Electricity (Network Safety) Regulations 2015 (WA)
Western Australia
Electricity Act 1945
Western Australia
Electricity Act 1945
These regulations are the
These regulations come into operation as follows —
(a) regulations 1 and 2 — on the day on which these regulations are published in the
Gazette ;(b) the rest of the regulations — on the day after that day.
(1) In these regulations, unless the contrary intention appears —
(a) a person engaged under a contract for services to carry out prescribed activities on a network; or
(b) a subcontractor of a person described in paragraph (a);
(a) transmission works operated by a network operator, including storage works connected to the transmission works, other than storage works that are not part of the transmission works; and
(b) distribution works operated by a network operator, including —
(i) generating works connected to the distribution works for the purposes of emergency or interim generation of electricity that are owned, hired, leased by, or otherwise under the control of, the network operator; and
(ia) storage works connected to the distribution works, other than storage works that are not part of the distribution works; and
(ii) service apparatus connected to the distribution works, other than service apparatus the property of a consumer or an owner or occupier of premises to which electricity is supplied; and
(iii) if the distribution works are used to supply electricity otherwise than to the premises of a consumer — apparatus to which the electricity is supplied;
and
(ba) stand‑alone power systems operated by a network operator; and
(c) works that would be covered by paragraph (a), (b) or (ba) except that they are no longer used to convey or distribute electricity, whether or not the works have been disconnected from generating works or from other transmission or distribution works;
(a) the likelihood of the hazard or the risk concerned occurring; and
(b) the degree of harm that might result from the hazard or the risk; and
(c) what the person concerned knows, or ought reasonably to know, about —
(i) the hazard or the risk; and
(ii) ways of eliminating or minimising the hazard or the risk;
and
(d) the availability and suitability of ways to eliminate or minimise the hazard or the risk; and
(e) after assessing the extent of the hazard or the risk and the available ways of eliminating or minimising the hazard or the risk — the cost associated with available ways of eliminating or minimising the hazard or the risk, including whether the cost is grossly disproportionate to the hazard or the risk;
(2) For the purposes of these regulations, a reference to the network, in relation to a network operator, is a reference to —
(a) if the network operator operates one network — that network; or
(b) if the network operator operates 2 or more networks — any of those networks.
(3) For the purposes of these regulations, a prescribed activity is carried out on a network if the prescribed activity is carried out in, on or in connection with the network.
(4) However, if a prescribed activity is carried out in the course of the construction, commissioning, maintenance or decommissioning of the network, the activity is not carried out in connection with the network unless it is carried out at the site at which the network is located or is being constructed.
(5) For the purposes of these regulations, the adequacy of plans, procedures, standards, work practices, instruction, training, supervision, records or other things must be assessed by reference to good industry practice.
(1) The following persons are network operators —
(a) the Electricity Networks Corporation established by the
Electricity Corporations Act 2005 section 4(1)(b);(b) the Regional Power Corporation established by the
Electricity Corporations Act 2005 section 4(1)(d);(c) Pilbara Iron Pty Ltd (ACN 107 216 535), or any successor to that company, operating transmission or distribution works under —
(i) the Agreement as defined in the
Iron Ore (Hamersley Range) Agreement Act 1963 section 2; or(ii) the Agreement as defined in the
Iron Ore (Robe River) Agreement Act 1964 section 2;
(d) Hamersley Iron Pty. Limited (ACN 004 558 276), or any successor to that company, operating transmission or distribution works under the Agreement as defined in the
Iron Ore (Hamersley Range) Agreement Act 1963 section 2;(e) each of the Robe River Joint Venture participants, or any successor to any of those companies, operating transmission or distribution works under the Agreement as defined in the
Iron Ore (Robe River) Agreement Act 1964 section 2;(f) BHP Iron Ore Pty Ltd (ACN 008 700 981), or any successor to that company, operating transmission or distribution works under the Agreement as defined in the
Iron Ore (Mount Newman) Agreement Act 1964 section 2;(g) each of the Newman Joint Venture participants, or any successor to any of those companies, operating transmission or distribution works under the Agreement as defined in the
Iron Ore (Mount Newman) Agreement Act 1964 section 2;(h) a person, other than a person referred to in paragraph (a), (b), (c), (d), (e), (f) or (g), who, under the
Electricity Industry Act 2004 , holds or is required to hold —(i) a transmission licence; or
(ii) a distribution licence; or
(iii) an integrated regional licence that authorises the holder to carry out one or more of the activities described in section 4(1)(b) and (c) of that Act.
(2) For the purposes of subregulation (1)(e), the Robe River Joint Venture participants are —
(a) Mitsui Iron Ore Development Pty Ltd (ACN 008 734 361);
(b) Nippon Steel Raw Materials Australia Pty Ltd (ACN 001 444 604);
(c) Nippon Steel Australia Pty. Limited (ACN 001 445 049);
(d) North Mining Limited (ACN 000 081 434);
(e) Robe River Mining Co. Pty. Ltd. (ACN 008 694 246).
(3) For the purposes of subregulation (1)(g), the Newman Joint Venture participants are —
(a) BHP Minerals Pty Ltd (ACN 008 694 782);
(b) Mitsui‑Itochu Iron Pty Ltd (ACN 008 702 761);
(c) Itochu Minerals & Energy of Australia Pty Ltd (ACN 009 256 259).
(1) For the purposes of these regulations, the persons for whom a network operator is responsible are —
(a) each employee of the network operator;
(b) each contractor of the network operator;
(c) each employee of a contractor of the network operator;
(d) any other person instructed or authorised by the network operator to carry out prescribed activities on the network.
(2) For the purposes of these regulations, the persons for whom a contractor is responsible are —
(a) each employee of the contractor;
(b) each subcontractor of the contractor;
(c) each employee of a subcontractor of the contractor.
Part 2 – Network safety
(1) A network operator must ensure, so far as is reasonably practicable, that the network of the network operator is designed, constructed, operated and maintained so as to ensure that it is safe.
Penalty for this subregulation: a fine of $250 000.
(2) A network operator contravenes subregulation (1) if the network operator fails to —
(a) develop, implement and maintain adequate —
(i) design standards and construction procedures for the network; or
(ii) plans and procedures for the inspection, testing, maintenance and replacement of the network or parts of it; or
(iii) operating standards and procedures for the operation of the network;
or
(b) regularly review the design, engineering and operation of the network for safety and effectiveness, in accordance with good industry practice.
(3) Subregulation (2) does not limit the generality of subregulation (1).
(4) A network operator must maintain records that are sufficient to demonstrate the extent of the network operator’s compliance with its duty under subregulation (1).
Penalty for this subregulation: a fine of $250 000.
(5) A network operator must —
(a) maintain adequate records of the location of the network; and
(b) make those records available on request to a person who, for reasons of safety, requires access to the records.
Penalty for this subregulation: a fine of $250 000.
(1) A network operator must ensure, so far as is reasonably practicable, that each prescribed activity carried out on the network is carried out safely.
Penalty for this subregulation: a fine of $250 000.
(2) A network operator contravenes subregulation (1) if the network operator fails to —
(a) develop, implement and maintain adequate work practices relating to prescribed activities; or
[(b) deleted] (c) provide, so far as is reasonably practicable, adequate instruction, training and supervision to persons for whom the network operator is responsible, taking into account the nature of the prescribed activities carried out by those persons and the competence of those persons; or
(d) ensure, so far as is reasonably practicable, that persons who are carrying out prescribed activities on the network, and for whom the network operator is responsible, comply with the plans, procedures and standards referred to in regulation 5A(2)(a); or
(e) ensure, so far as is reasonably practicable, that persons who are carrying out prescribed activities on the network, and for whom the network operator is responsible, comply with the work practices applicable to the prescribed activities; or
(f) regularly review the work practices applicable to prescribed activities carried out on the network for safety and effectiveness.
(3) Subregulation (2) does not limit the generality of subregulation (1).
(4) A network operator must maintain records that are sufficient to demonstrate the extent of the network operator’s compliance with its duty under subregulation (1).
Penalty for this subregulation: a fine of $250 000.
(1) A contractor must ensure, so far as is reasonably practicable, that each prescribed activity carried out on a network by a person for whom the contractor is responsible is carried out safely.
Penalty for this subregulation:
(a) for an individual, a fine of $50 000;
(b) for a body corporate, a fine of $250 000.
(2) A contractor contravenes subregulation (1) if the contractor fails to —
(a) provide, so far as is reasonably practicable, adequate instruction, training and supervision to persons for whom the contractor is responsible, taking into account the nature of the prescribed activities carried out by those persons and the competence of those persons; or
(b) ensure, so far as is reasonably practicable, that persons who are carrying out prescribed activities on the network, and for whom the contractor is responsible, comply with the design of the network; or
(c) ensure, so far as is reasonably practicable, that persons who are carrying out prescribed activities on the network, and for whom the contractor is responsible, comply with the work practices applicable to the prescribed activities.
(3) Subregulation (2) does not limit the generality of subregulation (1).
(1) An individual must, in carrying out a prescribed activity on a network, ensure, so far as is reasonably practicable, that the activity is carried out safely.
Penalty for this subregulation: a fine of $50 000.
(2) An individual contravenes subregulation (1) if the individual, in carrying out the prescribed activity, fails to —
(a) comply with the design of the network; or
(b) comply with the work practices applicable to the prescribed activity.
(3) Subregulation (2) does not limit the generality of subregulation (1).
(1) In this regulation —
(a) anything at a place where a prescribed activity is being carried out on a network that is a risk to safety; or
(b) the condition of any part of the network that is a risk to safety.
(2) If a network operator becomes aware of a risk to safety in relation to a network of the network operator, the network operator must, as soon as is reasonably practicable, investigate the risk.
Penalty for this subregulation: a fine of $250 000.
(3) Subregulation (2) does not apply to a risk that is inherent.
(4) If a person for whom a network operator is responsible becomes aware of a risk to safety in relation to a network of the network operator, the person must, as soon as is reasonably practicable, notify the network operator of the risk, unless the person knows that the network operator has already been notified.
Penalty for this subregulation:
(a) for an individual, a fine of $50 000;
(b) for a body corporate, a fine of $250 000.
(5) If an investigation reveals that there is a risk to safety, the network operator must ensure, so far as is reasonably practicable, that —
(a) the risk is minimised or eliminated, as soon as is reasonably practicable; and
(b) until the risk is minimised or eliminated, no prescribed activity is carried out on any affected part of the network, other than work to minimise or eliminate the risk.
Penalty for this subregulation: a fine of $250 000.
(6) The requirements imposed by this regulation are in addition to any requirements applying under an applicable safety management system.
This Division applies to and in relation to a network operator referred to in regulation 4(1)(a), (b), (c), (d), (e), (f) or (g).
(1) The obligations in this Division apply to and in relation to a network operator, and each network of the network operator, on and after the earlier of —
(a) the day that the network operator nominates as the day on which the obligations commence to apply to the network operator; and
(b) the implementation day for the network operator.
(2) To nominate a day for the purposes of subregulation (1)(a), a network operator must notify the Director in writing of the day, at least 20 working days prior to the day.
(3) If the day nominated by a network operator for the purposes of subregulation (1)(a) is before the implementation day for the network operator, the Director must publish notice of that day on a website maintained on behalf of the Director.
(4) The implementation day for a network operator is —
(a) the last day of the 2 year period immediately following the day on which the network operator becomes a network operator; or
(b) if a later day is approved by the Director under subregulation (5) for the network operator — the day approved.
(5) The Director may, on application by a network operator, approve in writing a day that is later than the day specified in subregulation (4)(a) as the implementation day for the network operator if the Director considers it appropriate in the circumstances to do so.
(6) An application for an approval under subregulation (5) must —
(a) be in writing; and
(b) nominate a day by which the network operator intends to have developed its safety management system; and
(c) state the reasons for the application.
(7) If the Director approves a day under subregulation (5), the Director must publish notice of that day on a website maintained on behalf of the Director.
(8) This regulation has effect subject to regulation 12.
(1) Subregulation (2) applies to a person if —
(a) the operation of a network is transferred to the person; and
(b) the obligations in this Division did not apply to the person before the transfer; and
(c) the person is the network operator of the network after the transfer (whether or not the person was a network operator before the transfer); and
(d) immediately before the transfer, the obligations in this Division applied to the network operator of the network (the
prior network operator ).
(2) If this subregulation applies to a person —
(a) this Division applies to and in relation to the person, whether or not the person is a network operator described in regulation 10; and
(b) the obligations in this Division apply to and in relation to the person on and from —
(i) if the prior network operator had, or was required to have, a safety management system in relation to the network — the day on which the operation of the network is transferred to the person; or
(ii) if subparagraph (i) does not apply — the day worked out under regulation 11 in relation to the person, as if the 2 year period referred to in regulation 11(4)(a) were the 2 year period applicable to the first person to become a network operator in relation to the network.
13. Requirement to have safety management system
(1) A network operator must have a safety management system that —
(a) applies to all networks of the network operator; and
(b) complies with AS 5577.
Penalty for this subregulation: a fine of $250 000.
(2) Subregulation (1)(b) is subject to regulation 14.
(1) A network operator must review and revise its safety management system in accordance with AS 5577.
Penalty for this subregulation: a fine of $250 000.
(2) If AS 5577 is amended, a network operator must revise its safety management system so that it complies with the standard, as amended, before the later of —
(a) the time (if any) specified for that in the amendment; and
(b) the end of the period of 6 months after the day on which the amendment is published, or that period as extended under subregulation (3).
Penalty for this subregulation: a fine of $250 000.
(3) The Director may, on application by a network operator, extend the period of 6 months if the Director considers it appropriate in the circumstances to do so.
(4) An application for an extension under subregulation (3) must —
(a) be in writing; and
(b) nominate a day by which the network operator intends to have revised its safety management system; and
(c) state the reasons for the application.
(5) If the Director extends the 6 month period, the Director must give notice of the extension to the network operator and publish notice of the extension on a website maintained on behalf of the Director.
(1) A network operator must ensure, so far as is reasonably practicable, that each prescribed activity carried out on the network is carried out in accordance with the network operator’s safety management system.
Penalty for this subregulation: a fine of $250 000.
(2) A network operator must ensure, so far as is reasonably practicable, that all other requirements of the safety management system (including, without limitation, auditing and record‑keeping requirements) are complied with.
Penalty for this subregulation: a fine of $250 000.
(3) A contractor must ensure, so far as is reasonably practicable, that each prescribed activity carried out on the network by the contractor or a person for whom the contractor is responsible is carried out in accordance with the network operator’s safety management system.
Penalty for this subregulation:
(a) for an individual, a fine of $50 000;
(b) for a body corporate, a fine of $250 000.
(1) Compliance by a network operator with the network operator’s safety management system is evidence of compliance with regulations 5A and 6.
(2) In relation to a prescribed activity carried out on a network by a contractor, or a person for whom the contractor is responsible, compliance by the contractor with the network operator’s safety management system is evidence of compliance with regulation 7.
(1) In this Division —
(a) a standard or code published under a law of any jurisdiction in Australia; or
(b) a standard or code published by Standards Australia or Standards New Zealand or both; or
(c) a standard or code published by any other body and approved by the Director under subregulation (2); or
(d) a standard or code specified in Schedule 1;
(2) The Director may approve a standard or code in writing for the purposes of paragraph (c) of the definition of
evidentiary provision in subregulation (1).(3) A network operator may submit a standard or code to the Director for approval under subregulation (2).
(4) The Director may at any time revoke an approval under subregulation (2).
(5) If the Director approves a standard or code, the Director must publish notice of that on a website maintained on behalf of the Director.
This Division applies to and in relation to a network operator if the network operator is not required to have a safety management system under Division 2.
(1) A network operator must ensure, so far as is reasonably practicable, that each prescribed activity carried out on the network is carried out in such a way as to comply with each obligatory provision that applies to the prescribed activity.
Penalty for this subregulation: a fine of $250 000.
(2) A contractor must ensure, so far as is reasonably practicable, that each prescribed activity carried out on a network by the contractor, or a person for whom the contractor is responsible, is carried out in such a way as to comply with each obligatory provision that applies to the prescribed activity.
Penalty for this subregulation:
(a) for an individual, a fine of $50 000;
(b) for a body corporate, a fine of $250 000.
(1) Compliance by a network operator with —
(a) an obligatory provision that applies to a prescribed activity; or
(b) an evidentiary provision that —
(i) applies to a prescribed activity; and
(ii) is not inconsistent with an obligatory provision that applies to the prescribed activity,
is evidence of compliance with regulation 6 in relation to that prescribed activity.
(2) Compliance by a contractor with —
(a) an obligatory provision that applies to a prescribed activity; or
(b) an evidentiary provision that —
(i) applies to a prescribed activity; and
(ii) is not inconsistent with an obligatory provision that applies to the prescribed activity,
is evidence of compliance with regulation 7 in relation to that prescribed activity.
(1) A network operator must ensure, so far as is reasonably practicable, that each person for whom the network operator is responsible who carries out a prescribed activity on the network —
(a) is provided with access to information setting out work standards, procedures and practices that are relevant to the activity and consistent with the requirements of these regulations; and
(b) has been given instruction and training, and has been assessed as competent, in the safe application and use of those standards, procedures and practices.
Penalty for this subregulation: a fine of $250 000.
(2) A contractor must ensure, so far as is reasonably practicable, that each person for whom the contractor is responsible who carries out a prescribed activity on a network —
(a) is provided with access to information setting out work standards, procedures and practices that are relevant to the activity and consistent with the requirements of these regulations; and
(b) has been given instruction and training, and has been assessed as competent, in the safe application and use of those standards, procedures and practices.
Penalty for this subregulation:
(a) for an individual, a fine of $50 000;
(b) for a body corporate, a fine of $250 000.
In this Division —
(a) the discharge of electricity from the network that —
(i) causes the electric shock, injury or death of a person or the death of livestock; or
(ii) causes a fire, in vegetation, that extends for more than 200 m from its origin; or
(iii) causes a fire in a building or structure that is not a part of the network; or
(iv) causes a fire in or on a part of the network, other than a fire on a pole; or
(v) causes a part of the network to fail in a way that would expose persons in the vicinity to the risk of injury or death (whether or not there was anybody in the vicinity), for example, an explosion; or
(vi) was caused by a third party making contact with a part of the network, if that part of the network did not, at the time of the incident, comply with the design and construction standards applicable to that part at the time of its design and construction; or
(vii) was caused by a failure, while a prescribed activity was being carried out on the network, to follow or apply good industry practice in relation to the activity; or
(viii) was caused by contact with exposed metal parts of underground cables that were not insulated but should have been according to good industry practice;
(b) the supply of electricity to consumers in a way that does not comply with section 25(1)(d) of the Act and that causes damage to one or more consumer’s installations, if the cost of rectifying the damage is likely to exceed $20 000 in aggregate;
(c) a consumer’s installation becoming unsafe because of an error in —
(i) connecting the network to the installation; or
(ii) connecting a meter to the installation;
(d) a faulty neutral connection on the network that affects at least 2 consumers;
(a) the network operator; or
(b) a person instructed or authorised by the network operator to do so.
(1) If a network operator has reasonable grounds to suspect that a notifiable incident has occurred in relation to the network the network operator must —
(a) notify the Director of the incident, in a manner approved by the Director, as soon as possible after the network operator becomes aware of the incident; and
(b) include in the notification all readily available details of the operation of any protective device that occurred on the network and that related, or may have related, to the incident.
Penalty for this subregulation: a fine of $250 000.
(2) The network operator must investigate the incident.
Penalty for this subregulation: a fine of $250 000.
(3) The network operator must ensure, so far as is reasonably practicable, that physical evidence relating to the incident is secured and retained until —
(a) the Director has notified the network operator that the physical evidence is no longer required to be retained; or
(b) the Director, with the agreement of the network operator, takes possession of the evidence.
Penalty for this subregulation: a fine of $250 000.
(4) If, after notifying the Director of the incident, the network operator becomes satisfied on reasonable grounds that the incident is not a notifiable incident, the network operator must notify the Director of that, as soon as is reasonably practicable.
Penalty for this subregulation: a fine of $250 000.
(5) The requirement to secure physical evidence under subregulation (3) is satisfied if —
(a) the network operator moves the evidence to a place where it is secure from damage and interference; or
(b) in a case where it is impracticable for the evidence to be moved as described in paragraph (a) —
(i) the evidence is at a site the subject of a notification by the Director under regulation 25(1); or
(ii) the network operator has made arrangements, that are approved by the Director, to secure the evidence.
(6) A person must not dispose of or destroy physical evidence relating to the incident while it is required to be retained under subregulation (3).
Penalty for this subregulation:
(a) for an individual, a fine of $50 000;
(b) for a body corporate, a fine of $250 000.
(1) Unless the network operator has notified the Director under regulation 23(4) that the network operator is satisfied that the incident is not a notifiable incident, the network operator must —
(a) prepare a report of the investigation of the incident in accordance with subregulation (2); and
(b) give the report to the Director within 30 working days after the day on which the incident occurred or any extension of that period the Director, in writing, allows.
Penalty for this subregulation: a fine of $250 000.
(2) The report must —
(a) be in a form acceptable to the Director; and
(b) describe the incident; and
(c) identify the cause of the incident or state that the cause of the incident is not known; and
(d) describe the steps taken to investigate the incident; and
(e) indicate whether the network operator proposes to revise its safety management system (if one applies to the network) and, if so, how and by when; and
(f) include or be accompanied by the following —
(i) any photographs, videos, maps or diagrams that the network operator has that are relevant to the incident;
(ii) any opinions obtained from experts in relation to the incident;
(iii) the results of any tests conducted to determine the cause of the incident;
(iv) maintenance records relating to the apparatus involved in the incident;
(v) any other information that the network operator considers relevant to the investigation of the incident.
(1) This regulation applies to and in relation to a network operator if the Director has notified the network operator that an electricity inspector proposes to exercise his or her powers under the
Energy Coordination Act 1994 section 14 in relation to the site of a notifiable incident or suspected notifiable incident.(2) The network operator must ensure, so far as is reasonably practicable, that the site of the incident is not disturbed in such a way as to prejudice the examination of the site or physical evidence relating to the incident.
Penalty for this subregulation: a fine of $250 000.
(3) The network operator must ensure, so far as is reasonably practicable, that each contractor who may carry out a prescribed activity at or near the site is notified that the site must not be disturbed in such a way as to prejudice the examination of the site or physical evidence relating to the incident.
Penalty for this subregulation: a fine of $250 000.
(4) If a contractor has been notified under subregulation (3), the contractor must ensure, so far as is reasonably practicable, that the site of the incident is not disturbed by the contractor, or a person for whom the contractor is responsible, in such a way as to prejudice the examination of the site or the evidence.
Penalty for this subregulation:
(a) for an individual, a fine of $50 000;
(b) for a body corporate, a fine of $250 000.
(5) Subregulations (2) and (4) do not apply if the disturbance is in accordance with an approval of the Director given in relation to the incident.
(1) Regulation 23(3) and (6) do not apply to particular physical evidence, to the extent necessary to allow for destructive testing of the evidence, if —
(a) the network operator believes that destructive testing of the evidence is required; and
(b) the network operator has notified the Director of that belief; and
(c) the Director has not, within 5 working days after the day on which the Director was notified, prohibited the testing.
(2) If a network operator proposes to carry out destructive testing of particular physical evidence to which regulation 23(3) applies, the Director may nominate a person to witness the testing.
(3) The network operator must permit a person nominated under subregulation (2) to witness the testing.
Penalty for this subregulation: a fine of $250 000.
The Director may, from time to time, publish statistical information derived from reports and notifications under this Division.
In this Division —
(a) in relation to a pole, overhead conductor or stay wire — AS/NZS 7000 or the equivalent standard or code applicable at the time the pole, conductor or wire was installed;
(b) in relation to a low voltage underground cable — AS/NZS 3000 or the equivalent standard or code applicable at the time the underground cable was installed;
(c) in relation to a high voltage underground cable — AS 2067 or the equivalent standard or code applicable at the time the underground cable was installed;
(a) a force exceeding the failure limit or design wind load specified in the applicable standard; or
(b) a lightning strike, earthquake, fire or flood; or
(c) malicious damage; or
(d) excavation other than by a person for whom the network operator is responsible; or
(e) any other similar occurrence beyond the control of the network operator.
This Division applies to and in relation to a network operator referred to in regulation 4(1)(a), (b), (c), (d), (e), (f) or (g).
(1) In this Division,
network safety performance incident , in relation to a network, means —(a) a discharge of electricity from the network that causes the electric shock, injury or death of a person or the death of livestock; or
(b) an incident caused by the network, other than a fire, that causes damage to property other than to the network; or
(c) a fire caused by the network that causes damage to property other than to the network; or
(d) a fire, on a pole that is a part of the network, that originated on the pole; or
(e) the contacting of 2 or more conductors of the network, of different phases, caused by temperature variations or wind; or
(f) an unassisted failure of a pole that is a part of the network; or
(g) an unassisted failure of an overhead conductor that is a part of the network; or
(h) an unassisted failure of a stay wire that is a part of the network; or
(i) an unassisted failure of an underground cable that is a part of the network.
(2) In this Division, the types of network safety performance incident are —
(a) each type of incident described in subregulation (1)(a) to (1)(c); and
(b) a fire on a pole, as described in subregulation (1)(d), according to whether the pole was a part of transmission or distribution works; and
(c) the contacting of conductors, as described in subregulation (1)(e), according to whether the conductors were a part of transmission or distribution works; and
(d) an unassisted failure of a pole according to whether the pole was a part of transmission or distribution works and according to the following categories of material out of which the pole is made — hard wood, soft wood, steel, concrete, aluminium, composite fibre and other; and
(e) an unassisted failure of an overhead conductor according to whether the conductor was a part of transmission or distribution works; and
(f) an unassisted failure of a stay wire according to whether the wire was a part of transmission or distribution works; and
(g) an unassisted failure of an underground cable according to whether the cable was a part of transmission or distribution works.
(1) A network operator must, on or before each 30 November —
(a) give the Director a statement of network safety performance objectives that complies with subregulations (2) to (4); and
(b) publish the statement on a website maintained by the network operator.
Penalty for this subregulation: a fine of $250 000.
(2) The statement must set out, for each type of network safety performance incident, the network operator’s objective in relation to the maximum number of incidents of that type occurring in relation to the network during the financial year in which the 30 November occurs and each of the next 3 financial years.
(3) For unassisted failures of poles, the statement must also set out the network operator’s objectives in terms of maximum rates of failure, according to whether the pole was a part of transmission or distribution works.
(4) The statement must explain how the network operator developed the objectives and demonstrate that the objectives are consistent with the construction and maintenance programme of the operator for each of the years.
(5) The network operator must ensure that the statement remains published on a website maintained by the network operator for 4 years.
Penalty for this subregulation: a fine of $250 000.
(6) For a network operator that is a network operator on the day on which this regulation comes into operation, subregulations (1) and (2) are modified so that the first statement under subregulation (1) must —
(a) be given and published before 1 October 2015; and
(b) cover the financial year commencing on 1 July 2015 and the next 2 financial years.
(1) This regulation applies to each financial year that begins after a network operator is required to give its first statement of network safety performance objectives under regulation 31.
(2) The network operator must, within 40 working days after the end of each quarter in the year —
(a) give the Director a statement of network safety performance outcomes for that quarter that complies with subregulations (3) and (4); and
(b) publish the statement on a website maintained by the network operator.
Penalty for this subregulation: a fine of $250 000.
(3) The statement of network safety performance outcomes must set out, for each type of network safety performance incident —
(a) the network operator’s current objective in relation to the maximum number of incidents of that type for the year, as published under regulation 31; and
(b) the number of incidents of that type that occurred in relation to the network during the quarter; and
(c) the number of incidents of that type that occurred in relation to the network during the period beginning at the start of the year and ending at the end of the quarter.
(4) For unassisted failures of poles, the statement must also set out the matters in subregulation (3) in terms of rates of failure, according to whether the pole was a part of transmission or distribution works.
(5) The network operator must ensure that the statement of network safety performance outcomes —
(a) remains published on a website maintained by the network operator for 4 years; and
(b) is not amended unless the Director approves the proposed amendment.
Penalty for this subregulation: a fine of $250 000.
(1) The Director may publish statements given under regulations 31 and 32 on a website maintained on behalf of the Director.
(2) The Director may publish, along with those statements, the Director’s opinion as to the appropriateness of the objectives and outcomes and the Director’s assessment of the network operator’s network safety performance based on those statements.
(1) This Part applies to a decision of the Director —
(a) under regulation 11(5) to refuse to approve a day that is later than the day specified in regulation 11(4)(a) as the implementation day for a network operator; or
(b) under regulation 14(3) to refuse to extend the period for the revision of a network operator’s safety management system; or
(c) under regulation 17(2) to refuse to approve a standard or code; or
(d) under regulation 17(4) to revoke the approval of a standard or code; or
(e) under regulation 24(1)(b) to refuse to extend the period in which to give a report of the investigation of an incident; or
(f) under regulation 32(5)(b) to refuse to approve a proposed amendment to a statement of network safety performance outcomes; or
(g) under regulation 35(5) to refuse to stay or modify the operation of a decision of the Director the subject of a review under this Part.
(2) If the Director makes a decision listed in subregulation (1), the Director must notify the person or each person the subject of the decision or directly affected by it.
(1) A person aggrieved by a decision to which this Part applies may apply in writing to the Director for a review of the decision.
(2) An application for review is to be made within 10 working days after the day on which the applicant receives notice of the decision.
(3) The Director may, in a particular case, extend the period referred to in subregulation (2).
(4) The Director must give the applicant a reasonable opportunity to make submissions in relation to the review.
(5) The Director may suspend the operation or effect of the decision until the determination of the review.
(6) The Director, after considering submissions (if any) made under subregulation (4) may determine the application by confirming, varying or reversing the decision.
(7) The Director must give written notice of his or her determination and the reasons for it to the applicant.
(8) The Director may publicise his or her determination in the manner the Director thinks fit.
(1) A person aggrieved by a determination of the Director under regulation 35 may —
(a) if a question of law is involved — apply to the State Administrative Tribunal for a review of the decision; or
(b) in any other case — request that a technical review panel review the decision.
(2) A request for review under subregulation (1)(b) must —
(a) be made to the CEO within 30 days after the day on which the person receives written notice of the determination; and
(b) be in writing; and
(c) set out the grounds on which the request is made; and
(d) set out any submissions that the person wishes to make in relation to the review.
(3) If a request for review is made under subregulation (1)(b), the CEO must convene a technical review panel unless satisfied that the request is frivolous or vexatious.
(4) The State Administrative Tribunal or the technical review panel (whichever is relevant) may suspend the operation or effect of the decision until the determination of the review.
(5) If the decision is sent back to the Director under the
State Administrative Tribunal Act 2004 section 29(3)(c)(ii) for reconsideration —(a) the Director must make a new decision, in accordance with any directions or recommendations of the State Administrative Tribunal, within 20 working days after the day on which the Director receives notice of the Tribunal’s determination; and
(b) the new decision is not subject to review under regulation 35; and
(c) the
State Administrative Tribunal Act 2004 section 29(4) does not apply in relation to the new decision.
(6) On a review under subregulation (1)(b), the technical review panel may determine the review by confirming, varying or cancelling the decision, and the determination of the panel is final.
(7) If the technical review panel cancels the decision, the Director may make a new decision, in accordance with the panel’s determination, within 20 working days after the day on which the Director receives notice of the panel’s determination, and the new decision is not subject to review under regulation 35.
(1) If the CEO is required to convene a technical review panel, the CEO must convene a panel of 3 persons who are independent of the particular matter that is the subject of the decision being reviewed.
(2) Each member of a technical review panel is to be paid the remuneration and allowances that the Minister, on the recommendation of the Public Sector Commissioner, determines for that member.
(3) Subregulation (2) does not apply to an employee as defined in the
Public Sector Management Act 1994 section 3(1).(4) The CEO must provide a technical review panel with the support services it may reasonably require.
(1) A technical review panel may inform itself about a relevant matter in any manner it considers appropriate and may determine its own procedure.
(2) A technical review panel must give the Director —
(a) a copy of the request for review; and
(b) a reasonable opportunity to make submissions in relation to the review.
(3) The technical review panel must —
(a) complete the review by making a determination under regulation 36(6) within the period specified by the CEO in writing; and
(b) give written notice of its determination to the Director and the person who requested the review.
39. Technical review panels: costs (1) If a technical review panel confirms the decision under review, the person who requested the review is liable to pay the reasonable costs of the review.
(2) The CEO may seek an order for the recovery of those costs in a court of competent jurisdiction.
(3) The reasonable costs of a review include —
(a) remuneration and allowances paid to the members of a technical review panel convened for the purposes of the review;
(b) costs of consultants or contractors engaged by the CEO for the purposes of the review, including accommodation costs, travel costs and equipment costs;
(c) photocopying, mailing and similar administrative costs.
Part 5 – Miscellaneous
(1) Subregulation (2) applies in relation to the companies listed in regulation 4(2) (that is, the Robe River Joint Venture participants).
(2) If one of the companies is charged with an offence constituted by a breach of an obligation under these regulations (other than regulation 41), it is a defence to prove that another of the companies complied with that obligation.
(3) Subregulation (4) applies in relation to the companies listed in regulation 4(3) (that is, the Newman Joint Venture participants).
(4) If one of the companies is charged with an offence constituted by a breach of an obligation under these regulations (other than regulation 41), it is a defence to prove that another of the companies complied with that obligation.
(1) In this regulation —
(2) A person who is a network operator on the day on which this regulation comes into operation must, within 20 working days after that day, give the Director a notice —
(a) stating that the person is a network operator; and
(b) setting out the transmission or distribution works of which the person is the network operator; and
(c) setting out the person’s ACN (or equivalent) and contact details; and
(d) listing all related bodies corporate.
Penalty for this subregulation: a fine of $250 000.
(3) A person who is to become the network operator of particular transmission or distribution works after the day on which this regulation comes into operation must, at least 30 working days before the day on which the person will become the network operator of those works, give the Director a notice —
(a) stating that the person is to become the network operator of those works; and
(b) setting out the day on which that is to occur; and
(c) setting out the person’s ACN (or equivalent) and contact details; and
(d) listing all related bodies corporate.
Penalty for this subregulation: a fine of $250 000.
(4) A network operator who is to cease to be an operator of particular transmission or distribution works must, at least 30 working days before the day on which the network operator ceases to be the operator of the works, give the Director a notice —
(a) stating that the person will cease to be the operator of the works; and
(b) setting out the day on which that is to occur.
Penalty for this subregulation: a fine of $250 000.
(5) If there is a change in the name or contact details of a network operator, the network operator must, within 10 working days after the day on which the change occurs, give the Director a notice setting out the new name or contact details.
Penalty for this subregulation: a fine of $250 000.
(6) A notice under this regulation must be in a form approved by the Director.
(7) For the purposes of this regulation, a body corporate is related to a person if it is a related body corporate within the meaning of the
Corporations Act 2001 (Commonwealth) section 9.
The
(1) This regulation amends the
Electricity (Licensing) Regulations 1991 .(2) In regulation 63(7)(a):
(a) delete “a notifiable” and insert:
an
(b) delete “
Electricity (Supply Standards and System Safety) Regulations 2001 regulation 35(1)(a); and” and insert:
Electricity (Network Safety) Regulations 2015 regulation 23(1); and
(1) This regulation amends the
Electricity Regulations 1947 .(2) Delete Schedule 1 Table 4 and insert:
r. 13(1) | Failure by network operator to have safety management system | $50 000 | |
r. 14(1) | Failure by network operator to review and revise safety management system | $50 000 | |
r. 14(2) | Failure by network operator to revise safety management system following amendment of AS 5577 | $50 000 | |
r. 23(6) | Destroying or disposing of physical evidence relating to incident | $5 000 | $50 000 |
r. 24(1) | Failure by network operator to give report, that complies with regulation 24(2), on incident within required time | $10 000 | |
r. 24(1) | Failure by network operator to give report on incident within required time | $50 000 | |
r. 26(3) | Failure by network operator to permit witnessing of testing | $50 000 | |
r. 31(1) | Failure by network operator to give or publish statement of network safety performance objectives | $10 000 | |
r. 32(2) | Failure by network operator to give or publish statement of network safety performance outcomes | $10 000 | |
r. 41(2) | Failure by network operator to inform Director and give details | $5 000 | |
r. 41(3) | Failure by person who is to become network operator to inform Director and give details | $5 000 | |
r. 41(4) | Failure by person who is to cease to be network operator to inform Director and give details | $5 000 | |
r. 41(5) | Failure by network operator to give notice of change in name or contact details | $5 000 | |
(3) In Schedule 2 Forms 1 and 2 delete “
Electricity (Supply Standards and System Safety) Regulations 2001 r.” and insert:
In this Division —
(1) If, immediately before commencement day, a standard or code was a standard or code approved by the Director under regulation 11(1)(c) of the repealed regulations, the standard or code becomes, on commencement day, a standard or code approved by the Director under regulation 17(2).
(2) Subregulation (1) does not prevent the revocation of the approval under regulation 17(4).
(3) If a decision by the Director under regulation 11(2) of the repealed regulations to refuse to approve a standard or code was made within 10 working days before commencement day, the decision has effect for the purposes of regulation 34 as if made under regulation 17(2).
Regulation 24 applies in relation to a notifiable incident (as defined in regulation 34 of the repealed regulations) that occurred before commencement day in, on or in connection with a network (as defined in regulation 3(1) of the repealed regulations) if —
(a) the report of the incident under regulation 36 of the repealed regulations was not submitted before commencement day; and
(b) the period for the submission of the report had not expired before commencement day.
[r. 17]
Code of Practice for Safe Low Voltage Work Practices by Electricians, published by the Director in December 2017.
Utility Providers Code of Practice for Western Australia, produced by the Utility Providers Services Committee and applicable from 1 March 2018.
WA Electrical Requirements, published by the Director in December 2019.
AS 2676.1:2020 Guide to the installation, maintenance, testing and replacement of secondary batteries in buildings — Part 1: Vented cells.
AS 2676.2:2020 Guide to the installation, maintenance, testing and replacement of secondary batteries in buildings — Part 2: Sealed cells.
AS 5577‑2013 Electricity network safety management systems.
AS/NZS 3000:2018 Electrical installations (known as the Australian/New Zealand Wiring Rules).
AS/NZS 3013:2005 Electrical installations — Classification of the fire and mechanical performance of wiring system elements.
AS/NZS 3100:2017 Approval and test specification — General requirements for electrical equipment.
AS/NZS 60479.1:2010 Effects of current on human beings and livestock — Part 1: General aspects.
ENA Doc 008‑2006 National guidelines on electrical safety for emergency service personnel.
ENA Doc 015‑2006 National guidelines for prevention of unauthorised access to electricity infrastructure.
ENA Doc 018‑2015 Guideline for the fire protection of electricity substations.
ENA Doc 044‑2020 Guideline for energised low voltage work.
Code of Practice for Personnel Electrical Safety for Vegetation Control Work Near Live Power Lines, published by the Director in May 2021.
AS/NZS 1768:2007 Lightning protection.
AS 3891.1:2021 Air navigation — Cables and their supporting structures — Marking and safety requirements — Part 1: Marking of overhead cables and supporting structures.
AS 3891.2:2018 Air navigation — Cables and their supporting structures — Marking and safety requirements — Part 2: Low level aviation operations.
AS 1319‑1994 Safety signs for the occupational environment.
AS 62271.1:2019 High-voltage switchgear and controlgear — Part 1: Common specifications for alternating current switchgear and controlgear (IEC 62271‑1:2017 MOD).
AS 2865‑2009 Confined spaces.
AS 60076.1:2014 Power transformers — Part 1: General (IEC 60076‑1, Ed. 3.0 (2011) MOD).
AS 60076.11‑2006 Power transformers — Part 11: Dry‑type transformers.
ENA Doc 007‑2006 Specification for polemounting distribution transformers.
AS 2832.1:2015 Cathodic protection of metals — Part 1: Pipes and cables.
AS/NZS 2648.1:1995 Underground marking tape — Part 1: Non‑detectable tape.
AS/NZS 3835.1:2006 Earth potential rise — Protection of telecommunications network users, personnel and plant — Part 1: Code of practice.
AS/NZS 3835.2:2006 Earth potential rise — Protection of telecommunications network users, personnel and plant — Part 2: Application guide.
HB 100‑2000 (CJC 4) Coordination of power and telecommunications — Manual for the establishment of safe work practices and the minimisation of operational interference between power systems and paired cable telecommunications systems.
HB 101‑1997 (CJC 5) Coordination of power and telecommunications — Low Frequency Induction (LFI) — Code of practice for the mitigation of hazardous voltages induced into telecommunications lines.
HB 102‑1997 (CJC 6) Coordination of power and telecommunications — Low Frequency Induction (LFI) — Application guide to the LFI code.
HB 103‑1997 (CJC 7) Coordination of power and telecommunications — Crossings Code: The arrangement of overhead power and telecommunications lines, pole stay wires, and suspension wires.
[r. 17]
AS 1882‑2002 Earth and bonding clamps.
AS 2067:2016 Substations and high voltage installations exceeding 1 kV a.c.
AS 3011.1:2019 Electrical installations — Secondary batteries installed in buildings — Part 1: Vented cells.
AS 3011.2:2019 Electrical installations — Secondary batteries installed in buildings — Part 2: Sealed cells.
AS 3851‑1991 The calculation of short circuit currents in three‑phase a.c. systems.
AS/NZS 3863:2002 Galvanised mild steel wire for armouring cables.
AS 4741‑2010 Testing of connections to low voltage electricity networks.
AS/NZS 4836:2011 Safe working on or near low-voltage electrical installations and equipment.
AS 60529‑2004 Degrees of protection provided by enclosures (IP Code).
ENA DOC 003‑2021 (NENS 03) National guidelines for safe access to electrical and mechanical apparatus.
ENA Doc 025‑2010 EG‑0 Power system earthing guide — Part 1: Management principles, version 1.
ENA Doc 042‑2018 National guidelines for manual reclosing of high voltage electrical apparatus following a fault operation (Manual Reclose Guidelines).
ENA Doc 044‑2020 Guideline for energised low voltage work.
ENA NENS 04‑2006 National guidelines for safe approach distances to electrical and mechanical apparatus.
ENA NENS 08‑2006 National guidelines for aerial surveillance of overhead electricity networks.
ENA NENS 09‑2014 National guideline for the selection, use and maintenance of personal protection equipment for electrical arc hazards.
IEC 61914:2015 Cable cleats for electrical installations.
AS 1222.1‑1992 Steel conductors and stays — Bare overhead — Part 1: Galvanised (SC/GZ).
AS 1222.2‑1992 Steel conductors and stays — Bare overhead — Part 2: Aluminium clad (SC/AC).
AS 1531‑1991 Conductors — Bare overhead — Aluminium and aluminium alloy.
AS 1720.1‑2010 Timber structures — Part 1: Design methods.
AS 1720.2‑2006 Timber structures — Part 2: Timber properties.
AS 1746‑1991 Conductors — Bare overhead — Hard drawn copper.
AS/NZS 2878:2000 Timber — Classification into strength groups.
AS 3600:2018 Concrete structures.
AS 3607:1989 Conductors — Bare overhead, aluminium and aluminium alloy — Steel reinforced.
AS 3818.11‑2009 Timber — Heavy structural products — Visually graded — Part 11: Utility poles.
AS 4100:2020 Steel structures.
AS 5804.1‑2010 High-voltage live working — Part 1: General.
AS 5804.2‑2010 High-voltage live working — Part 2: Glove and barrier work.
AS 5804.3‑2010 High-voltage live working — Part 3: Stick work.
AS 5804.4‑2010 High-voltage live working — Part 4: Barehand work.
AS 6947‑2009 Crossing of waterways by electricity infrastructure.
AS/NZS 7000:2016 Overhead line design.
AS/NZS 1026:2004 Electric cables — Impregnated paper insulated — For working voltages up to and including 19/33 (36) kV.
AS/NZS 1125:2001 Conductors in insulated electric cables and flexible cords.
AS/NZS 1429.1:2006 Electric cables — Polymeric insulated — Part 1: For working voltages 1.9/3.3 (3.6) kV up to and including 19/33 (36) kV.
AS/NZS 1429.2:2009 Electric cables — Polymeric insulated — Part 2: For working voltages above 19/33 (36) kV up to and including 87/150 (170) kV.
AS/NZS 3008.1.1:2017 Electrical installations — Selection of cables — Part 1.1: Cables for alternating voltages up to and including 0.6/1 kV — Typical Australian installation conditions.
AS 1033.1‑1990 High voltage fuses (for rated voltages exceeding 1000 V) — Part 1: Expulsion type.
AS 1033.2‑1988 High voltage fuses (for rated voltages exceeding 1000 V) — Part 2: Current‑limiting (powder‑filled) type.
AS 1307.2‑1996 Surge arresters — Part 2: Metal-oxide surge arresters without gaps for a.c. systems.
AS/NZS 60137:2020 Insulated bushings for alternating voltages above 1000 V (IEC 60137:2017 (ED.7.0) MOD).
AS/NZS 60265.1:2001 High-voltage switches — Part 1: Switches for rated voltages above 1 kV and less than 52 kV (IEC 60265‑1:1998, MOD).
AS 60296:2017 Fluids for electrotechnical applications — Unused mineral insulating oil for transformers and switchgear (IEC 60296:2012, MOD).
AS/NZS IEC 60947.1:2015 Low‑voltage switchgear and controlgear — Part 1: General rules.
AS/NZS 61439.1:2016 Low‑voltage switchgear and controlgear assemblies — Part 1: General rules.
AS/NZS 61439.2:2016 Low‑voltage switchgear and controlgear assemblies — Part 2: Power switchgear and controlgear assemblies.
AS/NZS 61439.3:2016 Low‑voltage switchgear and controlgear assemblies — Part 3: Distribution boards intended to be operated by ordinary person (DBO).
AS/NZS 61439.4:2016 Low‑voltage switchgear and controlgear assemblies — Part 4: Particular requirements for assemblies for construction sites (ACS).
AS/NZS IEC 61439.5:2016 Low‑voltage switchgear and controlgear assemblies — Part 5: Assemblies for power distribution in public networks.
AS 61869.1:2021 Instrument transformers — Part 1: General requirements (IEC 61869‑1:2007 (ED.1.0) MOD).
AS 61869.2:2021 Instrument transformers — Part 2: Additional requirements for current transformers (IEC 61869‑2:2012 (ED 1.0) MOD).
AS 61869.3:2021 Instrument transformers — Part 3: Additional requirements for inductive voltage transformers (IEC 61869‑3:2011 (ED.1.0) MOD).
AS 61869.4:2021 Instrument transformers — Part 4: Additional requirements for combined transformers (IEC 61869‑4:2013 (ED.1.0) MOD).
AS 61869.5:2021 Instrument transformers — Part 5: Additional requirements for capacity voltage transformers (IEC 61869‑5:2011 (ED 1.0) MOD).
AS 62271.100:2019 High‑voltage switchgear and controlgear — Part 100: High‑voltage alternating‑current circuit‑breakers (IEC 62271‑100:2008+AMD1:2012+AMD2:2017 CSV (ED.2.2)/COR 1:2018, MOD).
AS 62271.102:2019 High‑voltage switchgear and controlgear — Part 102: Alternating current disconnectors and earthing switches (IEC 62271‑102:2018, MOD).
AS IEC 62271.105:2015 High‑voltage switchgear and controlgear — Part 105: Alternating current switch‑fuse combinations for rated voltages above 1 kV up to and including 52 kV.
AS 62271.110:2019 High‑voltage switchgear and controlgear — Part 110: Inductive load switching (IEC 62271‑110:2017 (ED 4.0)/COR 1:2017/COR 2:2018, MOD).
AS 62271.200:2019 High‑voltage switchgear and controlgear — Part 200: A.C. metal enclosed switchgear and controlgear for rated voltages above 1 kV and up to and including 52 kV (IEC 62271‑200:2011/COR 1:2015, MOD).
AS 62271.201:2019 High‑voltage switchgear and controlgear — Part 201: A.C. insulation enclosed switchgear and controlgear for rated voltages above 1 kV and up to and including 52 kV (IEC 62271‑201:2014, MOD).
AS 62271.202:2019 High‑voltage switchgear and controlgear — Part 202: High-voltage/low-voltage prefabricated substation (IEC 62271‑202:2014, MOD).
AS 62271.203‑2012 High‑voltage switchgear and controlgear — Part 203: Gas‑insulated metal‑enclosed switchgear for rated voltages above 52 kV.
AS IEC 62271.4:2015 High‑voltage switchgear and controlgear — Part 4: Handling procedures for sulphur hexafluoride (SF6) and its mixtures.
This is a compilation of the
5 Aug 2015 p. 3141‑96 | r. 1 and 2: 5 Aug 2015 (see r. 2(a)); Regulations other than r. 1 and 2: 6 Aug 2015 (see r. 2(b)) | |
1 Aug 2017 p. 4110‑12 | r. 1 and 2: 1 Aug 2017 (see r. 2(a)); Regulations other than r. 1 and 2: 1 Nov 2017 (see r. 2(b)) | |
2 Oct 2018 p. 3784-94 | 1 Jan 2019 (see r. 2(b)) | |
SL 2021/218 17 Dec 2021 | r. 1 and 2: 17 Dec 2021 (see r. 2(a)); Regulations other than r. 1 and 2: 18 Dec 2021 (see r. 2(b)) |
adequate........................................................................................................................ 3(1)
applicable standard........................................................................................................ 28
AS.................................................................................................................................. 3(1)
AS 2067........................................................................................................................... 28
AS 5577........................................................................................................................ 3(1)
AS/NZS........................................................................................................................ 3(1)
AS/NZS 3000................................................................................................................. 28
AS/NZS 7000................................................................................................................. 28
CEO............................................................................................................................... 3(1)
commencement day....................................................................................................... 45
conductor......................................................................................................................... 28
contact............................................................................................................................. 22
contact details............................................................................................................ 41(1)
contractor...................................................................................................................... 3(1)
distribution licence..................................................................................................... 3(1)
electricity inspector.................................................................................................... 3(1)
employee...................................................................................................................... 3(1)
ENA............................................................................................................................... 3(1)
evidentiary provision............................................................................................... 17(1)
good industry practice................................................................................................ 3(1)
HB.................................................................................................................................. 3(1)
IEC................................................................................................................................. 3(1)
implementation day, for a network operator,......................................................... 3(1)
integrated regional licence........................................................................................ 3(1)
investigate.................................................................................................................... 9(1)
network......................................................................................................................... 3(1)
network operator......................................................................................................... 3(1)
network safety performance incident............................................................. 28, 30(1)
notifiable incident.......................................................................................................... 22
obligatory provision................................................................................................. 17(1)
pole................................................................................................................................ 3(1)
prescribed activity....................................................................................................... 3(1)
prior network operator............................................................................................. 12(1)
protective device ........................................................................................................... 22
quarter........................................................................................................................... 3(1)
reasonably practicable................................................................................................ 3(1)
repealed regulations...................................................................................................... 45
risk to safety................................................................................................................. 9(1)
safety............................................................................................................................. 3(1)
safety management system........................................................................................ 3(1)
stand-alone power system......................................................................................... 3(1)
storage works............................................................................................................... 3(1)
subcontractor............................................................................................................... 3(1)
third party........................................................................................................................ 22
transmission licence................................................................................................... 3(1)
unassisted failure........................................................................................................... 28
working day................................................................................................................. 3(1)
0
0
0