;
and
(k) management of physical safety and suitability of sleep and rest environments (including temperature, lighting and ventilation); and
(l) in the case of a family day care service that provides overnight care, management of risks relating to overnight care at each family day care residence or approved family day care venue of the service; and
(m) communication of the sleep and rest policies and procedures to a parent or family member.
Note for this regulation:
This regulation differs from regulation 84B of the national regulations made by the Ministerial Council.
(1) The approved provider of an education and care service must ensure that a sleep and rest risk assessment is conducted in accordance with this regulation —
(a) at least once every 12 months; and
(b) as soon as practicable after becoming aware of any circumstance that may affect the safety, health or wellbeing of children during sleep and rest.
Penalty: $2000.
(2) A risk assessment must consider the following —
(a) the number, ages and developmental stages of children being educated and cared for —
(i) by the education and care service; or
(ii) in the case of a family day care service, at each family day care residence or approved family day care venue of the service;
(b) the sleep and rest needs of children being educated and cared for (including health care needs, cultural preferences, sleep and rest needs of individual children and requests from families about a child’s sleep and rest) —
(i) by the education and care service; or
(ii) in the case of a family day care service, at each family day care residence or approved family day care venue of the service;
(c) the suitability of staffing arrangements to adequately supervise and monitor children during sleep and rest periods;
(d) the level of knowledge and training of staff supervising children during sleep and rest periods;
(e) the location of sleep and rest areas, including the arrangement of cots and beds within the sleep and rest areas —
(i) at the education and care service; or
(ii) in the case of a family day care service, at each family day care residence or approved family day care venue of the service;
(f) the safety and suitability of any cots, beds and bedding equipment, having regard to the ages and developmental stages of the children who will use the cots, bed and bedding equipment;
(g) any potential hazards —
(i) in sleep and rest areas; or
(ii) on a child during sleep and rest periods;
(h) the physical safety and suitability of sleep and rest environments (including temperature, lighting and ventilation) —
(i) at the education and care service; or
(ii) in the case of a family day care service, at each family day care residence or approved family day care venue of the service;
(i) in the case of a family day care service that provides overnight care to a child, any risks that the overnight care provided at the family day care residence or approved family day care venue of the service may pose to the safety, health or wellbeing of the child.
(3) As soon as practicable after conducting a risk assessment under this regulation, the approved provider of an education and care service must make any necessary updates to the sleep and rest policies and procedures.
(4) The approved provider must keep a record of each risk assessment conducted under this regulation.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The approved provider of an education and care service must ensure that a bassinet is not on the education and care service premises at any time during which children are being educated and cared for by the service.
Penalty: $2000.
(2) A nominated supervisor of an education and care service must ensure that a bassinet is not on the education and care service premises at any time during which children are being educated and cared for by the service.
Penalty: $2000.
(3) A family day care educator must ensure that, at any time during which the educator is educating and caring for children as part of a family day care service, a bassinet is not on the education and care service premises from which the educator is providing the education and care.
Penalty: $2000.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
The incident, injury, trauma and illness policies and procedures of an education and care service required under regulation 168 must include procedures to be followed by nominated supervisors and staff members of, and volunteers at, the service in the event that a child —
(a) is injured; or
(b) becomes ill; or
(c) suffers a trauma.
The approved provider of an education and care service must ensure that a parent of a child being educated and cared for by the service, or if a parent cannot be immediately contacted, an authorised emergency contact for the child is notified as soon as practicable, but not later than 24 hours after the occurrence, if the child is involved in any incident, injury, trauma or illness while the child is being educated and cared for by the education and care service.
Penalty: $2000.
Note for this regulation:
This regulation differs from regulation 86 of the national regulations made by the Ministerial Council.
(1) The approved provider of an education and care service must ensure that an incident, injury, trauma and illness record is kept in accordance with this regulation.
(2) A family day care educator must keep an incident, injury, trauma and illness record in accordance with this regulation.
(3) The incident, injury, trauma and illness record must include —
(a) details of any incident in relation to a child or injury received by a child or trauma to which a child has been subjected while being educated and cared for by the education and care service or the family day care educator, including —
(i) the name and age of the child; and
(ii) the circumstances leading to the incident, injury or trauma; and
(iii) the time and date the incident occurred, the injury was received or the child was subjected to the trauma;
(b) details of any illness which becomes apparent while the child is being educated and cared for by the education and care service or the family day care educator including —
(i) the name and age of the child; and
(ii) the relevant circumstances surrounding the child becoming ill and any apparent symptoms; and
(iii) the time and date of the apparent onset of the illness;
(c) details of the action taken by the education and care service or family day care educator in relation to any incident, injury, trauma or illness which a child has suffered while being educated and cared for by the education and care service or family day care educator, including —
(i) any medication administered or first aid provided; and
(ii) any medical personnel contacted;
(d) details of any person who witnessed the incident, injury or trauma;
(e) the name of any person —
(i) whom the education and care service notified or attempted to notify, of any incident, injury, trauma or illness which a child has suffered while being educated and cared for by the education and care service or family day care educator; and
(ii) the time and date of the notifications or attempted notifications;
(f) the name and signature of the person making an entry in the record, and the time and date that the entry was made.
(4) The information referred to in subregulation (3) must be included in the incident, injury, trauma and illness record as soon as practicable, but not later than 24 hours after the incident, injury or trauma, or the onset of the illness.
(1) If there is an occurrence of an infectious disease at an education and care service, the approved provider of the service must ensure that reasonable steps are taken to prevent the spread of the infectious disease at the service.
Penalty: $2000.
(2) If there is an occurrence of an infectious disease at a centre‑based service, the approved provider of the service must ensure that a parent or an authorised emergency contact of each child being educated and cared for by the service is notified of the occurrence as soon as practicable.
Penalty: $2000.
(3) If there is an occurrence of an infectious disease at a family day care residence or approved family day care venue, the approved provider of the family day care service must ensure that a parent or an authorised emergency contact of each child being educated and cared for at the residence or venue as part of the service is notified of the occurrence as soon as practicable.
Penalty: $2000.
(1) The approved provider of an education and care service must ensure that first aid kits are kept in accordance with this subregulation, wherever the service is providing education and care to children —
(a) an appropriate number of first aid kits must be kept having regard to the number of children being educated and cared for by the service; and
(b) the first aid kits must be suitably equipped; and
(c) the first aid kits must be easily recognisable and readily accessible to adults, having regard to the design of the education and care service premises.
Penalty: $2000.
(2) A family day care educator must keep a first aid kit that is suitably equipped, easily recognisable and readily accessible to adults wherever the educator is educating and caring for children as part of a family day care service.
Penalty: $2000.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The medical conditions policy of the education and care service must set out practices in relation to the following —
(a) the management of medical conditions, including asthma, diabetes or a diagnosis that a child is at risk of anaphylaxis;
(b) informing nominated supervisors and staff members of, and volunteers at, the service of practices in relation to managing those medical conditions;
(c) the requirements arising if a child enrolled at the education and care service has a specific health care need, allergy or relevant medical condition, including —
(i) requiring a parent of the child to provide a medical management plan for the child; and
(ii) requiring the medical management plan to be followed in the event of an incident relating to the child’s specific health care need, allergy or relevant medical condition; and
(iii) requiring the development of a risk‑minimisation plan in consultation with the parents of a child —
(A) to ensure that the risks relating to the child’s specific health care need, allergy or relevant medical condition are assessed and minimised; and
(B) if relevant, to ensure that practices and procedures in relation to the safe handling, preparation, consumption and service of food are developed and implemented; and
(C) if relevant, to ensure that practices and procedures to ensure that the parents are notified of any known allergens that pose a risk to a child and strategies for minimising the risk are developed and implemented; and
(D) to ensure that practices and procedures ensuring that all staff members and volunteers can identify the child, the child’s medical management plan and the location of the child’s medication are developed and implemented; and
(E) if relevant, to ensure that practices and procedures ensuring that the child does not attend the service without medication prescribed by the child’s medical practitioner in relation to the child’s specific health care need, allergy or relevant medical condition are developed and implemented;
and
(iv) requiring the development of a communications plan to ensure that —
(A) relevant staff members and volunteers are informed about the medical conditions policy and the medical management plan and risk minimisation plan for the child; and
(B) a child’s parent can communicate any changes to the medical management plan and risk minimisation plan for the child, setting out how that communication can occur.
(2) The medical conditions policy of the education and care service must set out practices in relation to self‑administration of medication by children over preschool age if the service permits that self‑administration.
(3) In subregulation (2), the practices must include any practices relating to recording in the medication record for a child of notifications from the child that medication has been self‑administered.
The approved provider of an education and care service must ensure that a copy of the medical conditions policy document is provided to the parent of a child enrolled at an education and care service if the provider is aware that the child has a specific health care need, allergy or other relevant medical condition.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
(1) The approved provider of an education and care service must ensure that a medication record is kept that includes the details set out in subregulation (3) for each child to whom medication is or is to be administered by the service.
(2) A family day care educator must keep a medication record that includes the details set out in subregulation (3) for each child being educated and cared for by the educator as part of a family day care service to whom medication is or is to be administered.
(3) The details to be recorded are —
(a) the name of the child;
(b) the authorisation to administer medication (including, if applicable, self‑administration), signed by a parent or a person named in the child’s enrolment record as authorised to consent to administration of medication;
(c) the name of the medication to be administered and the medical condition the medication is being used to treat;
(d) the time and date the medication was last administered;
(e) the time and date, or the circumstances under which, the medication should be next administered;
(f) the dosage of the medication to be administered;
(g) the manner in which the medication is to be administered;
(h) if the medication is administered to the child —
(i) the dosage that was administered; and
(ii) the manner in which the medication was administered; and
(iii) the time and date the medication was administered; and
(iv) the name and signature of the person who administered the medication; and
(v) if another person is required under regulation 95 to check the dosage and administration, the name and signature of that person.
Note for this regulation:
This regulation differs from regulation 92 of the national regulations made by the Ministerial Council.
(1) The approved provider of an education and care service must ensure that medication is not administered to a child being educated and cared for by the service unless —
(a) that administration is authorised; and
(b) the medication is administered in accordance with regulation 95 or 96.
Penalty: $2000.
(2) The approved provider of an education and care service must ensure that written notice is given to a parent or other family member of a child as soon as practicable, if medication is administered to the child under an authorisation referred to in subregulation (5)(b).
Penalty: $1100.
(3) A nominated supervisor of an education and care service must ensure that medication is not administered to a child being educated and cared for by the service unless —
(a) that administration is authorised; and
(b) the medication is administered in accordance with regulation 95 or 96.
Penalty: $2000.
(4) A family day care educator must ensure that medication is not administered to a child being educated and cared for by the educator as part of a family day care service unless —
(a) that administration is authorised; and
(b) the medication is administered in accordance with regulation 95 or 96.
Penalty: $2000.
(5) In this regulation the administration of medication to a child is authorised if an authorisation to administer the medication —
(a) is recorded in the medication record for that child under regulation 92; or
(b) in the case of an emergency, is given verbally by —
(i) a parent or a person named in the child’s enrolment record as authorised to consent to administration of medication; or
(ii) if a parent or person named in the enrolment record cannot reasonably be contacted in the circumstances, a registered medical practitioner or an emergency service.
(1) Despite regulation 93, medication may be administered to a child without an authorisation in case of an anaphylaxis or asthma emergency.
(2) If medication is administered under this regulation, the approved provider or a nominated supervisor of the education and care service or family day care educator must ensure that the following are notified as soon as practicable —
(a) a parent of the child, or if a parent of the child cannot be immediately contacted, an authorised emergency contact for the child;
(b) emergency services.
Note for this regulation:
This regulation differs from regulation 94 of the national regulations made by the Ministerial Council.
Subject to regulation 96, if medication is administered to a child being educated and cared for by an education and care service —
(a) the medication must be administered —
(i) if the medication has been prescribed by a registered medical practitioner, from its original container, bearing the original label with the name of the child to whom the medication is to be administered, and before the expiry or use by date; or
(ii) from its original container, bearing the original label and instructions and before the expiry or use by date;
and
(b) the medication must be administered in accordance with any instructions —
(i) attached to the medication; or
(ii) any written or verbal instructions provided by a registered medical practitioner;
and
(c) except in the case of a family day care service or an education and care service that is permitted to have only 1 educator to educate and care for children, the following must be checked by a person other than the person administering the medication —
(i) the dosage of the medication to be administered;
(ii) the identity of the child to whom the medication is to be administered.
96. Self‑administration of medication
The approved provider of an education and care service may permit a child over preschool age to self‑administer medication if —
(a) an authorisation for the child to self‑administer medication is recorded in the medication record for the child under regulation 92; and
(b) the medical conditions policy of the service includes practices for self‑administration of medication.
(1) The emergency and evacuation procedures required under regulation 168 must set out —
(a) instructions for what must be done in the event of an emergency; and
(b) an emergency and evacuation floor plan; and
(c) if the education and care service premises is located within a multi‑storey building shared with other occupants and on a storey with no direct egress to an assembly area —
(i) all possible evacuation routes from each storey on which the premises is located; and
(ii) the evacuation routes that are proposed to be used in an evacuation; and
(iii) how all children will be safely evacuated from the premises, including non‑ambulatory children; and
(iv) the stages in which an evacuation will be carried out; and
(v) the identity of the person in charge of an evacuation; and
(vi) the roles and responsibilities of staff members during an evacuation; and
(vii) the arrangements made with the other occupants of the multi‑storey building in relation to the evacuation of the multi‑storey building.
(2) For the purposes of preparing the emergency and evacuation procedures, the approved provider of an education and care service must ensure that a risk assessment is conducted to identify potential emergencies that are relevant to the service.
Penalty: $2000.
(2A) The approved provider of a centre‑based service must review the risk assessment conducted under subregulation (2) —
(a) at least once every 12 months; and
(b) as soon as practicable after becoming aware of any circumstance that may affect the safe evacuation of children from the service.
Penalty: $2000.
(2B) As soon as practicable after reviewing the risk assessment under subregulation (2A), the approved provider of a centre‑based service must make any necessary updates to the emergency and evacuation policies and procedures.
Penalty: $2000.
(3) The approved provider of an education and care service must ensure that —
(a) in the case of a centre‑based service, the emergency and evacuation procedures are rehearsed every 3 months by the staff members, volunteers and children present at the service on the day of the rehearsal and the responsible person in relation to the service who is present at the time of the rehearsal; and
(ab) in the case of a family day care service, the emergency and evacuation procedures are rehearsed every 3 months by each family day care educator and the children being educated and cared for by the family day care educator on that day; and
(b) the rehearsals of the emergency and evacuation procedures are documented.
Penalty: $2000.
(4) The approved provider of an education and care service must ensure that a copy of the emergency and evacuation floor plan and instructions are displayed in a prominent position near each exit at the education and care service premises, including a family day care residence and approved family day care venue.
Penalty: $2000.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (2), (2A), (3) or (4).
The approved provider of an education and care service must ensure that, when educating or caring for children as part of the service, nominated supervisors and staff members of the service have ready access to an operating telephone or other similar means of communication to enable immediate communication to and from parents, family members and other adults who may need to be in contact about a child and emergency services.
Penalty: $1100.
Example for this regulation:
Fixed‑line telephone, mobile phone, satellite phone, 2‑way radio, video conferencing equipment.
Notes for this regulation:
1. A compliance direction may be issued for failure to comply with this regulation.
2. This regulation differs from regulation 98 of the national regulations made by the Ministerial Council.
Notes for this regulation:
1. Regulation 99 of the national regulations made by the Ministerial Council does not apply as a law of WA.
2. For a provision reflecting regulation 99 of the national regulations made by the Ministerial Council see section 165A of the Law as applying in Western Australia.
(1) The approved provider of an education and care service must ensure a risk assessment is carried out in accordance with regulation 101 before an authorisation referred to in regulation 102(4) is sought for an excursion.
Penalty: $2000.
(2) A nominated supervisor of an education and care service must ensure a risk assessment is carried out in accordance with regulation 101 before an authorisation referred to in regulation 102(4) is sought for an excursion.
Penalty: $2000.
(3) A family day care educator must carry out a risk assessment in accordance with regulation 101 before an authorisation referred to in regulation 102(4) is sought for an excursion.
Penalty: $2000.
(4) A risk assessment is not required under this regulation for an excursion if —
(a) the excursion is a regular outing; and
(b) a risk assessment has been conducted for the excursion; and
(c) that risk assessment has been conducted not more than 12 months before the excursion is to occur.
(1) A risk assessment for an excursion must —
(a) identify and assess risks that the excursion may pose to the safety, health or wellbeing of any child being taken on the excursion; and
(b) specify how the identified risks will be managed and minimised.
(2) Without limiting subregulation (1), a risk assessment must consider —
(a) the proposed route and destination for the excursion; and
(b) any water hazards; and
(c) any risks associated with water‑based activities; and
(d) if the excursion involves transporting children —
(i) the means of transport; and
(ii) any requirements for seatbelts or safety restraints under a law of each jurisdiction in which the children are being transported; and
(iii) the process for entering and exiting the education and care service premises and, as required, the pick‑up location or destination; and
(iv) procedures for embarking and disembarking the means of transport, including how each child is to be accounted for on embarking and disembarking;
and
(e) the number of adults and children involved in the excursion; and
(f) given the risks posed by the excursion, the number of educators or other responsible adults that is appropriate to provide supervision and whether any adults with specialised skills are required; and
Example: Specialised skills could include life‑saving skills.
(g) the proposed activities; and
(h) the proposed duration of the excursion; and
(i) the items that should be taken on the excursion.
Example: A mobile phone and a list of emergency contact numbers for children on the excursion.
(1) The approved provider of an education and care service must ensure that a child being educated and cared for by the service is not taken outside the education and care service premises on an excursion unless written authorisation has been provided under subregulation (4).
Penalty: $1100.
(2) A nominated supervisor of an education and care service must ensure that a child being educated and cared for by the service is not taken outside the education and care service premises on an excursion unless written authorisation has been provided under subregulation (4).
Penalty: $1100.
(3) A family day care educator must ensure that a child who is being educated and cared for by the educator as part of a family day care service is not taken outside the residence or approved family day care venue on an excursion unless written authorisation has been provided under subregulation (4).
Penalty: $1100.
(4) The authorisation must be given by a parent, or other person named in the child’s enrolment record as having authority given by a parent to authorise the taking of the child outside the education and care service premises by an educator, and must state —
(a) the child’s name; and
(b) the reason the child is to be taken outside the premises; and
(c) if the authorisation is for a regular outing, a description of when the child is to be taken on the regular outings; and
(ca) if the authorisation is for an excursion that is not a regular outing, the date the child is to be taken on the excursion; and
(d) a description of the proposed destination for the excursion; and
(e) if the excursion involves transporting children —
(i) the means of transport; and
(ii) any requirements for seatbelts or safety restraints under a law of each jurisdiction in which the children are being transported;
and
(f) the proposed activities to be undertaken by the child during the excursion; and
(g) the period the child will be away from the premises; and
(h) the anticipated number of children likely to be attending the excursion; and
(i) the anticipated ratio of educators attending the excursion to the anticipated number of children attending the excursion; and
(j) the anticipated number of staff members and any other adults who will accompany and supervise the children on the excursion; and
(k) that a risk assessment has been prepared and is available at the service.
(5) If the excursion is a regular outing, the authorisation is only required to be obtained once in a 12 month period.
In this Division —
(a) a school; or
(b) an education and care service; or
(c) a children’s service; or
(d) any other service which provides education or care to children.
(1) The safe arrival of children policies and procedures required under regulation 168(2)(gb) must set out the procedures to be followed by an education and care service to ensure the safe arrival of children who travel between an education and care service and any other education or early childhood service.
(2) In preparing the safe arrival of children policies and procedures, the approved provider of an education and care service must consult with —
(a) staff of the service; and
(b) parents of children being educated and cared for by the service; and
(c) children being educated and cared for by the service (if applicable).
(1) For the purposes of preparing the safe arrival of children policies and procedures under regulation 102AAB(1), the approved provider of an education and care service must ensure that a risk assessment is conducted in accordance with this regulation.
Penalty: $2000.
(2) The approved provider must conduct a risk assessment —
(a) at least once every 12 months; and
(b) as soon as practicable after becoming aware of any circumstance that may affect the safe arrival of children travelling between an education and care service and any other education or early childhood service.
(3) A risk assessment must —
(a) identify and assess any risks that a child’s travel between an education and care service and any other education or early childhood service may pose to the safety, health or wellbeing of the child; and
(b) specify how the identified risks will be managed and minimised.
(4) Without limiting subregulation (3), a risk assessment must consider the following, in respect of a child who travels between an education and care service and any other education or early childhood service —
(a) the age, developmental stage and individual needs of the child;
(b) the role and responsibilities of the following persons (if applicable) —
(i) in the case of a child who leaves the service premises to travel to an education and care service premises of another education and care service — the nominated supervisor of each service;
(ii) the child’s parent;
(iii) an authorised nominee named in the child’s enrolment record;
(iv) a person authorised by —
(A) the child’s parent; or
(B) an authorised nominee named in the child’s enrolment record;
(c) the role and responsibilities of the service the care of which the child is entering or leaving;
(d) the communication arrangements between the service the child is leaving and the service the child is entering, including any communication arrangements if the child is missing or cannot be accounted for during the child’s travel;
(e) the procedure to be followed by the service if the service has identified that the child is missing or cannot be accounted for during the child’s travel;
(f) given the risks posed by the child’s travel, the number of educators or other responsible adults that are appropriate to provide supervision;
(g) the proposed route and destination, including any proximity to harm and hazards;
(h) the process for entering and exiting —
(i) the service premises; and
(ii) the pick‑up location or destination (as required);
(i) the procedure to be followed by the service to ensure the child leaves the service premises in accordance with section 165A(4)(b) of the Law as applying in Western Australia.
(5) If, after conducting a risk assessment, a risk relating to a child’s travel is identified, the approved provider must make any necessary updates to the safe arrival of children policies and procedures as soon as practicable.
(6) The approved provider must keep a record of each risk assessment conducted under this regulation.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
This Division does not apply to transportation of a child by or arranged by an education and care service that is undertaken as part of an excursion.
(1) The approved provider of an education and care service must ensure a risk assessment is carried out in accordance with regulation 102C before an authorisation referred to in regulation 102D(4) is sought to transport a child.
Penalty: $2000.
(2) A nominated supervisor of an education and care service must ensure a risk assessment is carried out in accordance with regulation 102C before an authorisation referred to in regulation 102D(4) is sought to transport a child.
Penalty: $2000.
(3) A family day care educator must carry out a risk assessment in accordance with regulation 102C before an authorisation referred to in regulation 102D(4) is sought to transport a child.
Penalty: $2000.
(4) A risk assessment is not required under this regulation for transporting a child if —
(a) the transportation is regular transportation; and
(b) a risk assessment has been conducted for the regular transportation of the child within the previous 12 months.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) A risk assessment for the transportation of a child by or arranged by the education and care service must —
(a) identify and assess risks that transporting the child may pose to the safety, health or wellbeing of the child; and
(b) specify how the identified risks will be managed and minimised.
(2) Without limiting subregulation (1), a risk assessment must consider —
(a) the proposed route and duration of the transportation; and
(b) the proposed pick‑up location and destination; and
(c) the means of transport; and
(d) any requirements for seatbelts or safety restraints under a law of each jurisdiction in which the children are being transported; and
(e) any water hazards; and
(f) the number of adults and children involved in the transportation; and
(g) given the risks posed by transportation, the number of educators or other responsible adults that is appropriate to provide supervision and whether any adults with specialised skills are required; and
(h) whether any items should be readily available during transportation; and
Example for this paragraph:
A mobile phone and a list of emergency contact numbers for the children being transported.
(i) the process for entering and exiting —
(i) the education and care service premises; and
(ii) the pick‑up location or destination (as required);
and
(j) procedures for embarking and disembarking the means of transport, including how each child is to be accounted for on embarking and disembarking.
(1) The approved provider of an education and care service must ensure that a child being educated and cared for by the service is not transported by the service or on transportation arranged by the service unless written authorisation has been given under subregulation (4).
Penalty: $1100.
(2) A nominated supervisor of an education and care service must ensure that a child being educated and cared for by the service is not transported by the service or on transportation arranged by the service unless written authorisation has been given under subregulation (4).
Penalty: $1100.
(3) A family day care educator must ensure that a child being educated and cared for by the educator as part of a family day care service is not transported by the service or on transportation arranged by the service unless written authorisation has been given under subregulation (4).
Penalty: $1100.
(4) The authorisation must be given by a parent, or other person named in the child’s enrolment record as having authority given by a parent to authorise the child being transported by the service or on transportation arranged by the service, and must state —
(a) the child’s name; and
(b) the reason the child is to be transported; and
(c) if the authorisation is for regular transportation, a description of when the child is to be transported; and
(d) if the authorisation is not for regular transportation, the date the child is to be transported; and
(e) a description of the proposed pick‑up location and destination; and
(f) the means of transport; and
(g) the period of time during which the child is to be transported; and
(h) the anticipated number of children likely to be transported; and
(i) the anticipated number of staff members and any other adults who will accompany and supervise the children during the transportation; and
(j) any requirements for seatbelts or safety restraints under a law of each jurisdiction in which the children are being transported; and
(k) that a risk assessment has been prepared and is available at the education and care service; and
(l) that written policies and procedures for transporting children are available at the education and care service.
(5) If the transportation is regular transportation, the authorisation is only required to be obtained once in a 12 month period.
(1) This regulation applies in relation to the regular transportation of children by or arranged by a centre‑based service.
(2) The approved provider of the service must ensure the requirements under subregulation (4) are complied with in relation to children embarking a means of transport at the education and care service premises.
Penalty: $2000.
(3) A nominated supervisor of the service must ensure the requirements under subregulation (4) are complied with in relation to children embarking a means of transport at the education and care service premises.
Penalty: $2000.
(4) The requirements are that —
(a) a staff member or nominated supervisor of the service, who is not driving the means of transport, is present when the children embark the means of transport at the education and care service premises; and
(b) each child embarking the means of transport at the education and care service premises is accounted for by the person referred to in paragraph (a); and
(c) immediately after all the children have embarked the means of transport at the education and care service premises, a record is made that —
(i) confirms each child referred to in paragraph (b) has been accounted for; and
(ii) states how each child referred to in paragraph (b) has been accounted for; and
(iii) states the date and time the record is made; and
(iv) states the name of, and is signed by, the person referred to in paragraph (a).
(5) Nothing in this regulation prevents the person referred to in subregulation (4)(a) from being counted as an educator in calculating the educator to child ratio of the service under Chapter 4 Part 4.4 Division 3.
(1) This regulation applies in relation to the regular transportation of children by or arranged by a centre‑based service.
(2) The approved provider of the service must ensure the requirements under subregulation (4) are complied with in relation to children disembarking a means of transport at the education and care service premises.
Penalty: $2000.
(3) A nominated supervisor of the service must ensure the requirements under subregulation (4) are complied with in relation to children disembarking a means of transport at the education and care service premises.
Penalty: $2000.
(4) The requirements are that —
(a) a staff member or nominated supervisor of the service, who is not driving the means of transport, is present when the children disembark the means of transport at the education and care service premises; and
(b) each child disembarking the means of transport at the education and care service premises is accounted for by the person referred to in paragraph (a); and
(c) the person referred to in paragraph (a) examines the interior of the means of transport to confirm no children remain on the means of transport; and
(d) immediately after all the children have disembarked the means of transport at the education and care service premises, a record is made that —
(i) confirms each child referred to in paragraph (b) has been accounted for; and
(ii) states how each child referred to in paragraph (b) has been accounted for; and
(iii) states the examination referred to in paragraph (c) has been carried out; and
(iv) states the date and time the record is made; and
(v) states the name of, and is signed by, the person referred to in paragraph (a).
(5) Nothing in this regulation prevents the person referred to in subregulation (4)(a) from being counted as an educator in calculating the educator to child ratio of the service under Chapter 4 Part 4.4 Division 3.
(1) The approved provider of an education and care service must ensure that the education and care service premises and all equipment and furniture used in providing the education and care service are safe, clean and in good repair.
Penalty: $2000.
(2) This regulation does not apply to a part of a family day care residence that is not used to provide a family day care service.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
(1) The approved provider of an education and care service must ensure that any outdoor space used by children at the education and care service premises is enclosed by a fence or barrier that is of a height and design that children preschool age or under cannot go through, over or under it.
Penalty: $2000.
(2) This regulation does not apply to a centre‑based service that primarily provides education and care to children over preschool age.
(3) This regulation does not apply in respect of a family day care residence or a family day care venue if all the children being educated and cared for at that residence or venue as part of a family day care service are over preschool age.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
The approved provider of an education and care service must ensure that each child being educated and cared for by the education and care service has access to sufficient furniture, materials and developmentally appropriate equipment suitable for the education and care of that child.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
(1) The approved provider of an education and care service must ensure that the service has —
(a) laundry facilities or access to laundry facilities; or
(b) other arrangements for dealing with soiled clothing, nappies and linen, including hygienic facilities for storage prior to their disposal or laundering —
that are adequate and appropriate for the needs of the service.
(2) The approved provider of the service must ensure that laundry and hygienic facilities are located and maintained in a way that does not pose a risk to children.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1) or (2).
(1) This regulation does not apply in respect of a family day care residence.
(2) The approved provider of an education and care service must ensure that, for each child being educated and cared for by the service, the education and care service premises has at least 3·25 square metres of unencumbered indoor space.
Penalty: $2000.
(3) In calculating the area of unencumbered indoor space —
(a) the following areas are to be excluded —
(i) any passageway or thoroughfare (including door swings);
(ii) any toilet and hygiene facilities;
(iii) any nappy changing area or area for preparing bottles;
(iv) any area permanently set aside for the use or storage of cots;
(v) any area permanently set aside for storage;
(vi) any area or room for staff or administration;
(vii) any other space that is not suitable for children;
(b) the area of a kitchen is to be excluded, unless the kitchen is primarily to be used by children as part of an educational program provided by the service.
(4) The area of a verandah may be included in calculating the area of indoor space only with the written approval of the Regulatory Authority.
(5) A verandah that is included in calculating the area of outdoor space cannot be included in calculating the area of indoor space.
(6) In this regulation a reference to a child does not include —
(a) a child being educated or cared for in an emergency in the circumstances set out in regulation 123(5); or
(b) an additional child being educated or cared for in exceptional circumstances as set out in regulation 124(5) and (6).
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (2).
(1) This regulation does not apply in respect of a family day care residence.
(2) The approved provider of an education and care service must ensure that, for each child being educated and cared for by the service, the education and care service premises has at least 7 square metres of unencumbered outdoor space.
Penalty: $2000.
(3) In calculating the area of unencumbered outdoor space required, the following areas are to be excluded —
(a) any pathway or thoroughfare, except where used by children as part of the education and care program;
(b) any car parking area;
(c) any storage shed or other storage area;
(d) any other space that is not suitable for children.
(4) A verandah that is included in calculating the area of indoor space cannot be included in calculating the area of outdoor space.
(5) An area of unencumbered indoor space may be included in calculating the outdoor space of a service that provides education and care to children over preschool age if —
(a) the Regulatory Authority has given written approval; and
(b) that indoor space has not been included in calculating the indoor space under regulation 107.
(6) In this regulation a reference to a child does not include —
(a) a child being educated or cared for in an emergency in the circumstances set out in regulation 123(5); or
(b) an additional child being educated or cared for in exceptional circumstances as set out in regulation 124(5) and (6).
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (2).
The approved provider of an education and care service must ensure that —
(a) adequate, developmentally and age‑appropriate toilet, washing and drying facilities are provided for use by children being educated and cared for by the service; and
(b) the location and design of the toilet, washing and drying facilities enable safe use and convenient access by the children.
The approved provider of an education and care service must ensure that the indoor spaces used by children at the education and care service premises —
(a) are well ventilated; and
(b) have adequate natural light; and
(c) are maintained at a temperature that ensures the safety and wellbeing of children.
Penalty: $2000.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
The approved provider of a centre‑based service must ensure that an adequate area or areas are available at the education and care service premises for the purposes of —
(a) conducting the administrative functions of the service; and
(b) consulting with family members of children; and
(c) conducting private conversations.
Notes for this regulation:
1. A compliance direction may be issued for failure to comply with this regulation.
2. This regulation differs from regulation 111 of the national regulations made by the Ministerial Council.
(1) This regulation applies if a centre‑based service educates and cares for children who wear nappies.
(2) The approved provider of the service must ensure that adequate and appropriate hygienic facilities are provided for nappy changing.
(3) Without limiting subregulation (2), the approved provider of the service must ensure that the following are provided —
(a) if any of the children are under 3 years of age, at least 1 properly constructed nappy changing bench; and
(b) hand cleansing facilities for adults in the immediate vicinity of the nappy change area.
Penalty: $1100.
(4) The approved provider of the service must ensure that nappy change facilities are designed, located and maintained in a way that prevents unsupervised access by children.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (3).
The approved provider of a centre‑based service must ensure that the outdoor spaces provided at the education and care service premises allow children to explore and experience the natural environment.
Example for this regulation:
The use of natural features such as trees, sand and natural vegetation.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
The approved provider of a centre‑based service must ensure that outdoor spaces provided at the education and care service premises include adequate shaded areas to protect children from overexposure to ultraviolet radiation from the sun.
Penalty: $1100.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
The approved provider of a centre‑based service must ensure that the education and care service premises (including toilets and nappy change facilities) are designed and maintained in a way that facilitates supervision of children at all times that they are being educated and cared for by the service, having regard to the need to maintain the rights and dignity of the children.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
(1) The approved provider of a family day care service must conduct an assessment (including a risk assessment) of each proposed residence and each proposed family day care venue of the service before education and care is provided to children at the residence or venue as part of the service to ensure that the health, safety and wellbeing of children who are educated and cared for by the service are protected.
Penalty: $2000.
(1A) Subregulation (1) does not apply in respect of an approved family day care venue if an assessment (including a risk assessment) of the family day care venue was included in —
(a) an application for a service approval under regulation 26(n)(iii); or
(b) an application to amend a service approval under regulation 34(f)(iii).
(1B) The approved provider of a family day care service must conduct an assessment (including a risk assessment) of each residence and each approved family day care venue of the service at least annually to ensure that the health, safety and wellbeing of children who are educated and cared for by the service are protected.
Penalty: $2000.
(2) The following matters must be considered as part of an assessment —
(a) the matters relating to family day care services in Division 1 and regulation 117;
(b) the suitability of the residence (and areas within the residence) or venue according to the number, ages and abilities of children attending, or likely to attend, the service at the residence or venue;
(ba) if the residence or venue is located in a multi‑storey building shared with other occupants, for each storey on which the residence or venue is located, whether there is direct egress to an assembly area to allow the safe evacuation of all children attending the residence or venue, including non‑ambulatory children;
(c) the suitability of nappy change arrangements for children attending, or likely to attend, the service at the residence or venue, who wear nappies;
(d) the existence of any water hazards, water features or swimming pool at or near the residence or venue;
(e) the risk posed by any animals at the residence or venue.
(3) The approved provider of a family day care service must require each family day care educator educating and caring for children at a residence or approved family day care venue as part of the service to advise the provider of —
(a) any proposed renovations to the residence or venue; and
(b) any changes relating to the residence or venue affecting any of the matters set out in subregulation (2); and
(c) any other changes to the residence or venue that will affect the education and care provided to children at the service.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
Notes for this regulation:
1. Regulation 116A of the national regulations made by the Ministerial Council does not apply as a law of WA.
2. For a provision reflecting regulation 116A of the national regulations made by the Ministerial Council see regulation 373E.
Notes for this regulation:
1. Regulation 116B of the national regulations made by the Ministerial Council does not apply as a law of WA.
2. For a provision reflecting regulation 116B of the national regulations made by the Ministerial Council see regulation 373E.
Note for this regulation:
Regulation 116C of the national regulations made by the Ministerial Council does not apply as a law of WA.
(1) The approved provider of a family day care service must ensure that any glazed area of a residence or approved family day care venue of the service complies with subregulation (2) if the area —
(a) is accessible to children; and
(b) either —
(i) is 1 metre or less above floor level; or
(ii) if the residence or family day care venue was approved before 1 December 2014, is 0·75 metres or less above floor level.
(2) The glazed area must be —
(a) glazed with safety glass, if the Building Code of Australia requires this; or
(b) in any other case —
(i) treated with a product that prevents glass from shattering if broken; or
(ii) guarded by barriers that prevent a child from striking or falling against the glass.
Notes for this regulation:
1. A compliance direction may be issued for failure to comply with this regulation.
2. This regulation differs from regulation 117 of the national regulations made by the Ministerial Council.
For the purposes of the definition of a
(a) the person is placed in day‑to‑day charge by the approved provider or a nominated supervisor of the education and care service; and
(b) the person consents to the placement in writing.
(1) An approved provider or a nominated supervisor of an education and care service must not place a person in day‑to‑day charge unless —
(a) the person has attained the age of 18 years; and
(b) the approved provider or nominated supervisor (as the case requires) —
(i) has had regard to the matters set out in subregulation (2); and
(ii) has taken reasonable steps to ensure that the person has adequate knowledge and understanding of the provision of education and care to children and an ability to effectively supervise and manage an education and care service.
(2) For the purposes of subregulation (1)(b)(i), the matters are —
(a) the person’s history of compliance with —
(i) the Law as applying in any participating jurisdiction; and
(ii) a former education and care services law of a participating jurisdiction; and
(iii) a children’s services law of a participating jurisdiction; and
(iv) an education law of a participating jurisdiction;
and
(b) any decision under the Law to refuse, refuse to renew, suspend, or cancel a licence, approval, registration, certification or other authorisation granted to the person under —
(i) the Law as applying in any participating jurisdiction; and
(ii) a former education and care services law of a participating jurisdiction; and
(iii) a children’s services law of a participating jurisdiction; and
(iv) an education law of a participating jurisdiction.
(1) For the purposes of section 161A of the Law, the prescribed minimum requirements for nomination of a person as a nominated supervisor of an education and care service are that the person must —
(a) have attained the age of 18 years; and
(b) have adequate knowledge and understanding of the provision of education and care to children; and
(c) have the ability to effectively supervise and manage an education and care service.
(2) In determining whether to nominate a person as a nominated supervisor, an approved provider of an education and care service must have regard to the following matters —
(a) the history of the person’s compliance with —
(i) the Law as applying in any participating jurisdiction; and
(ii) a former education and care services law of a participating jurisdiction; and
(iii) a children’s services law of a participating jurisdiction; and
(iv) an education law of a participating jurisdiction;
(b) any decision under the Law to refuse, refuse to renew, suspend, or cancel a licence, approval, registration, certification or other authorisation granted to the person under —
(i) the Law as applying in any participating jurisdiction; and
(ii) a former education and care services law of a participating jurisdiction; and
(iii) a children’s services law of a participating jurisdiction; and
(iv) an education law of a participating jurisdiction.
The approved provider of an education and care service must designate, in writing, a suitably qualified and experienced educator, co‑ordinator or other individual as educational leader at the service to lead the development and implementation of educational programs in the service.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
The approved provider of a family day care service must ensure that any family day care educator and any family day care educator assistant engaged by or registered with the service has attained the age of 18 years.
Penalty: $1100.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
The approved provider of a centre‑based service must ensure that any educator at the service who is under 18 years of age —
(a) does not work alone at the service; and
(b) is adequately supervised at all times by an educator who has attained the age of 18 years.
Penalty: $1100.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
(1) This Division prescribes the minimum number of educators required to educate and care for children at an education and care service for the purposes of section 169(1) and (3) of the Law.
(2) Division 4 sets out the minimum qualifications for educators and Division 5 sets out how many educators are to be early childhood teachers.
Note for this regulation:
Chapter 7 contains provisions that affect the operation of this Division in relation to particular jurisdictions.
(1) An educator cannot be included in calculating the educator to child ratio of a centre‑based service unless the educator is working directly with children at the service.
(2) In this regulation, a reference to an educator includes an early childhood teacher or a suitably qualified person who is counted as an educator under regulation 123(3).
(1A) In this regulation —
Examples for this subregulation:
1. A child is determined to be in need of protection under a child protection order.
2. The parent of a child needs urgent health care that prevents them caring for the child.
(1) The minimum number of educators required to educate and care for children at a centre‑based service is to be calculated in accordance with the following ratios —
(a) for children from birth to 24 months of age — 1 educator to 4 children;
(b) for children over 24 months and less than 36 months of age — 1 educator to 5 children;
(c) for children aged 36 months of age or over (not including children over preschool age) —
(i) for all participating jurisdictions other than Western Australia — 1 educator to 11 children;
(ii) for Western Australia — 1 educator to 10 children;
(d) for children over preschool age, the ratio set out in regulation 369.
(2A) Despite regulation 122, if an educator at a centre‑based service is not working directly with children, that educator is counted as an educator at the service for the purposes of this regulation if —
(a) the educator is present on the premises of the service; and
(b) the educator is available immediately to provide education and care to the children at the service if required; and
(c) the period of time during which the educator is not working with children is not more than 30 minutes in a day.
(2) If children being educated and cared for at a centre‑based service are of mixed ages the minimum number of educators for the children must meet the requirements of subregulation (1) at all times.
(3) If an early childhood teacher or a suitably qualified person is required under Division 5 to be in attendance at a centre‑based service, subject to regulation 122 that early childhood teacher or suitably qualified person is counted as an educator at the service for the purposes of this regulation.
(4) If a centre‑based service is required under regulation 130 or 131 to have access to an early childhood teacher for a period, subject to regulation 122 that teacher is counted as an educator at the service for the purposes of this regulation.
(5) In subregulations (1) and (2) a reference to children does not include a child who is, or 2 or more children from the same family who are, educated and cared for at a centre‑based service in an emergency for a period of not more than 2 consecutive days on which the service operates.
(6) An approved provider of a centre‑based service must not permit an additional child or additional children to be educated and cared for at the service in an emergency in the circumstances set out in subregulation (5) unless the approved provider is satisfied on reasonable grounds that this will not affect the health, safety and wellbeing of all the children attending the service.
(7) Despite subregulations (1) and (2), for the purposes of determining the minimum number of educators required under this regulation, a child of a certain age is to be treated as up to 6 months older or 6 months younger than the child’s actual age if —
(a) the approved provider or, if the approved provider is not an individual, the nominated supervisor, of the service —
(i) is satisfied on reasonable grounds that it is developmentally appropriate for the child to be so treated; and
(ii) makes and keeps a record of that decision;
and
(b) a parent of the child has agreed with that decision and has signed the record of the decision to indicate that agreement.
Notes for this regulation:
1. This regulation differs from regulation 123 of the national regulations made by the Ministerial Council.
2. For other WA specific provisions, see regulation 372.
(1) For the purposes of section 163(1) of the Law, if a family day care service has provided education and care to children for less than 12 months, the prescribed minimum number of qualified persons employed or engaged as family day care co‑ordinators of the family day care service is 1 full‑time equivalent family day care co‑ordinator for every 15 family day care educators (or part of that number).
Examples for this subregulation:
1. If between 1 and 15 family day care educators are engaged by or registered with the family day care service, a full‑time equivalent family day care co‑ordinator is employed or engaged by the approved provider.
2. If between 16 and 30 family day care educators are engaged by or registered with the family day care service, 2 full‑time equivalent family day care co‑ordinators are employed or engaged by the approved provider.
(2) For the purposes of section 163(1) of the Law, if a family day care service has provided education and care to children for 12 months or more, the prescribed minimum number of qualified persons employed or engaged as family day care co‑ordinators of the family day care service is to be calculated in accordance with the following ratios —
(a) if the number of family day care educators engaged by or registered with the service is not more than 25 — 1 full‑time equivalent family day care co‑ordinator;
(b) if the number of family day care educators engaged by or registered with the service exceeds 25 — an additional 0.2 full‑time equivalent family day care co‑ordinator for every additional 5 family day care educators (or part of that number).
Examples for this subregulation:
1. If between 1 and 25 family day care educators are engaged by or registered with the family day care service, a full‑time equivalent family day care co‑ordinator is employed or engaged by the approved provider.
2. If between 26 and 30 family day care educators are engaged by or registered with the family day care service, a full‑time equivalent family day care co‑ordinator is employed or engaged by the approved provider and a 0.2 full‑time equivalent family day care co‑ordinator is also employed or engaged.
3. If between 31 and 35 family day care educators are engaged by or registered with the family day care service, a full‑time equivalent family day care co‑ordinator is employed or engaged by the approved provider and a 0.4 full‑time equivalent family day care co‑ordinator is also employed or engaged.
(1) A family day care educator must not educate and care for more than 7 children at a family day care residence or approved family day care venue at any one time.
(2) In determining the number of children who can be educated and cared for by a family day care educator for the purposes of subregulation (1) —
(a) no more than 4 can be children who are 4 years of age or under on 30 June of the current calendar year; and
(b) if the children are being educated and cared for at a residence, the educator’s own children and any other children at the residence are to be taken into account if —
(i) those children are under 13 years of age; and
(ii) there is no other adult present and caring for the children.
(3) No more than 7 children can be educated and cared for as part of a family day care service at a family day care residence or an approved family day care venue at any one time.
(4) Subregulation (3) does not apply to children visiting a family day care residence or an approved family day care venue as part of an excursion.
Note for this subregulation:
A visiting family day care educator must do a risk assessment for the excursion under regulation 100.
(5) Despite subregulations (1) to (4), the approved provider of a family day care service may approve, in writing, a family day care educator to educate and care for more than 7 children, or more than 4 children who are 4 years of age or under on 30 June of the current calendar year, at any one time, in exceptional circumstances.
(6) For the purposes of subregulation (5), exceptional circumstances exist if —
(a) all the children being educated and cared for by the family day care educator are siblings in the same family; or
(b) a child to be educated and cared for is determined to be in need of protection under a child protection law and the family day care educator is determined to be the best person to educate and care for the child; or
(c) the family day care residence or approved family day care venue is in a rural or remote area and no alternative education and care service is available.
This Division prescribes the educational qualifications required for —
(a) educators educating and caring for children at education and care services for the purposes of section 169(2) and (4) of the Law; and
(b) family day care co‑ordinators for the purposes of sections 55A and 163 of the Law.
Note for this regulation:
Chapter 7 contains provisions that affect the operation of this Division in relation to particular jurisdictions.
(1) The qualification requirements for educators at a centre‑based service educating and caring for children preschool age or under are as follows —
(a) at least 50% of the educators who are required to meet the relevant educator to child ratios for the service must hold, or be actively working towards, at least an approved diploma level education and care qualification; and
(b) all other educators who are required to meet the relevant educator to child ratios for the service must hold, or be actively working towards, at least an approved certificate III level education and care qualification.
(1A) The qualification requirements in subregulation (1)(b) do not apply to an educator if the educator has been employed by an approved provider on a probationary basis for not more than 3 months, at one or more centre‑based services operated by the approved provider.
(1B) Subregulation (1A) does not apply in relation to New South Wales.
(2) The qualification requirements for educators at a centre‑based service educating and caring for children over preschool age in a jurisdiction are the qualification requirements (if any) set out in Chapter 7 for that jurisdiction.
(3) If Division 5 requires an early childhood teacher to be in attendance at a centre‑based service, that teacher, or a person taken to be an early childhood teacher under regulation 135(1), is to be counted as meeting the requirements of subregulation (1)(a).
(4) If Division 5 requires a second early childhood teacher or a suitably qualified person to be in attendance at a centre‑based service, that person, or a person taken to be a second early childhood teacher or a suitably qualified person under regulation 135(2), is to be counted as meeting the requirements of subregulation (1)(a).
Notes for this regulation:
1. Meaning of
actively working towards — see regulation 10.2. An early childhood teacher or suitably qualified person can be included in determining the number of educators who hold an approved diploma level education and care qualification if the teacher or suitably qualified person is working directly with children.
(1A) In this regulation —
(a) an approved certificate III level education and care qualification; or
(b) an approved diploma level education and care qualification; or
(c) an approved early childhood teaching qualification.
(1) This regulation applies if an educator referred to in regulation 126(1)(a) or (b) is absent from a centre‑based service in any of the following circumstances —
(a) short‑term illness;
(b) the educator’s resignation;
(c) a practicum placement required to be undertaken by the educator for an approved education and care qualification;
(d) leave.
(2) During the educator’s absence, for the purposes of regulation 126(1)(a) or (b), a person who holds a qualification in primary teaching may be taken to hold an approved diploma level education and care qualification or an approved certificate III level education and care qualification (as the case requires).
(3) An educator may be replaced in accordance with subregulations (1) and (2) for a maximum of 30 days in any 12 month period.
(4) For the purposes of subregulation (3), in relation to a part‑time educator, 30 days is to be calculated on a pro rata basis.
A family day care educator must hold at least an approved certificate III level education and care qualification.
Note for this regulation:
This regulation differs from regulation 127 of the national regulations made by the Ministerial Council.
A family day care co‑ordinator must hold an approved diploma level education and care qualification.
(1) This Division prescribes requirements for access to or attendance of educators who are early childhood teachers at a centre‑based service for the purposes of section 169 of the Law.
Note for this subregulation:
Chapter 7 contains provisions that affect the operation of this Division in relation to particular jurisdictions.
(2) This Division does not apply to a centre‑based service if the main purpose of that service is to provide education and care to children over preschool age.
(3) In this Division a reference to a number of children being educated or cared for by a centre‑based service does not include a child being educated or cared for in an emergency in the circumstances set out in regulation 123(5).
(1) If the approved number of places for children preschool age or under at a centre‑based service is fewer than 25, the service must have access to an early childhood teacher working with the service for at least 20% of the time that the service provides education and care.
(2) To comply with subregulation (1), the early childhood teacher may be working with the service by means of information communication technology.
(3) For the purposes of this regulation the period that an early childhood teacher works with a centre‑based service may be calculated on a quarterly basis.
(1) This regulation applies if the approved number of places for children preschool age or under at a centre‑based service is 25 or more but the service is educating or caring for fewer than 25 children.
(2) The service must comply with regulation 130 during any period that it educates and cares for fewer than 25 children.
Note for this subregulation:
Regulation 132 applies if the centre‑based service provides education and care to 25 or more but less than 60 children preschool age or under.
(3) Any period that an early childhood teacher is in attendance at the service in compliance with regulation 132 may be counted towards the period of access to an early childhood teacher required by subregulation (2).
(1) If a centre‑based service provides education and care to 25 or more but less than 60 children preschool age or under on a given day, an early childhood teacher must be in attendance at the service —
(a) for at least 6 hours on that day, if the service operates for 50 or more hours a week; or
(b) for 60% of the operating hours of the service on that day, if the service operates for less than 50 hours a week.
(2) A centre‑based service is not required to comply with subregulation (1) if —
(a) the approved number of places for children preschool age or under at the service is 25 or more but less than 60; and
(b) the service employs or engages a full‑time or full‑time equivalent early childhood teacher at the service.
133. Requirement for early childhood teacher – centre‑based services — 60 to 80 children (1) If a centre‑based service provides education and care to 60 or more but not more than 80 children preschool age or under on a given day —
(a) an early childhood teacher must be in attendance at the service —
(i) for at least 6 hours on that day, if the service operates for 50 or more hours a week; or
(ii) for 60% of the operating hours of the service on that day, if the service operates for less than 50 hours a week;
and
(b) a second early childhood teacher or a suitably qualified person must be in attendance at the service —
(i) for at least 3 hours on that day, if the service operates for 50 or more hours a week; or
(ii) for 30% of the operating hours of the service on that day, if the service operates for less than 50 hours a week.
(2) A centre‑based service is not required to comply with subregulation (1) if —
(a) the approved number of places for children preschool age or under at the service is 60 or more but not more than 80; and
(b) the service employs or engages —
(i) a full‑time or full‑time equivalent early childhood teacher at the service; and
(ii) a second early childhood teacher or a suitably qualified person for half of the full‑time or full‑time equivalent hours at the service.
(1) If a centre‑based service provides education and care to more than 80 children preschool age or under on a given day —
(a) an early childhood teacher must be in attendance at the service —
(i) for at least 6 hours on that day, if the service operates for 50 or more hours a week; or
(ii) for 60% of the operating hours of the service on that day, if the service operates for less than 50 hours a week;
and
(b) a second early childhood teacher or a suitably qualified person must be in attendance at the service —
(i) for at least 6 hours on that day, if the service operates for 50 or more hours a week; or
(ii) for 60% of the operating hours of the service on that day, if the service operates for less than 50 hours a week.
(2) A centre‑based service is not required to comply with subregulation (1) if —
(a) the approved number of places for children preschool age or under at a centre‑based service is more than 80; and
(b) the service employs or engages —
(i) a full‑time or full‑time equivalent early childhood teacher at the service; and
(ii) a second full‑time or full‑time equivalent early childhood teacher or suitably qualified person.
(1A) In this regulation —
(a) an approved certificate III level education and care qualification; or
(b) an approved diploma level education and care qualification; or
(c) an approved early childhood teaching qualification.
(1) If an early childhood teacher who is required under regulation 132(1), 133(1)(a) or 134(1)(a) to be in attendance at a centre‑based service is absent from the centre‑based service because of a circumstance specified in subregulation (6), the following persons may be taken to be an early childhood teacher during that absence —
(a) in any case —
(i) a person who holds an approved diploma level education and care qualification; or
(ii) a person who holds a qualification in primary teaching;
and
(b) in the case of an early childhood teacher who is required to be in attendance under regulation 133(1)(a) or 134(1)(a), a suitably qualified person.
(2) If a second early childhood teacher or a suitably qualified person who is required under regulation 133(1)(b) or 134(1)(b) to be in attendance at a centre‑based service is absent from the centre‑based service because of a circumstance specified in subregulation (6), the following persons may be taken for the purposes of regulation 133(1)(b) or 134(1)(b) to be a second early childhood teacher or suitably qualified person during that absence —
(a) a person who holds an approved diploma level education and care qualification;
(b) a person who holds a qualification in primary teaching.
(3) An early childhood teacher required to be in attendance under regulation 132(1), 133(1)(a) or 134(1)(a) may be replaced in accordance with subregulation (1) for a maximum of 60 days in any 12 month period.
(4) A second early childhood teacher or a suitably qualified person required to be in attendance under regulation 133(1)(b) or 134(1)(b) may be replaced in accordance with subregulation (2) for a maximum of 60 days in any 12 month period.
(5) For the purposes of subregulations (3) and (4), in relation to a part‑time early childhood teacher, part‑time second early childhood teacher or part‑time suitably qualified person (as the case requires), 60 days is to be calculated on a pro rata basis.
(6) For the purposes of subregulations (1) and (2), the following circumstances are specified —
(a) short‑term illness;
(b) the resignation of the early childhood teacher, the second early childhood teacher or the suitably qualified person (as the case may be);
(c) a practicum placement required to be undertaken by the early childhood teacher or the second early childhood teacher (as the case may be) for an approved education and care qualification;
(d) a practicum placement required to be undertaken by the suitably qualified person for an approved education and care qualification;
(e) leave.
(1) The approved provider of a centre‑based service must ensure that each of the following persons are in attendance at any place where children are being educated and cared for by the service, and immediately available in an emergency, at all times that children are being educated and cared for by the service —
(a) at least one staff member or one nominated supervisor of the service who holds a current approved first aid qualification;
(b) at least one staff member or one nominated supervisor of the service who has undertaken current approved anaphylaxis management training;
(c) at least one staff member or one nominated supervisor of the service who has undertaken current approved emergency asthma management training.
Penalty: $2000.
(2) If children are being educated and cared for at service premises on the site of a school, it is sufficient for the purposes of subregulation (1) if the following are in attendance at the school site and immediately available in an emergency—
(a) for the purposes of subregulation (1)(a), at least one staff member of the school who holds a current approved first aid qualification;
(b) for the purposes of subregulation (1)(b), at least one staff member of the school who has undertaken current approved anaphylaxis management training;
(c) for the purposes of subregulation (1)(c), at least one staff member of the school who has undertaken current approved emergency asthma management training.
(3) The approved provider of a family day care service must ensure that each family day care educator and family day care educator assistant engaged by or registered with the service —
(a) holds a current approved first aid qualification; and
(b) has undertaken current approved anaphylaxis management training; and
(c) has undertaken current approved emergency asthma management training.
Penalty: $2000.
(4) The same person may hold one or more of the qualifications set out in subregulation (1).
(4A) For the purposes of this regulation and regulation 153 —
(a) an approved first aid qualification is taken to be current if —
(i) in the case of emergency life support training and cardio‑pulmonary resuscitation training that forms part of the approved first aid qualification — the training was completed within the previous year; and
(ii) in the case of any other training that forms part of the approved first aid qualification — the training was completed within the previous 3 years;
and
(b) approved anaphylaxis management training is taken to be current if the training was completed within the previous 3 years; and
(c) approved emergency asthma management training is taken to be current if the training was completed within the previous 3 years.
(5) In this regulation —
(a) includes training in the following that relates to and is appropriate to children —
(i) emergency life support and cardio‑pulmonary resuscitation;
(ii) convulsions;
(iii) poisoning;
(iv) respiratory difficulties;
(v) management of severe bleeding;
(vi) injury and basic wound care;
(vii) administration of an auto‑immune adrenalin device;
and
(b) has been approved by the National Authority in accordance with Division 7.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The National Authority must publish on its website lists of qualifications it has approved for the purposes of the Law including —
(a) a list of approved early childhood teaching qualifications; and
(b) a list of approved diploma level education and care qualifications; and
(c) a list of approved certificate III level education and care qualifications; and
(d) a list of approved qualifications for suitably qualified persons; and
(e) a list of approved first aid qualifications and anaphylaxis management and emergency asthma management training.
(2) The National Authority must also publish on its website lists of qualifications it has approved for the purposes of Chapter 7 including —
(a) a list of former qualifications approved as any of the following —
(i) early childhood teaching qualifications;
(ii) diploma level education and care qualifications;
(iii) certificate III level education and care qualifications;
and
(b) for Queensland, a list of former qualifications approved as either of the following —
(i) diploma level education and care qualifications;
(ii) certificate III level education and care qualifications;
and
(c) a list of qualifications for working with children over preschool age for each participating jurisdiction; and
(d) a list of qualifications and former qualifications for family day care co-ordinators in Queensland.
(3) The National Authority may publish on its website qualifications and training that it has approved as equivalent to an approved qualification or training for the purposes of the Law.
(4) The National Authority may publish on its website the following for the purposes of the definition of
actively working towards a qualification —(a) units of approved certificate III level education and care qualifications;
(b) the percentage of total units required for completion of an approved early childhood teaching qualification.
(1) A person may apply to the National Authority to assess a qualification for the purpose of approving that qualification under the Law.
(2) The application must include —
(a) a detailed outline of the course of study for the qualification, including details of any supervised practicum placements and the length of the course; and
(b) the relevant fee calculated in accordance with Part 6.3.
(1) An application for a determination of an equivalent qualification under section 169(7) of the Law must —
(a) include the information set out in regulations 140, 141(1), 142 and 143; and
(b) be accompanied by the relevant fee calculated in accordance with Part 6.3.
(2) The application must also include —
(a) a statutory declaration by the applicant that the information provided in the application is true and correct; and
(b) the applicant’s consent to verification by the National Authority of the information provided in the application; and
(c) any other information that the National Authority declares in guidelines is required with the application.
(3) The National Authority may accept other evidence (including by statutory declaration) of information required to be included in the application if the certified copies of that information required by regulations 142 and 143 cannot be provided.
(4) An applicant must provide any additional information about the application and documents that the National Authority reasonably requires.
The following information is required for an application for a determination of an equivalent qualification —
(a) the applicant’s full name;
(b) the applicant’s contact details;
(c) the applicant’s gender;
(d) the applicant’s date of birth;
(e) if the applicant is currently engaged with or employed by an education and care service, the following information —
(i) the name and address of the service;
(ii) the position the applicant is currently working in;
(iii) the length of time the applicant has been with the service;
(f) if the applicant is not an Australian citizen, the applicant’s visa or residency status in Australia (or both);
(g) in relation to the qualification for which the applicant seeks a determination —
(i) the name of the qualification; and
(ii) the full name and location (city, state and country) of the educational institution that awarded the qualification; and
(iii) if the applicant studied for the qualification at an educational institution different to the institution that awarded the qualification, the full name and location (city, state and country) of that institution; and
(iv) the years the applicant commenced and completed study for the qualification; and
(v) whether the study for the qualification was completed on a full‑time or part‑time basis (or both); and
(vi) the length of study required to complete the qualification on a full‑time basis; and
(vii) a summary of the major areas of study in the qualification, including the areas of study that relate to early childhood years and a description of how they are so related;
(h) details of any other course or study undertaken by the applicant that was a prerequisite for admission to study for the qualification or formed a credit towards the qualification (for example, a relevant course undertaken during secondary or vocational schooling);
(i) primary documentation (or a statutory declaration if primary documentation is not available) of any supervised practicum placements undertaken during study for the qualification, including the following details —
(i) the name and location of the practicum centre;
(ii) the duration of the placement;
(iii) the setting of the placement, including (where practicable) the ages of children worked with during the placement;
(iv) the ages of children at the placement;
(v) the year the placement was completed;
(vi) evidence of the successful completion of the placement;
(j) a summary of the applicant’s education, other than the qualification that is to be determined, including —
(i) the age, grade levels and years the applicant started and completed —
(A) secondary schooling; and
(B) any relevant tertiary education; and
(C) any relevant vocational schooling;
and
(ii) the full name and location (city, state and country) of each educational institution attended by the applicant for secondary schooling and any relevant tertiary and vocational schooling.
(1) The following documents must also be provided with an application for determination of an equivalent qualification —
(a) a certified copy of the applicant’s qualifications, including —
(i) the qualification to be determined; and
(ii) any other qualifications that were a prerequisite for, or formed a credit towards completion of, the qualification that is to be determined;
(b) a certified copy of the transcript of academic record of the applicant for —
(i) the qualification that is to be determined; and
(ii) the applicant’s primary and secondary schooling (where it is practicable to do so); and
(iii) any other relevant tertiary education; and
(iv) any other relevant vocational schooling; and
(v) any other course that was a prerequisite for, or formed a credit towards completion of, the qualification that is to be determined;
[(c) deleted] (d) proof of the applicant’s identity;
(e) a certified copy of evidence of any name change of the applicant since the qualification was obtained.
(2) If the qualification was awarded, or the educational institution was attended, in a country other than Australia, the applicant must, at the request of the National Authority, give the National Authority a certification of the Australian Qualification Framework level of the qualification from —
(a) the Australian Education International National Office of Overseas Skills Recognition, located in the Department of Industry of the Commonwealth; or
(b) Trades Recognition Australia, located in the Department of Industry of the Commonwealth; or
(c) an overseas qualification unit, or other unit responsible for recognising overseas qualifications, of the State or Territory where the applicant resides.
Note for this regulation:
This regulation differs from regulation 141 of the national regulations made by the Ministerial Council.
Certified copies of Australian Government or other official translations of the documents referred to in regulations 140 and 141 are required if the originals are in a language other than English (in addition to the copies of the originals).
The documents set out in regulations 140 and 141 that are required to be provided with the application or otherwise to the National Authority must be certified as a copy of the original by —
(a) the institution that originally issued the documents; or
(b) a justice of the peace; or
(c) a person authorised under the legislation of the participating jurisdiction to witness or take statutory declarations; or
(d) a person accredited as a translator who is employed by an Australian overseas diplomatic mission; or
(e) a person accredited as a translator and interpreter by the National Accreditation Authority for Translators and Interpreters Limited A.C.N. 008 596 996.
(1) An approved provider of a family day care service must not register or engage a person as a family day care educator unless the approved provider —
(a) has had regard to the matters set out in subregulation (2); and
(b) has taken reasonable steps to ensure that the person has adequate knowledge and understanding of the provision of education and care to children.
Penalty: $2 000.
(2) For the purposes of subregulation (1)(a), the matters are —
(a) the person’s history of compliance with —
(i) the Law as applying in any participating jurisdiction; and
(ii) a former education and care services law of a participating jurisdiction; and
(iii) a children’s services law of a participating jurisdiction; and
(iv) an education law of a participating jurisdiction;
and
(b) any decision under the Law to refuse, refuse to renew, suspend, or cancel a licence, approval, registration, certification or other authorisation granted to the person under —
(i) the Law as applying in any participating jurisdiction; and
(ii) a former education and care services law of a participating jurisdiction; and
(iii) a children’s services law of a participating jurisdiction; and
(iv) an education law of a participating jurisdiction.
An approved provider of a family day care service must take reasonable steps to ensure that —
(a) each family day care educator engaged by or registered with the service maintains an adequate knowledge and understanding of the provision of education and care to children; and
(b) any serious incident that occurs while a child is being educated and cared for by a family day care educator as part of the service is adequately addressed; and
(c) any complaints alleging that the Law has been contravened or that a serious incident has occurred or is occurring while a child was or is being educated and cared for by a family day care educator are adequately addressed.
Penalty: $2 000.
(1) For the purposes of section 164A(1) and (2) of the Law, a person other than a family day care educator may educate and care for a child as part of a family day care service if —
(a) the person is a family day care educator assistant approved under subregulation (2); and
(b) the person provides education and care in the circumstances set out in subregulation (4).
(2) An approved provider of a family day care service may approve a person as a family day care educator assistant to assist a family day care educator in providing education and care to children as part of the family day care service.
(3) An approved provider must not approve a person under subregulation (2) unless the family day care educator provides the written consent of a parent of each child being educated and cared for by the educator to the use of the family day care educator assistant in the circumstances set out in subregulation (4).
(4) An approved family day care educator assistant may assist the family day care educator —
(a) in the absence of the family day care educator, to transport or escort a child between the family day care residence or approved family day care venue and —
(i) a school; or
(ii) another education and care service or children’s service; or
(iii) the child’s home;
or
(b) in the absence of the family day care educator, in emergency situations, including when the educator requires urgent medical care or treatment; or
(c) in the absence of the family day care educator, to enable the educator to attend an appointment (other than a regular appointment) in unforeseen or exceptional circumstances, if —
(i) the absence is for less than 4 hours; and
(ii) the approved provider of the family day care service has approved that absence; and
(iii) notice of that absence has been given to the parents of the child;
or
(d) while the educator is educating and caring for children as part of the family day care service.
(1) The approved provider of a centre‑based service must ensure that a staff record is kept for that service in accordance with this Division.
(2) The staff record must include —
(a) the information about nominated supervisors set out in regulation 146; and
(b) the information about staff members set out in regulation 147; and
(c) the information about the educational leader set out in regulation 148; and
(d) the information about volunteers set out in regulation 149(1).
Note for this regulation:
Other records are also required to be kept by the approved provider under this Division.
The staff record must include the following information in relation to each nominated supervisor —
(a) the full name, address and date of birth of the nominated supervisor;
(b) evidence —
(i) of any relevant qualifications held by the supervisor; or
(ii) if applicable, that the nominated supervisor is actively working towards that qualification as provided under regulation 10;
(c) evidence of any approved training (including first aid training) completed by the nominated supervisor;
(d) if the education and care service is located in a jurisdiction with a working with children law or a working with vulnerable people law, a record of the identifying number of the current check conducted under that law and the expiry date of that check, if applicable, unless paragraph (e) applies;
(e) if the nominated supervisor is a teacher registered under an education law of a participating jurisdiction and has provided proof of that registration, a record of the identifying number of the teacher registration and the expiry date of that registration;
(f) in relation to Tasmania, a record of the identifying number of the nominated supervisor’s current working with vulnerable people registration and the expiry date of that registration.
The staff record must include the following information in relation to staff members —
(a) the full name, address and date of birth of the staff member;
(b) evidence —
(i) of any relevant qualifications held by the staff member; or
(ii) if applicable, that the staff member is actively working towards that qualification as provided under regulation 10;
(c) evidence of any approved training (including first aid training) completed by the staff member;
(d) if the education and care service is located in a jurisdiction with a working with children law or a working with vulnerable people law, a record of the identifying number of the current check conducted under that law and the expiry date of that check, if applicable, unless paragraph (e) applies;
(e) except in the case of New South Wales, Queensland and Tasmania, if the staff member has provided proof of the staff member’s current teacher registration under an education law of a participating jurisdiction, a record of the identifying number of the teacher registration and the expiry date of that registration;
(f) in relation to Tasmania, a record of the identifying number of the nominated supervisor’s current working with vulnerable people registration and the expiry date of that registration.
The staff record must include the name of the person designated as the educational leader in accordance with regulation 118.
(1) The staff record must include the following information in relation to each student or volunteer who participates in the centre‑based service —
(a) the full name, address and date of birth of the student or volunteer;
(b) if the centre‑based service is located within a jurisdiction with a working with children law or a working with vulnerable people law and the student or volunteer is required or permitted to obtain a working with children check under that law — a record of the identifying number of the student’s or volunteer’s current working with children check conducted under that law and the expiry date of that check, unless paragraph (c) applies;
(c) except in the case of New South Wales, Queensland, South Australia and Tasmania, if the student or volunteer has provided proof of their current teacher registration under an education law of a participating jurisdiction — a record of the identifying number of the teacher registration and the expiry date of that registration.
(2) The approved provider of a centre‑based service must also keep a record for each day on which the student or volunteer participates in the service, the date and the hours of participation.
The staff record must include the name of the responsible person at the centre‑based service for each time that children are being educated and cared for by the service.
The approved provider of a centre‑based service must keep a record of educators working directly with children that includes the following information —
(a) the name of each educator who works directly with children being educated and cared for by the service;
(b) the hours that each educator works directly with children being educated and cared for by the service.
Example for this regulation:
The record could be a staff roster or staff time sheet.
(1) The approved provider of a centre‑based service that provides education and care to fewer than 25 children preschool age or under must ensure that a record is kept of the following —
(a) the period that an early childhood teacher is working with the service in accordance with regulation 130 or 131(2); and
(b) the periods that the early childhood teacher is working directly with children and is not working directly with children.
(2) The approved provider of a centre‑based service that provides education and care to 25 or more but not more than 59 children preschool age or under must ensure that a record is kept of the period that an early childhood teacher is in attendance at the service.
(3) The approved provider of a centre‑based service that provides education and care to 60 or more children preschool age or under must ensure that a record is kept of the period that each early childhood teacher and each suitably qualified person is in attendance at the service.
The approved provider of a centre‑based service must keep a record of an educator who is replaced in accordance with regulation 126A that includes the following information —
(a) the full name of the educator;
(b) the qualification that the educator who is replaced holds, or is actively working towards, for the purposes of regulation 126;
(c) the qualification of the person who replaced the educator;
(d) the dates on which the educator was replaced;
(e) the reason for the educator’s absence.
Note for this regulation:
See regulation 126A(1) for the circumstances in which an educator may be absent from a centre‑based service.
The approved provider of a centre‑based service must keep a record of an early childhood teacher or a suitably qualified person who is replaced in accordance with regulation 135(1) or (2) that includes the following information —
(a) the full name of the early childhood teacher or the suitably qualified person;
(b) whether the person who is replaced is an early childhood teacher or suitably qualified person at the service;
(c) the qualification of the person who replaced the early childhood teacher or the suitably qualified person (as the case may be);
(d) the dates on which the early childhood teacher or the suitably qualified person was replaced;
(e) the reason for the early childhood teacher’s or the suitably qualified person’s absence.
Note for this regulation:
See regulation 135(6) for the circumstances in which an early childhood teacher or a suitably qualified person may be absent from a centre‑based service.
(1) For the purposes of section 269(1)(a) of the Law, the register must include the following information in relation to each family day care educator engaged by or registered with the service —
(a) the full name, address and date of birth of the educator;
(b) the contact details of the educator;
(c) the address of the residence or approved family day care venue where the educator will be providing education and care to children as part of the service, including a statement as to whether it is a residence or a venue;
(d) the date that the educator was engaged by, or registered with, the service;
(e) the date that the educator ceased to be engaged by or registered with the service (if applicable);
(f) the days and hours when the educator will usually be providing education and care to children as part of the service;
(g) if the educator is an approved provider, the number of the provider approval and the date the approval was granted;
[(h) deleted] (i) evidence —
(i) of any relevant qualifications held by the educator; or
(ii) if applicable, that the educator is actively working towards that qualification as provided under regulation 10;
(j) evidence that the educator holds a current approved first aid qualification;
(ja) evidence that the educator has undertaken —
(i) current approved anaphylaxis management training; and
(ii) current approved emergency asthma management training;
(k) evidence of any other training completed by the educator;
(l) a record of —
(i) if the service is located in a jurisdiction with a working with children law or a working with vulnerable people law, the identifying number of the current check conducted under that law and the expiry date of that check, if applicable, unless subparagraph (ii) applies; or
(ii) except in the case of a service located in New South Wales, Queensland or Tasmania, if the educator has provided proof of the educator’s current teacher registration under an education law of a participating jurisdiction, the identifying number of the teacher registration and the expiry date of that registration; or
(iii) in the case of a service located in Tasmania, the identifying number of the educator’s current working with vulnerable people registration and the expiry date of that registration (if applicable);
(la) in relation to a check or registration referred to in paragraph (l), the date that the check or registration was sighted by the approved provider or a nominated supervisor of the service;
(m) for each child educated and cared for by the educator as part of the family day care service —
(i) the child’s name and date of birth; and
(ii) the days and hours that the educator usually provides education and care to that child;
(ma) if regulation 124(5) applies, a record of an approval granted in relation to the educator that includes the following information —
(i) the nature of the exceptional circumstances described in regulation 124(6);
(ii) the date on which the approval was granted;
(iii) the name of the person who granted the approval;
(iv) for each child educated and cared for by the educator as part of the approval — the child’s name and date of birth;
(v) the period during which the educator is approved to educate and care for more than 7 children, or more than 4 children who are preschool age or under, at any one time, in exceptional circumstances;
(n) if the education and care is provided in a residence —
(i) the full names and dates of birth of all persons aged 18 years and over who normally reside at the family day care residence;
(ii) the full names and dates of birth of all children aged under 18 years who normally reside at the family day care residence;
(o) a record of —
(i) the identifying number of the current working with children check, current working with children card, current working with vulnerable people check or criminal history record check or current teacher registration of each person referred to in paragraph (n) who is required to provide the check, card, record or registration under regulation 163 and the date of expiry of that check, card or registration, if applicable; and
(ii) the date that the check, card, record or registration was sighted by the approved provider or a nominated supervisor of the service;
(p) evidence that the educator is adequately monitored and supported by a family day care co‑ordinator while the educator is providing education and care to children, including the following information —
(i) the dates and times of any visits by the co‑ordinator to the family day care residence or family day care venue for the purpose of monitoring or support;
(ii) the dates and times of any telephone calls between the co‑ordinator and the educator for the purpose of monitoring or support;
(iii) details of any correspondence or written materials provided to the educator by the co‑ordinator for the purpose of monitoring or support and the dates and times the correspondence or materials were provided to the educator.
(2) For the purposes of section 269(1)(b) of the Law, the register must include the following information in relation to each family day care co‑ordinator employed or engaged by the service —
(a) the full name, address and date of birth of the co‑ordinator;
(b) the contact details of the co‑ordinator;
(c) the date that the co‑ordinator was employed or engaged by the service;
(d) the date that the co‑ordinator ceased to be employed or engaged by the service (if applicable);
(e) if the co‑ordinator is an approved provider, the number of the provider approval and the date the approval was granted;
(f) evidence of any relevant qualifications held by the co‑ordinator;
(g) if the co‑ordinator will be providing education and care to children — evidence that the co‑ordinator holds a current approved first aid qualification;
(ga) if the co‑ordinator will be providing education and care to children, evidence that the co‑ordinator has undertaken —
(i) current approved anaphylaxis management training; and
(ii) current approved emergency asthma management training;
(h) evidence of any other training completed by the co‑ordinator;
(i) a record of —
(i) if the service is located in a jurisdiction with a working with children law or a working with vulnerable people law, the identifying number of the current check conducted under that law and the expiry date of that check, if applicable, unless subparagraph (ii) applies; or
(ii) except in the case of a service located in New South Wales, Queensland or Tasmania, if the co‑ordinator has provided proof of the co‑ordinator’s current teacher registration under an education law of a participating jurisdiction, the identifying number of the teacher registration and the expiry date of that registration; or
(iii) in the case of a service located in Tasmania, the identifying number of the co‑ordinator’s current working with vulnerable people registration and the expiry date of that registration (if applicable);
(j) in relation to a check or registration referred to in paragraph (i), the date that the check or registration was sighted by the approved provider or a nominated supervisor of the service.
(3) For the purposes of section 269(1)(c) of the Law, the register must include the following information in relation to each family day care educator assistant engaged by or registered with the service —
(a) the full name, address and date of birth of the educator assistant;
(b) the contact details of the educator assistant;
(c) the name of the family day care educator to be assisted by the educator assistant;
(d) the address of the residence or approved family day care venue where the educator assistant will be providing education and care to children as part of the service, including a statement as to whether it is a residence or a venue;
(e) the date that the educator assistant was engaged by or registered with the service;
(f) the date that the educator assistant ceased to be engaged by or registered with the service (if applicable);
(g) if the educator assistant is an approved provider, the number of the provider approval and the date the approval was granted;
(h) evidence of any relevant qualifications held by the educator assistant;
(i) evidence that the educator assistant holds a current approved first aid qualification;
(ia) evidence that the educator assistant has undertaken —
(i) current approved anaphylaxis management training; and
(ii) current approved emergency asthma management training;
(j) evidence of any other training completed by the educator assistant;
(k) a record of —
(i) if the service is located in a jurisdiction with a working with children law or a working with vulnerable people law, the identifying number of the current check conducted under that law and the expiry date of that check, if applicable, unless subparagraph (ii) applies; or
(ii) except in the case of a service located in New South Wales, Queensland or Tasmania, if the educator assistant has provided proof of the educator assistant’s current teacher registration under an education law of a participating jurisdiction, the identifying number of the teacher registration and the expiry date of that registration; or
(iii) in the case of a service located in Tasmania, the identifying number of the educator assistant’s current working with vulnerable people registration and the expiry date of that registration (if applicable);
(l) in relation to a check or registration referred to in paragraph (k), the date that the check or registration was sighted by the approved provider or a nominated supervisor of the service.
(4) Information held on the register in relation to a family day care educator, a family day care co‑ordinator or a family day care educator assistant must be kept on the register until the end of 3 years after the date on which the family day care educator, the family day care co‑ordinator or the family day care educator assistant ceased to be employed or engaged by or registered with the service.
Note for this regulation:
See regulation 136(4A) in relation to how an approved first aid qualification, approved anaphylaxis management training or approved emergency asthma management training is taken to be current.
The approved provider of a family day care service must keep a record of staff (other than family day care educators, family day care co‑ordinators or family day care educator assistants) engaged or employed by the service and of family day care educator assistants approved by the service that includes —
(a) the name of the person currently designated as the educational leader in accordance with regulation 118; and
(b) in relation to a nominated supervisor, the information set out in regulation 146; and
(c) in relation to each other staff member of the family day care service, the information set out in regulation 147; and
(d) in relation to volunteers and students, the information set out in regulation 149.
[(e) deleted]
An approved provider must take reasonable steps to ensure that the education and care service provides education and care to children in a way that —
(a) encourages the children to express themselves and their opinions; and
(b) allows the children to undertake experiences that develop self‑reliance and self‑esteem; and
(c) maintains at all times the dignity and rights of each child; and
(d) gives each child positive guidance and encouragement toward acceptable behaviour; and
(e) has regard to the family and cultural values, age, and physical and intellectual development and abilities of each child being educated and cared for by the service.
(1) The approved provider of an education and care service must take reasonable steps to ensure that the service provides children being educated and cared for by the service with opportunities to interact and develop respectful and positive relationships with each other and with staff members of, and volunteers at, the service.
(2) For the purposes of subregulation (1), the approved provider must have regard to the size and the composition of the groups in which children are being educated and cared for by the service.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The approved provider of an education and care service must ensure that a parent of a child being educated and cared for by the service may enter the education and care service premises at any time that the child is being educated and cared for by the service.
Penalty: $1100.
(2) A nominated supervisor of an education and care service must ensure that a parent of a child being educated and cared for by the service may enter the education and care service premises at any time that the child is being educated and cared for by the service.
Penalty: $1100.
(3) A family day care educator must not prevent a parent of a child being educated and cared for by the educator as part of a family day care service from entering the family day care residence or approved family day care venue at any time that the child is being educated and cared for by the educator.
Penalty: $1100.
(4) Despite subregulations (1) to (3), the approved provider, nominated supervisor or family day care educator is not required to allow a parent to enter the education and care service premises if —
(a) permitting the parent’s entry would —
(i) pose a risk to the safety of the children and staff of the education and care service; or
(ii) conflict with any duty of the provider, supervisor or educator under the Law;
or
(b) the provider, supervisor or family day care educator reasonably believes that permitting the parent’s entry would contravene a court order.
Notes for this regulation:
1. A compliance direction may be issued for failure to comply with subregulation (1).
2. Other regulations also relate to collaboration with families including requirements to give information about educational programs to parents, for parents to provide enrolment information, for information to be provided or displayed to parents and for administration areas to have adequate space for consulting with parents.
(1) The approved provider of an education and care service must ensure that a record of attendance is kept for the service that —
(a) records the full name of each child attending the service; and
(b) records the date and time each child arrives and departs; and
(c) is signed by one of the following persons at the time that the child arrives and departs —
(i) the person who delivers the child to the education and care service premises or collects the child from the education and care service premises;
(ii) a nominated supervisor or an educator.
(2) A preschool program provided by a school is not required to comply with subregulation (1) if it keeps attendance records in accordance with the education law, or Government education department policy, of the participating jurisdiction.
A family day care educator must keep a record of attendance that —
(a) records the full name of each child being educated and cared for at the family day care residence or approved family day care venue; and
(b) records the date and time each child arrives and departs; and
(c) is signed by one of the following persons at the time that the child arrives and departs —
(i) the person who delivers the child to the family day care residence or venue or collects the child from the family day care residence or venue;
(ii) if the signature of the person who delivers the child cannot reasonably be obtained — the family day care educator.
160. Child enrolment records to be kept by approved provider and family day care educator
(1) The approved provider of an education and care service must ensure that an enrolment record is kept that includes the information set out in subregulation (3) for each child enrolled at the education and care service.
(2) A family day care educator must keep an enrolment record that includes the information set out in subregulation (3) for each child educated and cared for by the educator.
(3) An enrolment record must include the following information for each child —
(a) the full name, date of birth and address of the child;
(b) the name, address and contact details of —
(i) each known parent of the child; and
(ii) any person who is to be notified of an emergency involving the child if any parent of the child cannot be immediately contacted; and
(iii) any person who is an authorised nominee; and
Note: Authorised nominee means a person who has been given permission by a parent or family member to collect the child from the education and care service or the family day care educator. See section 170(5) of the Law.(iv) any person who is authorised to consent to medical treatment of, or to authorise administration of medication to, the child; and
(v) any person who is authorised to authorise an educator to take the child outside the education and care service premises; and
(vi) any person who is authorised to authorise the education and care service to transport the child or arrange transportation of the child;
(c) details of any court orders, parenting orders or parenting plans provided to the approved provider relating to powers, duties, responsibilities or authorities of any person in relation to the child or access to the child;
(d) details of any other court orders provided to the approved provider relating to the child’s residence or the child’s contact with a parent or other person;
(e) the gender of the child;
(f) the language used in the child’s home;
(g) the cultural background of the child and, if applicable, the child’s parents or any other family members;
(h) any special considerations for the child, for example any cultural, religious or dietary requirements or additional needs;
(i) the relevant authorisations set out in regulation 161;
(j) the relevant health information set out in regulation 162.
(4) In this regulation —
Note for this regulation:
This regulation differs from regulation 160 of the national regulations made by the Ministerial Council.
(1) The authorisations to be kept in the enrolment record for each child enrolled at an education and care service are —
(a) an authorisation, signed by a parent or a person named in the enrolment record as authorised to consent to the medical treatment of the child, for the approved provider, a nominated supervisor or an educator to seek —
(i) medical treatment for the child from a registered medical practitioner, hospital or ambulance service; and
(ii) transportation of the child by an ambulance service;
and
(b) if relevant, an authorisation given under regulation 102 for the education and care service to take the child on regular outings; and
(c) if relevant, an authorisation given under regulation 102D(4) for regular transportation of the child.
(2) The authorisations to be kept in the enrolment record for each child educated and cared for by a family day care educator are —
(a) an authorisation, signed by a parent or a person named in the enrolment record as authorised to consent to the medical treatment of the child, for the family day care educator to seek —
(i) medical treatment for the child from a registered medical practitioner, hospital or ambulance service; and
(ii) transportation of the child by an ambulance service;
and
(b) if relevant, an authorisation given under regulation 102 for the family day care educator to take the child on regular outings; and
(c) if relevant, an authorisation given under regulation 102D(4) for regular transportation of the child.
The health information to be kept in the enrolment record for each child enrolled at the education and care service is —
(a) the name, address and telephone number of the child’s registered medical practitioner or medical service; and
(b) if available, the child’s Medicare number; and
(c) details of any —
(i) specific healthcare needs of the child, including any medical condition; and
(ii) allergies, including whether the child has been diagnosed as at risk of anaphylaxis;
and
(d) any medical management plan, anaphylaxis medical management plan or risk minimisation plan to be followed with respect to a specific healthcare need, medical condition or allergy referred to in paragraph (c); and
(e) details of any dietary restrictions for the child; and
(f) the immunisation status of the child; and
(g) if the approved provider or a staff member or family day care educator has sighted a child health record for the child, a notation to that effect; and
(h) in relation to New South Wales, certificates for immunisation or exemption for the child, as required under section 87(1), (2) and (3) of the
Public Health Act 2010 of New South Wales; and(i) in relation to Victoria, in the case of an education and care service specified in paragraph (a) of the definition of
early childhood service in section 3(1) of thePublic Health and Wellbeing Act 2008 of Victoria —(i) an immunisation status certificate within the meaning of section 147 of the
Public Health and Wellbeing Act 2008 of Victoria that is issued in relation to the child and that is provided under section 143B of thePublic Health and Wellbeing Act 2008 of Victoria; or(ii) details of any exemption in relation to the child under section 143C of the
Public Health and Wellbeing Act 2008 of Victoria.
(1) The approved provider of a family day care service must take reasonable steps to ensure that a person aged 18 years or over who resides at a family day care residence is a fit and proper person to be in the company of children.
Penalty: $2000.
(2) The approved provider of a family day care service must take reasonable steps to ensure that a person who is a family day care educator assistant at a family day care residence or approved family day care venue is a fit and proper person to be in the company of children.
Penalty: $2000.
(3) To comply with subregulation (1) or (2), the approved provider must assess each person in accordance with subregulation (4).
(4) Except in the case of New South Wales, Queensland, Tasmania or Victoria, the approved provider must consider one of the following in respect of the person —
(a) a criminal history record check issued not more than 6 months before it is considered;
(b) a current working with children check, working with children card or working with vulnerable people check issued on the basis of a criminal history record check;
(c) a current teacher registration.
(4A) In New South Wales or Queensland, the approved provider must consider the person’s current working with children check or working with children card.
(4B) In Victoria, the approved provider must consider the person’s current working with children check or current teacher registration.
(4C) In Tasmania, the approved provider must consider the person’s current working with vulnerable people registration.
(5) For the purposes of subregulation (4)(b), if a person who does not hold a working with children check or working with children card —
(a) attains the age of 18 years; and
(b) has applied for a working with children check or working with children card —
the person is taken to hold the check or card until the application is determined.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1) or (2).
(1) The approved provider of a family day care service must require each family day care educator to notify the provider of —
(a) any new person aged 18 years or over who resides, or intends to reside, at the educator’s family day care residence; and
(b) any circumstance relating to a person who resides, or intends to reside, at the educator’s family day care residence that may affect whether the person is a fit and proper person to be in the company of children.
Penalty: $2000.
(2) The family day care educator must notify the approved provider of —
(a) any new person aged 18 years or over who resides, or intends to reside, at the educator’s family day care residence; and
(b) any circumstance relating to a person who resides, or intends to reside, at the educator’s family day care residence that may affect whether the person is a fit and proper person to be in the company of children.
Penalty: $2000.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(3) For the purposes of subregulations (1)(b) and (2)(b), a circumstance that may affect whether a person is a fit and proper person to be in the company of children includes any of the following —
(a) the person is charged with or convicted of any of the following —
(i) an offence of a sexual nature;
(ii) an offence of a violent nature;
(iii) an offence involving drugs;
(iv) an offence involving a weapon;
(b) the rejection of the person’s application for any of the following, or the revocation or suspension of any of the following held by the person —
(i) a working with vulnerable people check;
(ii) a working with vulnerable people registration;
(iii) a working with children check;
(iv) a working with children card;
(c) the person is prohibited from working with children.
(4) A person who provides notification under subregulation (1)(b) or (2)(b) is not required to provide specific details of the circumstance that they consider may affect whether a person is a fit and proper person to be in the company of children.
(1) An approved provider of a family day care service must take all reasonable steps to ensure that a record is kept of all visitors to a family day care residence or approved family day care venue while children are being educated and cared for at the residence or venue as part of that service.
(2) A family day care educator must keep a record of all visitors to a family day care residence or approved family day care venue while children are being educated and cared for by the educator at the residence or venue as part of a family day care service.
(3) The record of visitors must include the signature of the visitor and the time of the visitor’s arrival and departure.
(1) An approved provider of a family day care service must take all reasonable steps to ensure that a child being educated and cared for at a family day care residence or approved family day care venue as part of the service is not left alone with a visitor to the residence or venue.
Penalty: $2000.
(2) A family day care educator must not leave a child being educated and cared for by the educator at a family day care residence or approved family day care venue as part of a family day care service with a visitor to the residence or venue.
Penalty: $2000.
(1) Subject to subregulations (2) and (3), the record of the service’s compliance must include the following information —
(a) details of any amendment of the service approval made by the Regulatory Authority under section 55 of the Law, including —
(i) the reason stated by the Regulatory Authority for the amendment;
(ii) the date on which the amendment took, or takes, effect;
(iii) the date (if any) that the amendment ceases to have effect;
(b) details of any suspension of the service approval (other than a voluntary suspension), including —
(i) the reason stated by the Regulatory Authority for the suspension;
(ii) the date on which the suspension took, or takes, effect;
(iii) the date that the suspension ends;
(c) details of any compliance direction or compliance notice issued to the approved provider in respect of the service, including —
(i) the reason stated by the Regulatory Authority for issuing the direction or notice;
(ii) the steps specified in the direction or notice;
(iii) the date by which the steps specified must be taken.
(2) The information set out in subregulation (1) must not include any information that identifies any person other than the approved provider.
(3) Subregulation (1) does not include an amendment, suspension, compliance notice or compliance direction if —
(a) the period for seeking internal or external review under section 191 or 193 of the Law has not yet expired; or
(b) an application for internal or external review under section 191 or 193 of the Law has been made but not yet determined; or
(c) an application for internal or external review under section 191 or 193 of the Law has been determined, and the amendment, suspension, compliance notice or compliance direction was not confirmed.
Division 2 – Policies and procedures
(1) The approved provider of an education and care service must ensure that the service has in place policies and procedures in relation to the matters set out in subregulation (2).
Penalty: $1100.
Note for this subregulation:
These may include policies and procedures prepared by the approved provider in accordance with an education law of the participating jurisdiction.
(2) Policies and procedures are required in relation to the following —
(a) health and safety, including matters relating to —
(i) nutrition, food and beverages, dietary requirements; and
(ii) sun protection; and
(iii) water safety, including safety during any water‑based activities; and
(iv) the administration of first aid; and
(v) sleep and rest for children, including the matters set out in regulation 84B;
(b) incident, injury, trauma and illness procedures complying with regulation 85;
(c) dealing with infectious diseases, including procedures complying with regulation 88;
(d) dealing with medical conditions in children, including the matters set out in regulation 90;
(e) emergency and evacuation, including the matters set out in regulation 97;
(f) delivery of children to, and collection of children from, education and care service premises, including procedures complying with —
(i) for all participating jurisdictions other than Western Australia — regulation 99; and
(ii) for Western Australia —section 165A of the Law as applying in Western Australia;
(g) excursions, including procedures complying with regulations 100 to 102;
(ga) if the service transports or arranges transportation of children other than as part of excursions, transportation including procedures complying with Chapter 4 Part 4.2 Division 7;
(gb) the safe arrival of children who travel between an education and care service and any other education or early childhood service within the meaning of regulation 102AA, including the matters set out in regulation 102AAB;
(h) providing a child safe environment, including matters relating to the promotion of a culture of child safety and wellbeing within the service;
(ha) the safe use of digital technologies and online environments at the service, including —
(i) the taking, use, storage and destruction of images and videos of children being educated and cared for by the service; and
(ii) obtaining authorisation from parents to take, use and store images and videos of children being educated and cared for by the service; and
(iii) the use of any optical surveillance device at the service; and
Example for this subparagraph:
The use of closed‑circuit television.
(iv) the use of any digital device issued by the service; and
(v) the use of digital devices by children being educated and cared for by the service;
(i) staffing, including —
(i) a code of conduct for staff members; and
(ii) determining the responsible person present at the service; and
(iii) the participation of volunteers and students on practicum placements;
(j) interactions with children, including the matters set out in regulations 155 and 156;
(k) enrolment and orientation;
(l) governance and management of the service, including confidentiality of records;
(m) the acceptance and refusal of authorisations;
(n) payment of fees and provision of a statement of fees charged by the education and care service;
(o) dealing with complaints, including matters relating to —
(i) the provision of a complaint handling system at the service that is child focused; and
(ii) the management of a complaint that alleges a child is exhibiting harmful sexual behaviours.
Notes for this regulation:
1. A compliance direction may be issued for failure to comply with subregulation (1).
2. This regulation differs from regulation 168 of the national regulations made by the Ministerial Council.
(1) In addition to the policies and procedures set out in regulation 168, the approved provider of a family day care service must ensure that the family day care service has in place policies and procedures in relation to the matters set out in subregulation (2).
Penalty: $1100.
(2) Policies and procedures are required in relation to the following —
(a) assessment of proposed family day care venues and proposed family day care residences and reassessment of approved family day care venues and family day care residences, including matters to meet the requirements of regulation 116;
(b) engagement or registration of family day care educators;
(c) keeping of a register of family day care educators, family day care co-ordinators and family day care educator assistants under regulation 153;
(d) monitoring, support and supervision of family day care educators, including how the service will manage educators at remote locations;
(e) assessment of family day care educators, family day care educator assistants and persons residing at family day care residences, including the matters required under regulation 163;
(f) visitors to family day care residences and venues while education and care is being provided to children as part of a family day care service;
(g) the provision of information, assistance and training to family day care educators;
(h) the engagement or registration of family day care educator assistants.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1).
(1) The approved provider of a centre‑based service must take reasonable steps to ensure that nominated supervisors and staff members of, and volunteers at, the service follow the policies and procedures required under regulation 168.
Penalty: $1100.
(2) The approved provider of a family day care service must take reasonable steps to ensure that nominated supervisors and staff members of, and family day care educators engaged by or registered with, the service follow the policies and procedures required under regulations 168 and 169.
Penalty: $1100.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1) or (2).
(1) The approved provider of an education and care service must ensure that copies of the current policies and procedures required under regulation 168 and, in the case of a family day care service, regulation 169 are readily accessible to nominated supervisors and staff members of, volunteers at, and family day care educators engaged by or registered with, the service.
Penalty: $1100.
(2) The approved provider of an education and care service must ensure that copies of the current policies and procedures required under regulation 168 and, in the case of a family day care service, regulation 169 are available for inspection at the education and care service premises at all times that the service is educating and caring for children or otherwise on request.
Penalty: $1100.
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1) or (2).
(1) Subject to subregulation (3), the approved provider of an education and care service must ensure that parents of children enrolled at the service are notified at least 14 days before making any change to a policy or procedure referred to in regulation 168 or 169 that may have a significant impact on —
(a) the service’s provision of education and care to any child enrolled at the service; or
(b) the family’s ability to utilise the service.
(2) The approved provider of an education and care service must ensure that parents of children enrolled at the service are notified at least 14 days before making any change that will affect the fees charged or the way in which fees are collected.
(3) If the approved provider considers that the notice period would pose a risk to the safety, health or wellbeing of any child enrolled at the service, the approved provider must ensure that parents of children enrolled at the service are notified as soon as practicable after making a change referred to in subregulation (1).
Note for this regulation:
A compliance direction may be issued for failure to comply with subregulation (1)(b).
(1) For the purposes of section 172 of the Law, the following information is prescribed in respect of the matters in paragraphs (a) to (e) of that section —
(a) in relation to the provider approval —
(i) the name of the approved provider;
(ii) the provider approval number;
(iii) any conditions on the provider approval;
(b) in relation to the service approval —
(i) the name of the education and care service;
(ii) the service approval number;
(iii) any conditions on the service approval;
(c) the name of each nominated supervisor;
(d) in relation to the rating of the service —
(i) the current rating levels for each quality area stated in the National Quality Standard; and
(ii) the overall rating of the service;
(e) in relation to any service waivers or temporary waivers held by the service, the details of the waivers including —
(i) the regulations that have been waived; and
(ii) the duration of the waiver; and
(iii) whether the waiver is a service waiver or a temporary waiver.
(2) For the purposes of section 172(f) of the Law, the following matters and information are prescribed —
(a) the hours and days of operation of the education and care service;
(b) the name and telephone number of the person at the education and care service to whom complaints may be addressed;
(c) in the case of a centre‑based service, the name and position of the responsible person in charge of the education and care service at any given time;
(d) the name of the educational leader at the service;
(e) the contact details of the Regulatory Authority;
(f) if applicable —
(i) in the case of a centre‑based service, a notice stating that a child who has been diagnosed as at risk of anaphylaxis is enrolled at the service; or
(ii) in the case of a family day care residence or approved family day care venue, a notice stating that a child who has been diagnosed as at risk of anaphylaxis —
(A) is enrolled at the family day care service; and
(B) attends the family day care residence or family day care venue;
(g) if applicable —
(i) in the case of a centre‑based service, a notice stating that there has been an occurrence of an infectious disease at the premises; or
(ii) in the case of a family day care residence or approved family day care venue, a notice stating that there has been an occurrence of an infectious disease at the family day care residence or family day care venue.
(3) An approved provider of an education and care service must display information specified in subregulation (1)(d) by displaying 1 or both of the following certificates —
(a) the certificate issued to the approved provider by or on behalf of the Regulatory Authority about —
(i) the current rating levels for each quality area stated in the National Quality Standard; and
(ii) the overall rating of the service;
(b) if the National Authority has given the service the highest rating level — the certificate about the overall rating of the service issued to the approved provider by the National Authority.
Penalty: $2000.
(1) For the purposes of section 173(4) of the Law, a notice must be provided within 14 days of the relevant event or within 14 days of the approved provider becoming aware of the relevant event.
(2) For the purposes of section 173(5) of the Law, a notice must be provided —
(aa) in the case of a notice under section 173(2)(e), at least 14 days before the change in the location of the principal office takes place; or
(a) in the case of a notice under section 173(2)(f), within the period referred to in section 59 of the Law;
(b) in any other case, within 7 days of the relevant event or within 7 days of the approved provider becoming aware of the relevant event.
A notice under section 173(2)(e) of the Law must be accompanied by a statement that the applicant has the right to occupy and use the premises as a principal office and any document evidencing this.
Example for this regulation:
A lease of the premises.
(1) For the purposes of section 174(1)(b) of the Law, the following matters are prescribed —
(a) any change to the address of the approved provider or the principal office of the approved provider, or the contact details of the approved provider;
(b) the appointment of receivers or liquidators or administrators to the approved provider or any other matters that affect the financial viability and ongoing operation of the education and care service.
(2) For the purposes of section 174(2)(c) of the Law, the following matters are prescribed —
(a) any change to the hours and days of operation of the education and care service;
(ab) in the case of a centre‑based service — any change to the ages of children being educated or cared for by the service;
(ac) in the case of a centre‑based service — any change to the nature of education and care offered by the service;
Example:
If a centre‑based service educates and cares for children over preschool age and the service proposes to offer education and care to children who are preschool age and under.
(b) any incident that requires the approved provider to close, or reduce the number of children attending, the education and care service for a period;
Example: A flood or a fire that requires an approved provider to close the education and care service premises (or part of those premises) while repairs are undertaken.
(c) any circumstance arising at the service that poses a risk to the health, safety or wellbeing of a child or children attending the service;
(ca) the attendance at the approved education and care service of any additional child or children being educated and cared for in an emergency in the circumstances set out in regulation 123(5), including —
(i) a description of the emergency; and
(ii) a statement by the approved provider that the approved provider had taken into account the safety, health and wellbeing of all the children attending the education and care service when deciding to provide education and care to the additional child or children;
(d) any incident where the approved provider reasonably believes that physical abuse or sexual abuse of a child or children has occurred or is occurring while the child is or the children are being educated and cared for by the education and care service;
(e) allegations that physical or sexual abuse of a child or children has occurred or is occurring while the child is or the children are being educated and cared for by the education and care service (other than an allegation that has been notified under section 174(2)(b) of the Law);
(f) for a centre‑based service that starts providing, or arranging for, regular transportation of children — the first time the service provides, or arranges for, the transportation of children;
(g) for a centre‑based service that stops providing, or arranging for, regular transportation of children — the final time the service provides, or arranges for, the transportation of children.
(1) For the purposes of section 174(3) of the Law, a notice must be provided within 7 days of the relevant event or within 7 days of the approved provider becoming aware of the relevant information.
(2) For the purposes of section 174(4) of the Law, a notice must be provided —
(a) in the case of a notice under section 174(2)(a) —
(i) in the case of the death of a child, as soon as practicable but within 24 hours of the death, or the time that the person becomes aware of the death; and
(ii) in the case of any other serious incident, within 24 hours of the incident or the time that the person becomes aware of the incident;
(b) in case of a notice under section 174(2)(b) or a notice of a matter referred to in regulation 175(2)(b), within 24 hours of the complaint or incident;
(ba) in the case of a notice under regulation 175(2)(ca), within 24 hours of the commencement of the attendance of the child or children at the education and care service;
(bb) in the case of a notice under regulation 175(2)(d), within 24 hours of the incident or within 24 hours of the approved provider becoming aware of the incident;
(bc) in the case of a notice under regulation 175(2)(e), within 24 hours of the allegation being made or within 24 hours of the approved provider becoming aware of the allegation;
(c) in any other case, within 7 days of the relevant event or within 7 days of the approved provider becoming aware of the relevant information.
(1) For the purposes of section 174A(c) of the Law, the following matters are prescribed —
(a) any circumstances arising at the family day care residence that may pose a risk to the health, safety and wellbeing of children attending or likely to attend the family day care residence;
(b) any circumstances arising at the approved family day care venue that may pose a risk to the health, safety and wellbeing of children attending or likely to attend the family day care venue.
(2) For the purposes of subregulation (1)(a) and (b), relevant circumstances include any of the following —
(a) any renovations or other changes to the residence or venue;
(b) an infectious disease outbreak at the residence or venue;
(c) a bushfire, flood or other natural disaster that may affect the residence or venue.
(1) For the purposes of section 175(1) of the Law, the following documents are prescribed in relation to each education and care service operated by the approved provider —
(a) the documentation of child assessments or evaluations for delivery of the educational program as set out in regulation 74;
(b) an incident, injury, trauma and illness record as set out in regulation 87;
(c) a medication record as set out in regulation 92;
(d) a record of assessments of family day care residences and approved family day care venues conducted under regulation 116;
(da) a record of a decision about a child, that affects educator to child ratios at a centre‑based service, made under regulation 123(7);
(e) in the case of a centre‑based service, a staff record as set out in regulation 145;
(f) a record of volunteers and students as set out in regulation 149;
(g) the records of the responsible person at the service as set out in regulation 150;
(h) in the case of a centre‑based service, a record of educators working directly with children as set out in regulation 151;
(i) a record of access to early childhood teachers as set out in regulation 152;
(j) in the case of a family day care service, a record of staff engaged or employed by the service kept under regulation 154;
(k) a children’s attendance record as set out in regulation 158;
(l) child enrolment records as set out in regulation 160;
(m) a record of the service’s compliance with the Law as set out in regulation 167;
(n) a record of each nominated supervisor and any person in day‑to‑day charge of the education and care service under section 162 of the Law;
(o) in the case of a centre‑based service, a record of children embarking a means of transport at the education and care service premises as set out in regulation 102E(4)(c);
(p) in the case of a centre‑based service, a record of children disembarking a means of transport at the education and care service premises as set out in regulation 102F(4)(d).
(2) The approved provider of the education and care service must take reasonable steps to ensure the documents referred to in subregulation (1) are accurate.
Penalty: $2000.
(3) Subject to Subdivision 4, the approved provider of the education and care service must ensure that —
(a) subject to subregulations (4) and (4A), the documents referred to in subregulation (1) in relation to a child enrolled at the service are made available to a parent of the child on request;
(b) the record of compliance referred to in subregulation (1)(m) is able to be accessed on request by any person.
Penalty: $2000.
(4) If a parent’s access to information of the kind in the documents referred to in subregulation (1) is limited by an order of a court, the approved provider must refer to the court order in relation to the release of information concerning the child to that parent.
(4A) Before disclosing to a parent of a child enrolled at the service any personal information relating to a person specified in subregulation (4B) that is contained in a document referred to in subregulation (1), the approved provider must obtain the written consent of the person to whom the personal information relates to the disclosure of that personal information.
(4B) The following persons are specified —
(a) a parent of a child enrolled at the service, if that person is not the parent making the request under subregulation (3)(a);
(b) a person who is required to be notified of an emergency involving a child enrolled at the service if a parent of the child cannot be immediately contacted;
(c) an authorised nominee of a child enrolled at the service;
(d) a person who is authorised to consent to medical treatment of, or to authorise administration of medication to, a child enrolled at the service;
(e) a person who is authorised to authorise an educator to take a child enrolled at the service outside the service premises;
(f) a person who is authorised to authorise the service to transport a child enrolled at the service or arrange transportation of a child enrolled at the service.
(4C) A person who has given their written consent under subregulation (4A) may withdraw their consent in writing at any time before the personal information is disclosed.
(5) An approved provider of a family day care service is not required to keep a document set out in subregulation (1) if an equivalent record is kept by a family day care educator under regulation 178.
(6) In this regulation —
Notes for this regulation:
1. A compliance direction may be issued for failure to comply with subregulation (2) or (3).
2. This regulation differs from regulation 177 of the national regulations made by the Ministerial Council.
3. See section 269(1) of the Law which requires the approved provider to keep a register of each family day care educator, each family day care co‑ordinator and each family day care educator assistant engaged, employed or registered to provide education and care to a child.
(1) For the purposes of section 175(3) of the Law, the following documents are prescribed in relation to each child educated and cared for by the family day care educator as part of a family day care service —
(a) the documentation of child assessments or evaluations for delivery of the educational program as set out in regulation 74;
(b) an incident, injury, trauma and illness record as set out in regulation 87;
(c) a medication record as set out in regulation 92;
(d) a children’s attendance record as set out in regulation 159;
(e) child enrolment records as set out in regulation 160;
(f) a record of visitors to the family day care residence or approved family day care venue as set out in regulation 165.
(2) The family day care educator must take reasonable steps to ensure the documents referred to in subregulation (1) are accurate.
Penalty: $2000.
(3) Subject to Subdivision 4 and subregulations (4) and (5), the family day care educator must ensure that the documents referred to in subregulation (1) in relation to a child enrolled at the service are made available to a parent of the child on request.
Penalty: $2000.
(4) If a parent’s access to information of the kind in the documents referred to in subregulation (1) is limited by an order of a court, the family day care educator must refer to the court order in relation to the release of information concerning the child to that parent.
(5) Before disclosing to a parent of a child enrolled at the service any personal information relating to a person specified in subregulation (6) that is contained in a document referred to in subregulation (1), the family day care educator must obtain the written consent of the person to whom the personal information relates to the disclosure of that personal information.
(6) The following persons are specified —
(a) a parent of a child enrolled at the service, if that person is not the parent making the request under subregulation (3);
(b) a person who is required to be notified of an emergency involving a child enrolled at the service if a parent of the child cannot be immediately contacted;
(c) an authorised nominee of a child enrolled at the service;
(d) a person who is authorised to consent to medical treatment of, or to authorise administration of medication to, a child enrolled at the service;
(e) a person who is authorised to authorise a family day care educator to take a child enrolled at the service outside the service premises;
(f) a person who is authorised to authorise the service to transport a child enrolled at the service or arrange transportation of a child enrolled at the service.
(7) A person who has given their written consent under subregulation (5) may withdraw their consent in writing at any time before the personal information is disclosed.
(8) In this regulation —
A family day care educator must provide all documents referred to in regulation 178(1) to the approved provider of the family day care service on ceasing to be engaged by or registered with the service.
(1) The approved provider of an education and care service must keep evidence of the current prescribed insurance at the education and care service premises, or in the case of a family day care service, at the principal office of the service, and must make the evidence available for inspection by the Regulatory Authority or an authorised officer under the Law.
(2) A family day care educator must keep evidence of the educator’s current public liability insurance at the family day care residence or family day care venue and must make the evidence available for inspection by the Regulatory Authority or an authorised officer under the Law.
(3) Subregulation (1) does not apply if the prescribed insurance for the education and care service is a policy of insurance or an indemnity provided by the Government of a State or Territory.
The approved provider of an education and care service must ensure that information kept in a record under these Regulations is not divulged or communicated, directly or indirectly, to another person other than —
(a) to the extent necessary for the education and care or medical treatment of the child to whom the information relates; or
(b) a parent of the child to whom the information relates in accordance with regulation 177 (except in the case of information kept in a staff record); or
(c) the Regulatory Authority or an authorised officer; or
(d) as expressly authorised, permitted or required to be given by or under any Act or law; or
(e) with the written consent of the person who provided the information.
Penalty: $2000.
A family day care educator must ensure that information kept in a record under these Regulations is not divulged or communicated, directly or indirectly, to another person other than —
(a) to the extent necessary for the education and care or medical treatment of the child to whom the information relates; or
(b) a parent of the child to whom the information relates in accordance with regulation 178; or
(c) the approved provider or a nominated supervisor of the family day care service; or
(d) the Regulatory Authority or an authorised officer; or
(e) as expressly authorised, permitted or required to be given by or under any Act or law; or
(f) with the written consent of the person who provided the information.
Penalty: $2000.
(1) The approved provider of an education and care service must ensure that records and documents set out in regulation 177 are stored —
(a) in a safe and secure place; and
(b) for the relevant period set out in subregulation (2).
(2) The records must be kept —
(a) if the record relates to an incident, illness, injury or trauma suffered by a child while being educated and cared for by the education and care service, until the child is aged 25 years;
(b) if the record relates to an incident, illness, injury or trauma suffered by a child that may have occurred following an incident while being educated and cared for by the education and care service, until the child is aged 25 years;
(c) if the record relates to the death of a child while being educated and cared for by the education and care service or that may have occurred as a result of an incident while being educated and cared for, until the end of 7 years after the death;
(d) in the case of any other record relating to a child enrolled at the education and care service, until the end of 3 years after the last date on which the child was educated and cared for by the service;
(e) if the record relates to the approved provider, until the end of 3 years after the last date on which the approved provider operated the education and care service;
(f) if the record relates to a nominated supervisor or staff member of an education and care service, until the end of 3 years after the last date on which the nominated supervisor or staff member provided education and care on behalf of the service;
(g) in case of any other record, until the end of 3 years after the date on which the record was made.
Note for this regulation:
A compliance direction may be issued for failure to comply with this regulation.
(1) Subject to subregulation (2), if a service approval is transferred under the Law, the transferring approved provider must transfer the documents referred to in regulation 177 relating to children currently enrolled with the service to the receiving approved provider on the date that the transfer takes effect.
(2) The transferring approved provider must not transfer the documents relating to a child under subregulation (1) unless a parent of the child has first consented to that transfer.
The approved provider of an education and care service must ensure that a copy of the Law and these Regulations is accessible at the education and care service premises at all times for use by nominated supervisors, staff members, volunteers, family members of children enrolled at the service and any person seeking to make use of the service.
Notes for this regulation:
1. A compliance direction may be issued for failure to comply with this regulation.
2. This regulation differs from regulation 185 of the national regulations made by the Ministerial Council.
This Chapter contains provisions relating to review, enforcement and compliance.
An application for internal review under section 191 of the Law must include the following information —
(a) the name of the applicant;
(b) contact details for the applicant, including an address for service of the decision;
(c) the provider approval number or service approval number to which the reviewable decision relates;
(d) the full name of the person to whom the provider approval or service approval was granted;
(e) a statement setting out —
(i) the details of the decision or the part of the decision with respect to which review is sought;
(ii) how the decision affects the applicant;
(iii) the grounds for seeking a review of the decision;
(f) any information that the applicant considers relevant to the review.
(1) For the purposes of section 196(1) of the Law, an identity card is in the prescribed form if it —
(a) states the full name of the authorised officer; and
(b) states that the officer is authorised under section 195 of the Law; and
(c) is issued by the Regulatory Authority which authorised the officer; and
(d) states the date of the officer’s authorisation.
(2) An identity card may contain a photograph of the authorised officer.
(3) If an identity card does not contain a photograph of the authorised officer, the authorised officer must carry the following and produce it when showing the identity card under the Law or these Regulations —
(a) another form of photographic identification of the authorised officer; and
(b) a letter from the Regulatory Authority authorising the use of that form of photographic identification.
Penalty: $1100.
The provisions of the regulations set out in Schedule 3 are prescribed for the purposes of section 176 of the Law.
For the purposes of section 186(3)(b) of the Law, the following information is prescribed —
(a) the applicant’s name;
(b) contact details for the applicant, including an address for service of the decision;
(c) a statement setting out the grounds for the application to cancel the prohibition notice.
Note for this regulation:
Section 186(4) and (5) of the Law set out additional statements that may be included in the application.
(1) The following offences against the regulations are prescribed for the purposes of section 291 of the Law —
(a) regulation 77(1), (2) and (3) (health, hygiene and safe food practices);
(b) regulation 80(1) (weekly menu);
(c) regulation 83(1), (2) and (3) (use of alcohol or drugs);
(ca) regulation 84D(1), (2) and (3) (prohibition of bassinets);
(d) regulation 86 (notification of incidents);
(e) regulation 88(1) (infectious diseases);
(f) regulation 89(1) and (2) (first aid kits);
(g) regulation 97(4) (display of emergency and evacuation plan);
(h) regulation 98 (telephone or communication equipment);
(i) regulation 104(1) (fencing);
(j) regulation 112(3) (nappy change facilities);
(k) regulation 177(2) and (3) (enrolment and other documents to be kept by approved provider);
(l) regulation 178(2) and (3) (enrolment and other documents to be kept by family day care educator);
(m) regulation 102E(2) and (3) (requirements in relation to children embarking a means of transport);
(n) regulation 102F(2) and (3) (requirements in relation to children disembarking a means of transport).
(2) For the purposes of section 291(4)(d) of the Law as applying in Western Australia —
(a) the persons referred to in section 291(1) of the Law who may serve an infringement notice are taken to be appointed as authorised officers for the purposes of the infringements law; and
(b) the Regulatory Authority may, in writing, appoint persons or classes of persons to be approved officers for the purposes of the infringements law; and
(c) unless a person who is taken under paragraph (a) to be appointed as an authorised officer is issued with an identity card under section 196(1) of the Law, the Regulatory Authority must issue to the person a certificate, badge or identity card identifying the person as a person authorised to issue infringement notices; and
(d) the forms set out in Schedule 4 are prescribed in relation to the matters specified in those forms.
Notes for this regulation:
1. This regulation differs from regulation 190 of the national regulations made by the Ministerial Council.
2. The infringements law for Western Australia is Part 2 of the
Criminal Procedure Act 2004 of Western Australia.
(1) A person must not give the National Authority under the Law any information or document that the person knows is false or misleading in a material particular.
Penalty: $2000.
(2) Subregulation (1) does not apply in respect of the giving of a document, if the person when giving the document —
(a) informs the National Authority, to the best of the person’s ability, how it is false or misleading; and
(b) gives the correct information to the National Authority if the person has, or can reasonably obtain, the correct information.
Chapter 6 – Administration
This Chapter contains provisions relating to administrative matters and applies in relation to all education and care services.
For the purposes of section 228(1)(c) of the Law, the following classes of bodies are prescribed —
(a) bodies involved in the development of approved education and care qualifications;
(b) bodies involved in the training of educators or of persons wishing to qualify as educators;
(c) bodies involved in setting standards for the education and care of children;
(d) bodies involved in the assessment of equivalence of overseas qualifications.
For the purposes of section 276(c) of the Law, money that is to be allocated, transferred or reimbursed from the Authority Fund to a participating jurisdiction is to be credited to a fund specified by the Regulatory Authority of the participating jurisdiction.
For the purposes of section 277 of the Law, the National Authority may invest the Authority Fund —
(a) on deposit with any bank; and
(b) in securities of the Commonwealth or of a State or Territory; and
(c) in securities guaranteed by the Commonwealth or a State or Territory; and
(d) in any other manner that —
(i) is consistent with sound commercial practice; and
(ii) minimises the probability of capital losses over a 12 month period of investment —
to enhance the capacity of the National Authority to discharge its liabilities, costs, expenses and obligations.
For the purposes of section 263 of the Law, this Division sets out the modifications of the Privacy Act as it applies as a law of a participating jurisdiction for the purposes of the National Quality Framework.
The Privacy Act applies as if it were modified —
(a) to provide that a reference to the Information Commissioner is taken to be a reference to the National Education and Care Services Privacy Commissioner; and
(b) to provide that a reference to the National Education and Care Services Privacy Commissioner is taken to be a reference to the person appointed to that office by the Ministerial Council with the remuneration, and on the terms and conditions, decided by the Council; and
(c) to provide that the National Education and Care Services Privacy Commissioner may only be removed from office by the Ministerial Council on the grounds of —
(i) misconduct; or
(ii) physical or mental incapacity that significantly impacts on the ability of the Commissioner to perform his or her functions; or
(iii) a finding of guilt for an offence committed in a participating jurisdiction or elsewhere that the Ministerial Council considers makes the Commissioner unfit to continue to hold office as Commissioner; or
(iv) a failure by the Commissioner to carry out his or her functions under the Law;
and
(d) so that the functions of the National Education and Care Services Privacy Commissioner did not include matters relating to the issuing of guidelines under Commonwealth legislation or matters relating to tax file numbers or credit reporting; and
(e) to provide that the National Education and Care Services Privacy Commissioner may, for the purposes of performing the Commissioner’s functions —
(i) employ staff; and
(ii) engage contractors or consultants; and
(iii) enter into arrangements with another entity relating to the provision of staff or other resources by that entity to the Commissioner;
and
(f) to provide that the National Education and Care Services Privacy Commissioner may, in writing, delegate to any member of the staff of the Office of the National Education and Care Services Privacy Commissioner or to any person employed under, and subject to the obligations in, a public sector law of a participating jurisdiction all or any of the Commissioner’s powers under the Privacy Act other than —
(i) the making of determinations for the purposes of section 52 of that Act; and
(ii) the submission of an annual report under section 95D of that Act as modified under regulation 198.
197. Modifications about financial matters
The Privacy Act applies as if it were modified to provide that the National Education and Care Services Privacy Commissioner is required to —
(a) ensure the Commissioner’s operations are carried out efficiently, effectively and economically; and
(b) keep proper books and records in relation to the funds held by the Commissioner; and
(c) ensure expenditure is made from the funds held by the Commissioner only for lawful purposes and, as far as possible, reasonable value is obtained for moneys expended from the funds; and
(d) ensure the Commissioner’s procedures, including internal control procedures, afford adequate safeguards with respect to —
(i) the correctness, regularity and propriety of payments made from the funds held by the Commissioner; and
(ii) receiving and accounting for payments made to the Commissioner; and
(iii) prevention of fraud or mistake;
and
(e) take any action necessary to ensure the preparation of accurate financial statements in accordance with Australian Accounting Standards for inclusion in the Commissioner’s annual report; and
(f) take any action necessary to facilitate the audit of the financial statements; and
(g) arrange for any further audit by a qualified person of records kept by the Commissioner in relation to the funds held by the Commissioner, if directed to do so by the Ministerial Council.
The Privacy Act applies as if after section 95C there were inserted —
“
(1) The National Education and Care Services Privacy Commissioner must submit, within 4 months after the end of each financial year, an annual report for the financial year to the Ministerial Council.
(2) The National Education and Care Services Privacy Commissioner is required to include in the annual report a financial statement for the period to which the report relates that —
(a) has been prepared in accordance with Australian Accounting Standards; and
(b) has been audited by a public sector auditor (within the meaning of section 279(6) of the Law).
(3) The National Education and Care Services Privacy Commissioner is required to include in the annual report a report about the performance of the Commissioner’s functions under the Privacy Act during the period to which the report relates.
(4) The Ministerial Council is to make arrangements for the tabling of the annual report in the Parliament of each participating jurisdiction and the Commonwealth.”.
The Privacy Act applies as if it were modified so that —
(a) it applies only to agencies; and
(b) the agencies it applies to are —
(i) the National Authority; and
(ii) each Regulatory Authority of a participating jurisdiction;
and
(c) a reference in the Act to the principal executive of an agency is taken to be a reference to —
(i) for the National Authority, the Chairperson of the Board of the National Authority; and
(ii) for a Regulatory Authority, the person nominated by the Regulatory Authority as the chief executive of the Regulatory Authority.
200. Modifications relating to determinations
The Privacy Act applies as if it were modified so that —
(a) the provisions of the Act providing for the disallowance of determinations made by the Commissioner do not apply; and
(b) sections 303 and 304 of the Law apply to a determination as if it is a regulation.
The Privacy Act applies —
(a) as if a reference to the Minister were a reference to a member of the Ministerial Council nominated by that Council; and
(b) as if a reference to the Governor‑General were a reference to the Ministerial Council; and
(c) as if a reference to the Parliament were a reference to the Parliaments of the Commonwealth and each participating jurisdiction; and
(d) as if a reference to the Commonwealth or the Government of the Commonwealth were a reference to a participating jurisdiction or the Government of a participating jurisdiction; and
(e) as if a reference to the Administrative Appeals Tribunal were a reference to a relevant administrative tribunal; and
(f) as if a reference to the Federal Court were a reference to the Supreme Court, or another court of competent jurisdiction, of a participating jurisdiction; and
(g) as if a reference to the Federal Magistrates Court were a reference to the Magistrates Court or Local Court of a participating jurisdiction; and
(h) as if a reference to the Ombudsman were a reference to the Education and Care Services Ombudsman; and
(i) as if a reference to a contracted service provider were a reference to a person who provides goods or services under a contract with the National Authority or a Regulatory Authority, or a subcontract for that contract; and
(j) as if a reference to a Commonwealth contract, a government contract or a State contract were a reference to a contract under which goods or services are to be, or were to be, provided to the National Authority or a Regulatory Authority; and
(k) as if references to arrangements or communications between a Minister of the Commonwealth and a Minister of a State included references to arrangements or communications between Ministers of States; and
(l) as if a requirement for a payment to be made by the Commonwealth were a requirement for a payment to be made by the National Authority from the Authority Fund; and
(m) as if it were modified so that the Commissioner’s power to authorise persons to enter premises occupied by an agency and inspect documents extends to a power to authorise any person the Commissioner considered appropriate; and
(n) as if it were modified so that the provisions providing for the establishment of a Privacy Advisory Committee do not apply; and
(o) as if it were modified so that the provisions relating to emergencies and disasters do not apply; and
(p) as if it were modified so that the provisions relating to transferring complaints to the Ombudsman do not apply to complaints made about a Regulatory Authority; and
(q) as if it were modified so that the provisions relating to the making of guidelines about medical research, health information and genetic information do not apply; and
(r) as if a reference to any other Commonwealth office holder or body were a reference to the equivalent office holder or body of a participating jurisdiction; and
(s) with any other modifications that are necessary for the effective administration of the Privacy Act for the purposes of the National Quality Framework.
For the purposes of regulation 201(e), a reference in the Privacy Act to a
(a) the ACT Civil and Administrative Tribunal established under the
ACT Civil and Administrative Tribunal Act 2008 of the ACT;(b) the Administrative Decisions Tribunal of New South Wales established under the
Administrative Decisions Tribunal Act 1997 1 of New South Wales;(c) the Administrative and Disciplinary Division of the District Court of South Australia established under the
District Court Act 1991 of South Australia;(d) the Local Court established under the
Local Court Act of the Northern Territory;(e) the Magistrates Court (Administrative Appeals Division) established under the
Magistrates Court (Administrative Appeals Division) Act 2001 of Tasmania;(f) the State Administrative Tribunal established under the
State Administrative Tribunal Act 2004 of Western Australia;(g) the Victorian Civil and Administrative Tribunal established under the
Victorian Civil and Administrative Tribunal Act 1998 of Victoria.
The regulations made under the Privacy Act do not apply.
For the purposes of section 264 of the Law, this Division sets out the modifications of the FOI Act as it applies as a law of a participating jurisdiction for the purposes of the National Quality Framework.
The FOI Act applies as if it were modified —
(a) to provide that a reference to the Office of the Australian Information Commissioner is taken to be a reference to the Office of the National Education and Care Services Freedom of Information Commissioner established by the Ministerial Council and consisting of —
(i) the National Education and Care Services Freedom of Information Commissioner; and
(ii) the staff employed by the National Education and Care Services Freedom of Information Commissioner;
and
(b) to provide that a reference to the Information Commissioner is taken to be a reference to the National Education and Care Services Freedom of Information Commissioner; and
(c) to provide that a reference to the National Education and Care Services Freedom of Information Commissioner is taken to be a reference to the person appointed to that office by the Ministerial Council with the remuneration, and on the terms and conditions, decided by the Council; and
(d) to provide that the National Education and Care Services Freedom of Information Commissioner may only be removed from office by the Ministerial Council on the grounds of —
(i) misconduct; or
(ii) physical or mental incapacity that significantly impacts on the ability of the Commissioner to perform his or her functions; or
(iii) a finding of guilt for an offence committed in a participating jurisdiction or elsewhere that the Ministerial Council considers makes the Commissioner unfit to continue to hold office as Commissioner; or
(iv) a failure by the Commissioner to carry out his or her functions under the Law;
and
(e) to provide that the National Education and Care Services Freedom of Information Commissioner may, for the purposes of performing the Commissioner’s functions —
(i) employ staff; and
(ii) engage contractors or consultants; and
(iii) enter into arrangements with another entity relating to the provision of staff or other resources by that entity to the Commissioner;
and
(f) to provide that the National Education and Care Services Freedom of Information Commissioner may, in writing, delegate to any member of the staff of the Office of the National Education and Care Services Freedom of Information Commissioner or to any person employed under, and subject to the obligations in, a public sector law of a participating jurisdiction all or any of the Commissioner’s powers under the FOI Act other than the following —
(iaa) the power conferred under section 8(3) of that Act as modified under regulation 209(ja);
(iab) the power conferred under section 11C(2) of that Act as modified under regulation 209(ja);
(i) the function conferred under section 55H of that Act;
(ii) the function conferred under section 55K of that Act;
(iii) the function conferred under section 55Q of that Act;
(iv) the function conferred under section 73 of that Act;
(v) the function conferred under section 86 of that Act;
(vi) the functions conferred under sections 89 and 89A of that Act;
(vii) the function conferred under section 89K of that Act;
(viii) issuing guidelines under section 93A of that Act;
(ix) the submission of an annual report under section 93C of that Act as modified under regulation 207.
The FOI Act applies as if it were modified to provide that the National Education and Care Services Freedom of Information Commissioner is required to —
(a) ensure the Commissioner’s operations are carried out efficiently, effectively and economically; and
(b) keep proper books and records in relation to the funds held by the Commissioner; and
(c) ensure expenditure is made from the funds held by the Commissioner only for lawful purposes and, as far as possible, reasonable value is obtained for moneys expended from the funds; and
(d) ensure the Commissioner’s procedures, including internal control procedures, afford adequate safeguards with respect to —
(i) the correctness, regularity and propriety of payments made from the funds held by the Commissioner; and
(ii) receiving and accounting for payments made to the Commissioner; and
(iii) prevention of fraud or mistake;
and
(e) take any action necessary to ensure the preparation of accurate financial statements in accordance with Australian Accounting Standards for inclusion in the Commissioner’s annual report; and
(f) take any action necessary to facilitate the audit of the financial statements; and
(g) arrange for any further audit by a qualified person of records kept by the Commissioner in relation to the funds held by the Commissioner, if directed to do so by the Ministerial Council.
The FOI Act applies as if after section 93B there were inserted —
“
(1) The National Education and Care Services Freedom of Information Commissioner must submit, within 4 months after the end of each financial year, an annual report for the financial year to the Ministerial Council.
(2) The National Education and Care Services Freedom of Information Commissioner is required to include in the annual report a financial statement for the period to which the report relates that —
(a) has been prepared in accordance with Australian Accounting Standards; and
(b) has been audited by a public sector auditor (within the meaning of section 279(6) of the Law).
(3) The National Education and Care Services Freedom of Information Commissioner is required to include in the annual report a report about the performance of the Commissioner’s functions under the FOI Act during the period to which the report relates.
(4) The Ministerial Council is to make arrangements for the tabling of the annual report in the Parliament of each participating jurisdiction and the Commonwealth.”.
The FOI Act applies as if it were modified so that —
(a) it applies only to agencies; and
(b) the agencies it applies to are —
(i) the National Authority; and
(ii) each Regulatory Authority of each participating jurisdiction;
and
(c) a reference in the Act to the principal officer of an agency is a reference to —
(i) for the National Authority, the Chairperson of the Board of the National Authority; and
(ii) for a Regulatory Authority, the person nominated by the Regulatory Authority as the chief executive of the Regulatory Authority;
and
(d) a reference in the Act to the responsible Minister of an agency or the Minister is a reference to a member of the Ministerial Council nominated by the Ministerial Council.
[(e),(f) deleted]
The FOI Act applies —
(a) as if a reference to the Commonwealth or the Government of the Commonwealth (other than a reference in relation to a matter affecting national security, defence, international relations or the national economy) were a reference to a participating jurisdiction or the Government of a participating jurisdiction; and
(b) as if a reference to the Parliament were a reference to the Parliaments of the Commonwealth and the participating jurisdictions; and
(c) as if a reference to relations, arrangements or communications between the Commonwealth and a State included a reference to relations, arrangements or communications between States; and
(d) as if a reference to the Federal Court were a reference to the Supreme Court, or another court of competent jurisdiction, of a participating jurisdiction; and
(e) as if —
(i) a reference to the Administrative Appeals Tribunal were a reference to a relevant administrative tribunal; and
(ii) a provision of the
Administrative Appeals Tribunal Act 1975 did not apply;
and
(f) as if a reference to the Ombudsman were a reference to the Education and Care Services Ombudsman; and
(g) as if a reference to any other Commonwealth office holder or body (other than a reference to the Inspector‑General of Intelligence and Security) were a reference to the equivalent office holder or body of a participating jurisdiction; and
(h) as if a requirement for a Minister to prepare a report on the operation of the Act were a requirement for the National Authority to include a report on the operation of the Act, so far as it relates to the National Authority, in its annual report; and
(i) as if a reference to the payment of costs by the Commonwealth were a reference to the payment of costs by the National Authority from the Authority Fund; and
(j) as if it were modified so that the provisions relating to transferring complaints to the Ombudsman do not apply to complaints made about a Regulatory Authority; and
(ja) as if a reference in sections 8(3) and 11C(2) to legislative instrument were a reference to instrument; and
(k) with any other modifications that are necessary for the effective administration of the FOI Act for the purposes of the National Quality Framework.
For the purposes of regulation 209(e), a reference in the FOI Act to a
(a) the ACT Civil and Administrative Tribunal established under the
ACT Civil and Administrative Tribunal Act 2008 of the ACT;(b) the Administrative Decisions Tribunal of New South Wales established under the
Administrative Decisions Tribunal Act 1997 1 of New South Wales;(c) the Administrative and Disciplinary Division of the District Court of South Australia established under the
District Court Act 1991 of South Australia;(d) the Local Court established under the
Local Court Act of the Northern Territory;(e) the Magistrates Court (Administrative Appeals Division) established under the
Magistrates Court (Administrative Appeals Division) Act 2001 of Tasmania;(f) the State Administrative Tribunal established under the
State Administrative Tribunal Act 2004 of Western Australia;(g) the Victorian Civil and Administrative Tribunal established under the
Victorian Civil and Administrative Tribunal Act 1998 of Victoria.
The regulations made under the FOI Act, other than the provisions providing for fees and charges, do not apply.
For the purposes of section 265 of the Law, this Division sets out the modifications of the State Records Act as it applies as a law of a participating jurisdiction for the purposes of the National Quality Framework.
The State Records Act applies as if it were modified —
(a) to provide that a reference to the Authority is taken to be a reference to the State Records Authority constituted under the
State Records Act 1998 of New South Wales; and(b) to provide that a reference to the Board is taken to be a reference to the Board of the State Records Authority constituted under the
State Records Act 1998 of New South Wales; and(c) to provide that a reference to the Director is taken to be a reference to the Director within the meaning of the
State Records Act 1998 of New South Wales; and(d) so that sections 63 and 69 and Schedule 2 did not apply.
The State Records Act applies as if it were modified so that —
(a) in section 3(1), the definition of
public office referred only to the National Authority; and(b) any reference to an agency of the State included a reference to a public office; and
(c) sections 40(4), 42 and 43 did not refer to the State; and
(d) sections 45(3), 47(1) and 60(3)(e) also applied to the National Authority.
The State Records Act applies as if it was modified so that —
(a) any reference to a Minister, the Premier, the Attorney General or the responsible Minister were a reference to the Ministerial Council; and
(b) any reference to the Minister responsible for a public office were a reference to the Ministerial Council; and
(c) in section 17 —
(i) subsection (1) provided for the review to be conducted by the Ministerial Council in place of the responsible Ministers; and
(ii) subsections (2) and (4) did not apply.
216. Miscellaneous modifications
The State Records Act applies —
(a) as if the definition of
State collecting institution in section 3 and section 5 did not apply; and(b) as if sections 4, 9, 16, 21(2)(e), 25, 26 and 49 did not apply; and
(c) as if section 48(1), (2), (3) and (4) and the definition of
recognised estray provisions in section 48(6) did not apply; and(d) as if in section 58(2) —
(i) a reference to the appropriate Minister were a reference to the Ministerial Council; and
(ii) the last sentence were omitted;
and
(e) as if section 64 applied only to the State Record Authority’s functions in relation to the National Quality Framework; and
(f) as if sections 79 and 82 and Schedule 3 did not apply; and
(g) as if any reference to the Gazette were a reference to the New South Wales Government Gazette; and
(h) as if any reference to the Supreme Court or a Local Court were a reference to a court of competent jurisdiction; and
(i) as if a reference in section 19 to the State were a reference to New South Wales; and
(j) as if any reference in sections 21, 40 and 46 to New South Wales were a reference to Australia; and
(k) as if any reference in section 22 to the regulations were a reference to guidelines issued by the Ministerial Council; and
(l) as if section 36A provided that the Authority may enter into access arrangements under that section with an authority of any participating jurisdiction; and
(m) as if any reference to the
Government Information (Public Access) Act 2009 were a reference to the FOI Act; and(n) as if section 73(5) also referred to the following persons and bodies —
(i) the Crime and Misconduct Commission established under the
Crime and Misconduct Act 2001 of Queensland;(ii) the Anti‑Corruption Branch of the South Australia Police;
(iii) the Integrity Commission of Tasmania established under the
Integrity Commission Act 2009 of Tasmania;(iv) the Ombudsman appointed under section 3 of the
Ombudsman Act 1973 of Victoria;(v) the Corruption and Crime Commission established under the
Corruption, Crime and Misconduct Act 2003 of Western Australia;(va) the Public Sector Commissioner, where information is divulged or any document or other thing is produced to the Public Sector Commissioner for the purposes of the Public Sector Commissioner’s functions under the
Corruption, Crime and Misconduct Act 2003 of Western Australia;(vi) if a person or body or an office referred to in subparagraphs (i) to (v) (the
initial entity ), whether by or under an Act of the relevant participating jurisdiction or otherwise, is abolished and another person, body or office is conferred or given functions and powers that substantially correspond to the functions and powers of the initial entity, that person, body or office;(vii) if the functions and powers of a person or body or an office referred to in subparagraphs (i) to (v), whether by or under an Act of the relevant participating jurisdiction or otherwise, are transferred to another person, body or office, that person, body or office;
and
(o) as if in section 76 any reference to the Crown were a reference to a public office; and
(p) as if in section 78(2) the reference to the
Criminal Procedure Act 1986 were a reference to any other law and the notes were omitted; and(q) with any other modifications that are necessary for the effective administration of the State Records Act for the purposes of the National Quality Framework.
The regulations made under the State Records Act do not apply.
For the purposes of section 282(2) of the Law, this Division sets out modifications of the Ombudsman Act as it applies as a law of a participating jurisdiction for the purposes of the Law.
The Ombudsman Act applies as if it were modified —
(a) so that the provisions of the Act providing for the appointment of the Ombudsman and the conditions of service of the Ombudsman (other than the provisions providing for the resignation, retirement, suspension or removal of the Ombudsman) do not apply; and
(b) to provide that a reference to the Education and Care Services Ombudsman is taken to be a reference to the person appointed to that office by the Ministerial Council with the remuneration, and on the terms and conditions, decided by the Council; and
(c) so that the Education and Care Services Ombudsman may be —
(i) suspended from office by the Ministerial Council without the need for a statement of the grounds of the suspension to be laid before a House of Parliament; and
(ii) removed from office by the Ministerial Council on the ground of misconduct or physical or mental incapacity without the need for an address being presented to a House of Parliament;
and
(d) so that the provisions of the Act providing for the Deputy Ombudsman and other staff of the Ombudsman do not apply; and
(e) to provide that the Education and Care Services Ombudsman may, for the purposes of performing the Ombudsman’s functions —
(i) employ staff; and
(ii) engage contractors or consultants; and
(iii) enter into arrangements with another entity relating to the provision of staff or other resources by that entity to the Ombudsman.
The Ombudsman Act applies as if it were modified to provide that the Education and Care Services Ombudsman is required to —
(a) ensure the Ombudsman’s operations are carried out efficiently, effectively and economically; and
(b) keep proper books and records in relation to the funds held by the Ombudsman; and
(c) ensure expenditure is made from the funds held by the Ombudsman only for lawful purposes and, as far as possible, reasonable value is obtained for moneys expended from the funds; and
(d) ensure the Ombudsman’s procedures, including internal control procedures, afford adequate safeguards with respect to —
(i) the correctness, regularity and propriety of payments made from the funds held by the Ombudsman; and
(ii) receiving and accounting for payments made to the Ombudsman; and
(iii) prevention of fraud or mistake;
and
(e) take any action necessary to ensure the preparation of accurate financial statements in accordance with Australian Accounting Standards for inclusion in the Ombudsman’s annual report; and
(f) take any action necessary to facilitate the audit of the financial statements; and
(g) arrange for any further audit by a qualified person of records kept by the Ombudsman in relation to the funds held by the Ombudsman, if directed to do so by the Ministerial Council.
The Ombudsman Act applies as if it were modified to provide that —
(a) the Education and Care Services Ombudsman is required to submit, within 4 months after the end of each financial year, an annual report for the financial year to the Ministerial Council; and
(b) the Education and Care Services Ombudsman is required to include in the annual report a financial statement for the period to which the report relates that —
(i) has been prepared in accordance with Australian Accounting Standards; and
(ii) has been audited by a public sector auditor (within the meaning of section 279(6) of the Law);
and
(c) the Education and Care Services Ombudsman is required to include in the annual report a report about the performance of the Ombudsman’s functions under the Ombudsman Act during the period to which the report relates; and
(d) the requirement to lay a copy of the report before each House of the Parliament is a requirement for each member of the Ministerial Council to cause a copy of the report to be laid before each House of the Parliament of the jurisdiction the member represents.
The Ombudsman Act applies as if it were modified so that —
(a) it applies only in relation to prescribed authorities; and
(b) the prescribed authorities are the National Authority; and
(c) a reference in the Act to the principal executive of an agency is a reference to the Chairperson of the Board of the National Authority.
The Ombudsman Act applies —
(a) as if a reference to the Minister or the responsible Minister were a reference to a member of the Ministerial Council nominated by that Council; and
(b) as if a reference to the Governor‑General were a reference to the Ministerial Council; and
(c) as if a reference to the Parliament were a reference to the Parliaments of the Commonwealth and the participating jurisdictions; and
(d) as if a reference to the Commonwealth or the Government of the Commonwealth were a reference to a participating jurisdiction or the Government of a participating jurisdiction; and
(e) as if a reference to the Prime Minister were a reference to a member of the Ministerial Council nominated by that Council; and
(f) as if a reference to the Federal Court were a reference to the Supreme Court, or another court of competent jurisdiction, of a participating jurisdiction; and
(g) as if —
(i) a reference to the Administrative Appeals Tribunal were a reference to a relevant administrative tribunal; and
(ii) a provision of the
Administrative Appeals Tribunal Act 1975 did not apply;
and
(h) as if section 6C applied so that a reference to the Information Commissioner were a reference to the National Education and Care Services Privacy Commissioner or the National Education and Care Services Freedom of Information Commissioner; and
(i) as if it were modified so that provisions relating to the Integrity Commissioner did not apply; and
(j) as if a reference to a Commonwealth service provider were a reference to a person who provides goods or services under a contract with the National Authority; and
(k) as if a reference to any other Commonwealth office holder or body were a reference to the equivalent office holder or body of a participating jurisdiction; and
(l) as if a reference to an arrangement or communication between a Commonwealth Minister and a Minister of a State included a reference to an arrangement or communication between Ministers of States; and
(m) as if the requirement to observe confidentiality under the Act —
(i) applies to any person performing functions under the Act; but
(ii) does not prevent a member of the Ministerial Council making a record of, or divulging or communicating to another member of the Ministerial Council, information acquired by the member in performing functions under the Act;
and
(n) with any other modifications that are necessary for the effective administration of the Ombudsman Act for the purposes of the National Quality Framework.
For the purposes of regulation 223(g), a reference in the Ombudsman Act to a
(a) the ACT Civil and Administrative Tribunal established under the
ACT Civil and Administrative Tribunal Act 2008 of the ACT;(b) the Administrative Decisions Tribunal of New South Wales established under the
Administrative Decisions Tribunal Act 1997 1 of New South Wales;(c) the Administrative and Disciplinary Division of the District Court of South Australia established under the
District Court Act 1991 of South Australia;(d) the Local Court established under the
Local Court Act of the Northern Territory;(e) the Magistrates Court (Administrative Appeals Division) established under the
Magistrates Court (Administrative Appeals Division) Act 2001 of Tasmania;(f) the State Administrative Tribunal established under the
State Administrative Tribunal Act 2004 of Western Australia;(g) the Victorian Civil and Administrative Tribunal established under the
Victorian Civil and Administrative Tribunal Act 1998 of Victoria.
The regulations made under the Ombudsman Act, other than provisions providing for witness expenses, do not apply.
For the purposes of section 270(1)(e) of the Law, the information that may be published in respect of an approved education and care service includes the following —
(a) the contact details for the service;
(b) the hours and days of operation of the service;
(c) the conditions to which the service approval is subject;
(d) in relation to a centre‑based service, the approved number of places.
(1) For the purposes of section 270(5)(a) of the Law, the Regulatory Authority may publish the information set out in subregulation (3) in relation to any enforcement action set out in subregulation (2) and any matter prescribed in subregulation (2A).
(2) The enforcement actions are —
(a) a prosecution for an offence against the Law or these Regulations leading to a conviction or finding of guilt or a plea of guilt;
(b) the acceptance by the Regulatory Authority of an enforceable undertaking;
(c) the giving of a compliance notice;
(d) the suspension or cancellation (other than a voluntary suspension or surrender) of a provider approval or service approval;
(e) an amendment made to a provider approval or service approval for purposes of enforcement;
(f) the giving of an emergency action notice under section 179 of the Law.
(2A) For the purposes of section 270(5)(b), the following matters are prescribed —
(a) proceedings commenced by an allegation made under section 188AB of the Law that grounds for disciplinary action exist;
(b) any order made in such proceedings.
(3) The following information may be published —
(a) the nature of the enforcement action;
(ab) where enforcement action has been taken against the approved provider and if the Regulatory Authority is satisfied that it is in the public interest to do so, information which identifies a person with management or control of an education and care service;
(b) the details of the person in relation to whom the enforcement action was taken, including —
(i) the name and provider approval number of the approved provider;
(ii) for a centre‑based service —
(A) the address of the service; and
(AB) the service approval number; and
(B) the name by which the service is known;
(iii) for a family day care service —
(A) the address of the service, unless the address is also the home address of a family day care educator; and
(B) the name by which the service is known;
(iv) for an individual, the name of the individual;
(c) the reason for taking the enforcement action, including details of the breach or alleged breach by the person of the Law or these Regulations and the provision that was breached or alleged to be breached;
(d) details of the enforcement action taken, including —
(i) for a prosecution leading to a conviction or finding of guilt or a plea of guilt —
(A) the provision of the Law or these Regulations that the person was convicted or found guilty of, or pleaded guilty to, breaching; and
(B) the date of the conviction, finding of guilt or the making of the plea of guilt for the offence; and
(C) any penalty imposed for the offence; and
(D) information about any steps taken to remedy the subject of the prosecution and the date the steps were taken;
(ii) for an enforceable undertaking —
(A) the terms of the enforceable undertaking; and
(B) the date of the enforceable undertaking; and
(C) information about any steps taken to remedy the subject of the enforceable undertaking and the date the steps were taken;
(iii) for a compliance notice —
(A) the steps specified in the compliance notice that the person must take to comply with the provision of the Law or these Regulations; and
Over preschool age (no preschool child attending session) | 1‑10 children | 1 | 1 |
11‑26 children | 2 | 1 | |
27‑39 children | 3 | 1 | |
40‑52 children | 4 | 2 | |
53‑65 children | 5 | 2 | |
66‑78 children | 6 | 2 | |
79‑91 children | 7 | 3 | |
92‑104 children | 8 | 3 | |
105‑117 children | 9 | 3 | |
118‑130 children | 10 | 4 | |
131‑143 children | 11 | 4 | |
Over preschool age (at least one preschool child attending session) | 1‑10 children | 1 | 1 |
11‑20 children | 2 | 1 | |
21‑30 children | 3 | 1 | |
31‑40 children | 4 | 2 | |
41‑50 children | 5 | 2 | |
51‑60 children | 6 | 2 | |
61‑70 children | 7 | 3 | |
71‑80 children | 8 | 3 | |
81‑90 children | 9 | 3 | |
91‑100 children | 10 | 4 | |
101‑110 children | 11 | 4 |
(4) The number of educators at the service who are required to be qualified educators is the relevant number set out in the 4
th column of the Table to subregulation (3) in relation to the service.(5) One of the qualified educators at the service must be a first qualified educator.
Note for this regulation:
This regulation differs from regulation 369 of the national regulations made by the Ministerial Council.
(1) This regulation applies in place of regulation 123(1)(c) on and after 1 January 2016 to a pre‑kindergarten programme or kindergarten programme provided by a school.
(2) The educator to child ratio is 1 educator to 10 children.
(3) Despite subregulation (2), the educator to child ratio may be increased to 1 educator to 11 children —
(a) in exceptional circumstances; or
(b) for a period not exceeding one year.
373. Early childhood teachers – pre‑kindergarten programme or kindergarten programme provided by a school (1) This regulation applies in place of regulations 130 to 134 in relation to a pre‑kindergarten programme or kindergarten programme provided by a school.
(2) One early childhood teacher is required for every 30 children being educated and cared for by the programme.
(3) Despite subregulation (2), the requirement for an early childhood teacher may be 1 early childhood teacher to a maximum of 33 children —
(a) in exceptional circumstances; or
(b) for a period not exceeding one year.
(4) An early childhood teacher, or a suitably qualified person if regulation 133 or 134 would otherwise apply, must be in attendance at all times that children are being educated and cared for by the programme.
Note for this Division:
This Division heading differs from the heading to Chapter 7 Part 7.9 Division 3A of the national regulations made by the Ministerial Council.
The approved provider of a family day care service must ensure that, when children are being educated and cared for at a family day care residence or approved family day care venue as part of the service —
(a) educators at the residence or venue have ready access to at least 2 operating telephones or other similar means of communication to enable immediate communication to and from parents, family members, other adults who may need to be in contact about a child and emergency services; and
(b) at least 1 of the telephones or other similar means of communication referred to in paragraph (a) is kept in a fixed location at the residence or venue.
Penalty: a fine of $1100..
Notes for this regulation:
1. This regulation differs from regulation 373A of the national regulations made by the Ministerial Council.
2. See regulation 74(1)(b) which sets out requirements for documenting evidence about development of an educational program for children over preschool age.
Note for this Division:
The national regulations made by the Ministerial Council do not include provisions as Part 7.9 Division 3B.
In this Division —
(a) situated outdoors; and
(b) more than 300 mm deep; and
(c) accessible to children being educated and cared for at the residence or venue;
(a) warn an educator at the residence or venue that a child being educated and cared for at the residence or venue has entered the swimming pool or outdoor spa, or the area surrounding the swimming pool or outdoor spa; or
(b) cover the swimming pool or outdoor spa in such a way that the device —
(i) cannot be easily lifted or removed by a child being educated and cared for at the residence or venue; and
(ii) would prevent such a child from entering the swimming pool or outdoor spa;
(1) A service approval for a family day care service is granted subject to the condition that the approved provider of the service must ensure that there is no swimming pool or outdoor spa at a family day care residence or approved family day care venue of the service unless —
(a) the swimming pool or outdoor spa existed at the residence or venue before 1 September 2022 (whether or not the residence or venue was a residence or venue of the service at that time); and
(b) the educator who provides education and care to children at the residence or venue was engaged by or registered with the service —
(i) before 1 September 2022; or
(ii) on or after 1 September 2022 with the approval of the Regulatory Authority under subregulation (3).
(2) A service approval for a family day care service is granted subject to the condition that the approved provider of the service must not, without the approval of the Regulatory Authority under subregulation (3), engage or register a family day care educator to provide education and care to children at a family day care residence or approved family day care venue with a swimming pool or outdoor spa.
(3) The Regulatory Authority may give written approval for the approved provider of a family day care service to engage or register a family day care educator to provide education and care to children at a family day care residence or approved family day care venue with a swimming pool or outdoor spa if —
(a) the swimming pool or outdoor spa existed at the residence or venue before 1 September 2022; and
(b) the educator was, before 1 September 2022, engaged by or registered with another family day care service to provide education and care to children at the residence or venue; and
(c) the Regulatory Authority considers exceptional circumstances exist justifying the approval.
Note for this regulation:
See section 51(5) of the Law.
(1) A service approval for a family day care service is granted subject to the condition that the approved provider of the service must —
(a) keep a register that includes the information set out in subregulation (2) in respect of each family day care residence or approved family day care venue of the service with a swimming pool, outdoor spa or hazardous water feature; and
(b) make the register available for inspection by the Regulatory Authority on request.
(2) For the purposes of subregulation (1), the register must include the following information —
(a) the name of the educator who provides education and care to children at the residence or venue;
(b) the address of the residence or venue;
(c) each swimming pool, outdoor spa and hazardous water feature that is at the residence or venue;
(d) each safety device for a swimming pool or outdoor spa that is at the residence or venue;
(e) the date on which a water hazard safety inspection of the residence or venue was last conducted.
Note for this regulation:
See section 51(5) of the Law.
A service approval for a family day care service is granted subject to the condition that the approved provider of the service must ensure that there is, at each family day care residence or approved family day care venue of the service with a swimming pool or outdoor spa, at least 1 safety device for the swimming pool or outdoor spa.
Note for this regulation:
See section 51(5) of the Law.
(1) A service approval for a family day care service is granted subject to the condition that the approved provider of the service must ensure that —
(a) at the times set out in subregulation (2), an inspection (a
water hazard safety inspection ) of each family day care residence or approved family day care venue of the service with a swimming pool, outdoor spa or hazardous water feature is conducted in accordance with this regulation to determine whether the residence or venue is a safe operating environment; and(b) a written report (a
water hazard safety inspection report ) of each water hazard safety inspection is prepared and given to the approved provider in accordance with this regulation.
(2) The times for conducting a water hazard safety inspection of a family day care residence or approved family day care venue are —
(a) for the 1
st inspection —(i) if it is a residence or venue of the service on 1 September 2022 — no later than 30 September 2022; or
(ii) in any other case — within 30 days after the day on which it becomes a residence or venue of the service;
and
(b) after that, at monthly intervals.
(3) A water hazard safety inspection of a family day care residence or approved family day care venue cannot be conducted by —
(a) an educator who provides education and care to children at the residence or venue; or
(b) a person who resides at the residence or venue.
(4) A water hazard safety inspection of a family day care residence or approved family day care venue may be conducted by a person who is —
(a) physically present at the residence or venue; or
(b) subject to subregulation (5), using technology that enables the person to inspect the residence or venue without being physically present (a
virtual inspection ).
(5) A water hazard safety inspection of a family day care residence or approved family day care venue cannot, without the written approval of the Regulatory Authority, be a virtual inspection if —
(a) the previous 2 inspections of the residence or venue were virtual inspections; or
(b) 6 previous virtual inspections of the residence or venue have been conducted in the current calendar year.
(6) The person who conducts a water hazard safety inspection of a family day care residence or approved family day care venue of a family day care service must —
(a) when conducting the inspection, complete a water hazard safety inspection checklist in a form determined by the Regulatory Authority; and
(b) prepare a water hazard safety inspection report in accordance with subregulation (7) and give it to the approved provider of the service —
(i) if a safety issue relating to a swimming pool, outdoor spa or hazardous water feature is identified in the course of the inspection — within 24 hours of completing the inspection; or
(ii) in any other case — within 7 days of completing the inspection.
(7) A water hazard safety inspection report must —
(a) be in a form determined by the Regulatory Authority; and
(b) include the information set out in subregulation (8); and
(c) include the water hazard safety inspection checklist completed by the person who conducted the inspection.
(8) For the purposes of subregulation (7)(b), the information is as follows —
(a) the address of the residence or venue;
(b) the date and time of the inspection;
(c) the full name of the person who conducted the inspection and the person’s signature;
(d) whether the inspection was a virtual inspection;
(e) the type and condition of each safety device for a swimming pool or outdoor spa that is at the residence or venue;
(f) whether any safety issue relating to a swimming pool, outdoor spa or hazardous water feature was identified and, if so —
(i) a description of the safety issue; and
(ii) whether the safety issue was rectified during the inspection; and
(iii) if the safety issue has not been rectified, the action that the person who conducted the inspection considers should be taken to rectify it and mitigate risks associated with it before it is rectified; and
(iv) if relevant, an estimate of the time that is needed to complete the action referred to in subparagraph (iii);
(g) any other information required by the form determined under subregulation (7)(a).
Note for this regulation:
See section 51(5) of the Law.
(1) The approved provider of a family day care service must, as soon as practicable after being given a water hazard safety inspection report in relation to a family day care residence or approved family day care venue of the service, give a copy of it to the educator who provides education and care to children at the residence or venue.
Penalty for this subregulation: a fine of $2 000.
(2) The approved provider of a family day care service must, within 24 hours of being given a water hazard safety inspection report that identifies a safety issue in relation to a swimming pool, outdoor spa or hazardous water feature at a family day care residence or approved family day care venue of the service, give written notice of the safety issue to the Regulatory Authority.
Penalty for this subregulation: a fine of $2 000.
(3) If an unrectified safety issue relating to a swimming pool, outdoor spa or hazardous water feature is identified in a water hazard safety inspection report relating to a family day care residence or approved family day care venue of a family day care service, the approved provider of the service must, as soon as practicable after the safety issue is rectified, record on the report the date on which it was rectified.
Penalty for this subregulation: a fine of $2 000.
(4) The approved provider of a family day care service must ensure that each water hazard safety inspection report in relation to a family day care residence or approved family day care venue of the service is kept at the principal office of the service until the end of 3 years after the day on which it was completed.
Penalty for this subregulation: a fine of $2 000.
(5) The approved provider of a family day care service must ensure that each water hazard safety inspection report kept under subregulation (4) is made available on request to the Regulatory Authority.
Penalty for this subregulation: a fine of $2 000.
(6) The approved provider of a family day care service must ensure that each water hazard safety inspection report kept under subregulation (4) in relation to a residence or venue is made available on request to a parent of a child who is educated and cared for at the residence or venue as part of the service.
Penalty for this subregulation: a fine of $2 000.
(1) A family day care educator who is given a water hazard safety inspection report in relation to the family day care residence or approved family day care venue at which the educator educates and cares for children must ensure that the report is kept at the residence or venue until the end of 3 years after the day on which it was completed.
Penalty for this subregulation: a fine of $2 000.
(2) A family day care educator must ensure that a water hazard safety inspection report kept under subregulation (1) is made available on request to the Regulatory Authority.
Penalty for this subregulation: a fine of $2 000.
(3) A family day care educator must ensure that a water hazard safety inspection report kept under subregulation (1) is made available on request to a parent of a child who is educated and cared for at the residence or venue.
Penalty for this subregulation: a fine of $2 000.
[(1) deleted] (2) Regulations 133(1)(b) and 134(1)(b) do not apply to a centre‑based service until 1 January 2020.
(3) This regulation does not apply to a pre‑kindergarten programme or kindergarten programme provided by a school.
Note for this regulation:
This regulation differs from regulation 379 of the national regulations made by the Ministerial Council.
(1) Subject to subregulation (4), this regulation applies to a declared approved service or a declared out of scope service that is a pre‑kindergarten programme or kindergarten programme that was operating immediately before the scheme commencement day.
(2) Regulations 107, 108 and 115 do not apply to the service.
(3) For the purpose of a rating assessment under Part 5 of the Law, the service is taken to comply with regulations 107, 108 and 115.
(4) This regulation ceases to apply if —
(a) the service approval is transferred to an approved provider that is not a school; or
(b) the service ceases to be provided by a school on a school site.
Note for this regulation:
See also Division 7 of Part 7.1.
(1) If, immediately before the scheme commencement day, a declared approved provider has not paid a monetary order made under, or in relation to proceedings commenced under an allegation made in respect of that person under, section 29 of the
Child Care Services Act 2007 of Western Australia then, on and after the scheme commencement day, the order is taken to be a monetary order referred to in sections 25(1)(g)(i) and 70(1)(i) of the Law as applying in Western Australia.(2) In subregulation (1) —
Note for this regulation:
Regulation 384 does not form part of the national regulations made by the Ministerial Council.
The Regulatory Authority may commence or continue proceedings under section 29 of the
Note for this regulation:
Regulation 385 does not form part of the national regulations made by the Ministerial Council.
Note for this Division:
The national regulations made by the Ministerial Council included provisions as Division 2 which were not relevant to Western Australia. Those provisions (except the heading to Division 2) were repealed by the
Note for this Division:
The national regulations made by the Ministerial Council include provisions as Division 3 which are not relevant to Western Australia.
Note for this Division:
The national regulations made by the Ministerial Council included provisions as Division 4 which were not relevant to Western Australia. Those provisions (except the heading to Division 4) were repealed by the
Note for this Division:
The national regulations made by the Ministerial Council included provisions as Division 5 which were not relevant to Western Australia. Those provisions (except the heading to Division 5) were repealed by the
(1) In this Part —
(2) For the purposes of this Part, an assessment or a reassessment and re‑rating is finalised when the National Authority publishes the rating level for the service under section 160 of the Law.
A quality improvement plan that, immediately before the commencement day, was a current quality improvement plan for an approved education and care service continues, on and after the commencement day, to be a current quality improvement plan for the service for the purposes of these Regulations until the earlier of the following —
(a) the approved provider for the service next reviews and revises the plan under regulation 56(1)(a);
(b) the approved provider for the service reviews and revises the plan at the direction of the Regulatory Authority under regulation 56(1)(b).
If, immediately before the commencement day, the Regulatory Authority had commenced but not finalised an assessment of an education and care service under section 133(1) of the Law, the Regulatory Authority must, on and after the commencement day, continue to conduct the assessment against the National Quality Standard as in force immediately before the commencement day.
(1) This regulation applies to an approved education and care service if, immediately before the commencement day —
(a) the Regulatory Authority had commenced but not finalised a reassessment and re‑rating of the education and care service or a reassessment and re‑rating of an aspect or element of the education and care service under section 138 of the Law; or
(b) the Regulatory Authority had decided to commence but had not commenced a reassessment and re‑rating of the education and care service or a reassessment and re‑rating of an aspect or element of the education and care service on an application under section 139 of the Law.
(2) Any reassessment and re‑rating of the service must, on and after the commencement day, be conducted against the National Quality Standard as in force immediately before the commencement day.
(1) This regulation applies to an approved education and care service that has not been assessed and rated, or reassessed and re‑rated, against the National Quality Standard as in force on and after the commencement day.
(2) Any reassessment and re‑rating of an aspect or element of the education and care service conducted by the Regulatory Authority under section 138 of the Law or on an application under section 139 of the Law on or after the commencement day but before the relevant day must be conducted against the National Quality Standard as in force immediately before the commencement day, whether the reassessment was commenced or the application made before, on or after the commencement day.
(3) In this regulation —
(a) in relation to an approved education and care service that was assessed and rated before the commencement day, the day that is 6 months after the commencement day; or
(b) in relation to an approved education and care service that was assessed and rated after the commencement day, the day that is 6 months after the day on which the rating for the service is published under section 160 of the Law.
(1) This regulation applies to an approved education and care service if —
(a) before the commencement day, the Regulatory Authority had commenced —
(i) an assessment of the service under section 133(1) of the Law; or
(ii) a reassessment and re‑rating of the service under section 138 or on an application under section 139 of the Law;
and
(b) the assessment or reassessment and re‑rating was suspended under section 137(1) of the Law, whether that suspension occurred before, on or after the commencement day; and
(c) the suspension is lifted on or after the commencement day.
(2) The Regulatory Authority must, on and after the commencement day, assess or reassess the approved education and care service against the National Quality Standard as in force on and after the commencement day.
(1) This regulation applies to an approved education and care service if —
(a) the Regulatory Authority had commenced conducting a reassessment and re‑rating of an aspect or element of the service before the commencement day; and
(b) the reassessment and re‑rating was suspended under section 137(1) of the Law, whether that suspension occurred before, on or after the commencement day; and
(c) the suspension is lifted on or after the commencement day.
(2) The Regulatory Authority must, on and after the commencement day, continue to conduct a reassessment against the National Quality Standard as in force immediately before the commencement day.
If, immediately before the commencement day, an approved education and care service held a prescribed provisional rating level, the service continues, on and after the commencement day, to hold that rating level for the purposes of the Law unless or until the service is assessed under section 133(1) of the Law and rated under section 135 of the Law.
If immediately before the commencement day, an approved education and care service held a prescribed rating level, the service continues, on and after the commencement day, to hold that rating level for the purposes of the Law unless or until the service —
(a) is assessed under section 133(1) of the Law and rated under section 135 of the Law; or
(b) is reassessed and re‑rated under section 138 of the Law or on an application under section 139 of the Law; or
(c) is awarded the highest rating level under section 155 of the Law.
Note for this Division:
The national regulations made by the Ministerial Council included provisions as Division 1 which were not relevant to Western Australia. Those provisions (except the heading to Division 1) were repealed by the
Note for this Division:
The national regulations made by the Ministerial Council included provisions as Division 2 which were not relevant to Western Australia. Those provisions (except the heading to Division 2) were repealed by the
Note for this Division:
The national regulations made by the Ministerial Council included provisions as Division 3 which were not relevant to Western Australia. Those provisions (except the heading to Division 3) were repealed by the
The amendment made to regulation 173 by the
Note for this Division:
The national regulations made by the Ministerial Council include provisions as Division 2 which are not relevant to Western Australia.
Note for this Division:
The national regulations made by the Ministerial Council include provisions as Division 1 which are not relevant to Western Australia.
(1) In this regulation —
(2) This regulation applies in relation to a family day care educator who, immediately before commencement day, was actively working towards at least an approved certificate III level education and care qualification.
(3) The family day care educator is taken to comply with regulation 127 until the earlier of the following —
(a) the family day care educator ceases to be actively working towards the qualification as described in subregulation (2);
(b) 30 November 2024.
Note for this regulation:
This regulation differs from regulation 415 of the national regulations made by the Ministerial Council.
Notes for this Schedule:
1. The National Quality Standard is used to assess education and care services to determine rating levels under Part 5 of the Law.
2. The Regulatory Authority may suspend a service approval if an education and care service has operated at a rating level as not meeting the National Quality Standard and there has been no improvement in that rating level and a service waiver or temporary waiver does not apply to the service in relation to the non‑compliance — see section 70(1)(d) of the Law.
3. To determine whether and at what rating level an education and care service meets the National Quality Standard and the requirements of these regulations, Part 5 of the Law provides that the Regulatory Authority that granted the service approval for the service may assess the service in accordance with these Regulations.
The educational program and practice is stimulating, engaging and enhances children’s learning and development. In services for children over preschool age the program nurtures the development of life skills and complements children’s experiences, opportunities and relationships at school, at home and in the community.
The educational program enhances each child’s learning and development.
Curriculum decision‑making contributes to each child’s learning and development outcomes in relation to that child’s identity, connection with community, wellbeing, confidence as learners and effectiveness as communicators.
Each child’s current knowledge, strengths, ideas, culture, abilities and interests are the foundation of the program.
All aspects of the program, including routines, are organised in ways that maximise opportunities for each child’s learning.
Educators facilitate and extend each child’s learning and development.
Educators are deliberate, purposeful, and thoughtful in their decisions and actions.
Educators respond to children’s ideas and play and extend children’s learning through open‑ended questions, interactions and feedback.
Each child’s agency is promoted, enabling them to make choices and decisions and influence events and their world.
Educators and co‑ordinators take a planned and reflective approach to implementing the program for each child.
Each child’s learning and development is assessed or evaluated as part of an ongoing cycle of observation, analysing, learning, documentation, planning, implementation and reflection.
Critical reflection on children’s learning and development, both as individuals and in groups, drives program planning and implementation.
Families are informed about the program and their child’s progress.
Every child’s health and wellbeing is safeguarded and promoted.
Each child’s health and physical activity is supported and promoted.
Each child’s wellbeing and comfort is provided for, including appropriate opportunities to meet each child’s need for sleep, rest and relaxation.
Effective illness and injury management and hygiene practices are promoted and implemented.
Healthy eating and physical activity are promoted and appropriate for each child.
Each child is protected.
At all times, reasonable precautions and adequate supervision ensure children are protected from harm and hazard.
Plans to effectively manage incidents and emergencies are developed in consultation with relevant authorities, practised and implemented.
Management, educators and staff are aware of their roles and responsibilities to identify and respond to every child at risk of abuse or neglect.
The physical environment is safe, suitable and provides a rich and diverse range of experiences which promote children’s learning and development.
The design and location of the premises is appropriate for the operation of a service.
Outdoor and indoor spaces, buildings, fixtures and fittings are suitable for their purpose, including supporting the access of every child.
Premises, furniture and equipment are safe, clean and well maintained.
The service environment is inclusive, promotes competence and supports exploration and play‑based learning.
Outdoor and indoor spaces are organised and adapted to support every child’s participation and to engage every child in quality experiences in both built and natural environments.
Resources, materials and equipment allow for multiple uses, are sufficient in number, and enable every child to engage in play‑based learning.
The service cares for the environment and supports children to become environmentally responsible.
Staffing arrangements create a safe and predictable environment for children and support warm, respectful relationships. Qualified and experienced educators and co‑ordinators encourage children’s active engagement in the learning program. Positive relationships among educators, co‑ordinators and staff members contribute to an environment where children feel emotionally safe, secure and happy.
Staffing arrangements enhance children’s learning and development.
The organisation of educators across the service supports children’s learning and development.
Every effort is made for children to experience continuity of educators at the service.
Management, educators and staff are collaborative, respectful and ethical.
Management, educators and staff work with mutual respect and collaboratively, and challenge and learn from each other, recognising each other’s strengths and skills.
Professional standards guide practice, interactions and relationships.
Relationships that are responsive, respectful and promote children’s sense of security and belonging free them to explore the environment and engage in learning.
Respectful and equitable relationships are maintained with each child.
Responsive and meaningful interactions build trusting relationships which engage and support each child to feel secure, confident and included.
The dignity and rights of every child are maintained.
Each child is supported to build and maintain sensitive and responsive relationships.
Children are supported to collaborate, learn from and help each other.
Each child is supported to regulate their own behaviour, respond appropriately to the behaviour of others and communicate effectively to resolve conflicts.
Collaborative relationships with families are fundamental to achieve quality outcomes for children. Community partnerships that focus on active communication, consultation and collaboration also contribute to children’s learning and wellbeing.
Respectful relationships with families are developed and maintained and families are supported in their parenting role.
Families are supported from enrolment to be involved in the service and contribute to service decisions.
The expertise, culture, values and beliefs of families are respected and families share in decision‑making about their child’s learning and wellbeing.
Current information is available to families about the service and relevant community services and resources to support parenting and family wellbeing.
Collaborative partnerships enhance children’s inclusion, learning and wellbeing.
Continuity of learning and transitions for each child are supported by sharing information and clarifying responsibilities.
Effective partnerships support children’s access, inclusion and participation in the program.
The service builds relationships and engages with its community.
Effective leadership contributes to sustained quality relationships and environments that facilitate children’s learning and development. Well documented policies and practices that are developed and regularly evaluated in partnership with educators, co‑ordinators, staff members and families contribute to the ethical management of the service. There is a focus on continuous improvement.
Governance supports the operation of a quality service.
A statement of philosophy guides all aspects of the service’s operations.
Systems are in place to manage risk and enable the effective management and operation of a quality service.
Roles and responsibilities are clearly defined and understood, and support effective decision‑making and operation of the service.
Effective leadership builds and promotes a positive organisational culture and professional learning community.
There is an effective self‑assessment and quality improvement process in place.
The educational leader is supported and leads the development and implementation of the educational program and assessment and planning cycle.
Educators’, co‑ordinators’ and staff members’ performance is regularly evaluated and individual plans are in place to support learning and development.
[r. 236B]
1 | Section 11(d) | Application for a provider approval | $241 |
2 | Section 22(2)(c) | Application to amend a provider approval | Nil |
3 | Section 37(2)(c) | Application to voluntarily suspend a provider approval | Nil |
4 | Section 39(6)(c) | Application to approve an executor as approved provider | Nil |
5 | Section 40(3)(c) | Application to approve legal personal representative or guardian as approved provider | Nil |
6 | Section 44(1)(e) | Application for service approval — centre‑based service | Small service $482 Medium service $725 Large service $967 Extra‑large service $967 |
7 | Section 44(1)(e) | Application for service approval — family day care service | $725 |
8 | Section 53 | Annual fee — centre‑based service | Small service $218 Medium service $329 Large service $438 Extra‑large service $438 |
9 | Section 53 | Annual fee — family day care service | Small service $218 Medium service $329 Large service $438 Extra‑large service $438 |
10 | Section 54(2)(c) | Application to amend service approval | Nil |
11 | Section 59(2)(c) | Notification of intended transfer of service approval | $116 |
12 | Section 85(2)(c) | Application to voluntarily suspend service approval | Nil |
13 | Section 88(c) | Application for service waiver | $116 |
14 | Section 95(c) | Application for temporary waiver | $116 |
15 | Section 98(4) | Application to extend temporary waiver | $116 |
16 | Section 139(2)(c) | Application for reassessment and re‑rating | Small service $482 Medium service $725 Large service $967 Extra‑large service $967 |
17 | Section 141(4)(d) | Request for review by Regulatory Authority | Nil |
18 | Section 145(2)(c) | Application for further review by Ratings Review Panel | Small service $482 Medium service $725 Large service $967 Extra‑large service $967 |
19 | Section 152(3)(c) | Application for highest rating | Nil |
20 | Section 159(3)(c) | Re‑application for highest rating | Nil |
1 | Section 266(4) | Copy of or extract from register of approved providers | $5 per page or $75 for an electronic copy |
2 | Section 267(4) | Copy of or extract from register of approved education and care services | $5 per page or $75 for an electronic copy |
Regulation 188
Regulation 55(1) | Quality improvement plans |
Regulation 72(1), (2) | Offences in relation to giving false or misleading statements about ratings |
Regulation 74(1) | Documenting of child assessments or evaluations for delivery of educational program |
Regulation 75 | Information about educational program to be kept available |
Regulation 76 | Information about educational program to be given to parents |
Regulation 77(1) | Health, hygiene and safe food practices |
Regulation 78(1) | Food and beverages |
Regulation 79(1) | Service providing food and beverages |
Regulation 80(1) | Weekly menu |
Regulation 82(1) | Environment to be free from tobacco, vaping devices, vaping substances, drugs and alcohol |
Regulation 83(1) | Nominated supervisors, staff members and volunteers not to be affected by alcohol or drugs |
Regulation 84(1) | Awareness of child protection law |
Regulation 84A(1) | Reasonable steps to ensure that the needs for sleep and rest of children are met |
Regulation 84C(1) | Risk assessment for the purposes of preparing sleep and rest policies and procedures |
Regulation 84D(1) | Prohibition of bassinets |
Regulation 89(1) | First aid kits |
Regulation 91 | Medical conditions policy to be provided to parents |
Regulation 97(2), (2A), (3), (4) | Emergency and evacuation procedures |
Regulation 98 | Telephone or other communication equipment |
Regulation 102AAC(1) | Risk assessment for the purposes of preparing safe arrival of children policies and procedures |
Regulation 102B(1) | Transport risk assessment must be conducted before service transports child |
Regulation 103(1) | Premises, furniture and equipment to be safe, clean and in good repair |
Regulation 104(1) | Fencing |
Regulation 105 | Furniture, materials and equipment |
Regulation 106(1), (2) | Laundry and hygiene facilities |
Regulation 107(2) | Space requirements — indoor |
Regulation 108(2) | Space requirements — outdoor |
Regulation 110 | Ventilation and natural light |
Regulation 111 | Administrative space |
Regulation 112(3) | Nappy change facilities |
Regulation 113 | Outdoor space — natural environment |
Regulation 114 | Outdoor space — shade |
Regulation 115 | Premises designed to facilitate supervision |
Regulation 116(1) | Assessments of family day care residences and approved family day care venues |
Regulation 117(1) | Glass |
Regulation 118 | Educational leader |
Regulation 119 | Family day care educator and educator assistant to be at least 18 years old |
Regulation 120 | Educators who are under 18 to be supervised |
Regulation 136(1) | First aid qualifications |
Regulation 156(1) | Relationships in groups |
Regulation 157(1) | Access for parents |
Regulation 163(1), (2) | Residents at family day care residence and family day care educator assistants to be fit and proper persons |
Regulation 164 | Requirement for notice of new persons at residence |
Regulation 168(1) | Education and care service must have policies and procedures |
Regulation 169(1) | Additional policies and procedures — family day care service |
Regulation 170(1), (2) | Policies and procedures to be followed |
Regulation 171(1), (2) | Policies and procedures to be kept available |
Regulation 172(1)(b) | Notification of change to policies or procedures affecting ability of family to utilise service |
Regulation 177(2), (3) | Prescribed enrolment and other documents to be kept by approved provider |
Regulation 183 | Storage of records and other documents |
Regulation 185 | Law and regulations to be available |
Regulation 190(2)(d)
Infringement notice no. | |||||||
Name | |||||||
Address | |||||||
Date or period | |||||||
Place | |||||||
Written law contravened | Section of the or Regulation of the | ||||||
Details of offence | |||||||
Date of notice | |||||||
Name | |||||||
Office | |||||||
Signature | |||||||
$_____ | |||||||
Individual | $_____ | You do not have to pay this amount. This is the maximum fine that can be imposed if you are prosecuted in a court and convicted of this offence. | |||||
Body corporate | $_____ | ||||||
It is alleged that you have committed the above offence. Paying the modified penalty will not be regarded as an admission for the purposes of any civil or criminal court case. If you consider that you have good reason to have this notice withdrawn, you can write to the Approved Officer at the address below requesting that this notice be withdrawn and setting out the reasons why you consider that this notice should be withdrawn. Your letter must be received not later than 28 days after the date of this notice. | |||||||
By post | Tick the relevant box below and post this notice to: Approved Officer — Department for Communities | ||||||
I want to pay the modified penalty by cheque or money order. A cheque or money order (payable to Approved Officer — I want to pay the modified penalty by credit card. Please debit my credit card account. | |||||||
Card type _____________________________ Cardholder name _______________________ Card number [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ] Expiry date of card _____/_____ Amount $__________ Signature ____________________ | |||||||
Withdrawal no. | |||||
Name | |||||
Address | |||||
Infringement notice no. | |||||
Date of issue | |||||
Date or period | |||||
Place | |||||
Written law contravened | Section of the or Regulation of the | ||||
Details of offence | |||||
Name | |||||
Office | |||||
Signature | |||||
Date of withdrawal | |||||
The above infringement notice issued against you for the above alleged offence has been withdrawn. If you have already paid the modified penalty for the alleged offence, you are entitled to a refund. Your refund is enclosed. If you have paid the modified penalty but a refund is not enclosed, you may claim your refund by signing and dating this notice and posting it to: Approved Officer — | |||||
This is a compilation of the
25 Jul 2012 p. 3417-660 | r. 1 and 3: 25 Jul 2012 (see r. 3(a)); Regulations other than r. 1 and 3: 1 Aug 2012 (see r. 3(b) and | |
5 Mar 2013 p. 1107‑9 | r. 1 and 2: 5 Mar 2013 (see r. 2(a)); Regulations other than r. 1 and 2: 6 Mar 2013 (see r. 2(b)) | |
13 Dec 2013 p. 6151‑70 | r. 1 and 2: 13 Dec 2013 (see r. 2(a)); Regulations other than r. 1 and 2: 31 Dec 2013 (see r. 2(b)) | |
6 Jun 2014 p. 1787‑8 | r. 1 and 2: 6 Jun 2014 (see r. 2(a)); Regulations other than r. 1 and 2: 7 Jun 2014 (see r. 2(b)) | |
28 Nov 2014 p. 4401‑11 | r. 1 and 2: 28 Nov 2014 (see r. 2(a)); Regulations other than r. 1 and 2: 1 Dec 2014 (see r. 2(b)) | |
26 Jun 2015 p. 2272 | r. 1 and 2: 26 Jun 2015 (see r. 2(a)); Regulations other than r. 1 and 2: 1 Jul 2015 (see r. 2(b)(ii) and | |
3 Jul 2015 p. 2667‑8 | r. 1 and 2: 3 Jul 2015 (see r. 2(a)); Regulations other than r. 1 and 2: 1 Aug 2015 (see r. 2(b)) | |
3 Nov 2017 p. 5481‑5 | r. 1 and 2: 3 Nov 2017 (see r. 2(a)); Regulations other than r. 1 and 2: 4 Nov 2017 (see r. 2(b)) | |
23 Jan 2018 p. 247‑58 | 1 Feb 2018 (see r. 2(b)(i)) | |
26 Jun 2018 p. 2358‑9 | r. 1 and 2: 26 Jun 2018 (see r. 2(a)); Regulations other than r. 1 and 2: 1 Jul 2018 (see r. 2(b)) | |
28 Sep 2018 p. 3601‑58 | r. 1 and 2: 28 Sep 2018 (see r. 2(a)); Regulations other than r. 1 and 2: 1 Oct 2018 (see r. 2(b)) | |
24 Dec 2019 p. 4422‑8 | r. 1 and 2: 24 Dec 2019 (see r. 2(a)); Regulations other than r. 1 and 2 and 16(2), (3) and (4): 31 Dec 2019 (see r. 2(c)); r. 16(2), (3) and (4): 1 Jul 2020 (see r. 2(b)) | |
SL 2020/143 28 Aug 2020 | r. 1 and 2: 28 Aug 2020 (see r. 2(a)); r. 3, 5 and 10: 1 Sep 2020 (see r. 2(b)); r. 4, 6-9 and 11: 1 Oct 2020 (see r. 2(c)) | |
SL 2021/140 30 Jul 2021 | r. 1 and 2: 30 Jul 2021 (see r. 2(a)); r. 3, 8 and 11: 30 Jul 2021 (see r. 2(b)); r. 4‑7: 1 Oct 2021 (see r. 2(c)); r. 9 and 10: 30 Dec 2021 (see r. 2(d)) | |
SL 2021/220 24 Dec 2021 | r. 1 and 2: 24 Dec 2021 (see r. 2(a)); Regulations other than r. 1 and 2: 1 Jan 2022 (see r. 2(b)) | |
SL 2022/139 29 Jul 2022 | r. 1 and 2: 29 Jul 2022 (see r. 2(a)); r. 3 and 4: 1 Sep 2022 (see r. 2(b)); Regulations other than r. 1‑4: 1 Mar 2023 (see r. 2(c)) | |
SL 2023/15 24 Feb 2023 | r. 1 and 2: 24 Feb 2023 (see r. 2(a)); Regulations other than r. 1 and 2: 1 Mar 2023 (see r. 2(b)) | |
SL 2023/71 16 Jun 2023 | Pt. 1: 16 Jun 2023 (see r. 2(a)); Pt. 2: 17 Jun 2023 (see r. 2(b)); Pt. 3: 1 Jul 2023 (see r. 2(c)) | |
SL 2023/105 30 Jun 2023 | r. 1 and 2: 30 Jun 2023 (see r. 2(a)); Regulations other than r. 1 and 2: 1 Jul 2023 (see r. 2(b)) | |
SL 2023/186 29 Nov 2023 | r. 1 and 2: 29 Nov 2023 (see r. 2(a)); Regulations other than r. 1, 2, 23, 26 and 41: 1 Dec 2023 (see r. 2(d)); r. 41: 2 Feb 2024 (see r. 2(c)); r. 23 and 26: 1 Jun 2024 (see r. 2(b)) | |
SL 2024/48 17 Apr 2024 | r. 1 and 2: 17 Apr 2024 (see r. 2(a)); Regulations other than r. 1 and 2: 18 Apr 2024 (see r. 2(b)) | |
SL 2024/220 30 Oct 2024 | r. 1 and 2: 30 Oct 2024 (see r. 2(a)); Regulations other than r. 1 and 2: 31 Oct 2024 (see r. 2(b)) | |
SL 2025/150 20 Aug 2025 | r. 1 and 2: 20 Aug 2025 (see r. 2(a)); r. 3‑10 and 12: 1 Sep 2025 (see r. 2(b)) | |
To view the text of the uncommenced provisions see
SL 2025/150 20 Aug 2025 | 1 Jan 2026 (see r. 2(c)) |
actively working towards..................................................................... 4(1), 10, 241(7)
approved anaphylaxis management training..................................................... 136(5)
approved certificate III level education and care qualification........................... 4(1)
approved diploma level education and care qualification................................... 4(1)
approved early childhood teaching qualification.................................................. 4(1)
approved education and care qualification.................................... 126(1A), 135(1A)
approved educator qualification.......................................................................... 369(1)
approved emergency asthma management training......................................... 136(5)
approved first aid qualification............................................................................ 136(5)
approved first educator qualification.................................................................. 369(1)
approved number of places....................................................................................... 4(1)
approved qualification........................................................................................ 368A(1)
ARIA+ score........................................................................................................ 239A(5)
authorised emergency contact.................................................................................. 4(1)
Authorised nominee............................................................................................... 160(3)
bankruptcy declaration............................................................................................... 4(1)
building law................................................................................................................. 4(1)
building permit............................................................................................................ 4(1)
building practitioner................................................................................................... 4(1)
centre-based service................................................................................................... 4(1)
certificate of final inspection.................................................................................... 4(1)
child over preschool age............................................................................................ 4(1)
child preschool age or under..................................................................................... 4(1)
commencement day........................................................................ 232, 395(1), 415(1)
criminal history record check................................................................................... 4(1)
criminal history statement......................................................................................... 4(1)
diagnosed as at risk of anaphylaxis......................................................................... 4(1)
disciplinary proceedings statement.......................................................................... 4(1)
early childhood service.............................................................................................. 162
early childhood teacher.............................................................................................. 4(1)
educational program....................................................................................... 4(1), 73(1)
education or early childhood service................................................................. 102AA
emergency................................................................................................... 4(1), 123(1A)
excursion...................................................................................................................... 4(1)
extra-large service....................................................................................................... 232
family assistance law.................................................................................................. 4(1)
family day care educator assistant........................................................................... 4(1)
financial declaration................................................................................................... 4(1)
first qualified educator.......................................................................................... 369(1)
hazardous water feature.......................................................................................... 373B
in attendance......................................................................................................... 4(1), 11
indexation factor.......................................................................................................... 232
index number.......................................................................................................... 233(1)
infectious disease........................................................................................................ 4(1)
initial entity.................................................................................................................. 216
kindergarten programme............................................................................................ 368
large service................................................................................................................. 232
medication.................................................................................................................... 4(1)
medium service............................................................................................................ 232
monetary order........................................................................................................ 384(2)
most recent March year......................................................................................... 233(1)
multi-storey building.................................................................................................. 4(1)
occupancy permit........................................................................................................ 3(1)
optical surveillance device........................................................................................ 4(1)
overseas criminal history statement......................................................................... 4(1)
parenting order........................................................................................................ 160(4)
parenting plan......................................................................................................... 160(4)
personal information................................................................................ 177(6), 178(8)
person in day-to-day charge................................................................................... 117A
planning and development law................................................................................. 4(1)
planning permit........................................................................................................... 4(1)
pre-kindergarten programme..................................................................................... 368
pre-primary programme............................................................................................. 368
preschool....................................................................................................................... 368
preschool program...................................................................................................... 4(1)
prescribed regulation............................................................................... 256(3), 257(5)
previous March year.............................................................................................. 233(1)
previous service statement........................................................................................ 4(1)
provided by a school................................................................................................... 368
public office................................................................................................................. 214
qualified educator................................................................................................... 369(1)
quarter...................................................................................................................... 233(1)
recognised estray provisions..................................................................................... 216
registered medical practitioner................................................................................. 4(1)
regular outing............................................................................................................... 4(1)
regular transportation................................................................................................. 4(1)
relevant administrative tribunal................................................................................ 210
relevant day............................................................................................................. 399(3)
relevant financial year 236C(4), 236D(6), 236E(5), 236F(2), 236G(4), 236H, 236I, 236J, 236K(3), 236L(5), 236M(1) and (2), 236O(4), 236P
relevant regulation................................................................................................. 242(3)
remote area........................................................................................................... 239A(5)
renovate........................................................................................................................ 4(1)
responsible person...................................................................................................... 4(1)
safety device.............................................................................................................. 373B
scheme commencement day..................................................................................... 4(1)
school............................................................................................................................ 368
secondary programme................................................................................................ 368
serious incident..................................................................................................... 4(1), 12
small service................................................................................................................. 232
soil assessment............................................................................................................ 3(1)
State collecting institution......................................................................................... 216
storey............................................................................................................................. 4(1)
suitably qualified person............................................................................................ 4(1)
the Law......................................................................................................................... 4(1)
vaping device............................................................................................................... 4(1)
vaping substance......................................................................................................... 4(1)
very remote area.................................................................................................. 239A(5)
virtual inspection................................................................................................. 373E(4)
water hazard safety inspection.............................................................. 373B, 373E(1)
water hazard safety inspection report................................................... 373B, 373E(1)
working directly with children.......................................................................... 4(1), 13
working with children check number...................................................................... 4(1)
working with vulnerable people check................................................................... 4(1)
working with vulnerable people registration.......................................................... 4(1)
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