Work Health and Safety Variation Regulations 2013 (SA)
South Australia
Work Health and Safety Variation Regulations 2013
under the Work Health and Safety Act 2012
Contents
Part 1—Preliminary
1 Short title
2 Commencement
3 Variation provisions
Part 2—Variation of Work Health and Safety Regulations 2012
4 Variation of regulation 2—Commencement
5 Variation of regulation 5—Definitions
6 Variation of regulation 20—Removal of health and safety representatives
7 Variation of regulation 24—Continuity of engagement of worker
8 Variation of regulation 43—Duty to prepare, maintain and implement emergency plan
9 Variation of regulation 82—Exceptions
10 Variation of regulation 84—Duty of person conducting business or undertaking to ensure direct supervision
11 Variation of regulation 85—Evidence of licence—duty of person conducting business or undertaking
12 Insertion of regulation 91A
91A Conditions of licence
13 Variation of regulation 104—Provisions relating to renewal of licence
14 Variation of regulation 106—Suspension or cancellation of licence
15 Substitution of regulation 108
108 Notice to and submissions by licence holder
16 Variation of regulation 109—Notice of decision
17 Substitution of regulation 171
171 Competence of worker—general diving work—general qualifications
171A Competence of worker—general diving work—additional knowledge and skill
18 Variation of regulation 172—Competence of worker—incidental diving work
19 Variation of regulation 173—Competence of worker—limited scientific diving work
20 Variation of regulation 174—Competence of competent person supervising general diving work
21 Variation of regulation 206—Proper use of plant and controls
22 Variation of regulation 235—Major inspection of registered mobile cranes and tower cranes
23 Variation of regulation 238—Operation of amusement drives and passenger ropeways
24 Variation of regulation 239—Storage of amusement devices and passenger ropeways
25 Variation of regulation 241—Annual inspection of amusement device or passenger ropeway
26 Variation of regulation 244—Altered plant designs to be registered
27 Variation of regulation 274—Registration of document
28 Variation of regulation 347—Manifest of hazardous chemicals
29 Variation of regulation 359—Fire protection and firefighting equipment
30 Variation of regulation 361—Emergency plans
31 Variation of regulation 328—Application of Chapter 7 Part 1
32 Variation of regulation 421—Application of Chapter 8 Part 3
33 Variation of regulation 491—Who may apply for a licence
34 Variation of regulation 517—Provisions relating to renewal of licence
35 Variation of regulation 547—Re-notification if quantity of Schedule 15 chemical increases
36 Variation of regulation 552—Content
37 Variation of regulation 557—Emergency plan
38 Variation of regulation 558—Safety management system
39 Variation of regulation 559—Review of risk management
40 Variation of regulation 598—Provisions relating to renewal of licence
41 Substitution of Chapter 10
Chapter 10—Mines
Part 1—Preliminary
609 Meaning of mine
610 Meaning of mining operations
611 Meaning of mineral
612 Meaning of principal mining hazard
613 Meaning of mine operator
614 Meaning of mine holder
614A Application of Chapter 9
615 Appointment of mine operator
616 Notification of mine operator to regulator
Part 2—Managing Risks
Division 1—General requirements
Subdivision 1—Control of risk
617 Managing risks to health and safety
618 Review of control measures
619 Record of certain reviews of control measures—mine operator
620 Record of certain reviews of control measures—other persons conducting a business or undertaking
Subdivision 2—Safety management system
621 Duty to establish and implement safety management system
622 Content of safety management system
623 Performance standards and audit
624 Maintenance
625 Review
Subdivision 3—Information to adjoining mine operators
626 Duty to provide information to mine operator of adjoining mine
Division 2—Principal mining hazard management plans
627 Identification of principal mining hazards and conduct of risk assessments
628 Preparation of principal mining hazard management plan
629 Review
Division 3—Specific control measures—all mines
Subdivision 1—Operational controls
630 Communication between outgoing and incoming shifts
631 Movement of mobile plant
632 Prohibited uses
633 Closure, suspension or abandonment of mine
634 Minimum age to work in mine
Subdivision 2—Air quality and monitoring
635 Temperature and moisture content of air
636 Ensuring exposure standards for dust not exceeded
637 Monitoring exposure to airborne dust
638 Air monitoring—use of devices
639 Air monitoring—signage
Subdivision 3—Fitness for work
640 Fatigue
641 Alcohol and drugs
Division 4—Specific control measures—underground mines
Subdivision 1—All underground mines—operational controls
642 Inrush hazards
643 Connecting workings
644 Winding systems
645 Operation of shaft conveyances
646 Dust explosion
Subdivision 2—All underground mines—air quality and ventilation
647 Air quality—airborne contaminants
648 Air quality—minimum standards for ventilated air
649 Air monitoring—air quality
650 Requirements if air quality requirements and exposure standards not complied with
651 Records of air monitoring
652 Ventilation system—further requirements
653 Monitoring and testing of ventilation system
654 Duty to prepare ventilation control plan
655 Review of ventilation control plan
656 Ventilation plan
Subdivision 3—Underground coal mines
Division 5—Emergency management
Subdivision 1—Emergency plans for all mines
664 Duty to prepare emergency plan
665 Consultation in preparation of emergency plan
666 Implementation of emergency plan
667 Copies to be kept and provided
668 Resources for emergency plan
669 Testing of emergency plan
670 Review
Subdivision 2—Underground mines
671 Emergency exits
672 Safe escape and refuge
673 Signage for refuges
674 Self-rescuers
675 Personal protective equipment in emergencies
Division 6—Information, training and instruction
675A Duty to inform workers about safety management system
675B Duty to provide information, training and instruction
675C Information for visitors
675D Review of information, training and instruction
675E Record of training
Part 3—Health Monitoring
675F Health monitoring of worker
675G Duty to inform of health monitoring
675H Duty to ensure health monitoring is carried out or supervised by registered medical practitioner with experience
675I Duty to pay costs of health monitoring
675J Duty to provide registered medical practitioner with information
675K Health monitoring report
675L Person conducting business or undertaking to obtain health monitoring report
675M Person conducting business or undertaking to give health monitoring report to mine operator of mine
675N Duty to give health monitoring report to worker
675O Duty to give health monitoring report to regulator
675P Health monitoring reports kept as records
Part 4—Consultation and Workers' Safety Role
675Q Safety role for workers in relation to principal mining hazards
675R Mine operator must consult with workers
Part 5—Mine Survey Plans
675S Survey plan of mine must be prepared
675T Review of survey plan
675U Survey plan to be available
Part 6—Provision of information to regulator
675V Duty to notify regulator of certain incidents
675W Quarterly reports
675X Duty to notify mine operator of notifiable incidents
Part 7—Mine Record
675Y Mine record
675Z Mine record must be kept and available
42 Variation of regulation 676—Which decisions under these regulations are reviewable
43 Variation of regulation 683A—Applications to IRC
44 Variation of 683B—Summonses
45 Insertion of regulation 699A
699A Incident notification—prescribed dangerous incident
46 Substitution of regulation 723
723 Pipeline builder's duties (regulation 390)
47 Variation of regulation 726—Application of regulations 475 and 476 (Air monitoring)
48 Variation of regulation 730—Diving work
49 Variation of regulation 737—Roll-over protection on tractors (regulation 216)
50 Variation of Schedule 2—Fees
51 Variation of Schedule 3—High risk work licences and classes of high risk work
52 Variation of Schedule 5—Registration of plant and plant designs
53 Variation of Schedule 10—Prohibited carcinogens, restricted carcinogens and restricted hazardous chemicals
54 Variation of Schedule 16—Matters to be included in emergency plan for major hazard facility
55 Redesignation of Schedule 19
56 Insertion of Schedules 19 to 24
Schedule 19—Principal mining hazard management plans—additional matters to be considered
1 Ground or strata instability
2 Inundation and inrush
3 Mine shafts and winding operations
4 Roads and other vehicle operating areas
5 Air quality, dust and other airborne contaminants
6 Fire and explosion
7 Gas outbursts
8 Spontaneous combustion
Schedule 20—Prohibited uses in mines
Schedule 21—Concentration levels for atmospheric contaminants
Schedule 22—Matters to be included in emergency plan for a mine
1 Site and hazard detail
2 Command structure and site personnel
3 Notifications
4 Resources and equipment
5 Procedures
Schedule 23—Information to be included in notification of mining incident
1 Person injured
2 Incident
3 Consequences of incident
Schedule 24—Information to be included in mine quarterly report
1 Meaning of incident
2 Mine holder
3 Mine operator
4 The mine
5 Commodity processed
6 Number of workers
7 Number of hours worked
8 Number of incidents
9 Number of lost time injuries
10 Days lost from work
11 Number of restricted duty days
12 Number of workers placed on restricted duties
13 Number of medical treatment injuries
14 Number of deaths
15 Other information
Part 1—Preliminary
1—Short title
These regulations may be cited as the Work Health and Safety Variation Regulations 2013.
2—Commencement
Subject to subregulation (2), these regulations come into operation on the day on which they are made.
(2)Regulations 5 to 45 (inclusive), 48 and 50 to 56 (inclusive) will come into operation on 1 January 2014.
3—Variation provisions
In these regulations, a provision under a heading referring to the variation of specified regulations varies the regulations so specified.
Part 2—Variation of Work Health and Safety Regulations 2012
4—Variation of regulation 2—Commencement
Regulation 2(3)(i)—delete subparagraph (i)
Regulation 2(5)—delete "Regulation 488" and substitute:
Regulations 347, 348 and 488
5—Variation of regulation 5—Definitions
Regulation 5, definition of boiler, (d)—after subparagraph (ii) insert:
(iii)AMBSC Part 3—Australian Miniature Boiler Safety Committee Code for Sub‑Miniature Boilers;
(iv)AMBSC Part 4—Australian Miniature Boiler Safety Committee Code for Duplex Steel Boilers; or
Regulation 5, definition of combustible dust—delete the definition and substitute:
combustible dust means finely divided solid particles (including dust, fibres or flyings), that are—
(a)suspended in air or settle out of the atmosphere under their own weight; and
(b)able to burn or glow in air; and
(c)able to form an explosive mixture with air at atmospheric pressure and normal temperature;
combustible liquid means a liquid, other than a flammable liquid, that has a flash point, and a fire point, less than its boiling point;
Regulation 5, definition of competent person, (c)—delete "and testing"
Regulation 5, definition of concrete placement unit with delivery boom—delete the definition
Regulation 5—after the definition of excavation work insert:
exploration site, in Chapter 10, means a place where activities are carried out for the purpose of exploring for minerals by mechanical means that disturb the ground;
Regulation 5, definition of exposure standard—delete "Standard" and substitute:
Standards
Regulation 5—after the definition of external review insert:
extraction site, in Chapter 10, means a place where activities are carried out for the purpose of extracting minerals from the ground or injecting minerals into the ground;
Regulation 5, definition of gantry crane, (a)—delete paragraph (a) and substitute:
(a)consists of a bridge beam or beams supported at 1 or both ends by legs mounted to end carriages;
Regulation 5, definition of incidental diving work, (c)—delete paragraph (c);
Regulation 5, definition of inflatable device (continuously blown)—delete the definition and substitute:
inflatable device (continuously blown) means an amusement device that is an inflatable device that relies on a continuous supply of air pressure to maintain its shape;
inrush hazard, in Chapter 10, means a hazard involving the potential inrush of any substance;
Regulation 5—after the definition of membrane filter method insert:
mine—see regulation 609;
mine holder—see regulation 614;
Note—
A mine holder is a person conducting a business or undertaking.
mine operator—see regulation 613;
Note—
A mine operator is a person conducting a business or undertaking.
mineral—see regulation 611;
mining operations—see regulation 610;
Regulation 5, definition of passenger ropeway, (b)—delete "; and" and substitute:
; but
Regulation 5, definition of passenger ropeway, (c)(iv)—delete "that require a system of this kind"
Regulation 5, definition of powered mobile plant, examples—delete the examples
Regulation 5, definition of primary emergency service organisation—delete the definition and substitute:
primary emergency service organisations means the South Australian Metropolitan Fire Service and the South Australian Country Fire Service;
Regulation 5—after the definition of principal contractor insert:
principal mining hazard—see regulation 612;
Regulation 5—after the definition of rigging work insert:
rope, in Chapter 10, includes cable;
Regulation 5, definition of shaft—after "depth" insert:
(and in Chapter 10, shaft includes a drift or horizontal shaft)
Regulation 5, definition of specified VET course, (d)—delete "accredited"
Regulation 5—after the definition of WHS management plan insert:
winder, in Chapter 10, means any plant that is used to move, by means of 1 or more ropes, conveyances in a shaft for the transport of persons, material or plant;
Regulation 5—after the definition of work box insert:
Workplace Exposure Standards for Airborne Contaminants means the Workplace Exposure for Airborne Contaminants published by Safe Work Australia on its website on 18 April 2013 as in force or remade from time to time;
6—Variation of regulation 20—Removal of health and safety representatives
Regulation 20(2)(a)(ii)—after "works;" insert:
and
7—Variation of regulation 24—Continuity of engagement of worker
Regulation 24(c)—delete "authorised"
8—Variation of regulation 43—Duty to prepare, maintain and implement emergency plan
Regulation 43(3)—delete "consider" and substitute:
have regard to
9—Variation of regulation 82—Exceptions
Regulation 82(1b)(b)(ii)—delete "14" and substitute:
28
Regulation 82(1a) and (1b)—redesignate subregulations (1a) and (1b) (as varied) as, respectively, subregulations (1b) and (1a) and reverse the order of the subregulations
Regulation 82(2)(a)—delete "relocating" and substitute:
moving
Regulation 82—after subregulation (2) insert:
(3)For the purposes of subregulation (2)(a), moving includes operating the plant in order to load the plant onto, or unload it from, a vehicle or equipment used to move it.
10—Variation of regulation 84—Duty of person conducting business or undertaking to ensure direct supervision
Regulation 84(1)—delete "regulations 82(1)(b)" and substitute:
regulation 82(1)
11—Variation of regulation 85—Evidence of licence—duty of person conducting business or undertaking
Regulation 85(2)—after "regulation 82(1)" insert:
or (1a)
Regulation 85(3)—delete "regulations 82(1)(b)" and substitute:
regulations 82(1)
Regulation 85(4)—delete "the written evidence given to the person" and substitute:
a record of the written evidence provided
12—Insertion of regulation 91A
After regulation 91 insert:
91A—Conditions of licence
(1)The regulator may impose any conditions the regulator considers appropriate on a high risk work licence.
(2)Without limiting subregulation (1), the regulator may impose conditions in relation to 1 or more of the following:
(a)control measures that must be implemented in relation to the carrying out of work or activities under the licence;
(b)the circumstances in which work or activities authorised by the licence may be carried out.
(3)The regulator must give the licence holder written notice of any conditions imposed on the licence.
Notes—
1A person must comply with the conditions of a licence (see section 45 of the Act).
2A decision to impose a condition on a licence is a reviewable decision (see regulation 676).
13—Variation of regulation 104—Provisions relating to renewal of licence
Regulation 104(1)(b)—after "90" insert:
, 91A
Regulation 104(1)(b)—delete "regulation 89" and substitute:
those regulations
14—Variation of regulation 106—Suspension or cancellation of licence
Regulation 106(1)—after paragraph (a) insert:
(ab)the licence holder has failed to comply with a condition of the licence;
Regulation 106—after subregulation (2) insert:
(3)If the regulator suspends a licence, the regulator may vary the conditions of the licence, including by imposing different or additional conditions.
(4)A variation of conditions under subregulation (3) takes effect when the suspension of the licence ends.
Notes—
1A decision to suspend a licence, to cancel a licence or to disqualify the licence holder from applying for a further licence is a reviewable decision (see regulation 676).
2A variation of licence conditions is a reviewable decision (see regulation 676).
15—Substitution of regulation 108
Regulation 108—delete the regulation and substitute:
108—Notice to and submissions by licence holder
(1)Before suspending or cancelling a high risk work licence, the regulator must give the licence holder a written notice of—
(a)the proposed suspension or cancellation; and
(b)any proposed disqualification; and
(c)any proposed variation of licence conditions.
(2)A notice under subregulation (1) must—
(a)outline all relevant allegations, facts and circumstances known to the regulator; and
(b)advise the licence holder that the licence holder may, by a specified date (being not less than 28 days after giving the notice), make a submission in relation to the proposed suspension or cancellation, any proposed disqualification and any proposed variation of licence conditions.
16—Variation of regulation 109—Notice of decision
Regulation 109(2)(b)—after subparagraph (iv) insert:
(v)if licence conditions are to be varied—the variation; and
(vi)if licence conditions are to be varied—that the variation will take effect when the suspension ends; and
17—Substitution of regulation 171
Regulation 171—delete the regulation and substitute:
171—Competence of worker—general diving work—general qualifications
A person must not carry out general diving work (other than incidental diving work and limited scientific diving work) unless the person has 1 or more of the following qualifications:
(a)certification in relation to a specified VET course for general diving work that includes the type of general diving work to be carried out by the person;
(b)a certificate for general diving work, issued by a training organisation, that demonstrates that the person has achieved the competencies specified in AS/NZS 4005.2:2000 (Training and certification of recreational divers) or AS/NZS 2815 (Training and certification of occupational divers) that are relevant to the type of general diving work to be carried out by the person.
Note—
See section 44 of the Act.
171A—Competence of worker—general diving work—additional knowledge and skill
In addition to regulation 171, a person must not carry out general diving work (other than incidental diving work and limited scientific diving work) unless the person has, through training, qualification or experience, acquired sound knowledge and skill in relation to the following:
(a)the application of diving physics;
(b)the use, inspection and maintenance of diving equipment (including emergency equipment) and air supply of the type to be used in the proposed general diving work;
(c)the use of decompression tables or dive computers;
(d)dive planning;
(e)ways of communicating with another diver and with persons at the surface during general diving work;
(f)how to safely carry out general diving work of the type proposed to be carried out;
(g)diving physiology, emergency procedures and first aid.
Note—
See section 44 of the Act.
18—Variation of regulation 172—Competence of worker—incidental diving work
Regulation 172(1)—delete subregulation (1) and substitute:
(1)A person must not carry out incidental diving work unless the person—
(a)has the training, qualification or experience referred to in regulation 171A; and
(b)has relevant diving experience; and
(c)is accompanied and supervised in the water by a person who has the competencies referred to in regulation 171.
19—Variation of regulation 173—Competence of worker—limited scientific diving work
Regulation 173(1)(a)—delete "regulation 171(b)" and substitute:
regulation 171A
20—Variation of regulation 174—Competence of competent person supervising general diving work
Regulation 174(a)—delete "regulation 171(a)" and substitute:
regulation 171
21—Variation of regulation 206—Proper use of plant and controls
Regulation 206(3)—delete "regulation 23" and substitute:
regulation 39
22—Variation of regulation 235—Major inspection of registered mobile cranes and tower cranes
Regulation 235—after subregulation (2) insert:
(3)A major inspection carried out under and in accordance with an equivalent provision of a corresponding WHS law is taken to be a major inspection for the purposes of this regulation.
Regulation 235(6) and (7)—delete subregulations (6) and (7) and substitute:
(6)In this regulation—
major inspection means—
(a)an examination of all critical components of the crane, if necessary by stripping down the crane and removing paint, grease and corrosion to allow a thorough examination of each critical component; and
(b)a check of the effective and safe operation of the crane.
23—Variation of regulation 238—Operation of amusement drives and passenger ropeways
Regulation 238(1) and (2)—delete subregulations (1) and (2) and substitute:
(1)The person with management or control of an amusement device or passenger ropeway at a workplace must ensure that the device or ropeway is operated only by a person who has been provided with instruction and training in its proper operation.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)The person with management or control of an amusement device or passenger ropeway at a workplace must ensure that—
(a)the amusement device or passenger ropeway is checked before it is operated on each day on which it is to be operated; and
(b)the amusement device or passenger ropeway is operated without passengers before it is operated with passengers on each day on which it is to be operated; and
(c)the daily checks and operation of the amusement device or passenger ropeway without passengers are properly and accurately recorded in a log book for the device or ropeway.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
Expiation fee:
(a)in the case of an individual—$720;
(b)in the case of a body corporate—$3 600.
24—Variation of regulation 239—Storage of amusement devices and passenger ropeways
Regulation 239(1) and (2)—after "amusement device" wherever occurring insert:
or passenger ropeway
Regulation 239(1) and (2)—after "the device" wherever occurring insert:
or ropeway
25—Variation of regulation 241—Annual inspection of amusement device or passenger ropeway
Regulation 241(5)(c)—before "is determined by" insert:
in the case of any amusement device or passenger ropeway—
26—Variation of regulation 244—Altered plant designs to be registered
Regulation 244—after subregulation (2) insert:
(3)This regulation does not apply in relation to a tower crane or a gantry crane if—
(a)the crane is relocated for use in a different workplace; and
(b)the design of the supporting structure or foundations of the crane is altered in accordance with a site‑specific design prepared for the purpose of the safe operation of the crane at the new location; and
(c)the design of the crane is not altered in any other way.
27—Variation of regulation 274—Registration of document
Regulation 274(2)—after paragraph (f) insert:
(g)the expiry date of the registration.
28—Variation of regulation 347—Manifest of hazardous chemicals
Regulation 347(3)(a)—delete "the" and substitute:
a
29—Variation of regulation 359—Fire protection and firefighting equipment
Regulation 359(1)(b)—delete "organisation" and substitute:
organisations
30—Variation of regulation 361—Emergency plans
Regulation 361(2)—delete "the primary" and substitute:
a primary
31—Variation of regulation 328—Application of Chapter 7 Part 1
Regulation 328(8), definition of combustible liquid—delete the definition
32—Variation of regulation 421—Application of Chapter 8 Part 3
Regulation 421—after its present contents (now to be designated as subregulation (1)) insert:
(2)Regulations 425, 426, 427, 428, 429 and 430 do not apply to residential premises.
33—Variation of regulation 491—Who may apply for a licence
Regulation 491(2)—delete "493, 494 or 495 (as applicable)" and substitute:
495
34—Variation of regulation 517—Provisions relating to renewal of licence
Regulation 517(3)—delete "unless" and substitute:
if
35—Variation of regulation 547—Re-notification if quantity of Schedule 15 chemical increases
Regulation 547(1)(c)—delete paragraph (c) and substitute:
(c)in relation to which the regulator—
(i)has not conducted an inquiry under this Division; or
(ii)on conducting an inquiry, has not determined the facility or proposed facility to be a major hazard facility under regulation 541.
36—Variation of regulation 552—Content
Regulation 552(e)—after "regulation 557" insert:
or, if the major hazard facility is also a mine, the emergency plan prepared under regulation 664
37—Variation of regulation 557—Emergency plan
Regulation 557—after subregulation (8) insert:
(9)This regulation does not apply to the operator of a major hazard facility that is also a mine if—
(a)the operator has prepared an emergency plan for the mine that complies with regulation 664; and
(b)the plan addresses all matters required to be addressed under this regulation and includes all matters specified in Schedule 16.
38—Variation of regulation 558—Safety management system
Regulation 558—after subregulation (4) insert:
(5)This regulation does not apply to the operator of a major hazard facility that is also a mine if—
(a)the operator has established a safety management system for the mine that complies with regulation 621; and
(b)the system—
(i)deals with all matters required to be addressed by a safety management system under this regulation and includes all matters specified in Schedule 17; and
(ii)is readily accessible to persons who use it.
39—Variation of regulation 559—Review of risk management
Regulation 559(1)(b)— after "emergency plan" insert:
(unless, in the case of a major hazard facility that is also a mine, the operator of the facility is not required to prepare an emergency plan for the facility under regulation 557 because the operator has prepared a suitable emergency plan under regulation 664)
Regulation 559(1)(c)—after "safety management system" insert:
(unless, in the case of a major hazard facility that is also a mine, the operator of the facility is not required to establish a safety management system for the facility under regulation 558 because the operator has established a suitable safety management system under regulation 661)
Regulation 559—after subregulation (4) insert:
(5)If a major hazard facility is also a mine and an emergency plan that complies with regulation 664 has been prepared in relation to the facility, the plan must be reviewed in accordance with regulation 670.
(6)If a major hazard facility is also a mine and a safety management system that complies with regulation 621 has been established in relation to the facility, the system must be reviewed in accordance with regulation 625.
40—Variation of regulation 598—Provisions relating to renewal of licence
Regulation 598(b)—delete "regulation 580" and substitute:
those regulations
41—Substitution of Chapter 10
Chapter 10—delete the Chapter and substitute:
Chapter 10—Mines
Part 1—Preliminary
609—Meaning of mine
(1)In this Chapter, a mine—
(a)is a place that is—
(i)a workplace at which mining operations are carried out; or
(ii)a tourist mine; and
(b)includes any fixtures, fittings, plant or structures at the place that are used or were formerly used for mining operations.
(2)In this Chapter, a tourist mine means a workplace—
(a)used only for tourism purposes but at which mining operations were formerly carried out; and
(b)at which there is a principal mining hazard that was present at the workplace when the mining operations were carried out.
(3)In this Chapter, an underground mine means that part of a mine that is beneath the surface of the earth and includes plant and structures that extend continuously from the surface into that part of the mine.
(4)In this Chapter, underground mine does not include a part of a mine in which highwall mining is being carried out.
(5)In subregulation (4), highwall mining means the underground extraction of coal carried out—
(a)by remotely controlled plant that drives the extraction from a place in an open cut mine; and
(b)without requiring any person to be present at any part of the extraction.
610—Meaning of mining operations
(1)In this Chapter, mining operations are—
(a)activities (mining activities) carried out for the purpose of—
(i)extracting minerals from the ground or injecting minerals into the ground; or
(ii)exploring for minerals by mechanical means that disturb the ground; and
(b)activities carried out in connection with mining activities at a site, or at a site adjoining or in the vicinity of a site, at which the mining activities are carried out.
(2)Without limiting subregulation (1), the activities referred to in that subregulation include the following:
(a)handling or storing extracted materials;
(b)preparing or processing extracted materials;
(c)constructing—
(i)a site where a mining activity is carried out; or
(ii)a site where an activity referred to in subregulation (1)(b) is carried out;
(d)activities associated with decommissioning, making safe or closure of an extraction site or exploration site;
(e)educational activities and tourist activities carried out at a site, or at a site adjoining or in the vicinity of a site, at which the mining activities are carried out.
(3)In this Chapter, mining operations do not include the following:
(a)an activity carried out in relation to the extraction of minerals on private land for the private and non‑commercial use of the owner of the land;
(b)fossicking;
(c)any activity where the extraction of minerals is incidental to the activity.
Example—
Civil works such as tunnelling to create a road.
611—Meaning of mineral
In this Chapter, mineral—
(a)means—
(i)a naturally occurring element or inorganic compound; or
(ii)coal, lignite, peat or oil shale; or
(iii)rock, stone, gravel or sand; and
(b)does not include—
(i)water; or
(ii)petroleum or any other substance, the recovery or production of which is governed by the Petroleum and Geothermal Energy Act 2000.
612—Meaning of principal mining hazard
(1)In this Chapter, a principal mining hazard is any activity, process, procedure, plant, structure, substance, situation or other circumstance relating to the carrying out of mining operations that has a reasonable potential to result in multiple deaths in a single incident or a series of recurring incidents, in relation to any of the following:
(a)ground or strata failure;
(b)inundation or inrush of any substance;
(c)mine shafts and winding operations;
(d)roads or other vehicle operating areas;
(e)air quality or dust or other airborne contaminants;
(f)fire or explosion;
(g)gas outbursts;
(h)spontaneous combustion;
(i)a hazard identified by the mine operator of a mine under regulation 34.
(2)In this Chapter, a principal mining hazard at a mine that is a facility for the purposes of Chapter 9 does not include a major incident hazard.
613—Meaning of mine operator
(1)In this Chapter, the mine operator of a mine is the mine holder of the mine, unless the mine holder appoints another person to be the mine operator.
(2)The mine holder of a mine may appoint a person to be the mine operator only if—
(a)the person is conducting a business or undertaking and is appointed in accordance with regulation 615 to carry out mining operations at the mine on behalf of the mine holder; and
(b)the mine holder authorises the person to have management or control of the mine and to discharge the duties of a mine operator under the Act.
(3)To avoid doubt, a reference in these regulations to a person conducting a business or undertaking at a mine includes a reference to the mine operator of the mine.
Notes—
1See section 5 of the Act for the meaning of person conducting a business or undertaking.
2The mine operator may also have duties under sections 19, 20 and 21 of the Act.
614—Meaning of mine holder
(1)In this Chapter, the mine holder of a mine is the person who is conducting a business or undertaking with control over a right or entitlement to carry out mining operations at the mine.
(2)Without limiting subregulation (1), a person is conducting a business or undertaking with control over a right or entitlement to carry out mining operations if—
(a)a mining authorisation is required for carrying out those operations; and
(b)the person holds the required mining authorisation.
(3)To avoid doubt, a reference in these regulations to a person conducting a business or undertaking at a mine includes a reference to the mine holder of the mine.
(4)In subregulation (2)—
mining authorisation means—
(a)a lease, claim, tenement, licence, permit or other authority authorising the carrying out of mining operations issued under the Mining Act 1971, the Opal Mining Act 1995 or another Act; or
(b)a Special Tenement under the Roxby Downs (Indenture Ratification) Act 1982.
Notes—
1See section 5 of the Act for the meaning of person conducting a business or undertaking.
2The mine holder may also have duties under section 20 of the Act as the person with management or control of the mine.
614A—Application of Chapter 9
(1)Chapter 9 (Major hazard facilities) applies in relation to a mine.
(2)In this Chapter—
major incident has the same meaning as in Chapter 9.
615—Appointment of mine operator
(1)An appointment of a person to be the mine operator of a mine must—
(a)be in writing; and
(b)be made in the manner and form required by the regulator; and
(c)include a signed statement that the person to be appointed as mine operator agrees to the appointment; and
(d)specify—
(i)the name and contact details of the mine operator, including postal and business addresses; and
(ii)when the appointment takes effect; and
(e)describe the location of the mine, including—
(i)the boundaries of all extraction and exploration sites; and
(ii)land title identification.
(2)The mine holder must give the mine operator all relevant information held by or under the control of the mine holder that may reasonably be required by the mine operator to discharge the duties imposed on the mine operator under the Act.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
Example—
A mine survey plan prepared under regulation 675S.
(3)The mine operator of a mine who ceases or intends to cease being the mine operator must ensure, so far as is reasonably practicable, that all records the mine operator has kept under the Act are given to the mine holder for the mine, or the person who is to become the new mine operator, before the new mine operator commences in that role.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)In the case of a body corporate—$30 000.
Example—
A mine record kept under regulation 675Y.
Note—
The new mine operator will be required to keep the records for at least the remainder of the period that the Act or these regulations require the record to be kept.
616—Notification of mine operator to regulator
(1)The mine holder of a mine must give notice to the regulator in accordance with this regulation.
Maximum penalty:
(a)in the case of an individual—$3 600;
(b)in the case of a body corporate—$18 000.
(2)If the mine holder of a mine is the mine operator, the mine holder must give the regulator notice of this fact before mining operations commence at the mine.
(3)If the mine holder of a mine is not the mine operator, the mine holder must give the regulator notice of the appointment of the mine operator of the mine.
(4)A notice under subregulation (2) or (3) must—
(a)be in writing; and
(b)be made in the manner and form required by the regulator; and
(c)describe the location of the mine, including—
(i)the boundaries of all extraction and exploration sites; and
(ii)land title identification.
(5)A notice under subregulation (3) must be accompanied by a copy of the appointment document.
(6)The mine holder must give written notice to the regulator of any change to the appointment of a mine operator or any termination of the appointment.
(7)The mine holder must take all reasonable steps to ensure that a notice under subregulation (3) or (6) is given before the appointment or the change or termination takes effect.
Part 2—Managing Risks
Division 1—General requirements
Subdivision 1—Control of risk
617—Managing risks to health and safety
(1)A person conducting a business or undertaking at a mine must manage risks to health and safety associated with mining operations at the mine, in accordance with Chapter 3 Part 1.
Note—
WHS Act—sections 19, 20 and 21, as applicable (see regulation 9).
(2)A person conducting a business or undertaking at a mine must ensure that a risk assessment is conducted by a competent person for the purposes of subregulation (1).
Maximum penalty:
(a)in the case of an individual—$3 600;
(b)in the case of a body corporate—$18 000.
(3)In conducting a risk assessment, the person must have regard to—
(a)the nature of the hazard; and
(b)the likelihood of the hazard affecting the health or safety of a person; and
(c)the severity of the potential health and safety consequences.
(4)Nothing in subregulation (3) limits the operation of any other requirement to conduct a risk assessment under these regulations.
Note—
A number of specific risk control duties are linked to this regulation. See regulations 631, 635, 640, 641 and 646.
618—Review of control measures
(1)A person conducting a business or undertaking at a mine must review and as necessary revise control measures implemented under regulation 617 in the following circumstances:
(a)an audit of the effectiveness of the safety management system for the mine indicates a deficiency in a control measure;
(b)a worker is moved from a hazard or assigned to different work in response to a recommendation contained in a health monitoring report provided under Part 3;
(c)an incident referred to in regulation 675V occurs.
Notes—
(1)WHS Act—sections 19, 20 and 21, as applicable (see regulation 9).
(2)This requirement is in addition to the requirement under regulation 38 (see regulation 33).
(3)This regulation applies to a mine operator (see regulation 613(3)).
(2)The mine operator of a mine must ensure that a control measure that is the subject of a request by a health and safety representative under regulation 38(4) is reviewed and as necessary revised, whether the request is made directly to the mine operator or notified to the mine operator under subregulation (3) by another person conducting a business or undertaking at the mine.
Notes—
(1)WHS Act—sections 19, 20 and 21, as applicable (see regulation 9).
(2)This requirement is in addition to the requirement under regulation 38 (see regulation 33).
(3)A person conducting a business or undertaking at the mine who is not the mine operator of the mine must immediately notify the mine operator of a request made to the person under regulation 38(4).
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(4)A health and safety representative for workers at the mine may request a review of a control measure under regulation 38(4) as if the circumstances referred to in subregulation (1) were included in regulation 38(4)(a).
619—Record of certain reviews of control measures—mine operator
(1)This regulation applies to a mine operator at a mine who has, under regulation 38, reviewed a control measure in response to—
(a)a notifiable incident; or
(b)an incident referred to in regulation 675V.
(2)The mine operator at a mine must keep a record of the following:
(a)the work health and safety issues arising from the incident;
(b)recommendations arising from consideration of the incident;
(c)a summary of any changes to the safety management system for the mine and any affected principal mining hazard management plan for the mine.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
620—Record of certain reviews of control measures—other persons conducting a business or undertaking
(1)This regulation applies to a person conducting a business or undertaking at a mine, other than the mine operator, who has, under regulation 38, reviewed a control measure in response to a notifiable incident.
(2)A person conducting a business or undertaking at a mine must keep a record of the following:
(a)the work health and safety issues arising from the incident;
(b)recommendations arising from consideration of the incident.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
Subdivision 2—Safety management system
621—Duty to establish and implement safety management system
(1)The mine operator of a mine must establish a safety management system for the mine, in accordance with this Subdivision.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)The mine operator must implement the safety management system for the mine, so far as is reasonably practicable.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(3)The safety management system must form part of any overall management system that is in place at the mine.
(4)The safety management system must be designed to be used by the mine operator as the primary means of ensuring, so far as is reasonably practicable—
(a)the health and safety of workers at the mine; and
(b)that the health and safety of other persons is not put at risk from the mine or work carried out as part of mining operations.
(5)Subject to subregulation (6), the safety management system must provide a comprehensive and integrated system for the management of all aspects of risks to health and safety in relation to the operation of the mine.
(6)The safety management system must comply with subregulation (5) to the extent appropriate to the mine having regard to—
(a)the nature, complexity and location of the mining operations; and
(b)the risks associated with those operations.
(7)The safety management system must be documented.
(8)The mine operator of a mine that is also a determined major hazard facility is not required to establish a safety management system under regulation 558 for the operation of the major hazard facility if—
(a)the mine operator has established a safety management system for the facility for the purposes of this regulation; and
(b)the system deals with all matters required to be addressed by a safety management system under regulation 558 and includes all matters specified in Schedule 17; and
(c)the system is readily accessible to persons who use it.
622—Content of safety management system
(1)The safety management system document for a mine must set out the following:
(a)the mine operator's health and safety policy, including broad aims in relation to the safe operation of the mine;
(b)the arrangements for managing risks in accordance with regulation 617;
Note—
This includes all control measures implemented in accordance with specific requirements under this Chapter (see regulation 33).
(c)the systems, procedures, plans and other control measures that will be used to control risks to health and safety associated with mining operations at the mine, including—
(i)the principal mining hazard management plans for the mine prepared under Division 2; and
(ii)in the case of an underground mine—the ventilation control plan and ventilation plan prepared for the mine under Division 4 Subdivision 2;
(d)the management structure for the management of work health and safety at the mine, including—
(i)arrangements for filling temporary and permanent vacancies; and
(ii)requirements relating to acting positions in the structure; and
(iii)the competency requirements for positions in the structure;
(e)the arrangements in place, between any persons conducting a business or undertaking at the mine, for consultation, co‑operation and the co‑ordination of activities in relation to compliance with their duties under the Act;
(f)if a contractor is working or likely to work at the mine—the control measures that will be used to control risks to health and safety associated with the contractor's work at the mine, including—
(i)how the contractor's work management system will be integrated with the safety management system for the mine; and
(ii)the process for assessing health and safety policies and procedures (including competency requirements) of the contractor and integrating them into the safety management system; and
(iii)the arrangements for monitoring and evaluating compliance by the contractor with the health and safety requirements of the safety management system;
(g)the emergency procedures and all other matters in the emergency plan for the mine prepared under Division 5;
(h)the procedures and conditions under which persons at the mine or a part of the mine are to be withdrawn to a place of safety and to remain withdrawn as a precautionary measure where a risk to health and safety warrants that withdrawal;
(i)the arrangements for the provision of information, training and instruction required under regulation 39;
(j)the induction procedures for workers at the mine;
(k)the arrangements in place for the supervision needed to protect workers and other persons at the mine from risks to their health and safety from work carried out at the mine;
(l)the arrangements in place for health monitoring under Part 3;
(m)the safety role for workers developed under Part 4;
(n)the procedures for notifiable incident response and investigation at the mine;
(o)the procedures for records management for the mine to ensure compliance with the Act;
(p)the arrangements in place for all other monitoring and assessment and regular inspection of the working environment of the mine to be carried out for the purposes of the Act;
(q)the performance management system under regulation 623;
(r)the resources that will be applied for the effective implementation and use of the safety management system.
(2)The safety management system document must—
(a)contain a level of detail of the matters referred to in subregulation (1) that is appropriate to the mine having regard to—
(i)the nature, complexity and location of the mining operations; and
(ii)the risks associated with those operations; and
(b)so far as is reasonably practicable, be set out and expressed in a way that is readily understandable by persons who use it.
(3)If any matter referred to in subregulation (1) is addressed in a plan or other document prepared under these regulations for a mine, it is sufficient if the safety management system for the mine refers to the plan or document.
623—Performance standards and audit
The safety management system for a mine must include the following:
(a)performance standards for measuring the effectiveness of all aspects of the safety management system that—
(i)are sufficiently detailed to show how the mine operator will ensure the effectiveness of the safety management system; and
(ii)include steps to be taken to continually improve the safety management system;
(b)the way in which the performance standards are to be met;
(c)a system for auditing the effectiveness of the safety management system for the mine against the performance standards, including the methods, frequency and results of the audit process.
624—Maintenance
The mine operator of a mine must maintain the safety management system for the mine so that the safety management system remains effective.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
625—Review
(1)The mine operator of a mine must ensure that the safety management system for the mine is reviewed at least once every 3 years and as necessary revised to ensure it remains effective.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
Note—
Regular testing of the emergency plan is also required (see regulation 669).
(2)In addition, if a risk control measure is revised under regulation 38 or 618, the mine operator must ensure that the safety management system for the mine is reviewed and as necessary revised in relation to all aspects of risk control addressed by the revised control measure.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(3)In addition, if the mine is a determined major hazard facility, the mine operator for the mine must review and as necessary revise the safety management system if a circumstance referred to in regulation 559(2) exists.
Maximum penalty:
(a)in the case if an individual—$6 000;
(b)in the case of a body corporate—$30 000.
Subdivision 3—Information to adjoining mine operators
626—Duty to provide information to mine operator of adjoining mine
The mine operator of a mine must as soon as practicable, on request, provide to the mine operator of any adjoining mine any information that the mine operator has about conditions at the mine or any activities or proposed activities at the mine that could create a risk to the health and safety of persons at the adjoining mine.
Maximum penalty:
(a)in the case of an individual—$3 600;
(b)in the case of a body corporate—$18 000.
Division 2—Principal mining hazard management plans
627—Identification of principal mining hazards and conduct of risk assessments
(1)The mine operator of a mine must identify all principal mining hazards at the mine.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)The mine operator must conduct, in relation to each principal mining hazard identified, a risk assessment that involves a comprehensive and systematic investigation and analysis of all aspects of risk to health and safety associated with the principal mining hazard.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(3)The mine operator, in conducting a risk assessment under subregulation (2), must—
(a)use investigation and analysis methods that are appropriate to the principal mining hazard being considered; and
(b)consider the principal mining hazard individually and also cumulatively with other hazards at the mine.
628—Preparation of principal mining hazard management plan
(1)The mine operator of a mine must prepare a principal mining hazard management plan for each principal mining hazard at the mine, having regard to the matters set out in Schedule 19.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)A principal mining hazard management plan must—
(a)provide for the management of all aspects of risk control in relation to the principal mining hazard; and
(b)so far as is reasonably practicable, be set out and expressed in a way that is readily understandable by persons who use it.
(3)A principal mining hazard management plan must—
(a)describe the nature of the principal mining hazard to which the plan relates; and
(b)describe how the principal mining hazard relates to other hazards at the mine; and
(c)describe the analysis methods used in identifying the principal mining hazard to which the plan relates; and
(d)include a record of the risk assessment conducted in relation to the principal mining hazard; and
(e)describe the investigation and analysis methods used in determining the control measures to be implemented; and
(f)describe all control measures to be implemented to manage risks to health and safety associated with the principal mining hazard; and
(g)describe the arrangements in place for providing the information, training and instruction required by regulation 39 in relation to the principal mining hazard; and
(h)refer to any design principles, engineering standards and technical standards relied on for control measures for the principal mining hazard; and
(i)set out the reasons for adopting or rejecting all control measures considered.
Note—
A principal mining hazard management plan forms part of the safety management system for a mine (see regulation 622(1)(c)(i)).
629—Review
(1)The mine operator of a mine must ensure that a principal mining hazard management plan is reviewed and as necessary revised if a risk control measure specified in the plan is revised under regulation 38 or 618.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
Note—
A principal mining hazard management plan is part of the safety management system for a mine (see regulation 622(1)(c)(i), which must be audited under regulation 623, maintained under regulation 624 and reviewed and as necessary revised under regulation 625).
(2)If a principal mining hazard management plan is revised, the mine operator must record the revisions, including any revision of a risk assessment, in writing in the plan.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
Division 3—Specific control measures—all mines
Subdivision 1—Operational controls
630—Communication between outgoing and incoming shifts
The mine operator of a mine at which more than 1 shift is worked each day must implement a system that ensures that, as soon as practicable at the commencement of each shift—
(a)the supervisor of each outgoing shift provides a written report to the supervisor of the incoming shift, in relation to the state of the mine workings and plant and any other matters that relate to work health or safety; and
(b)the supervisor of the incoming shift communicates the content of the report to the workers on the incoming shift.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
Note—
For requirements relating to communication with workers carrying out remote or isolated work at the mine, see regulation 48.
631—Movement of mobile plant
(1)In complying with regulation 617, the mine operator of a mine must manage risks to health and safety associated with the movement of mobile plant at the mine.
(2)In managing risks to health and safety associated with the movement of mobile plant at the mine, the mine operator must have regard to all relevant matters including the following:
(a)the design, layout, construction and maintenance of all roads and other areas at the mine used by mobile plant;
(b)interactions between mobile plant, especially between large and small mobile plant;
(c)interactions between mobile plant and fixed plant or structures;
(d)interactions between mobile plant and pedestrians (including the use of pre‑movement warnings for mobile plant in mine workings);
(e)the operation of remotely controlled mobile plant;
(f)the maintenance, testing and inspection of brakes, steering, lights and other safety features of the mobile plant.
Note—
Division 7 of Chapter 5 Part 1 includes requirements relating to mobile plant in all workplaces.
632—Prohibited uses
The mine operator of a mine must take all reasonable steps to ensure an item or substance specified in Schedule 20, column 1 is not used in a place or for a purpose that is prohibited or restricted as set out in Schedule 20, column 2 opposite that item or substance.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
633—Closure, suspension or abandonment of mine
(1)If the mine operator of a mine closes the mine, the mine operator must, at the time of the closure, ensure, so far as is reasonably practicable, that the mine is safe, including by being secure against unauthorised entry by any person.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)If mining operations at a mine are suspended, the mine operator must ensure, so far as is reasonably practicable, that the mine is safe, including by being secure against unauthorised entry by any person, during the period of suspension.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(3)The mine operator of a mine must not abandon the mine.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(4)In this regulation—
mine operator of a mine includes the mine holder of the mine.
Note—
Section 16 of the Act provides for circumstances in which more than 1 person has the same duty.
(5)This regulation does not apply in relation to a precious stones tenement under the Opal Mining Act 1995.
634—Minimum age to work in mine
The mine operator of a mine must take all reasonable steps to ensure that—
(a)a person under the age of 16 years is not engaged to carry out work in any open cut workings or in an underground mine; and
(b)a person under the age of 18 years is not engaged to carry out work in an underground mine, unless the person is over the age of 16 years and is an apprentice or trainee under direct supervision in relation to the work.
Maximum penalty:
(a)in the case of an individual—$3 600;
(b)in the case of a body corporate—$18 000.
Subdivision 2—Air quality and monitoring
Note—
General requirements for managing risks from airborne contaminants and hazardous atmospheres are set out in Divisions 7 and 8 of Chapter 3 Part 2 (all workplaces, including mines), and Division 4 of this Part sets out additional requirements relating to all underground mines (Subdivision 2).
635—Temperature and moisture content of air
In complying with regulation 617, the mine operator of a mine must—
(a)manage risks to health and safety associated with extremes of either or both the temperature and moisture content of air; and
(b)if risks associated with extreme heat exist in an underground mine—implement control measures (including monitoring) to manage heat stress in places in the mine where—
(i)persons work or travel; and
(ii)the wet bulb temperature exceeds 27°C.
636—Ensuring exposure standards for dust not exceeded
(1)The mine operator of a mine must ensure that no person at the mine is exposed to 8‑hour time‑weighted average atmospheric concentrations of airborne dust that exceed—
(a)for respirable dust—3.0 mg per cubic metre of air;
(b)for inhalable dust—10.0 mg per cubic metre of air.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)The Workplace Exposure Standards for Airborne Contaminants apply in relation to a concentration referred to in subregulation (1)(a) or (b) as if that concentration were an exposure standard referred to in those Standards.
(3)In subregulation (1)—
inhalable has the same meaning as in the Workplace Exposure Standards for Airborne Contaminants;
respirable has the same meaning as in the Workplace Exposure Standards for Airborne Contaminants;
8-hour time-weighted average has the same meaning as in the Workplace Exposure Standards for Airborne Contaminants.
637—Monitoring exposure to airborne dust
Regulation 50 applies to the mine operator of a mine in relation to airborne dust as if the concentration of airborne dust referred to in regulation 636(1)(a) or (b) were an exposure standard to which regulation 50 applies.
638—Air monitoring—use of devices
The mine operator of a mine who uses air monitoring devices to comply with air monitoring requirements under regulation 50 and this Chapter must ensure that—
(a)the devices used are suitable and effective having regard to—
(i)the nature of the monitoring being carried out; and
(ii)the substance being monitored; and
(b)the devices are positioned to ensure that they work to best effect.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
639—Air monitoring—signage
The mine operator of a mine, in complying with air monitoring requirements under regulation 50 and this Chapter, must ensure that signs are erected at the mine that explain—
(a)the meaning of any warning produced by an air monitoring device; and
(b)what persons must do in response to the warning.
Maximum penalty:
(a)in the case of an individual—$3 600;
(b)in the case of a body corporate—$18 000.
Subdivision 3—Fitness for work
640—Fatigue
In complying with regulation 617, the mine operator of a mine must manage risks to health and safety associated with worker fatigue.
641—Alcohol and drugs
(1)In complying with regulation 617, the mine operator of a mine must manage risks to health and safety associated with the consumption of alcohol by workers.
(2)In complying with regulation 617, the mine operator of a mine must manage risks to health and safety associated with the use of drugs by workers.
Division 4—Specific control measures—underground mines
Subdivision 1—All underground mines—operational controls
642—Inrush hazards
(1)The mine operator of an underground mine must implement a system for the mine that ensures—
(a)the identification of all reasonably foreseeable inrush hazards at the mine; and
(b)the determination of the presence and location of an inrush hazard by exploratory bore‑holes (including a way of sealing or otherwise controlling a bore‑hole to prevent inrush) or other exploratory methods; and
(c)communication of the location of identified inrush hazards, including inrush hazards being approached, to all affected persons; and
(d)the determination of whether or not an identified inrush hazard is a principal mining hazard; and
(e)if an identified inrush hazard is a principal mining hazard—the identification, establishment and maintenance of an inrush control zone for the inrush hazard in accordance with this regulation.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)An inrush control zone must be located in the vicinity of the inrush hazard and—
(a)if the exact location of the inrush hazard is known—extend at least 50 metres from the location of the inrush hazard; or
(b)if the exact location of the inrush hazard is not known—extend any greater distance from the suspected location of the inrush hazard determined by a risk assessment conducted under regulation 627.
(3)The mine operator must ensure, in relation to each inrush control zone, that control measures and procedures are implemented to control the risk of inrush.
(4)The mine operator must ensure that an inrush control zone is not mined before—
(a)control measures and procedures have been implemented under subregulation (3); and
(b)the persons who are to work in the zone have been trained in relation to the implementation of those controls and procedures.
(5)If an identified inrush hazard is not at an accessible place at the mine, it is sufficient to control the risk from inrush by—
(a)providing adequate separation of solid rock between the mine workings and the assessed worst case position of the potential source of inrush; and
(b)complying with the requirements of any applicable principal mining hazard management plan prepared for inrush hazards.
(6)The mine operator of an underground mine, before connecting any underground mine workings at the mine to any other workings (including disused workings), must—
(a)ensure that the other workings are inspected for water, gas and any other circumstance that may be an inrush hazard; and
(b)if it is not possible to safely gain access to the workings to be connected—ensure that exploratory bore-holes or other exploratory methods are used to determine the location of the other workings.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
643—Connecting workings
(1)The mine operator of an underground mine must ensure that, if 2 working faces are approaching each other at an underground mine, 1 of the workings is stopped, made safe and barricaded as soon as practicable before the distance separating the faces creates a risk to health or safety.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)The mine operator of an underground mine, before connecting any underground mine workings to any other workings (including disused workings) must ensure that the other workings are inspected for water, gas, misfires, butts and any other circumstance that may be a risk to the health or safety of any person at the mine, other than a risk associated with an inrush hazard.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
644—Winding systems
(1)The mine operator of an underground mine must ensure that every winding system used or that may be put into use at the mine includes the following:
(a)ropes that will enable the shaft conveyance to bear the weight that can reasonably be expected to be borne by the shaft conveyance;
(b)controls and limiting devices to prevent any shaft conveyance from being overwound or overrun or from travelling at an unsafe speed;
(c)brakes that can bring the system to rest;
(d)devices that detect slack rope or drum slip conditions, or tail rope malfunctions;
(e)devices that cause the winder to stop when a condition or malfunction referred to in paragraph (d) is detected;
(f)warning systems to alert persons at the mine to any emergency in a shaft;
(g)remote monitoring of the functions of the system;
(h)an effective means of communication—
(i)between the surface and any shaft conveyance used for carrying persons; and
(ii)between the point of control of the winder and the entry to every shaft that is in use.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)The mine operator must ensure that the winding system for each shaft that is in use or that may be put into use at the mine, and all components of the winding system, are tested at intervals that ensure the safe performance of the system.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(3)The mine operator must ensure that energy lockout devices are fitted to all mechanical and electrical plant associated with any shaft at the mine, including any mechanical and electrical plant associated with the operation, maintenance or use of the shaft.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(4)In this regulation—
winding system means a system where the winder is driven by a motor or engine of not less than 25kW.
645—Operation of shaft conveyances
(1)The mine operator of an underground mine must ensure that material or plant being carried in a shaft conveyance—
(a)does not protrude from the shaft conveyance, while it is moving, so as to contact a wall of the shaft or any thing in the shaft; and
(b)is so secured to the shaft conveyance that it cannot leave the shaft conveyance except by being deliberately removed.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)The mine operator of an underground mine must ensure that persons being carried in a shaft conveyance are adequately protected from another shaft conveyance in the same shaft and from any material or plant being carried by the other shaft conveyance.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(3)The mine operator of an underground mine must ensure that, if a shaft conveyance that combines a cage and skip is used, material is not carried in the skip while persons are being carried in the cage.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(4)The mine operator of an underground mine must ensure that control measures are implemented to prevent a shaft conveyance from becoming detached or falling down the shaft.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(5)The mine operator of an underground mine must ensure, so far as is reasonably practicable, that facilities for loading material or plant onto or into a shaft conveyance are designed and operated so as to prevent spillage into the shaft.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
646—Dust explosion
(1)In complying with regulation 617, the mine operator of an underground mine must manage risks to health and safety associated with an explosion associated with dust at the mine.
(2)In managing risks to health and safety associated with dust at the mine, the mine operator must implement control measures that, so far as is reasonably practicable—
(a)minimise the generation of potentially explosive dusts; and
(b)suppress, collect and remove potentially explosive airborne dusts; and
(c)suppress any dust explosion; and
(d)restrict the propagation of any dust explosion so that other areas are not affected.
Subdivision 2—All underground mines—air quality and ventilation
Note—
General requirements for managing risks from airborne contaminants and hazardous atmospheres are set out in Division 3 Subdivision 2 of this Part (all mines, including underground mines) and in Divisions 7 and 8 of Chapter 3 Part 2 (all workplaces, including mines).
647—Air quality—airborne contaminants
(1)The mine operator of an underground mine must ensure that the concentration of any airborne contaminant (including any asphyxiant or explosive gas) is as low as is reasonably practicable.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)The mine operator must comply with subregulation (1)—
(a)so far as is reasonably practicable, by suppression or the installation of a ventilation or exhaust extraction system; or
(b)if this is not reasonably practicable, by some other suitable means.
(3)This regulation does not limit regulations 49 and 636.
648—Air quality—minimum standards for ventilated air
(1)The mine operator of an underground mine must ensure that the ventilation system for the mine provides air that is of sufficient volume, velocity and quality to ensure that the general body of air in the areas in which persons work or travel—
(a)has a concentration of oxygen that is at least 19.5% under normal atmospheric pressure; and
(b)has dust levels that—
(i)are as low as is reasonably practicable; and
(ii)do not exceed the relevant levels specified in regulation 636; and
(c)if diesel engines are used underground—has a concentration of diesel particulates that is as low as is reasonably practicable.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(2)In addition to subregulation (1), the mine operator of an underground mine must ensure that the ventilation system for the mine provides air that is of sufficient quality to ensure that the general body of air in the areas in which persons work or travel has a level of contaminants that—
(a)is as low as is reasonably practicable; and
(b)does not exceed the exposure level for that contaminant specified in the relevant exposure standard referred to in regulation 49.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(3)This regulation does not apply in relation to an area of the mine—
(a)that is required to be entered in an emergency or for a mines rescue purpose; and
(b)in which all persons are wearing self‑contained breathing apparatus.
649—Air monitoring—air quality
The mine operator of an underground mine must ensure that air monitoring is carried out at the mine if the mine operator is not certain on reasonable grounds whether or not regulation 648 is being complied with.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
650—Requirements if air quality requirements and exposure standards not complied with
(1)This regulation applies if monitoring reveals that in an underground mine—
(a)the oxygen level specified in regulation 648(1)(a) is not met; or
(b)a dust level referred to in regulation 648(1)(b)(ii) is exceeded; or
(c)an exposure level referred to in regulation 648(2)(b) is exceeded.
(2)The mine operator of an underground mine must immediately notify any affected workers or other persons at the mine of the relevant circumstance referred to in subregulation (1).
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
(3)The mine operator of an underground mine must ensure that the air quality at the mine is retested by a competent person as soon as practicable.
Maximum penalty:
(a)in the case of an individual—$6 000;
(b)in the case of a body corporate—$30 000.
651—Records of air monitoring
(1)The mine operator of a mine must keep a record of air monitoring carried out at the mine under regulation 649.
Maximum penalty:
(a)in the case of an individual—$1 250;
(b)in the case of a body corporate—$6 000.
(2)A record of air monitoring must include—
(a)the results of the monitoring; and
(b)details of the dates, location and frequency of the monitoring; and
(c)the sampling method and equipment used.
(3)A record of air monitoring carried out under regulation 649 must be kept for 7 years after the record is made.
(4)The mine operator must keep a record of air monitoring available for inspection under the Act.
Maximum penalty:
(a)in the case of an individual—$1 250;
(b)in the case of a body corporate—$6 000.
(3)The mine operator must ensure that the mine record for the mine is available to workers at the mine on request.
Maximum penalty:
(a)in the case of an individual—$1 250;
(b)in the case of a body corporate—$6 000.
(4)For the purposes of subregulation (3), the mine operator is only required to make available a summary of a record referred to in regulation 675Y(2)(c).
(5)Subregulation (3) does not require or permit the mine operator to provide personal or medical information in relation to a worker without the worker's written consent unless the information is in a form that—
(a)does not identify the worker; and
(b)could not reasonably be expected to lead to the identification of the worker.
42—Variation of regulation 676—Which decisions under these regulations are reviewable
Regulation 676(1), table—after item 2 insert:
2A
91A—Imposition of condition when granting licence
Applicant
2B
91A—Imposition of condition when renewing licence
Applicant
Regulation 676(1), table—after item 7 insert:
7A
106—Variation of licence conditions
Licence holder
43—Variation of regulation 683A—Applications to IRC
Regulation 683A(1)—delete "Schedule 19" and substitute:
Schedule 18A
44—Variation of 683B—Summonses
Regulation 683B—delete "Schedule 19" wherever occurring and substitute in each case:
Schedule 18A
45—Insertion of regulation 699A
After regulation 699 insert:
699A—Incident notification—prescribed dangerous incident
For the purposes of section 37 of the Act, the unplanned loss of control of heavy earthmoving machinery (including failure of braking or steering) at a mine is a dangerous incident.
46—Substitution of regulation 723
Regulation 723—delete the regulation and substitute:
723—Pipeline builder's duties (regulation 390)
If, before the day on which regulation 390 commences, a notice is given as required under regulation 55 of the Dangerous Substances Regulations 2002 of an intention to re-lay, renew or carry out repairs to a pipeline, the person who gave the notice will be taken to have complied with the requirements of regulation 390(2) of these regulations with respect to the activity to which the notice relates.
47—Variation of regulation 726—Application of regulations 475 and 476 (Air monitoring)
Regulation 726(2)—delete "first" and substitute:
second
48—Variation of regulation 730—Diving work
Regulation 730(1) and (2)—delete "regulation 171(a)" wherever occurring and substitute in each case:
regulation 171
49—Variation of regulation 737—Roll-over protection on tractors (regulation 216)
Regulation 737—delete "first" and substitute:
second
50—Variation of Schedule 2—Fees
Schedule 2, clause 1, table—delete the rows relating to "Application for asbestos assessor licence" and "Application for renewal of asbestos assessor licence"
Schedule 2, clause 1, table—delete the rows relating to "Application for blaster's licence" and "Application for renewal of blaster's licence"
51—Variation of Schedule 3—High risk work licences and classes of high risk work
Schedule 3, item 15—delete "including" and substitute:
excluding
Schedule 3, item 15—after "Use of a non-slewing mobile crane with a capacity exceeding 3 tonnes" insert:
Use of a reach stacker
Schedule 3, item 16—delete "including" and substitute:
excluding
Schedule 3, item 16—after "Use of a non-slewing mobile crane with a capacity exceeding 3 tonnes" insert:
Use of a reach stacker
Schedule 3, item 17—delete "including" and substitute:
excluding
Schedule 3, item 17—after "Use of a non-slewing mobile crane with a capacity exceeding 3 tonnes" insert:
Use of a reach stacker
Schedule 3, item 18—delete "including" and substitute:
excluding
Schedule 3, item 18—after "Use of a non-slewing mobile crane with a capacity exceeding 3 tonnes" insert:
Use of a reach stacker
52—Variation of Schedule 5—Registration of plant and plant designs
Schedule 5, clause 1, item 1.9—delete "placement units with delivery" and substitute:
placing
Schedule 5, clause 1, item 1.10—delete "and prefabricated formwork"
Schedule 5, clause 2(1)—after paragraph (a) insert:
(ab)any pressure equipment (other than a gas cylinder) excluded from the scope of AS 1200:2000 (Pressure equipment); or
Note—
See section A1 of Appendix A to AS/NZS 1200:2000.
Schedule 5, clause 2(1)—after paragraph (b) insert:
(ba)a reach stacker; or
Schedule 5, clause 3, item 3.7—delete "placement units with delivery" and substitute:
placing
Schedule 5, clause 4(1)—delete subclause (1) and substitute:
(1)The items of plant listed in clause 3 do not include—
(a)any pressure equipment (other than a gas cylinder) excluded from the scope of AS/NZS 1200:2000 (Pressure equipment); or
Note—
See section A1 of Appendix A to AS/NZS 1200:2000.
(b)a crane or hoist that is manually powered; or
(c)a reach stacker.
53—Variation of Schedule 10—Prohibited carcinogens, restricted carcinogens and restricted hazardous chemicals
Schedule 10, Table 10.3, item 10—delete "For spray painting"
54—Variation of Schedule 16—Matters to be included in emergency plan for major hazard facility
Schedule 16, table, item 3.1—after "under regulation 557" insert:
(or, if the facility is also a mine, under regulation 664)
55—Redesignation of Schedule 19
Schedule 19—redesignate the Schedule as Schedule 18A
56—Insertion of Schedules 19 to 24
After Schedule 18A (as so redesignated by regulation 55) insert:
Schedule 19—Principal mining hazard management plans—additional matters to be considered
Regulation 628
1—Ground or strata instability
The following matters must be considered in developing the control measures to manage the risks of ground or strata instability:
(a)the local geological structure;
(b)the local hydrogeological environment, including surface and ground water;
(c)the geotechnical characteristics of the rocks and soil, including the effects of time, oxidation and water on rock support and stability;
(d)any natural or induced seismic activity;
(e)the location and loadings from existing or proposed mine infrastructure such as waste dumps, tailings storage, haul roads and mine facilities;
(f)any previously excavated or abandoned workings;
(g)the proposed and existing mining operations, including the nature and number of excavations, the number and size of permanent or temporary voids or openings, backfilling of mined areas and stopes, abutments, periodic weighting and windblast;
(h)the proposed blasting activities, including airblast.
2—Inundation and inrush
The following matters must be considered in developing the control measures to manage the risks of inundation and inrush:
(a)the potential sources of inundation, including extreme weather, overflow or failure of levies and dam structures, failure or blocking of flow channels (either regular, overflow or emergency);
(b)the potential sources of inrush including current, disused or abandoned mine workings along the same seam or across strata, surface water bodies, backfill operations, highly permeable aquifers, bore-holes, faults or other geological weaknesses;
(c)the potential for the accumulation of water, gas or other substances or materials that could liquefy or flow into other workings or locations;
(d)the magnitude of all potential sources and maximum flow rates;
(e)the worst possible health and safety consequences of each potential source, including the accuracy of plans of other workings, variation in rock properties and geological weaknesses.
3—Mine shafts and winding operations
The following matters must be considered in developing the control measures to manage the risks associated with mine shafts and winding operations:
(a)the stability and integrity of the shaft;
(b)the potential for fires in underground operations, the shaft or winder areas;
(c)the potential for any unintended or uncontrolled movement of the conveyances within the shaft;
(d)the potential for a detached conveyance to fall down the shaft;
(e)the potential for fall of persons, equipment, materials or support structure into or within, the shaft;
(f)the potential for failure of, or damage to, health and safety related equipment and controls, including the following:
(i)ropes bearing the weight of the shaft conveyance;
(ii)controls and limiting devices to prevent overwind, overrun, overspeed and the exceeding of other selected limits;
(iii)equipment and controls to detect, prevent or cause the winder to stop in the event of slack rope, drum slip or tail rope malfunctions;
(iv)braking systems including emergency brakes and systems for preventing free‑fall of a conveyance;
(v)warning systems for any emergency in the shaft;
(vi)communication systems;
(g)the potential for injury to persons in a conveyance from material being carried in the conveyance or falling from another conveyance;
(h)the need to enable persons to escape from a stalled conveyance;
(i)the competency of the operator of the winder.
4—Roads and other vehicle operating areas
The following matters must be considered in developing the control measures to manage the risks associated with roads and other vehicle operating areas:
(a)mobile plant characteristics, including stopping distances, manoeuvrability, operating speeds, driver position, driver line of sight and remote control mobile plant;
(b)the effect on road conditions of expected environmental conditions during operating periods (including time of day, weather, temperature and visibility);
(c)the impact of road design and characteristics, including grade, camber, surface, radius of curves and intersections;
(d)the impact of mine design, including banks and steep drops adjacent to vehicle operating areas;
(e)the volume and speed of traffic and the potential for interactions between mobile plant with different operating characteristics, including heavy and light vehicles;
(f)the potential for interactions between mobile plant and pedestrians, including consideration of park up areas and driver access;
(g)the potential for interaction between mining mobile plant and public traffic;
(h)the potential for interaction between mobile plant and fixed structures, including overhead and underground power lines, tunnel walls and roofs.
5—Air quality, dust and other airborne contaminants
The following matters must be considered in developing the control measures to manage the risks associated with air quality, airborne dust and other airborne contaminants:
(a)the types of dust and other chemical and biological contaminants likely to be in the air from both natural sources, including naturally occurring asbestos, and introduced sources;
(b)the levels of oxygen, dust and other contaminants in the natural or supplied air of a mine;
(c)the temperature and humidity of the air;
(d)the length of exposure, having regard to extended shifts and reduced recovery periods.
6—Fire and explosion
The following matters must be considered in developing the control measures to manage the risks of fire and explosion:
(a)the potential sources of flammable, combustible and explosive substances and materials, both natural and introduced, including gas, dust, fuels, solvents and timber;
(b)the potential sources of ignition, fire or explosion, including plant, electricity, static electricity, spontaneous combustion, lightning, hot work and other work practices;
(c)the potential for propagation of fire or explosion to other parts of the mine.
7—Gas outbursts
The following matters must be considered in developing the control measures to manage the risks of gas outbursts:
(a)the potential for gas release into the working area of a mine from both natural and introduced sources in a concentration that could lead to fire, explosion or asphyxiation;
(b)the potential for accumulation of gases in working areas and abandoned areas of the mine;
(c)the nature of the gas that could be released;
(d)the gas levels in the material being mined;
(e)gas seam pressures.
8—Spontaneous combustion
The following matters must be considered in developing the control measures to manage the risks of spontaneous combustion:
(a)the potential for spontaneous combustion to occur in the material being mined, including by—
(i)evaluating the history of the mine in relation to spontaneous combustion; and
(ii)evaluating any adjacent or previous mining operations in the same seam; and
(iii)the conduct of scientific testing;
(b)mine ventilation practices;
(c)the design of the mine;
(d)the impact of gases generated by spontaneous combustion on mine environmental conditions.
Schedule 20—Prohibited uses in mines
Regulation 632
Column 1
Item
Column 2
Prohibited use
Internal combustion engine (other than a compression ignition engine)
All uses underground
Compressed natural gas
In an underground mine in an internal or external combustion engine
Hydrogen
In an underground mine in an internal or external combustion engine
Liquid petroleum gas
In an underground mine in an internal or external combustion engine
Petrol and fuel
In an underground mine in an internal or external combustion engine unless suitable for safe use underground
Example—
Diesel fuel
Ignition sources
Examples—
Cigarettes, matches, lighters, naked flame, naked light, firearms
At any mine, while carrying, handling or using any explosive or initiating system or within 8 metres of any explosive or initiating system
At a work area at a mine, where solvents are used
At a work area at a mine, where flammable vapours are present
At any mine, in a shaft conveyance
At any mine, in a refuge chamber during an emergencyExplosives, detonators and exploders (excluding explosive power tools)
All uses at any mine, unless for the purpose of shotfiring
Schedule 21—Concentration levels for atmospheric contaminants
Note—
Schedule 21 appears in some corresponding WHS laws but does not apply in this State because there is no underground coal mining activity.
Schedule 22—Matters to be included in emergency plan for a mine
Regulation 664
1—Site and hazard detail
1.1The location of the mine, including its street address and the nearest intersection (if any).
Note—
Sufficient detail must be provided to enable a person not familiar with the site to find it.
1.2The current mine survey plan required under Chapter 10 Part 5.
1.3A brief description of the nature of the mine and mining operations.
1.4The maximum number of persons, including workers, likely to be present at the mine on a normal working day.
1.5The emergency planning assumptions for different emergencies, and likely areas affected.
1.6The protective resources available to control an incident that could result in an emergency.
1.7The emergency response procedures, including procedures for isolating areas of the mine in an emergency.
1.8The infrastructure likely to be affected by an emergency.
2—Command structure and site personnel
2.1The command philosophy and structure to be activated in an emergency, so that it is clear what actions will be taken, who will take these actions and how, when and where they will be taken.
2.2Details of the person who can clarify the content of the emergency plan if necessary.
2.3The contact details of, and the way to contact, the persons at the mine responsible for liaising with emergency services.
2.4A list of 24 hour emergency contacts.
2.5Arrangements for assisting emergency services.
3—Notifications
3.1In the event of the occurrence of a notifiable incident or an event that could reasonably be expected to lead to a notifiable incident, procedures for notifying—
(a)any person whose health or safety may be affected, even if—
(i)the person is located underground; or
(ii)there is no electrical power that can be used for the notification; and
(b)the emergency services in circumstances where emergency services are required.
3.2On-site and off-site warning systems.
3.3Contact details for emergency services and other support services that can assist in providing resources and implementing evacuation plans in an emergency.
3.4On-site communication systems.
4—Resources and equipment
4.1On-site emergency resources, including—
(a)first aid equipment, facilities, services and personnel; and
(b)emergency equipment and personnel; and
(c)gas detectors, wind velocity detectors, sand, lime, neutralising agents, absorbents, spill bins and decontamination equipment.
4.2Off-site emergency resources, including arrangements for obtaining additional external resources (specific to the likely incidents), including mines rescue services, as necessary.
4.3Arrangements for mines rescue that state the following:
(a)the minimum mines rescue training to be provided;
(b)any arrangements for the mine operator and mine operators of mines in the vicinity to assist each other in an emergency;
(c)how inertisation equipment is to be used;
(d)the procedures to be followed in carrying out mines rescue.
4.4For an underground mine, a means of communication between the surface of the mine and any underground area of the mine where persons are located, that is effective even if there is no electrical connection between the surface and the relevant underground area.
5—Procedures
5.1Procedures for the safe evacuation of, and accounting for, all persons at the mine.
5.2Procedures and control points for utilities, including gas, water and electricity.
5.3Procedures in the event of the ventilation system at the mine failing totally or for more than 30 minutes.
Schedule 23—Information to be included in notification of mining incident
Regulation 675V
1—Person injured
1.1The name, date of birth and gender of any person who has suffered an illness or injury as a result of the incident.
1.2If a person who has suffered an illness or injury as a result of the incident is a worker, the following information:
(a)the worker's occupation;
(b)the worker's usual start and finish time, and start time on the day of the incident;
(c)the number of hours worked immediately before the incident;
(d)the name of the person conducting the business or undertaking in which the person works;
(e)the nature of the engagement of the worker.
1.3If the worker is self-employed, the name of the business or undertaking.
1.4The industry in which the business or undertaking is primarily conducted.
2—Incident
2.1When the incident occurred, including—
(a)the date of the incident;
(b)the time of the incident;
(c)in the case of an illness, the date on which the illness was first reported by or on behalf of the person suffering the illness.
2.2A description of the incident, including—
(a)what each affected person was doing just before the incident; and
(b)a description of all substances, including hazardous chemicals, and all plant and processes involved in the incident; and
(c)the classification of—
(i)the mechanism of the incident; and
(ii)the agency of the illness or injury (that is, how the incident caused the illness or injury); and
(iii)the nature and bodily location of the illness or injury.
2.3In item 2.2(c), classification means the code assigned by the Types of Occurrence Classification System published by the National Health and Safety Committee, as in force from time to time.
2.4Item 2.2(c) applies only in relation to an incident that occurs after 1 January 2015.
3—Consequences of incident
3.1Whether or not the incident has resulted in any of the following:
(a)a fatality;
(b)permanent incapacity;
(c)the inability of a worker to work for 1 day or more, not including the incident day, whether the worker is rostered on that day or not;
(d)the worker carrying out restricted work;
(e)medical treatment.
3.2An indication of whether the incident is likely to result in any of the circumstances referred to in item 3.1.
3.3An indication of whether the incident has the potential to result in any of the circumstances referred to in item 3.1.
Schedule 24—Information to be included in mine quarterly report
Regulation 675W
1—Meaning of incident
In this Schedule, incident means—
(a)a notifiable incident; or
(b)an incident within the meaning of regulation 675V.
2—Mine holder
The name of the mine holder for the mine.
3—Mine operator
The name of the mine operator of the mine.
4—The mine
The location of the mine.
5—Commodity processed
A description of the primary commodity processed at the mine site during the reporting period.
6—Number of workers
The average number of workers who worked at the mine site during the reporting period.
7—Number of hours worked
The total number of hours (including additional shifts and overtime) worked at the mine during the reporting period.
8—Number of incidents
The total number of incidents occurring during the reporting period.
9—Number of lost time injuries
The total number of incidents that resulted in the inability of a worker to work for 1 day or more (not including the incident day) during the reporting period.
10—Days lost from work
The total number of days (not including the incident day) lost from work by workers during the reporting period as a result of incidents.
11—Number of restricted duty days
The total number of days on which workers carried out restricted duties during the reporting period as a result of incidents.
12—Number of workers placed on restricted duties
The total number of workers placed on restricted duties during the reporting period as a result of incidents.
13—Number of medical treatment injuries
13.1The total number of injuries and illnesses of workers arising from incidents that required medical treatment during the reporting period but did not result in the inability of a worker to work for 1 day or more (not including the incident day).
13.2In item 13.1, medical treatment means the management or care of a patient including:
(a)the suturing of a wound;
(b)the treatment of fractures;
(c)the treatment of bruises by drainage of blood;
(d)the treatment of second and third degree burns,
but does not include diagnostic procedures, observation, counselling, first aid or therapeutic measures taken solely for preventative purposes.
14—Number of deaths
The total number of deaths that occurred during the reporting period as a result of incidents.
15—Other information
The information set out in Schedule 23 in relation to each incident, if that information has not already been provided to the regulator.
Note—
As required by section 10AA(2) of the Subordinate Legislation Act 1978, the Minister has certified that, in the Minister's opinion, it is necessary or appropriate that these regulations come into operation as set out in these regulations.
Made by the Governor
with the advice and consent of the Executive Council
on 12 December 2013
No 279 of 2013
IR0056/13CS & IR0073/13CS
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